HomeMy WebLinkAboutIII Prelim Budget & Financial Plan
STAFF REPORT CITY CLERK
File #330-20
CITY COUNCIL
DATE:June 19, 2012
TO:
Honorable Mayor and City Councilmembers
FROM:
Joni Pattillo, City Manager
SUBJECT:
Public Hearing: Fiscal Years 2012-2013 and 2013-2014 Preliminary Budget and
Financial Plan
Prepared by Amy Cunningham, Budget Manager / Assistant to the City Manager
EXECUTIVE SUMMARY:
The City Council will conduct a public hearing and consider approval of a resolution adopting the
Fiscal Years 2012-2013 and 2013-2014 Preliminary Budget and Financial Plan and other
resolutions necessary for enactment of the two-year Budget.
FINANCIAL IMPACT:
Preliminary Fiscal Year 2012-2013 Total Appropriations are $82,217,095 (including
appropriations to/(from) Reserves). Forecast Fiscal Year 2013-2014 Total Appropriations are
$73,619,011 (including appropriations to/(from) Reserves).
RECOMMENDATION:
Staff recommends that the City Council: 1) Open the Public Hearing; 2) Receive Budget
Overview; 3) Review the Preliminary Budgets by Major Program Area (General, Public Safety,
Transportation, Health and Welfare, Culture and Leisure Services, and Community
Development) and ask questions about proposed budget activities; 4) Receive Public Comment;
5) Close the public hearing; and 6) Adopt the following Resolutions: (a) Adopting a Budget for
the City of Dublin for Fiscal Year 2012-2013; (b) Adopting an Appropriation for a City
Contribution to Dublin Partners in Education for Fiscal Year 2012-2013, and Exhibit A; (c)
Establishing a Salary Plan for Full-Time Personnel in Accordance with the Personnel Rules; (d)
and Establishing a Salary Plan for Management Positions Exempt from Competitive Services.
Submitted By Reviewed By
Budget Manager/ Assistant City Manager
Assistant to the City Manager
DESCRIPTION:
Preliminary Budget and Financial Plan Summary
ITEM NO. III.
Page 1 of 6
Appropriations
Proposed appropriations for the Fiscal Year 2012-2013 Preliminary Budget and Financial Plan
are $82,217,095 including appropriations to/from reserves (Attachment 1 – Preliminary Budget,
Pages 104-105); Forecast appropriations for the Fiscal Year 2013-2014 budget are $73,619,011
including appropriations to/from reserves (Attachment 1 – Preliminary Budget, Pages 108-109):
Appropriations Summary
Proposed Forecast
FY 2012-2013 FY 2013-2014
Proposed Expenditures
Operating Budget $ 59,663,520 $ 60,123,120
Capital Projects 22,153,725 15,634,611
Internal Service Fund (cash basis) 839,600 797,570
Sub-Total Expenditures $ 82,656,845 $ 76,555,301
Appropriations to/(from) Reserves
General Fund $ 189,267 $ 58,289
Restricted Funds (629,017) (2,994,579)
Sub-Total Appropriations / Reserves ($ 439,750) ($ 2,936,290)
Total $ 82,217,095 $ 73,619,011
Funding Sources
Budgets for the next two fiscal years will be funded by several sources as outlined in the chart
below. The Fiscal Year 2012-2013 Budget will use $5,204,515 in appropriations from
designated reserves, of that amount $3,130,247 represent funds that were previously dedicated
by the City Council. The Fiscal Year 2013-2014 Budget will use $1,515,921 in appropriations
from designated reserves. Detail of the capital projects is available in the Preliminary Budget
(Attachment 1 – Preliminary Budget and Financial Plan, Pages 81 through 85). The Fiscal Year
2012-2013 and Fiscal Year 2013-2014 budget proposals do not assume use of the Economic
Stability Reserve to balance the proposed budgets.
Page 2 of 6
Funding Sources
Proposed Forecast
FY 2012-2013 FY 2013-2014
Proposed Revenue $ 77,012,580 $ 72,103,090
Appropriations from Reserves
Assigned for One-Time Initiatives 269,860 234,000
(Operating)
Assigned for One-Time Initiatives 587,074 250,474
(Capital)
Carry-Over Fiscally Responsible 328,040 336,150
Adjustment
Innovations and New Opportunities 1,630,205 0
Civic Center Expansion Design 542,082 0
Public Safety Complex 907,960 0
Emergency Communications 50,000 0
Unrestricted (Capital Contribution) 889,294 695,297
Total $ 82,217,095 $ 73,619,011
Revenues
The proposed Fiscal Year 2012-2013 total revenues (less Internal Service Funds) are
approximately $3.2 million more than the Fiscal Year 2011-2012 Adjusted Budget, with an
approximate $7.3 million projected increase in General Fund revenue. This General Fund
revenue change is primarily the result of the City’s scheduled receipt of Community Benefit
Payments and other one-time reimbursements in the amount of approximately $6.5 million in
Fiscal Year 2012-2013.
The forecast Fiscal Year 2013-2014 total revenues (less Internal Service Funds) are
approximately $5.0 million less than proposed Fiscal Year 2012-2013 revenue, with an
anticipated $4.6 million decrease in General Fund revenue. This change is primarily the result
of the above identified receipt of Community Benefit Payments and other one-time
reimbursements in Fiscal Year 2012-2013.
Slow but steady growth is anticipated in General Fund property and sales tax receipts as
economists are forecasting positive trends in employment, consumer spending, home sales and
pricing nationwide and in the regional East Bay economy. Inflationary factors, such as the cost
of goods and services, are already having a direct impact on the City’s budget and these factors
are expected to adversely impact the City’s future ability to maintain planned capital projects
such as new infrastructure, parks and facilities.
Page 3 of 6
Revenue Summary
Adjusted Proposed Forecast
FY 2011-2012 FY 2012-2013 FY 2013-2014
Revenue
General Fund $ 52,155,840 $ 59,460,220 $ 54,880,640
Other Funds 21,558,510 17,552,360 17,222,450
Less Internal Services Funds
Revenue (1,525,440) (1,639,380) (1,682,770)
Net Revenue Total $ 72,188,910 $ 75,373,200 $ 70,420,320
Expenditures
The proposed Fiscal Year 2012-2013 expenditures are approximately $4.9 million more than the
Fiscal Year 2011-2012 Adjusted Budget (including the Internal Service Fund Budget). This
increase is primarily the result of increased activity in the Capital Program. Operating budget
expenditures are projected to be approximately $1.7 million more than the prior year adjusted
budget, primarily due to several one-time expenses related to City Council initiatives; and
Capital Improvement Program expenditures are approximately $3.8 million more than the
adjusted budget.
The proposed Fiscal Year 2013-2014 expenditures are approximately $6.1 million less than the
Fiscal Year 2012-2013 Proposed Budget (including the Internal Service Fund Budget). This
decrease is primarily the result of reduced Capital Program activity. Operating budget
expenditures are projected to be approximately $460,000 more than the Proposed Budget, and
Capital Improvement Program expenditures are approximately $6.5 million less than the
Proposed Budget.
Expenditure Summary
Adjusted Proposed Forecast
FY 2011-2012 FY 2012-2013 FY 2013-2014
Operating Budget
General Fund $ 50,435,650 $ 53,036,100 $ 53,942,720
Other Funds 7,536,060 6,627,420 6,180,400
Sub-Total 57,971,710 59,663,520 60,123,120
Capital Program
General Fund 9,187,427 10,725,407 2,433,824
Other Funds 9,131,375 11,428,318 13,200,787
Sub-Total 18,318,802 22,153,725 15,634,611
Internal Service
Expenditures
1,505,700 839,600 797,570
Net Expenditure Total $ 77,796,212 $ 82,656,845$76,555,301
Page 4 of 6
Budget Preparation Direction
This budget has been prepared in accordance with City Council direction provided at the March
3 and April 17, 2012 Budget Study Sessions. At the March 2012 Budget Study Session, the
City Council provided Staff with direction on a variety of initiatives that were of interest to pursue
during this budget cycle. At that meeting, the City Council additionally instructed Staff to
develop a balanced budget using ongoing revenue to support ongoing expenses and one-time
revenue for one-time expenses. This direction was in keeping with past City Council direction
and in support of continued fiscal sustainability efforts.
At the second Budget Study Session in April 2012, Staff presented additional information related
to accomplishment of the identified initiatives. At that time the City Council provided direction on
those initiatives they were interested in pursuing. These initiatives were both strategic and
operational in nature and several were identified as having an ongoing impact on the General
Fund. At that meeting Staff also noted that the evaluation of revenues and expenditures would
continue during the budget preparation process and, if necessary, budget balancing measures
would ultimately be enacted based on the direction provided by the City Council. Details on
those budget balancing measures, focusing on maintaining long-term fiscal health, have been
outlined in the City Manager’s Budget Transmittal Letter.
The City Manager’s Budget Transmittal Letter also includes a section on “Projected Issues and
Concerns”. This section of the letter details current and anticipated pressures on the General
Fund operating budget. Some of these pressures, such as rising utility costs, contract employee
salary and benefit increases, and impacts from the state budget, are beyond the City’s control.
Similar to the past number of years, it is not expected that the State will have an approved
budget prior to the City’s Budget Hearing. Potential impacts from the State’s continued budget
crisis on the City’s fiscal condition remain largely unknown. Other fiscal pressures, such as
controlling future operating costs for new capital projects (parks, facilities and infrastructure), is
an area that will require thoughtful and prudent planning.
The Fiscal Years 2012-2013 and 2013-2014 Preliminary Budget and Financial Plan represents
a steady and cautious approach to the future. The City’s strong foundation of sound fiscal
management has resulted in a balanced budget with no proposed use of reserves for ongoing
operating budget expenditures. A firm focus on building fiscal sustainability will position the City
to continue to deliver high quality services as future growth in revenue stabilizes and additional
infrastructure related needs and operations lead to increased expenditure demands.
As part of the new two-year budget process, forecast revenues and expenditures for Fiscal Year
2013-2014 are included in the budget documents. This additional information provides a longer-
term outlook of the City’s anticipated future fiscal condition. The forecast Fiscal Year 2013-2014
information will be updated based on any anticipated changes in fiscal conditions and presented
to the City Council for consideration and adoption in June 2013.
Proposed Resolutions
Approval of the four attached resolutions provide for adoption and enactment of the Fiscal Year
2012-2013 Preliminary Budget and Financial Plan and other actions necessary to amend the
City’s Personnel System Rules including annual modifications to salary and benefit plans.
The proposed Resolution “Adopting a Budget for the City of Dublin for Fiscal Year 2012-2013”
and Exhibit A (Attachment 2) allows for such actions as authorizing the City Manager to transfer
funds from the Contingent Reserve in specified instances; and authorizing the carryover of
Page 5 of 6
unspent capital project and operating budget appropriations for projects which are still underway
after June 30, 2012. Exhibit A of this Resolution includes appropriations for all budget areas.
The proposed Resolution “Adopting an Appropriation for a City Contribution to Dublin Partners
in Education for Fiscal Year 2012-2013” and Exhibit A (Attachment 3) is presented as a
separate action to isolate this Community Support Grant allocation as one City Councilmember
is also a member of this organization’s Board of Directors.
The final two proposed Resolutions, “Establishing a Salary Plan for Full-Time Personnel in
Accordance with the Personnel Rules” (Attachment 4), and “Establishing a Salary Plan for
Management Positions Exempt from Competitive Services” (Attachment 5), amend the City’s
Salary Plan. Permanent employee salary ranges include a 1.75% adjustment based on the
agreed upon 50/50 sharing (one-half of 3.5%) of the February 2012 Consumer Price Index for
All Urban Wage Earners. This agreement was part of an ongoing effort to move the City toward
further long-term fiscal sustainability. Funding for the revised salary ranges have been
incorporated into the proposed Fiscal Year 2012-2013 budget.
NOTICING REQUIREMENTS/PUBLIC OUTREACH:
1. Published in Valley Times Legal Section June 9, 2012.
2. Hearing Notice posted 10 days prior to meeting.
ATTACHMENTS:
1. Fiscal Year 2012-2013 and 2013-2014 Preliminary Budget and
Financial Plan
2. Resolution Adopting a Budget for the City of Dublin for Fiscal Year
2012-2013
3. Resolution Adopting an Appropriation for a City Contribution to
Dublin Partners in Education for Fiscal Year 2012-2013
4. Establishing a Salary Plan for Full-Time Personnel in Accordance
With the Personnel Rules
5. Establishing a Salary Plan for Management Positions Exempt From
Competitive Service
Page 6 of 6
City of Dublin
Preliminary Budget
and Financial Plan
Fiscal Years 2012 2013 and 2013 2014
City of Dublin
Preliminary Budget
and Financial Plan
Fiscal Years 2012 2013 and 2013 2014
June 2012
Tim Sbranti, Mayor
Kevin Hart, Vice Mayor
Don Biddle, Councilmember
Kasie Hildenbrand, Councilmember
Eric Swalwell, Councilmember
Submitted by Joni Pattillo, City Manager
Preliminary Budget
and Financial Plan
Fiscal Years 2012 2013 and 2013 2014
Contents
A Brief History of Dublin ..............................................................1
City Manager Transmittal Letter .......................................................5
Overview of Revenues ..............................................................16
Overview of Expenditures ...........................................................17
Organizational Chart ................................................................
General Government ................................................................
Program Highlights ................................................................
City Council ................................................................
City Manager / City Clerk ................................................................
Elections ................................................................
Central Services / Human Resources ..........................................................26
Insurance ................................................................
Legal Services ................................................................
Administrative Services ................................................................
Building Management ................................................................
Non-Departmental ................................................................
Public Safety ................................................................
Program Highlights ................................................................
Police Services ................................................................
Fire Services ................................................................
Disaster Preparedness ................................................................
Crossing Guards ................................................................
Animal Control ................................................................
Trafc Signals and Street Lighting .............................................................43
Contents
City of Dublin Fiscal Years 2012-2013 and 2013-2014iii
Transportation ................................................................
Program Highlights ................................................................
Public Works Administration ................................................................
Street Maintenance ................................................................
Street Sweeping ................................................................
Street Landscape Maintenance ..............................................................49
Street Tree Maintenance ................................................................
Health and Welfare ................................................................
Program Highlights ................................................................
Waste Management ................................................................
Environmental Programs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 54
Social Services ................................................................
Housing Programs ................................................................
Culture and Leisure Services .........................................................61
Program Highlights ................................................................
Community Cable Television ................................................................
Library Services ................................................................
Park Maintenance ................................................................
Heritage and Cultural Arts ................................................................
Parks and Community Services ...............................................................6
Parks and Facility Development ...............................................................7
Community Development73
Program Highlights ................................................................
Community Development Department .........................................................74
Engineering ................................................................
Economic Development and Public Information ................................................... 78
Capital Improvement Projects ........................................................81
Overview ................................................................
General Improvements ................................................................
Community Improvements ................................................................
Parks ................................................................
Streets ................................................................
Internal Service Funds ..............................................................87
Internal Services ................................................................
Agency Funds ................................................................
Improvement Assessment Districts ............................................................89
Contents
ivCity of Dublin Fiscal Years 2012-2013 and 2013-2014
Dublin Boulevard Extension Assessment District .........................................91
Overview ................................................................
Summary of Estimated Financial Activity ........................................................92
Geologic Hazard Abatement Districts ..................................................93
Overview ................................................................
Fallon Village Geologic Hazard Abatement District ................................................94
Schaefer Ranch Geologic Hazard Abatement District ...............................................96
Fallon Crossing (North Tassajara) Geologic Hazard Abatement Dist..................................98
Appendix ................................................................
Introduction to Appendix ................................................................
#1 Summary Appropriations by Major Fund Type (Proposed Budget) .................................102
#2 Historical Comparison of Revenues by Source ...............................................110
#3 Historical Comparison of Expenditures by Program ...........................................126
#4 Position Allocation Plan ................................................................
#5 Appropriations Limit ................................................................
#6 Financial Terms Dened ................................................................
Strategic Plan. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .147
City of Dublin Ten Year Strategic Plan .........................................................14
Strategies ................................................................
Contents
City of Dublin Fiscal Years 2012-2013 and 2013-2014v
City of Dublin
A BRIEF HISTORY OF DUBLIN
Dublin grew up near a fresh water spring, known as Alamilla Spri
Dublin Boulevard and San Ramon Road. Dublin Creek, which runs fr
large freshwater marsh, known in historic times as Willow Marsh.
Dublins rst inhabitants, Plenen and Seunen Tribelets of the Oh
around 500 A.D. and settled by Willow Marsh. The rich marsh prov
game, greens, roots, and acorns. The men handled the responsibil
acorns, roots, laurel nuts, berries as well as hauling water and
The rst recorded arrival of Europeans in the Amador Valley took
and Frey Juan Crespi lead a dozen Spanish soldiers through the v
Fages was impressed with the beauty of the country, particularly
streams and numerous Bay Miwok and Ohlone villages. It is likely
Springs.
Spain established itself in California and the Presidio was buil
Francisco in 1776. Don Jose Maria Amador was born there on Decem
18, 1794. He served as a part of the San Francisco Company of th
Spanish Army and subsequently in the Mexican Army. In 1827 he wa
appointed the Majordomo, or civilian administrator, of Mission S
Jose. It was during his time as Majordomo that Amador rst becam
acquainted with the possibilities of ranching in the Amador Vall
Following the passage of the Mexican governments Secularization
1833, Spanish and Mexican-born settlers began lobbying the gover
of Alta California to redistribute the rich ex-mission lands. Am
received a grant of 16,000 acres of land that stretched from Dan
to Pleasanton. It included Alamilla Springs, one of the most abu
sources of fresh water in the valley.
Around 1835 Amador built a two-story, Monterey-style adobe near
Alamilla Spring. Two years later he became a rich man with 14,00
of cattle, 4,000 sheep and 400 horses. Prior to statehood there
European settlements in the Amador Valley outside of Amadors Ra
The earliest non-Hispanic settlers were three Irish immigrants;
Jose Maria Amador
Murray, his sister Eleanor and Michaels best friend, Jeremiah F
A Brief History of Dublin
City of Dublin Fiscal Years 2012-2013 and 2013-20141
three were from County Roscommon, Ireland.
Eleanor and Jeremiah were engaged to be
married on the ship bound from Ireland to New
York in 1833 and were married in 1838. In 1844,
the Fallons and their two children journeyed to
St. Joseph, Missouri to visit Michael Murray. They
found him preparing to journey west to California
and, perhaps on a whim, decided to join him. In
1846 they joined the thousands of others driving
west on the California and Oregon Trails. They
traveled with the ill-fated Donner Party, but the
Fallons and Murrays split off at Ft. Bridger and
arrived safely in California in 1846. They found
Amador Valley Hotel
a safe harbor at Mission San Jose, where they
camped on the grounds with other pioneers, Hispanics and Native
Michael and Jeremiah set-out for the gold elds. It is said that
by selling her home-cooking to the gold miners. In 1850, Murray
Soon, more of their Irish countrymen found their way to the sett
By the mid-1850s this tiny settlement included a handful of hou
was the Murray one-room schoolhouse, built in 1856. Seeking a pl
Catholics, petitioned the Diocese of Oakland for their own churc
St. Raymonds Church in 1859 on land donated by Michael Murray a
old cemetery used by Amador for burying his deceased vaqueros an
before St. Raymonds was complete. A young Irish-born settler na
in 1859 after falling from the roof of St. Raymonds during its
adjacent to the Catholic cemetery for the burial of Protestants.
Between 1860 and 1870, the settlement had grown-up around the in
(now Dublin Boulevard) and the Martinez-Mission San Jose County
pioneer named John Green built a general store. That same year,
Dublin Boulevard. James Dougherty built Doughertys Station in
and Donlon Way. All of these catered to the growing stagecoach t
as Doughertys Station, was strategically located as a convenien
Dublin Boulevard at Donlon Way
A Brief History of Dublin
2City of Dublin Fiscal Years 2012-2013 and 2013-2014
By 1915 improvements in transportation and infrastructure made D
With the construction of Route 50 or the Lincoln Highway Dubli
automobile route. Several garages and lunchrooms popped up for m
Ramon Road, which was shaped like a teepee.
In 1943, the Navy established three bases known as Fleet City
the Navy Seabees, Camp Shoemaker, and the U.S. Naval Hospital Sh
Secretary of the Navy disestablished the three facilities. Today
94th Naval Reserve Seabees train at Camp Parks.
By the late 1950s, dramatic post-war suburban growth began in t
in 1962 when Volk-McLain developed San Ramon Village. With this came Dublins rst trafc signal, supermarket and
a drive-in movie theater.
Although it had been periodically threatened with annexation by
had voted against incorporation several times in the 1960s and
population to a point where county administration was no longer
as an unincorporated village, Dublin incorporated as a city with
elected the rst mayor of the city.
The historic resources of Dublins original settlement exist wit
Donlon Way and Dublin Boulevard.
Dublin Heritage Park and Museums
A Brief History of Dublin
City of Dublin Fiscal Years 2012-2013 and 2013-20143
City of Dublin
CITY MANAGER
TRANSMITTAL LETTER
June 6, 2012
Honorable Mayor and Members of the City Council:
It is my privilege to present for your consideration the Fiscal
Financial Plan, the Citys rst two-year budget in its 30-year h
document provides a longer-term perspective to allocating resour
you go philosophy for the funding of operational expenses and c
with that philosophy by providing a clear vision of how one-time
Over the past three years, the budget process has been redesigne
Fiscal Year 2011-2012 the City Council took a signicant step to
the Citys budget process with the 10-Year Strategic Plan. This
City Councils Strategic Initiatives through targeted resource a
Strategic Plan can be located at the back of this document.
During the economic decline, the City Council took decisive acti
$4.5 million in General Fund operating budget expenses. Taking
expenses and recognized that it was essential to maintain and co
the result of positive signs in the economy, the City Council ad
with development and continue advancing actions outlined in the
that this deliberate and mindful approach to the restoration and
sustainability.
In addition to the Strategic Plan, the City Council sought the i
priorities. The City hosted ve Community Fiscal Strategy Forum
asked to share their thoughts about how the City is doing, talk
most, and to identify future scal priorities. Detailed feedbac
Study Session on March 3, 2012.
Participants in the forums communicated their high level of sati
that Dublin is run in a scally conservative manner. They suppo
one-time costs and expressed a desire that future amenities be p
quality manner. They further expressed strong support for the C
that there are adequate resources available to provide core and
The City Council held two Budget Study Sessions for this years
March 3, 2012, the City Council provided Staff with direction on
City Manager Transmittal Letter
City of Dublin Fiscal Years 2012-2013 and 2013-20145
the coming budget cycle. At that meeting, the City Council addi
using ongoing revenue to support ongoing expenses, and one-time
At the second Budget Study Session on April 18, 2012, Staff pres
resource needs, and budgetary impact (i.e. one-time vs. ongoing
initiatives. The City Council provided Staff with direction on
upon initiatives for Fiscal Year 2012-2013 and Fiscal Year 2013-
were identied as having an ongoing impact on the General Fund.
of revenues and expenditures would continue during the budget pr
recommendations would ultimately be presented to the City Counci
This nancial plan represents a steady but sustainable approach
Overview Fiscal Year 2012-2013 and Fiscal Year 2013-2014 below,
Year 2012-2013 are anticipated to rise by $1.7 million over the
General Fund portion of the total expenses increases by approxim
attributable to ongoing contract labor costs in Public Safety an
Services. The expected decline in Fiscal Year 2012-2013 develop
Development Program Area expenses, offsets a portion of this inc
development activities also declines. The total of non-General
$909,000 primarily due to completion of one-time housing project
Year 2012-2013 is expected to be approximately $75.4 million, $3
Budget. It is important to note that this increase is comprised
Payments and other one-time reimbursements totaling more than $6
2013, as presented, represents a balanced approach to using ongo
The outlook for Fiscal Year 2013-2014 is not as positive. Total
to increase by $459,600 over the Fiscal Year 2012-2013 proposed
increasing by $906,620. The rise in General Fund expenses appea
however the forecast shows a signicant decline in Community Dev
decreased development activities. The total of non-General Fund
2013-2014 by approximately $447,000, primarily attributable to c
Bikeways / Pedestrian Master Plan update in Fiscal Year 2011-201
expected to be approximately $70.4 million, approximately $5 mil
Budget. One-time Community Benet Payments are expected to be a
prior year. While the budget for Fiscal Year 2013-2014, as pres
sales tax (ongoing revenues) narrowly keeps pace with the ongoin
Slow but steady growth is anticipated in property and sales tax
in employment, consumer spending, and home sales and pricing nat
Inationary factors, such as the cost of goods and services, are
these factors are expected to adversely impact the Citys future
infrastructure, parks and facilities.
The Dublin community has grown and thrived since the Citys inco
and visitors to the City now enjoy beautiful parks and facilitie
community, and a range of housing options. Dublin is a special
growth and heritage, a new section has been added to the budget
prior to incorporation.
City Manager Transmittal Letter
6City of Dublin Fiscal Years 2012-2013 and 2013-2014
The Citys efforts in creating this great community will be cele
Anniversary and the honor of being selected as an All-America C
Dublin: An All-American Anniversary event at the Dublin Herita
as part of the Citys newest eventsplatter! We look forward to
Areas of Concentration
The budget, as presented, maintains consistency in high quality
reductions. This proposal assures that the City is operating wi
services without signicant uctuations in service delivery. Th
within the Citys control and some outside the Citys control.
A number of new activities and events added over the past two ye
ongoing General Fund operating expenses. These annual activitie
Signature community event in fall replacing Day on the Glen $6
Farmers Market Marketing Assistance $50,000
Maintenance of new parks
Fallon Sports Park $205,705
Dublin Heritage Parks and Museums $53,890
Positano Hills Neighborhood Park $88,830
Passatempo Neighborhood Park $98,485
Schaefer Ranch Neighborhood Park $150,000
Increased contributions for TV30 operations $56,000
Annual i-GATE Participation $25,000
Additional contributions to Internal Service Fund (amount vari
There are several major factors outside of the Citys direct con
as well. Staff is continuously working to identify innovative w
Utility costs for the operation of City facilities and infrastru
these increases, the City is undertaking a major energy savings
savings in the area of utility consumption. It is important to
savings realized from the project implementation will be applied
Over the past two years, Staff have implemented personnel cost s
one-half of the Consumer Price Index (December of each year) and
the full employee share of Public Employee Retirement System (PE
there is another anticipated adjustment in employer costs pendin
into Fiscal Year 2014-2015 employer contribution rates are expec
implement smoothing techniques to stagger the full impact of the
impact on City expenses. Staff is continuing to identify furthe
City Manager Transmittal Letter
City of Dublin Fiscal Years 2012-2013 and 2013-20147
Reducing ongoing obligations, when possible, is essential to con
operations. As outlined at the Budget Study Sessions earlier th
expecting specic nancial information about future Fire OPEB ob
is received, I will be recommending the use of the designated re
further cost escalation.
As always, impacts to the City from the State budget crisis are
local revenue from State actions, California cities remain vulne
actions have become increasingly creative as their decit has gr
available nancial information, this budget projects that the St
in Fiscal Year 2012-2013 and Fiscal Year 2013-2014. Without thi
have to increase by $100,000.
It is expected that a new Public Works maintenance contract with
of the Budget Hearing. Staff negotiations for this contract hav
the next several years while maintaining the existing level of q
commitment to maintaining quality amenities by contributing labo
Public Safety is the largest operating cost area in the City bud
evident that Public Safety costs are expected to continue growin
are provided to the City under contracts from Alameda County.
Staff is currently completing negotiations with Alameda County F
focus of these negotiations is implementing cost containment mea
scal sustainability in this core service delivery area.
Cost containment for Police Services has become increasingly cha
County Sheriffs Ofce budgetary processes are directly impacted
County of Alameda has faced signicant shortfalls over the past
budget crisis. These inuencing factors have made it progressiv
police service costs. Contract costs in Fiscal Year 2011-2012 a
These overages are due primarily to two factors: (1) inadequate
to an unexpected rise in retirement and health benet costs that
the budget was approved; and (2) an unexpected $200,000 true-up
April 2012. The Citys existing contract with the Sheriffs Ofis
responsible for paying these types of unanticipated increases.
to address this unacceptable cost overrun and to prevent a simil
Monitoring these escalating costs has become more complex as cha
known until well after the scal year is underway. This monitor
several months after the expenses have been incurred. This dela
typically the third quarter of the scal year. Staff is continu
City Manager Transmittal Letter
8City of Dublin Fiscal Years 2012-2013 and 2013-2014
manage, and control costs as well as instituting formal mechanis
adopted budget earlier in the scal year. An update on these ac
of this work.
Finally, because of the structure of the Deputy Sheriffs Associ
salary costs are not known until after the scal year has begun.
years. In anticipation of this budget cycle and the current sta
Sheriffs Ofce has notied the City it would be prudent to budg
4% for Fiscal Year 2013-2014. The Sheriffs Ofce has stated th
the negotiations is known. Upon such notication, Staff will re
any needed budget adjustment to the City Council. It is expecte
proposal to cover any increases that may occur.
The Proposed Five-Year Capital Improvement Program (CIP) 2012-20
coming ve years. A number of the planned Parks and Streets pro
budget. These ongoing costs are identied in the CIP and have b
2012-2013 and 2013-2014 as appropriate. While adequate funding
projects, funding may not be available for needed operations and
in expenses for this area alone that new revenue sources will ne
PLANNED CAPITAL PROJECTS ANNUAL OPERATING IMPACT
FY 2012-2013FY 2013-2014FY 2014-2015FY 2015-2016FY 2016-2017
PARKS
Positano Neighborhood Park$44,415$88,831$88,831$88,831$88,831
Schaefer Ranch Park150,000150,000150,000150,000
Passatempo Neighborhood Park49,24398,48598,48598,185
Fallon Village Neighborhood Park44,41588,83188,831
Emerald Glen Park & Aquatic Complex600,000
TOTAL PARKS$44,415$288,074$381,731$426,147$1,025,847
STREETS
Storm Drain Trash Capture Project$5,500$5,500$5,500$5,500$5,500
Alamo Canal Trail1,5003,0003,0003,0003,000
San Ramon Road Storm Drain Trash Capture2,0002,0002,0002,000
West Dublin BART / Golden Gate Dr Improvements 36,00036,00036,00036,000
St. Patrick Way Regional Street to Golden Gate Dr4,0004,0004,000
San Ramon Road Trail Improvements500500500
TOTAL STREETS$7,000$46,500$51,000$51,000$51,000
TOTAL ANNUAL OPERATING IMPACT$51,415$334,574$432,731$477,147$1,0
Please note that these expenses are related to CIP projects only
improvements such as additional street, street landscape, and st
development.
City Manager Transmittal Letter
City of Dublin Fiscal Years 2012-2013 and 2013-20149
Recommended Fiscal Sustainability Actions
Staff has completed a comprehensive review of revenue and expend
2014. To continue the focus on long-term scal sustainability e
Initiatives from this years Budget Study Sessions and is recomm
the rising costs outlined above and are in keeping with the City
considered as part of these recommendations include: efforts to
non-core services; reallocation of expenses to a different fundi
that are scally sustainable.
Fiscal Year 2012-2013 Initiatives that are not recommended:
Fiscal Sustainability activities Staff will complete this wo
One Deputy Sheriff / Police Ofcer pending 2012-2013 mid-yea
Televise Planning Commission Meetings
Façade Improvement Program Augmentation ($70,000 exists in the
Police AEDs purchase through non-General Fund source
Funding augmentation for enhancement to existing level of main
Fiscal Year 2013-2014 Initiatives that are not recommended:
Fiscal Sustainability activities Staff will complete this wo
Defer addition of one Police Lieutenant
Façade Improvement Program Augmentation ($70,000 exists in the
Library operating hour expansion (two hours added in FY 12-13,
Funding augmentation for enhancement to existing level of main
Staff will continue to actively monitor revenue and expenditure
General Fund revenue appears to be available, a proposal for the
will be brought forward for consideration as part of the mid-yea
outlined actions, the proposed budgets for Fiscal Years 2012-201
the use of the Citys Economic Stability Fund.
If revenue and expenditure trends change in the coming months, S
in the following priority for mid-year addition:
One deputy sheriff / police ofcer
Increase operating hours at Library by two additional hours fo
over two year period)
Restore additional maintenance services
The proposed City Council initiatives also include several studi
represent efforts beyond delivery of core day-to day services an
expenses. As these studies are brought forward for City Council
understand the full scal impact action may have on the General
time initiatives is funded by the balance of revenues exceeding
Initiatives in Fiscal Year 2012-2013 and Fiscal Year 2013-2014 w
Develop a Health and Wellness Task Force
Explore future opportunities for a large dog park in Eastern D
Explore opportunities to preserve and display Camp Parks histo
City Manager Transmittal Letter
10City of Dublin Fiscal Years 2012-2013 and 2013-2014
Study Dublin Historic Park & Museums Phasing: Acceleration of
Study Fallon Sports Park: Restroom, Ball Fields and Soccer Fi
Study infrastructure gaps in pedestrian connectivity
Staff is currently developing ways to better identify the potent
will assure that all available information regarding potential o
Budget Overview Fiscal Year 2012-2013 and Fiscal Year 2013-2014
The Fiscal Year 2012-2013 total recommended appropriations for a
$82,217,095. Total proposed expenditures for Fiscal Year 2012-2
(after adjustments for Internal Service Fund expenditures and Ap
The major difference between total appropriations and net expend
Service Fund expenditures (cash basis) which are funded by charg
reected in the respective budgets in the amount of $839,600; an
all funds in the amount of $439,750.
The Fiscal Year 2013-2014 total recommended appropriations for a
$73,619,011. Total proposed expenditures for Fiscal Year 2013-2
(after adjustments for Internal Service Fund expenditures and Ap
The major difference between total appropriations and net expend
Service Fund expenditures (cash basis) which are funded by charg
reected in the respective budgets in the amount of $797,570; an
all funds in the amount of $2,936,290.
Consistent with previous budget documents, this preliminary budg
as well as expenditure projections to provide context for the pr
2013-2014 activities. The City Council has made adjustments dur
expenditures in several areas as a result of new activity and in
through April 2012 are reected in the Adjusted FY 2011-2012 col
budget expenditures:
Adjusted Proposed Forecast
FY 2011-2012FY 2012-2013FY 2013-2014
Operating Programs
General Fund$50,435,650 $53,036,100$53,942,720
Other Funds7,536,0606,627,4206,180,400
Total Operating Budget$57,971,710$59,663,520$60,123,120
Capital
General Fund$9,187,427$10,725,407$2,433,824
Other Funds9,131,37511,428,31813,200,787
Total Capital$18,318,802$22,153,725$15,634,611
Internal Service Expenditures$1,505,700$839,600$797,570
TOTAL Expenditures$77,796,212$82,656,845$76,555,301
City Manager Transmittal Letter
City of Dublin Fiscal Years 2012-2013 and 2013-201411
Recommendations about the use of Fiscal Year 2011-2012 reserves
rules. This document presents the use of anticipated revenue in
established policy, applying a portion of the balance to one-tim
and Fiscal Year 2013-2014 operating budgets, and small-scale Gen
determined once the necessary nancial accounting has closed for
Year 2011-2012 activities.
Summary Operating Budget Fiscal Year 2012-2013 and Fiscal Year
The total recommended Operating Budget for Fiscal Year 2012-2013
more than the Fiscal Year 2011-2012 Adjusted Budget. This chang
safety expenditures, maintenance for the opening of Positano Hil
anticipated during the year including litigation expenses and Ci
The total recommended Operating Budget for Fiscal Year 2013-2014
more than the Fiscal Year 2012-2013 Adjusted Budget. This incre
in public safety expenditures (including the addition of one dep
Schaefer Ranch Park and Passatempo Neighborhood Park, escalating
with City Council initiatives. These increases are offset by a
an anticipated slowdown in development activities).
Each Program Area of the recommended Budget (General Government;
Culture & Leisure Services; and Community Development) is preced
changes in each Program Area are identied. Additional activity
and program budgets.
Summary Capital Improvement Program
The total recommended Capital Improvement Program for Fiscal Yea
year represents a new Fiscal Year 2012-2017 Five Year Capital Im
complete within this time frame include four new neighborhood pa
Trail), and two projects that support the Citys environmental el
capital needs, including infrastructure maintenance and repair p
Typically General Fund projects represent investments to assure
efcient delivery of services. This years program also provide
core service delivery in the future. One additional project ass
through installation of a trash capture device and inlet screens
small-scale General Fund projects be funded by one-time revenue
projects (Maintenance Yard Facility Improvements and Public Safe
of designated General Fund reserves and one-time community bene
As always, those projects funded through development impact fees
will exist within the anticipated project time frame to complete
sources are typically for infrastructure, parks and facilities.
A growing concern associated with the planned Capital Improvemen
costs for projects once they have been completed as these projec
operations and maintenance. Balancing the demand for new infras
City Manager Transmittal Letter
12City of Dublin Fiscal Years 2012-2013 and 2013-2014
Fund revenue will become a greater challenge in the future.
An overview of all the planned projects for Fiscal Year 2012-201
Capital Improvement Projects tab). Please refer to the 2012-2
for more detailed descriptions of the proposed projects.
Summary Revenue Fiscal Year 2012-2013 and Fiscal Year 2013-201
Projected revenues for Fiscal Year 2012-2013 total approximately
and replacement funds allocated to the Internal Service Funds.
in the Fiscal Year 2011-2012 Adjusted Budget. Forecast revenues
million (including Internal Service Fund Revenue). This is appr
Fiscal Year 2012-2013
Projected Fiscal Year 2012-2013 General Fund revenue totals appr
than the Fiscal Year 2011-2012 Adjusted Budget. This net increa
Community Benet Payments in the amount of $3.2 million in Fisca
drops again in Fiscal Year 2013-2014 to an anticipated $1.5 mill
an anticipated decline in development activities, are the primar
of $54.9 million is expected to be $4.6 million less than Fiscal
Property Tax revenue is expected to rise incrementally as a resu
values are not expected to increase signicantly and a number of
Ofce are expected in the next two years. Overall Sales Tax rev
increased automobile sales; however economists caution that the
coming months as the pent-up car buying demand will be satised.
are also expected to positively impact General Fund revenue rece
Staff is currently in the process of completing a comprehensive
based on the current fee structure. Anticipated revenue in this
Councils review and decisions on the study. The proposed fee s
for consideration in the summer of 2012.
Projected Fiscal Year 2012-2013 revenue for Special Revenue cate
Internal Service Funds totals approximately $17.5 million, which
2012 Adjusted Budget. Forecast Fiscal Year 2013-2014 revenue is
$330 ,000 less than revenue in the Fiscal Year 2012-2013 Project
Major variances in this area include an anticipated one-time lar
receipt of transportation funding for a capital project in Fisca
Stafng Level
The proposed Position Allocation Plan (Appendix #4) for Fiscal Y
Equivalent (FTE) positions to support the delivery of City servi
121.39 are contract employees. The net change for Fiscal Year 2
City Manager Transmittal Letter
City of Dublin Fiscal Years 2012-2013 and 2013-201413
and 2.55 FTE contract employees. The additional positions direc
and sustain efforts related to growing maintenance services for
As part of the budget preparation process, the City Manager revi
city-wide workload for the coming two years and seeks to identif
core service delivery, and further the City Councils Strategic
Session, the City Manager has recommended the establishment of a
position to assist with marketing and planned community events.
The Neighborhood Resources unit will provide proactive outreach
the community. The unit develops and implements a variety of co
and problem solving. Neighborhood Resources will also provide t
variety of topics that are timely and relevant to the community.
no additional stafng resources.
The evaluation of existing and planned future community events a
need for marketing and graphic design services. An additional p
is included in this budget to meet the increased demand in these
outreach programs as identied in the City Councils Strategic P
for the new signature fall community event, and new programming
of the cost for this position is offset by savings associated wi
historically budgeted to meet needs in these areas.
Appropriations Limit
The Appropriations Limit for Fiscal Year 2012-2013 is $200,919,7
funded by Proceeds of Taxes total $40,088,269; therefore the a
below the Citys legal limit. The proposed limit is included in
Law.
Debt Services
There is no outstanding debt service related to City obligations
2013-2014.
Agency Funds
The City of Dublin facilitates the nancing of improvements and
District and three Geological Hazard Abatement Districts. No Ci
exclusively as a conduit for monies collected on the property ta
activities are reported in the Agency Funds section of the opera
purposes only.
Conclusion
The Fiscal Year 2012-2013 and Fiscal Year 2013-2014 Preliminary
cautious approach to the future. The anticipated decline in dev
the City Councils wisdom in implementing a longer-term approach
one-time dollars exclusively for one-time expenses. The Citys
City Manager Transmittal Letter
14City of Dublin Fiscal Years 2012-2013 and 2013-2014
in a balanced budget with no proposed use of reserves for ongoin
Consistent with past practice, Staff will continue to prioritize
achieve scal sustainability and continue to deliver high qualit
reductions to areas where direct services to residents are least
on building scal sustainability will position the City to conti
additional infrastructure related needs and operations lead to i
There will also continue to be a need for thoughtful considerati
can be sustained for the long-term. This deliberate approach wi
operating expenses continue to grow. The City Council and Staff
identify savings, improve operational efciency, and deliver hig
nancial foundation must continue.
As always, I would like to thank the City Council for their prog
nancial plan for the next two years. Your leadership in this a
has been in existence for the past thirty years and will ensure
the future.
I would also like to extend my appreciation to the dedicated Cit
budget. Their work represents a exible and adaptable approach
for the long-term. Staffs collective efforts and creativity in
has further strengthened the City Councils vision of delivering
Respectfully submitted,
Joni Pattillo
City Manager
City Manager Transmittal Letter
City of Dublin Fiscal Years 2012-2013 and 2013-201415
City of Dublin
OVERVIEW OF REVENUES
CITY OF DUBLIN 2012-2013 AND 2013-2014 BUDGET & FINANCIAL PLAN
SUMMARY COMPARISON (ALL FUNDS)
REVENUE
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CURRENT REVENUE
Property Taxes$22,067,080 $22,086,290 $22,086,290 $23,226,350
Sales Taxes13,412,440 14,182,450 14,727,450 15,003,560 15,770
Taxes Other Than Property or Sales Tax3,798,5204,150,910 4,16
Special Assessments904,750957,200 $941,940 985,8201,033,780
Licenses & Permits2,752,7403,043,830 3,225,950 2,452,4902,597
Fines & Forfeitures303,600292,150 261,400 257,280257,280
Use of Money & Property2,116,7001,598,980 1,469,420 1,610,700
Intergovernmental Revenues3,946,2705,630,360 3,889,160 4,569,
Charges for Service9,868,16010,472,980 10,542,060 10,848,7709
Impact Fees8,172,6909,500,580 14,084,790 4,984,6207,367,060
Other Revenues5,242,1601,798,620 2,392,120 8,871,5902,448,970
TOTAL CURRENT REVENUE$72,585,110 $73,714,350 $77,788,940 $77,012,580 $72,103,090
Less Internal Service Fund Revenue($1,317,070)($1,525,440)($1,42
NET TOTAL REVENUE ALL FUNDS$71,268,040 $72,188,910 $76,362,420 $75,373,200 $70,420,320
Overview of Revenues
16City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin
OVERVIEW OF EXPENDITURES
CITY OF DUBLIN 2012-2013 AND 2013-2014 BUDGET & FINANCIAL PLAN
SUMMARY COMPARISON (ALL FUNDS)
EXPENDITURES
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
OPERATING PROGRAMS
General Government$8,207,360 $7,574,780 $7,414,190 $7,895,850
Public Safety24,521,050 25,992,220 26,683,700 27,890,280 29,2
Transportation2,685,410 3,101,570 2,839,240 3,270,000 3,259,8
Health and Welfare12,775,570 5,283,470 4,503,180 4,403,630 4,
Culture & Leisure Services7,213,250 8,196,780 8,176,890 8,690
Community Development5,619,210 7,822,890 7,687,560 7,513,630
TOTAL OPERATING BUDGET$61,021,850 $57,971,710 $57,304,760 $59,663,520 $60,123,120
CAPITAL IMPROVEMENT PROJECTS
General$599,965 $8,834,905 $8,834,905 $10,654,873 $2,412,500
Community Improvements328,418 252,787 252,787 86,824 85,324
Parks3,809,723 1,554,208 1,554,208 3,869,629 9,807,871
Streets4,503,757 7,676,902 7,676,902 7,542,399 3,328,916
TOTAL CAPITAL IMPROVEMENTS$9,241,863 $18,318,802 $18,318,802 $22,153,725 $15,634,611
INTERNAL SERVICE FUND BUDGET
TOTAL INTERNAL SERVICE FUND$360,860 $1,505,700 $1,358,120 $839,600 $797,570
TOTAL EXPENDITURES ALL FUNDS$70,624,573 $77,796,212 $76,981,68
Less Internal Service Fund Expenses($360,860)($1,505,700)($1,358
NET TOTAL EXPENDITURES ALL FUNDS$70,263,713 $76,290,512 $75,623,562 $81,817,245 $75,757,731
Overview of Expenditures
City of Dublin Fiscal Years 2012-2013 and 2013-201417
Organizational Chart
City of Dublin Fiscal Years 2012-2013 and 2013-2014 19
City of Dublin
GENERAL GOVERNMENT
Program Highlights
The total recommended expenditures for General Government are $7
an increase of $321,070 or 4% more than the Fiscal Year 2011-201
total forecast expenditures for General Government are $7,600,97
reected as Full-Time Equivalents (FTE).
Signicant changes in General Government include the following:
City Council Decrease in expenditures as the City will not participate in All
prior years were offset by community contributions), and communi
with the school district have been completed.
Elections Includes funding for General Municipal election sc
Central Services / Human Resources Includes increased fundin
Council and employee training.
Insurance Includes increased costs associated with rising co
Legal Services Includes one-time funding for anticipated lit
Building Management Includes increased costs associated with
expenses for new Public Safety Complex.
Non-Departmental Includes one-time reduction in contribution
as a budget balancing measure.
Dublin Civic Center
General Government
City of Dublin Fiscal Years 2012-2013 and 2013-201421
City Council
Department Number 1101
The City Council consists of the Mayor and four City Councilmemb
Council is responsible for: enacting legislation; establishing p
affect the quality of life in the City. Local elected ofcials
Regional, State and National levels, in order to make certain th
promoted.
Accomplishments for Fiscal Year 2011-2012
Held ve City-sponsored Community Fiscal Strategy Forums.
Initiated Community Engagement project activities in partnersh
Issued rst City of Dublin Annual Report on City accomplishmen
Recognized as All-America City by National Civic League.
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Participate in Federal Legislative Consultant Services, in par
and Town of Danville. (FY 12-13 & FY 13-14)
Adopt an Update to the Ten-Year Strategic Plan. (FY 12-13)
Issue City of Dublin Annual Report on City Accomplishments. (F
Highlights
Signicant activities in this budget area include:
Funding for Dublin Pride Week activities. (FY 12-13 & FY 13-14
Funding for City Council attendance at the U.S. Conference of
Funding for City Council attendance at National League of Citi
Funding for City Council attendance at National League of Citi
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$93,230 $97,550$101,030$103,590$1
Services and Supplies 139,180 179,320174,500188,420140,800
Utilities00000
Contract / Professional Services 105,680 184,430174,930122,01
Capital Outlay0 4,380 4,380 00
TOTAL EXPENDITURES$338,090$465,680$454,840$414,020$382,900
FUNDING
General Fund$338,090 $465,680 $454,840 $414,020 $382,900
TOTAL FUNDING$338,090 $465,680 $454,840 $414,020 $382,900
PERSONNEL ALLOCATION
City Positions5 Elected5 Elected5 Elected5 Elected5 Elected
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
General Government
22City of Dublin Fiscal Years 2012-2013 and 2013-2014
City Manager / City Clerk
Department Number 1201
The City Manager is appointed by the City Council as the Citys
of the Citys Operating Departments and to implement all policie
The City Clerk is responsible for: administering municipal elect
records submitted by public ofcials; preparing and maintaining
Commission / Committee appointments; and maintaining the ofcial
This ofce provides support to all areas of City operations incl
of all contract services; the enforcement of City Ordinances; re
policies that address the effective operation of the City; provi
preparation and administration of the Citys Budget and Capital
the City before intergovernmental bodies and organizations. Thi
and Economic Development and directly supervises the Central Ser
Accomplishments for Fiscal Year 2011-2012
Investigated opportunities for Veterans Housing and Services,
Housing.
Completed Fire Services contract negotiations.
Implemented a two-year budget.
Completed implementation of a paperless / automated City Counc
Completed acquisition of Public Safety Complex to accommodate
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Identify additional actions to develop long-term scal sustain
Continue investigation into Veterans Housing opportunities. (
Implement Year 2 of two-year budget. (FY 12-13)
Highlights
Signicant activities in this budget area include:
Funding to conduct Inside Dublin Leadership Academy. (FY 12-
Funding for City Manager attendance at International City and
Institute Leadership Institute in Charlottesville, Virginia. (FY
Funding for City Manager attendance at International City and
Arizona. (FY 12-13)
Funding for City Manager attendance at International City and
Massachusetts. (FY 13-14)
General Government
City of Dublin Fiscal Years 2012-2013 and 2013-201423
City Manager / City Clerk continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$1,024,860$1,185,600$1,188,670$1,
Services and Supplies58,71061,57058,86073,10067,720
Utilities00000
Contract / Professional Services35,58025,06022,56025,06025,06
Capital Outlay1,3502,6303,38000
TOTAL EXPENDITURES $1,120,500$1,274,860$1,273,470$1,333,360$1,37
FUNDING
General Fund$1,120,500$1,274,860$1,273,470$1,333,360$1,372,89
TOTAL FUNDING$1,120,500$1,274,860$1,273,470$1,333,360$1,372,890
PERSONNEL ALLOCATION
City Positions6.006.506.506.506.50
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS6.006.506.506.506.50
Dublin Civic Center and Fountain
General Government
24City of Dublin Fiscal Years 2012-2013 and 2013-2014
Elections
Department Number 1302
This budget funds the administration of municipal elections. A
the next election scheduled for November 2012. This budget also
and related documents, and elections related training for City S
identied in the City Manager / City Clerk budget.
Accomplishments for Fiscal Year 2011-2012
Initiated preparations for November 2012 General Municipal Ele
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Conduct pre-candidate and candidate informational meetings for
Complete General Municipal Election of Mayor / City Council wi
Highlights
Signicant activities in this budget area include:
Funding to provide supplies and materials in support of electi
Funding to conduct Biennial General Municipal election. (FY 12
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies3,6601,8701,8706,1203,120
Utilities00000
Contract / Professional Services20,7300040,0000
Capital Outlay00000
TOTAL EXPENDITURES$24,390$1,870$1,870$46,120$3,120
FUNDING
General Fund$24,390$1,870$1,870$46,120$3,120
TOTAL FUNDING$24,390$1,870$1,870$46,120$3,120
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
General Government
City of Dublin Fiscal Years 2012-2013 and 2013-201425
Central Services / Human Resources
Department Number 1401
The Central Services Division oversees such City programs as hum
fringe benets administration), risk management (general liabili
compensation, and safety training), employee training and recogn
Accomplishments for Fiscal Year 2011-2012
Conducted Employee Safety Week Training.
Partnered with Tri-Valley public agencies on joint employee tr
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Provide summer Internship Program. (FY 12-13 & FY 13-14)
Conduct biennial statutory employee training. (FY 12-13)
Highlights
Signicant activities in this budget area include:
Funding to support new employee recruitment efforts. (FY 12-13
Funding to support targeted employee training programs. (FY 12
Reallocation of personnel to Environmental Programs. (FY 12-1
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$299,010$362,840$367,110$345,120$
Services and Supplies70,980132,69096,340113,530104,380
Utilities00000
Contract / Professional Services15,71037,76036,50043,00043,00
Capital Outlay1,560 6,950 8,750 12,290 7,000
TOTAL EXPENDITURES$387,260$540,240$508,700$513,940$511,230
FUNDING
General Fund$387,260$540,240$508,700$513,940$511,230
TOTAL FUNDING$387,260$540,240$508,700$513,940$511,230
PERSONNEL ALLOCATION
City Positions1.842.092.091.751.75
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS1.842.092.091.751.75
General Government
26City of Dublin Fiscal Years 2012-2013 and 2013-2014
Insurance
Department Number 1402
The City obtains General Liability Insurance through a pooled ri
Bay Area Governments (ABAG) PLAN Corporation. This group curren
Bay Area, and offers coverage up to $25 million per occurrence.
includes Property as well as Errors and Omissions Coverage for t
This budget also provides for insurance charges for Police and F
County. This budget additionally records the expenditures relat
users of City facilities.
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Continue to identify methods to reduce Citys risk management
Formalize playground safety management program. (FY 12-13)
Highlights
Signicant activities in this budget area include:
Increase in ABAG PLAN Corporation liability costs. (FY 12-13 &
Increase in Police Services public liability contract costs wi
Increase in Fire Services public liability contract costs with
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies902,520884,370871,380983,3801,018,660
Utilities00000
Contract / Professional Services00000
Capital Outlay00000
TOTAL EXPENDITURES$902,520$884,370$871,380$983,380$1,018,660
FUNDING
General Fund$902,520$884,370$871,380$983,380$1,018,660
TOTAL FUNDING$902,520$884,370$871,380 $983,380$1,018,660
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
General Government
City of Dublin Fiscal Years 2012-2013 and 2013-201427
Legal Services
Department Number 1501
The City contracts with an outside rm for legal services. In a
Attorney and Assistant City Attorney for legal services, the rm
areas of municipal law who are utilized by the City on an as nee
The City Attorney provides the following services to the City Co
drafts and reviews proposed ordinances, resolutions, and contrac
legal counsel on development review issues.
Accomplishments for Fiscal Year 2011-2012
Provided legal support for City Council initiatives.
Completed a study of Labor Guidelines for City and private dev
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Continue to provide legal support for high priority City Counc
(FY 12-13 & FY 13-14)
Highlights
Signicant activities in this budget area include:
One-time funding for anticipated litigation services. (FY 12-1
Funding to support legal research associated with Housing Incl
Funding to support legal research associated with preparation
Tralee
General Government
28City of Dublin Fiscal Years 2012-2013 and 2013-2014
Eternal Ribbon Intersection of Dublin Boulevard and Doughert
Legal Services continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies00000
Utilities00000
Contract / Professional Services 709,210 847,830 789,970 9
Capital Outlay088054000
TOTAL EXPENDITURES$709,210$848,710$790,510$905,900$758,640
FUNDING
General Fund$652,770$798,540$755,460$852,120$715,930
Measure D Recycling Fund 2,210 3,970 3,970 00
Affordable Housing Fund 54,230 46,200 31,080 53,780 42,71
Public Facility Fee Fund00000
Trafc Impact Fee Fund00000
TOTAL FUNDING$709,210$848,710$790,510$905,900$758,640
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
General Government
City of Dublin Fiscal Years 2012-2013 and 2013-201429
Administrative Services
Department Number 1600
The Administrative Services Department consists of two operating
Systems Division.
The Finance Division performs all Finance related functions whic
Receivable, Payroll, Treasury, Audit, and Budget. The Division i
related fees and maintaining other related City nancial records
The Information Systems Division oversees the operation and main
its computer and telephone networks. The Division is also respo
Information Systems support to all City Staff.
Accomplishments for Fiscal Year 2011-2012
Completed Comprehensive Fee Study and Cost Allocation Plan.
Completed a Request for Proposal for Audit Services and annual
Initiated Telephone System Assessment and Upgrade / Replacemen
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Complete annual audit. (FY 12-13 & FY 13-14)
Identify additional actions to develop long-term scal sustain
Implement Geographic Information Systems Master Plan recommend
Implement Telephone System Replacement Project. (FY 12-13)
Evaluate long-term data center needs pursuant to Information T
Implement Geographic Information System Portal. (FY 13-14)
Highlights
Signicant activities in this budget area include:
Funding to provide for network consulting services. (FY 12-13
Funding to provide required Actuarial Services. (FY 13-14)
Consulting services for long-term data center needs evaluation
ADMINISTRATIVE SERVICES SUMMARY
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
DEPARTMENT SUMMARY
Finance$1,066,330 $1,259,780 $1,218,760 $1,184,840 $1,232,680
Information Systems 721,570 844,910 816,020 881,760 995,8
TOTAL EXPENDITURES$1,787,900 $2,104,690 $2,034,780 $2,066,600 $2
General Government
30City of Dublin Fiscal Years 2012-2013 and 2013-2014
Administrative Services continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$1,592,520$1,681,160$1,647,450$1,
Services and Supplies58,02083,98069,42082,29082,120
Utilities 9,390 9,890 9,950 12,060 12,240
Contract / Professional Services127,590324,810304,740175,4902
Capital Outlay 380 4,850 3,220 500 200
TOTAL EXPENDITURES$1,787,900$2,104,690$2,034,780$2,066,600$2,228
FUNDING
General Fund$1,787,900 $2,104,690 $2,034,780 $2,066,600 $2,22
TOTAL FUNDING$1,787,900$2,104,690$2,034,780$2,066,600$2,228,520
PERSONNEL ALLOCATION
City Positions11.5011.5011.5011.5011.50
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS11.5011.5011.5011.5011.50
Fallon Road
General Government
City of Dublin Fiscal Years 2012-2013 and 2013-201431
Building Management
Department Number 1801
This budget funds the maintenance and operation of the following
at the Dublin Civic Center and Public Works Corporation Yard. C
telephone costs for most of the City system, contract services,
buildings. The maintenance cost for other City facilities, such
area for each of these facilities.
Accomplishments for Fiscal Year 2011-2012
Continued to identify efciencies in building management syste
Developed a Comprehensive Preventative Maintenance Program for
Highlights
Signicant activities in this budget area include:
Funding for anticipated utility cost increases. (FY 12-13 & FY
Funding for periodic major maintenance projects. (FY 12-13 & F
Funding for janitorial services at City facilities. (FY 12-13
Funding for replacement of carpet, tile, and other safety impr
Funding for maintenance of new Public Safety Complex. (FY 12-1
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies143,200161,980164,120193,470193,470
Utilities 254,140 286,150 275,100 316,470 324,870
Contract / Professional Services 285,780 297,660 294,610 3
Capital Outlay 1,390 45,000 35,250 25,350 25,000
TOTAL EXPENDITURES$684,510$790,790$769,080$845,080$853,130
FUNDING
General Fund$684,510 $790,790 $769,080 $845,080 $853,130
TOTAL FUNDING$684,510$790,790$769,080$845,080$853,130
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions1.481.481.481.341.34
TOTAL POSITIONS1.481.481.481.341.34
General Government
32City of Dublin Fiscal Years 2012-2013 and 2013-2014
Non-Departmental
Department Number 1901
This budget funds items that are not allocated to another Budget
card processing fees; administrative fees associated with part-t
commute alternative incentive program for employees.
This budget also includes an appropriation for contingencies tha
line item does not typically include direct expenditures. As ap
budget transfer is made from this budgets line item allocation
be recorded.
Highlights
Signicant activities in this budget area include:
Funding to support County Property Tax Administration services
Funding to maintain compliance with credit card data security
Funding for continuation of Commute Alternative Program. (FY 1
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$740$1,030$1,140$1,260$1,320
Services and Supplies00000
Utilities00000
Contract / Professional Services252,240273,420274,790300,0403
Contribution to ISF 2,000,000 389,120 433,630 486,150 150
TOTAL EXPENDITURES$2,252,980$663,570$709,560$787,450$471,880
FUNDING
General Fund$2,252,980$663,570$709,560$787,450$471,880
TOTAL FUNDING$2,252,980$663,570$709,560$787,450$471,880
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
General Government
City of Dublin Fiscal Years 2012-2013 and 2013-201433
City of Dublin
PUBLIC SAFETY
Program Highlights
The total recommended expenditures for Public Safety are $27,890
an increase of $1,898,060 or 8% more than the Fiscal Year 2011-2
the total forecast expenditures for Public Safety are $29,256,90
reected as Full-Time Equivalents (FTE).
Signicant changes in Public Safety include the following:
Police Services Includes increased funding for contract pers
negotiations, anticipated increases in dispatch costs, and new c
Communication System.
Fire Services Includes increased funding for contract person
labor negotiations.
Disaster Preparedness Includes one-time funding for a disast
Unied School District in Fiscal Year 2013-2014. Additionally i
Preparedness assistance through Alameda County Fire Department.
Animal Control Includes increased funding for anticipated in
Animal Shelter and in the eld and associated Shelter Debt Servi
Trafc Signals & Street Lighting Includes increased costs as
increases to maintain new trafc signals and street lighting.
National Night Out
Public Safety
City of Dublin Fiscal Years 2012-2013 and 2013-201435
West Dublin Hills
Police Services
Department Number 2100
Police Services are performed under a contract with the Alameda
consultation with the City, designates the Commanding Ofcer who
Chief. Patrol, criminal investigation, trafc and some crime pr
the Dublin Civic Center location. Dispatch and additional data
Sheriffs Ofce located at the Eden Township Substation (San Lea
Staff who provide some administrative support functions for Poli
Accomplishments for Fiscal Year 2011-2012
Initiated development of a faith and culture-based network tha
between the Police and various faiths and cultures.
Integrated Dublin Police Services into the East Bay Regional C
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Offer Youth Education programs on current issues (i.e. teen dr
FY 13-14)
Initiate assessment of Police Service delivery. (FY 12-13 & F
Establish Automatic Electronic Debrillator (AED) program for
Explore opportunities for a Public Safety Open House. (FY 12-
Develop a Construction Industry Crime Alliance. (FY 12-13)
Highlights
Signicant activities in this budget area include:
Increased dispatch service costs due to increased call volume
Funding for increased contract personnel costs pursuant to Cou
Funding for purchase of AED devices. (FY 12-13)
Funding to add one deputy sheriff / police ofcer position. (
Public Safety
36City of Dublin Fiscal Years 2012-2013 and 2013-2014
Police Services continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$559,090$652,180$651,130$686,530$
Services and Supplies513,470645,560632,980778,330820,540
Utilities 10,250 10,580 10,200 10,580 10,580
Contract / Professional Services11,551,53012,147,21013,001,15
Capital Outlay 2,900 283,290 283,900 40,440 330
TOTAL EXPENDITURES$12,637,240$13,738,820$14,579,360$15,236,020$1
FUNDING
General Fund$12,514,190$13,471,890$14,318,060$15,088,370$15,8
Vehicle Abatement5206608206201,000
Enforcement Grants Fund18,37014,2409,6802,2000
Local Enforcement Block Grant Fund1,0607,5507,71000
Federal Assets Seizure Fund0140,740140,85000
State COPS Grant Fund100,320100,000100,000100,000100,000
Criminal Activity Fund2,7803,7402,24044,8303,740
TOTAL FUNDING$12,637,240$13,738,820$14,579,360$15,236,020$16,001
PERSONNEL ALLOCATION
City Positions6.006.006.006.006.00
Contract Positions53.0053.0053.0053.0054.00
TOTAL POSITIONS59.0059.0059.0059.0060.00
St. Patricks Day Parade
Public Safety
City of Dublin Fiscal Years 2012-2013 and 2013-201437
Fire Services
Department Number 2400
Fire Services are provided under a contract with Alameda County
six (36) line personnel to the Citys three re stations. These
three engines and one truck company. Additional positions are a
check and inspection services at the Dublin Civic Center; and la
In addition to these services, this budget funds the maintenance
apparatus costs. Costs for the Citys estimated share of the Do
included. Prior to the Citys contracting with ACFD in July 199
to the cities of Dublin and San Ramon. DRFA continues to exist
distributing the outstanding liabilities and assets to the citie
Accomplishments for Fiscal Year 2011-2012
Initiated development of a Public Access Debrillation (AED) o
Assessed potential implementation of a Smart Phone Application
assistance in the event of a major cardiac event in their area.
Integrated Fire Services into East Bay Regional Communications
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Establish Residential Fire Sprinkler Community Awareness Progr
Explore opportunities for a Public Safety Open House. (FY 12-
Adopt new Fire Codes per State requirement. (FY 13-14)
Highlights
Signicant activities in this budget area include:
Funding for increased contract personnel costs pursuant to Cou
Includes anticipated utility cost increases. (FY 12-13 & FY 13
Increased dispatch service costs due to increased call volume
Local funding match for Assistance for Fireghters Grants for
(FY 12-13)
Local funding match for purchase of public safety radios. (FY
Fire Station No. 16 Fireghters
Public Safety
38City of Dublin Fiscal Years 2012-2013 and 2013-2014
Fire Station No. 18
Fire Services continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$96,550$104,820$104,660$109,190$1
Services and Supplies223,540188,400188,980190,710188,900
Utilities 69,350 72,570 75,370 79,570 85,580
Contract / Professional Services9,991,92010,479,74010,417,420
Capital Outlay 4,320 10,380 10,400 18,800 18,300
TOTAL EXPENDITURES$10,385,680$10,855,910$10,796,830$11,206,120$1
FUNDING
General Fund$10,069,950$10,534,240$10,472,810$10,868,810$11,2
Emergency Medical Service315,730321,670324,020337,310348,040
TOTAL FUNDING$10,385,680$10,855,910$10,796,830$11,206,120$11,635
PERSONNEL ALLOCATION
City Positions1.001.001.001.001.00
Contract Positions38.6438.6438.6438.6438.64
TOTAL POSITIONS39.6439.6439.6439.6439.64
Public Safety
City of Dublin Fiscal Years 2012-2013 and 2013-201439
Disaster Preparedness
Department Number 2501
This budget funds those activities related to disaster preparedn
neighborhood preparedness, Staff training, and attendance at spe
assigned the role of Emergency Services Coordinator to support t
the Citys disaster preparedness responsibilities. The budget a
Department Emergency Preparedness / Community Outreach services.
Accomplishments for Fiscal Year 2011-2012
Completed annual Citywide disaster exercise.
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Explore the feasibility of utilizing part-time volunteers to a
Promote disaster preparedness programming for community. (FY 1
Develop a disaster preparedness exercise that includes school
Highlights
Signicant activities in this budget area include:
Annual funding support for CodeRED alert system. (FY 12-13 &
Funding for increased share of contract assistance for Disaste
Funding for disaster preparedness exercise with school distric
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$42,970$52,680$52,430$55,530$57,6
Services and Supplies8,20014,25014,26012,35012,500
Utilities00000
Contract / Professional Services 295,500 34,500 35,140 45,
Capital Outlay00000
TOTAL EXPENDITURES$346,670$101,430$101,830$113,810$171,950
FUNDING
General Fund$346,670$101,430$101,830$113,810$171,950
TOTAL FUNDING$346,670$101,430$101,830$113,810$171,950
PERSONNEL ALLOCATION
City Positions0.330.330.330.330.33
Contract Positions0.130.130.130.260.26
TOTAL POSITIONS0.460.460.460.590.59
Public Safety
40City of Dublin Fiscal Years 2012-2013 and 2013-2014
Crossing Guards
Department Number 2601
Adult Crossing Guard services are provided to the schools at ten
Guards assist elementary students in crossing heavily traveled s
provided at these locations for four hours per day, in accordanc
schedule. Three additional hours of service per day are provide
services are provided to the City under private contract. The c
substitute personnel associated with this program.
Accomplishments for Fiscal Year 2011-2012
Provided Crossing Guard services to schools within Dublin Uni
Expanded Crossing Guard services to newly opened Kolb School.
Highlights
Signicant activities in this budget area include:
Funding for contract Crossing Guard services is not expected t
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies00000
Utilities00000
Contract / Professional Services100,890122,960111,660111,8901
Capital Outlay00000
TOTAL EXPENDITURES$100,890$122,960$111,660$111,890$111,890
FUNDING
General Fund$100,890 $122,960 $111,660 $111,890 $111,890
TOTAL FUNDING$100,890$122,960$111,660$111,890$111,890
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
Public Safety
City of Dublin Fiscal Years 2012-2013 and 2013-201441
Animal Control
Department Number 2701
Animal Control Services are provided under a contract with the A
enforcement of domestic animal related laws and ordinances; inve
and dead animals; and East County Animal Shelter services. City
of animal control services provided under contract. City Staff
Hearings and serving as liaison with Sheriffs Ofce personnel o
an Advisory Committee with the cities of Livermore and Pleasanto
operations.
Accomplishments for Fiscal Year 2011-2012
Provided approximately 400 hours of Animal Control Field Servi
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Continue Memorandum of Understanding negotiations for operatio
(FY 12-13)
Highlights
Signicant activities in this budget area include:
Funding for anticipated increase in Field Service use. (FY 12-
Increased funding for anticipated rise in share of East County
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies00000
Utilities00000
Contract / Professional Services350,850324,720249,300325,2703
Capital Outlay63,570 45,590 45,590 40,070 47,570
TOTAL EXPENDITURES$414,420$370,310$294,890$365,340$416,410
FUNDING
General Fund$414,420$370,310$294,890$365,340$416,410
TOTAL FUNDING$414,420$370,310$294,890$365,340$416,410
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
Public Safety
42City of Dublin Fiscal Years 2012-2013 and 2013-2014
Trafc Signals and Street Lighting
Department Number 2800
This budget funds the maintenance, repair, and energy costs asso
residential street lighting throughout the City. Trafc signal by a public
contractor.
The cost of trafc signal maintenance is paid from the Trafc Sae Dublin
Street Light Maintenance Assessment District No. 83-1 and the Du1.
The cost of both trafc signal and street lighting maintenance adent
damage repairs. The cost of maintenance and energy for the Freew
Highlights
Signicant activities in this budget area include:
Maintenance and repair cost increases associated with new stre
Funding for anticipated utility cost increases.
TRAFFIC SIGNALS AND STREET LIGHTING SUMMARY
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
Contract Summary
Trafc Signals (2801)$261,480 $357,770 $351,780 $378,920 $404
Street Lighting (2802) 374,670 445,020 447,350 478,180 51
TOTAL EXPENDITURES$636,150 $802,790 $799,130 $857,100 $920,000
Amador Valley Boulevard at Starward Drive
Public Safety
City of Dublin Fiscal Years 2012-2013 and 2013-201443
Hacienda Crossings
Trafc Signals and Street Lighting continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies49,79059,27058,50060,12060,120
Utilities355,530391,400372,660409,330438,510
Contract / Professional Services194,720300,120320,620335,6503
Capital Outlay 36,110 52,000 47,350 52,000 52,000
TOTAL EXPENDITURES$636,150$802,790$799,130$857,100$920,000
FUNDING
General Fund$119,620$39,080$43,510$23,670$24,120
Trafc Safety Fund105,750276,690271,270142,240141,360
Gas Tax36,11042,00037,00056,52060,810
Vehicle Registration Fee000169,660191,910
Street Lighting 374,670445,020447,350465,010501,800
TOTAL FUNDING$636,150$802,790$799,130$857,100$920,000
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
Public Safety
44City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin
TRANSPORTATION
Program Highlights
The total recommended expenditures for Transportation are $3,270
increase of $168,590 or 5% more than the Fiscal Year 2011-2012 A
forecast expenditures for Transportation are $3,259,860. The nu
Full-Time Equivalents (FTE).
Signicant changes in Transportation include the following:
Street Maintenance Increased funding associated with increas
one-time box culvert maintenance in Fiscal Year 2012-2013, and o
2013.
Street Sweeping Service levels remain unchanged, however inc
intersections has resulted in increased costs.
Street Landscape Maintenance Includes funding for anticipate
Street Tree Maintenance Increased funding to maintain growin
Dublin / Pleasanton BART Station
Transportation
City of Dublin Fiscal Years 2012-2013 and 2013-201445
Public Works Administration
Department Number 3101
The Public Works Department is responsible for developing, opera
provides for the administration of: Engineering; Public Works In
Project Design and Implementation; Street Sweeping; Trafc Signa
Maintenance Services; and Building Management. The budget also
Maintenance Superintendent who supervises Street Maintenance, La
Maintenance and Building Maintenance performed by MCE Corporatio
Accomplishments for Fiscal Year 2011-2012
Completed ve new community volunteer projects.
Developed a Comprehensive Preventative Maintenance Program for
Explored feasibility of implementing Tree City USA program.
Highlights
Signicant activities in this budget area include:
Funding to support Bike to Work Day activities. (FY 12-13 & F
Funding to support Walk and Roll to School activities. (FY 12-
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$612,650$660,640$661,120$706,040$
Services and Supplies33,48040,57035,21053,51053,130
Utilities00000
Contract / Professional Services196,360188,640164,180188,8401
Capital Outlay3,870 2,010 1,680 00
TOTAL EXPENDITURES$846,360$891,860$862,190$948,390$974,280
FUNDING
General Fund$833,720$876,740$848,960$932,980$958,870
ACTIA Sales Tax Bike/Pedestrian12,64015,12013,23015,41015,4
TOTAL FUNDING$846,360$891,860$862,190$948,390$974,280
PERSONNEL ALLOCATION
City Positions4.454.454.454.454.45
Contract Positions1.001.001.001.001.00
TOTAL POSITIONS5.455.455.455.455.45
Transportation
46City of Dublin Fiscal Years 2012-2013 and 2013-2014
Street Maintenance
Department Number 3201
Street Maintenance services include: street repair; drainage mai
temporary curb, gutter and sidewalk repair; trafc, street and c
guardrail repair; weed control; and bike path maintenance. This
Park-and-Ride lot at the Koll Corporate Center.
Street Maintenance services are provided to the City under priva
into an agreement with East Bay Regional Park District for certa
Trail. The cost of a portion of that maintenance is paid from t
Landscape Budget.
Accomplishments for Fiscal Year 2011-2012
Completed Dublin Boulevard overlay improvements from Sierra Co
Completed annual slurry seal program.
Completed annual street overlay program.
Completed annual ADA upgrades.
Highlights
Signicant activities in this budget area include:
Funding to conduct box culvert cleaning and storm water inlet
Funding to complete assorted street repairs. (FY 12-13 & FY 13
One-time funding to complete storm damage repairs. (FY 12-13)
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies3300000
Utilities00000
Contract / Professional Services403,230557,380474,370560,0404
Capital Outlay19,520 40,000 0 35,000 0
TOTAL EXPENDITURES$423,080$597,380$474,370$595,040$497,490
FUNDING
General Fund$14,310$22,670$19,730$20,240$20,770
Gas Tax378,420481,830438,830478,920458,920
Measure D Recycling25,3502,8805,8105,8807,800
Storm Water Management5,00090,00010,00090,00010,000
TOTAL FUNDING$423,080$597,380$474,370$595,040$497,490
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions1.811.811.811.991.99
TOTAL POSITIONS1.811.811.811.991.99
Transportation
City of Dublin Fiscal Years 2012-2013 and 2013-201447
Street Sweeping
Department Number 3202
Street Sweeping services include: routine sweeping of commercia
fall is heavy, additional street sweeping is performed as needed
contract.
The National Pollutant Discharge Elimination System (NPDES) perm
from the sweeper in terms of quantity of debris picked up and ob
Urban Runoff Committees Best Management Practices (BMP) publica
and methods. Dublins current level of service is consistent wi
Highlights
Signicant activities in this budget area include:
Increased number of streets requiring street sweeping services
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies00000
Utilities00000
Contract / Professional Services120,660128,260125,660159,8301
Capital Outlay00000
TOTAL EXPENDITURES$120,660$128,260$125,660$159,830$162,470
FUNDING
General Fund$120,660$128,260$125,660$159,830$162,470
TOTAL FUNDING$120,660$128,260$125,660$159,830$162,470
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
Dublin Boulevard heading West
Transportation
48City of Dublin Fiscal Years 2012-2013 and 2013-2014
View toward Waterford Apartments
Street Landscape Maintenance
Department Number 3401
Street Landscape Maintenance services include: landscape mainte
litter pick-up and illegal sign removal. Collection of solid wa
under the Citys solid waste collection franchise agreement. Str
City under private contract.
Highlights
Signicant activities in this budget area include:
Funding for anticipated utility cost increases. (FY 12-13 & FY
Funding to restore some previously reduced street landscape ma
leaf clean up, and shrub replacement. (FY 12-13 & FY 13-14)
Funding for contract personnel to support various city events
Market, etc.). (FY 12-13 & FY 13-14)
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies00000
Utilities 336,810 401,510 346,570 408,480 477,980
Contract / Professional Services834,160883,030850,870950,4709
Capital Outlay24,920 35,790 29,310 43,080 43,080
TOTAL EXPENDITURES$1,195,890$1,320,330$1,226,750$1,402,030$1,455
FUNDING
General Fund$786,080$876,770$837,900$947,540$980,130
Assessment District Funds 409,810 443,560 388,850 454,490
TOTAL FUNDING$1,195,890$1,320,330$1,226,750$1,402,030$1,455,920
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions7.347.347.347.137.13
TOTAL POSITIONS7.347.347.347.137.13
Transportation
City of Dublin Fiscal Years 2012-2013 and 2013-201449
Fallon Road
Street Tree Maintenance
Department Number 3402
Street Tree Maintenance services include: comprehensive maintena
trimming of residential street trees which impede both street re
obstructing trafc signs and sidewalks; and limited tree sprayin
Street Tree Maintenance services are provided to the City under
Highlights
Signicant activities in this budget area include:
Increased funding to maintain growing tree inventory. (FY 12-1
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies00000
Utilities00000
Contract / Professional Services99,420163,740150,270164,71016
Capital Outlay00000
TOTAL EXPENDITURES$99,420$163,740$150,270$164,710$169,700
FUNDING
General Fund$79,030$120,000$120,000$124,830$129,820
Assessment District Funds 20,390 43,740 30,270 39,880 39,
TOTAL FUNDING$99,420$163,740$150,270$164,710$169,700
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.700.700.700.960.96
TOTAL POSITIONS0.700.700.700.960.96
Transportation
50City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin
HEALTH AND WELFARE
Program Highlights
The total recommended expenditures for Health and Welfare are $4
a decrease of $879,840 or 17% less than the Fiscal Year 2011-201
total forecast expenditures for Health and Welfare are $4,299,83
reected as Full-Time Equivalents (FTE).
Signicant changes in Health and Welfare include the following:
Waste Management Increased funding to support growth in Dubl
other departments.
Environmental Programs One-time funding to support approved
expenses associated with allocation of personnel from other depa
Social Services Reduced funding as there is no anticipated f
Program (ACAP).
Housing Programs Reduced funding associated with completion
Emerald Vista redevelopment project.
West Dublin Hills
Health & Welfare
City of Dublin Fiscal Years 2012-2013 and 2013-201451
Waste Management
Department Number 5101
This budget funds the costs associated with basic garbage servic
curbside recycling, organic waste collection, on-call bulky wast
various recycling grant funds, also provides support to commerci
an annual household hazardous waste collection event; a resident
commercial organics recycling.
Further, this budget funds costs associated with supporting and
new waste diversion programs, as identied in the Citys adopted
addition, the annual Dublin Pride Week activities are funded thr
Reduction and Recycling.
Accomplishments for Fiscal Year 2011-2012
Explored greater e-waste recycling / disposal opportunities wi
Partnered with schools to complete outreach related to Waste M
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Expand the Dublin Unied School District recycling contest to
Explore opportunities to provide a collection point for discar
Highlights
Signicant activities in this budget area include:
Funding to expand the Dublin Unied School District Recycling
Funding to provide supplies for Dublin Pride week. (FY 12-13 &
Increased contract costs due to growth in households served. (
Emerald Glen Park Picnic Area
Health & Welfare
52City of Dublin Fiscal Years 2012-2013 and 2013-2014
Dougherty Hills
Waste Management continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$42,960$45,900$52,870$154,110$159
Services and Supplies57,54061,00059,21046,10041,050
Utilities00000
Contract / Professional Services2,349,4202,538,6802,538,4602,
Capital Outlay00000
TOTAL EXPENDITURES$2,449,920$2,645,580$2,650,540$2,711,420$2,811
FUNDING
General Fund$0$0$0$154,110$159,840
Measure D Recycling Fund141,830188,650193,83020,00020,000
Garbage Service Fund2,308,0902,456,9302,456,7102,537,3102,631
TOTAL FUNDING$2,449,920$2,645,580$2,650,540$2,711,420$2,811,830
PERSONNEL ALLOCATION
City Positions0.330.330.331.081.08
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.330.330.331.081.08
Health & Welfare
City of Dublin Fiscal Years 2012-2013 and 2013-201453
Environmental Programs
Department Number 5201
This budget funds the management and development of Environmenta
recycling, sustainable development, and both municipal as well a
Specic program areas include: climate change; energy efciency
green building; solid-waste reduction; recycling program promoti
promotion of the Citys Climate Action Plan and Green Plan. Sta
planning and development, develop new sustainable programs and p
Accomplishments for Fiscal Year 2011-2012
Initiated development of a tobacco retailer license system.
Initiated development of zoning restrictions that would requir
products.
Commenced city-wide Energy Audit.
Conducted fall volunteer clean-up day.
Completed work on Recycling Enclosure Ordinance.
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Work with StopWaste to educate the community on the countywide
Partner with California Youth Energy Services to provide energ
Complete development of a tobacco retailer license system. (FY
Complete development of zoning restrictions that would require
tobacco products. (FY 12-13)
Coordinate Energy Audit outcomes from Energy Action Plan. (FY
Work with PG&E to promote energy savings programs. (FY 12-13)
Explore a collaborative effort with Dublin San Ramon Services
water conservation. (FY 12-13)
Update the Climate Action Plan. (FY 12-13)
Highlights
Signicant activities in this budget area include:
Funding to support annual fall volunteer clean-up day. (FY 12
Funding to support partnership with California Youth Energy Se
Funding for consultant services to assist with Climate Action
Reallocation of personnel to Waste Management. (FY 12-13)
Health & Welfare
54City of Dublin Fiscal Years 2012-2013 and 2013-2014
Environmental Programs continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$227,900$358,590$284,690$354,980$
Services and Supplies6,43042,71038,76012,00012,220
Utilities00000
Contract / Professional Services055,00055,00065,00030,000
Capital Outlay0 6,000 2,200 00
TOTAL EXPENDITURES$234,330$462,300$380,650$431,980$414,090
FUNDING
General Fund$0$92,250$85,950$225,490$233,940
Measure D Recycling Fund110,870134,850139,630162,810138,780
Local Recycling Program Fund123,460235,200155,07043,68041,370
TOTAL FUNDING$234,330$462,300$380,650$431,980$414,090
PERSONNEL ALLOCATION
City Positions2.503.003.002.592.59
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS2.503.003.002.592.59
Koopman Creek at Shannon Park
Health & Welfare
City of Dublin Fiscal Years 2012-2013 and 2013-201455
Social Services
Department Number 5501
This budget primarily funds the City of Dublin Community Grant P
Community Support Grant awards were not grouped in one budget ar
overview of the support the City provides to community organizat
social services related activities.
A City Council Community Grant Program Subcommittee provides pol
applications, hears grant applicant presentations, and provides
consideration and approval.
For Fiscal Year 2012-2013 the City Council has recommended the f
awards, these recommendations are included in the preliminary bu
ORGANIZATIONGRANT AWARD*
Axis Community Health Access to Health Care$10,000
Bay Area Community Services Wellness Program10,000
Open Heart Kitchen Hot Meals Program10,000
Senior Support Services of the Tri-Valley Case Management10,00
Spectrum Community Services Meals on Wheels6,475
Tri-Valley YMCA Curb Cuts & Sidewalk Ramps (carry over from F
TOTAL COMMUNITY DEVELOPMENT BLOCK GRANTS $54,746
Wicklow Square Senior Apartments
Health & Welfare
56City of Dublin Fiscal Years 2012-2013 and 2013-2014
Social Services continued...
For Fiscal Year 2012-2013 the City Council has recommended the f
Support Grant awards, these recommendations are included in the
ORGANIZATIONGRANT AWARD
Axis Community Health Pre-Development Project$15,000
Chabot-Las Positas Community College District Tri-Valley One S
Child Care Links Early Child Education 15,000
Community Resources for Independent Living (CRIL) Job Seekers
Community Resources for Independent Living (CRIL) Affordable &Accessible Housing Assistance for People with Disabilities5,000
Dublin High School / PFSO Safe and Sober Grad Night4,000
Dublin Partners in Education (DPIE) Operational Grant23,000
Dublin Unied School District Robotics & Engineering Articulat
Dublin Unied School District Robotics Program for High School
Eden Council for Hope and Opportunity Rental Assistance Progra
Eden I&R 2-1-1 Alameda County10,000
Hope Hospice Grief Support Center10,000
Pacic Chamber Symphony Music is Fun Program5,000
Tri-Valley Haven Domestic Violence Shelter & Hotline8,000
Tri-Valley Haven Homeless Shelter & Food Pantry8,000
Valley Children's Museum Mobile Museum5,000
Tri-Valley Housing and Opportunities Center Community Stabiliz
TOTAL COMMUNITY SUPPORT GRANTS *$161,000
Individual Fiscal Year 2013-2014 Community Grant Program awards
Accomplishments for Fiscal Year 2011-2012
Provided $53,826 in support to the community through CDBG awar
Provided $151,180 in support to the community through Communit
Provided assistance to Associated Community Action Program (AC
Implemented an internet-based grant management software progra
Created Task Force to evaluate service gaps identied in 2011
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Conduct outreach to potential grant applicants about grant ava
Hold two community meetings in the fall to assist grant applic
& FY 13-14)
Provide support to YMCA in accordance with grant agreement. (F
Implement action items from the Human Services Task Force. (FY
Health & Welfare
City of Dublin Fiscal Years 2012-2013 and 2013-201457
North Dublin Ranch Drive
Social Services continued...
Highlights
Signicant activities in this budget area include:
Funding to support online grant application system. (FY 12-13
Savings as the result of completion of ACAP contributions. (F
One-time increase to Community Grants Program General Fund g
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies2101060530980680
Utilities00000
Contract / Professional Services441,250352,350333,510291,5502
Capital Outlay00000
TOTAL EXPENDITURES$441,460$353,410$334,040$292,530$278,960
FUNDING
General Fund$337,230$268,400$256,460$201,780$196,480
Affordable Housing Fund 34,770 31,180 31,180 36,000 36,00
Community Development Block Grant (CDBG) 69,460 53,830 46,400 54,750 46,480
Fund
TOTAL FUNDING$441,460$353,410$334,040$292,530$278,960
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
Health & Welfare
58City of Dublin Fiscal Years 2012-2013 and 2013-2014
Housing Programs
Department Number 5701
This budget funds programs that are administered by the Housing
The Housing Division is responsible for the implementation of th
programs as they are developed. The Housing Division communicat
developers to complete necessary documents such as Affordable Ho
for Inclusionary Units, and qualifying applicants for the owners
The City participates in the Tri-Valley Housing Opportunity Cent
Homebuyer Education classes to potential Dublin homebuyers, and
the re-sale of their units.
Accomplishments for Fiscal Year 2011-2012
Provided support to Tri-Valley Housing Opportunity Center (TVH
Funded twelve rst-time homebuyer loans, in the total amount o
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Continue with provision of support to TVHOC. (FY 12-13 & FY 13
Review Inclusionary Ordinance. (FY 12-13)
Prepare Housing Element Update. (FY 13-14)
Highlights
Signicant activities in this budget area include:
Funding to support First Time Homebuyer Program marketing. (FY
Funding to support Inclusionary Ordinance review. (FY 12-13)
Funding for loan to Tri-Valley Housing Opportunity Center. (FY
Funding to support preparation of Housing Element Update. (FY
Savings as the result of completion of support to EDEN Housing
Piazza Sorrento
Health & Welfare
City of Dublin Fiscal Years 2012-2013 and 2013-201459
Housing Programs continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$379,600$307,300$305,990$322,000$
Services and Supplies11,55011,63012,45012,03011,480
Utilities00000
Contract / Professional Services3,070,5803,2503,98033,67049,7
Loans6,188,1301,500,000815,530400,000400,000
Capital Outlay00000
Contributions to Other Agency000 200,000 0
TOTAL EXPENDITURES$9,649,860$1,822,180$1,137,950$967,700$794,950
FUNDING
General Fund$0$0$0$0$210
Affordable Housing Fund9,649,8601,822,1801,137,950967,700794,
TOTAL FUNDING$9,649,860$1,822,180$1,137,950$967,700$794,950
PERSONNEL ALLOCATION
City Positions3.002.252.252.252.25
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS3.002.252.252.252.25
The Cottages at Dublin Ranch Village
Health & Welfare
60City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin
CULTURE AND LEISURE SERVICES
Program Highlights
The total recommended expenditures for Culture and Leisure Servi
represents an increase of $493,350 or 6% more than the Fiscal Ye
2014 the total forecast expenditures for Culture and Leisure Ser
in each area is reected as Full-Time Equivalents (FTE).
Signicant changes in Culture and Leisure Services include the f
Community Cable Television Increased costs associated with a
5-year strategic funding plan.
Library Increased costs associated with expansion of Library
2012-2013.
Park Maintenance Increased costs primarily associated with o
Positano Hills Neighborhood Park in Fiscal Year 2012-2013; and P
Park in Fiscal Year 2013-2014. Additional increases associated
Heritage and Cultural Arts Increases associated with anticip
for new fall community event, additional staff support for marke
related to Camp Parks collection. Programming in this area is o
2013 and $375,000 in Fiscal Year 2013-2014.
Parks and Community Services Increases associated with antic
Council initiatives, and additional staff support for marketing
approximately $2.2 million in Fiscal Year 2012-2013 and Fiscal Y
Parks and Facility Development A portion of the salary and b
included in Capital Improvement Projects. This budget also inclu
services for division operations.
Piazza Sorrento
Culture & Leisure Services
City of Dublin Fiscal Years 2012-2013 and 2013-201461
Fountain at Shannon Community Center
Community Cable Television
Department Number 7101
The Tri-Valley Community Television Corporation (TV30) is a non-
government cable television access. The TV30 Board of Directors
Livermore, Pleasanton and San Ramon. The cities rotate the respo
This budget funds the City of Dublins share of costs associated
meetings.
Highlights
Signicant activities in this budget area include:
Funding to provide cable support to City facilities.
Funding to support televised City Council meetings.
Increased funding to support TV30 operations per 5-year strate
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies120150150150150
Utilities00000
Contract / Professional Services145,21068,34068,050112,130112
Capital Outlay00000
TOTAL EXPENDITURES$145,330$68,490$68,200$112,280$112,280
FUNDING
General Fund$145,330$32,840$32,840$87,150$87,150
Cable TV Facilities035,65035,36025,13025,130
TOTAL FUNDING$145,330$68,490$68,200$112,280$112,280
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS0.000.000.000.000.00
Culture & Leisure Services
62City of Dublin Fiscal Years 2012-2013 and 2013-2014
Library Services
Department Number 7301
The Dublin Public Library building is owned by the City of Dubli
agreement with the Alameda County Library System. This budget f
Library System for additional hours of library service at the Du
associated with the Dublin Public Library facility. Grounds mai
Accomplishments for Fiscal Year 2011-2012
Signed up 1,698 children for the 2011 Summer Reading Game.
Initiated a new summer enrichment program for children ages 7
Added a preschool summer reading game with early literacy acti
years old.
Revived the Newcott / Caldebery book writing contest for child
Initiated more programming for tweens ages 10 to 12 years old
craft programs.
Completed purchase and installation of a large screen TV used
Added Facebook and Pinterest to the librarys social media out
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Participate in the County Librarys 2012 programming initiative. (FY 12-13 & FY 13-14)
Add a Mayors Reading Challenge component to the 2012 Summer R
Celebrate the Librarys 10th anniversary in the current facili
with the Friends of the Library to produce a community cookbook.
Add a Lego Club to Childrens Services programming. (FY 12-13)
Recruit and hire a new Coordinator for the Homework Center. (F
Expand Library operations by two hours per week. (FY 12-13)
Highlights
Signicant activities in this budget area include:
Funding for expansion of Library operating hours. (FY 12-13 &
Funding for maintenance of facility. (FY 12-13 & FY 13-14)
Increased funding to support contract library services with Al
Dublin Public Library
Culture & Leisure Services
City of Dublin Fiscal Years 2012-2013 and 2013-201463
Library Services continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies4,8007,3206,7006,9106,910
Utilities 6,830 6,860 6,860 6,890 6,860
Contract / Professional Services501,320529,540529,520534,0305
Capital Outlay5,120 50,160 36,190 11,900 16,900
TOTAL EXPENDITURES$518,070$593,880$579,270$559,730$579,420
FUNDING
General Fund$518,070$593,880$579,270$559,730$579,420
TOTAL FUNDING$518,070$593,880$579,270$559,730$579,420
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions0.420.420.420.370.37
TOTAL POSITIONS0.420.420.420.370.37
Dublin Public Library
Culture & Leisure Services
64City of Dublin Fiscal Years 2012-2013 and 2013-2014
Bray Commons
Park Maintenance
Department Number 7501
This budget funds Park Maintenance services for parks, open spac
facilities. Park Maintenance services include: turf care, irri
maintenance, litter pick-up, park equipment maintenance and faci
Park Maintenance services are provided to the City under contrac
contractor or through a subcontract administered by the main con
contractor.
Accomplishments for Fiscal Year 2011-2012
Assumed operational maintenance for the Dublin Heritage Park a
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Assume operational maintenance for Positano Hills Neighborhood
Assume operational maintenance for Passatempo Neighborhood Par
Assume operational maintenance for Schaefer Ranch Park. (FY 1
Highlights
Signicant activities in this budget area include:
Funding for anticipated utility cost increases. (FY 12-13 & FY
Funding to restore some previously reduced park maintenance se
shrub pruning, and shrub replacement). (FY 12-13 & FY 13-14)
Funding to support operational maintenance of Positano Hills N
Funding to support operational maintenance of Passatempo Neigh
Funding to support operational maintenance of Schaefer Ranch P
Culture & Leisure Services
City of Dublin Fiscal Years 2012-2013 and 2013-201465
Emerald Glen Park
Park Maintenance continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$0$0$0$0$0
Services and Supplies3,990111,610116,640114,740115,890
Utilities 559,410 695,700 629,770 721,440 893,950
Contract / Professional Services1,353,4701,573,5801,537,3601,
Capital Outlay56,500 109,580 143,280 41,940 47,000
TOTAL EXPENDITURES$1,973,370$2,490,470$2,427,050$2,487,850$2,778
FUNDING
General Fund$1,973,370$2,487,970$2,424,550$2,485,350$2,775,83
Public Art Fund02,5002,5002,5002,500
TOTAL FUNDING$1,973,370$2,490,470$2,427,050$2,487,850$2,778,330
PERSONNEL ALLOCATION
City Positions0.000.000.000.000.00
Contract Positions8.949.369.3610.1011.65
TOTAL POSITIONS8.949.369.3610.1011.65
Culture & Leisure Services
66City of Dublin Fiscal Years 2012-2013 and 2013-2014
Heritage and Cultural Arts
Department Number 7600
This budget funds the activities of the Heritage and Cultural Ar
Rentals; Heritage Center Programs; Cultural Activities; Communit
Cemetery.
Historic Facilities include: Murray Schoolhouse; Old St. Raymon
Buildings. Heritage Center Programs include: museums at the Mu
docent program; workshops and teas; and music jams. Cultural Ac
theater events. Community Events and Festivals include: holida
St. Patricks Day Festival, and additional new Fall community ev
Accomplishments for Fiscal Year 2011-2012
Completed Museum Assessment Program (MAP) Phase III accreditat
Developed a Facility Use Policy for Kolb Barn and Grounds.
Implemented programming for Dublin Heritage Park and Museums.
Conducted monthly Saturday events at the Heritage Park and Mus
Established an Art / Ceramic Studio in the Old Kolb House.
Completed installation of public art at Dublin Transit Center.
Assumed ownership of the Camp Parks Collection and opened an e
Finalized concept for replacement for Day on the Glen Festival
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Apply for Phase IV of the Museum Assessment Program. (FY 12-1
Explore opportunities to preserve and display Camp Parks histo
Highlights
Signicant activities in this budget area include:
Funding for anticipated utility cost increases. (FY 12-13 & FY
Funding for Annual St. Patricks Day event. (FY 12-13 & FY 13-
Funding for new community event in fall. (FY 12-13 & FY 13-14
Funding for additional marketing and event planning staff supp
Funding for professional services to complete Camp Parks Histo
Program costs offset by approximately $376,500 in revenue. (FY
Program costs offset by approximately $375,000 in revenue. (F
Sunday School Barn and Art Studio Dublin Heritage Park and Mu
Culture & Leisure Services
City of Dublin Fiscal Years 2012-2013 and 2013-201467
Heritage and Cultural Arts continued...
HERITAGE & CULTURAL ARTS PROGRAM SUMMARY
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
PROGRAM SUMMARY
Historic Facility Operations*$80,530 $123,750 $113,480 $121,7
Heritage Center Programs 193,970 207,650 215,550 222,170
Cultural Activities 197,650 203,590 202,040 187,080 190,1
Community Events & Festivals 267,510 311,900 341,480 456,1
TOTAL EXPENDITURES$739,660 $846,890 $872,550 $987,110 $1,003,310
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$415,160$555,240$577,950$574,230$
Services and Supplies91,49092,89092,210190,370173,840
Utilities 12,080 13,530 10,240 10,550 10,860
Contract / Professional Services 216,510 162,270 174,010 2
Capital Outlay 4,420 22,96018,140 5,000 0
TOTAL EXPENDITURES$739,660$846,890$872,550$987,110$1,003,310
FUNDING
General Fund$739,660 $846,890 $872,550 $987,110 $1,003,310
TOTAL FUNDING$739,660$846,890$872,550$987,110$1,003,310
PERSONNEL ALLOCATION
City Positions3.003.053.053.353.35
Contract Positions0.590.210.210.350.35
TOTAL POSITIONS3.593.263.263.703.70
Kolb House Dublin Heritage Park and Museums
Culture & Leisure Services
68City of Dublin Fiscal Years 2012-2013 and 2013-2014
Parks and Community Services
Department Number 7700
This budget funds the administration of the Parks and Community
Services; Recreational Activities; Preschool Programs; Teen Prog
Programs.
The Parks and Community Services budget also provides for the op
Dublin Swim Center; Stager Community Gymnasium; Emerald Glen Pre
includes scheduling the use of these facilities as well as the D
Old St. Raymonds Church, City sports elds, Emerald Glen Park G
athletic elds and facilities.
Accomplishments for Fiscal Year 2011-2012
Developed online booking option for Group Picnic Areas.
Reinstated Senior Trips and Tours Program.
Conducted a camp out for youth in a regional park.
Expanded The Guide from three issues to four.
Expanded the number of classes offered on Saturdays.
Initiated a Healthy Living Marketing Campaign and Contest for
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Expand options available as part of the Camp Connector Program
Update Parks and Community Services Strategic Plan. (FY 12-13
Update Public Facility Impact Fee. (FY 12-13)
Develop a Health and Wellness Task Force to create a healthy c
Develop and Implement Parks and Community Services Marketing a
Highlights
Signicant activities in this budget area include:
Addition of a new position to provide assistance necessary to
and marketing efforts and provide event planning assistance. (F
Funding for anticipated utility cost increases at City facilit
Funding for additional marketing and event planning staff supp
Funding for professional services to assist with the Parks and
Funding for professional services to assist with the Public Fa
Funding for professional services to support the Health and We
Funding for professional services to assist with the developme
Promotions Plan. (FY 13-14)
Program costs offset by approximately $2,185,000 in revenue. (
Program costs offset by approximately $2,217,000 in revenue.
Culture & Leisure Services
City of Dublin Fiscal Years 2012-2013 and 2013-201469
Parks and Community Services continued...
PARKS & COMMUNITY SERVICES PROGRAM SUMMARY
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
PROGRAM SUMMARY
Facility Operations$843,190 $965,460 $893,260 $973,710 $996,2
Recreation Administration 608,260 548,850 568,100 764,280
Family Programs 383,950 410,970 404,030 478,970 490,630
Recreational Activities 222,640 268,970 250,140 273,430 2
Preschool Programs 345,310 338,990 360,150 413,670 420,00
Teen Programs* 110,750 119,010 119,450 00
Senior Programs 362,600 411,660 410,000 413,190 424,230
Sports Programs 465,140 512,770 518,970 509,610 522,200
Aquatics Programs 283,300 299,840 308,310 315,840 321,890
TOTAL EXPENDITURES$3,625,140 $3,876,520 $3,832,410 $4,142,700 $4
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$2,529,970 $2,605,420 $2,649,720
Services and Supplies 306,490 354,380 332,920 347,310 342
Utilities 182,820 215,560 191,670 204,170 217,240
Contract / Professional Services 596,850 690,360 647,730 7
Capital Outlay 9,010 10,800 10,370 7,310 1,230
TOTAL EXPENDITURES$3,625,140$3,876,520$3,832,410$4,142,700$4,138
FUNDING
General Fund$3,625,140 $3,849,870 $3,832,410 $4,082,700 $4,1
Public Facility Fees0 26,650 0 60,000 0
TOTAL FUNDING$3,625,140$3,876,520$3,832,410$4,142,700$4,138,060
PERSONNEL ALLOCATION
City Positions15.6015.5515.5516.2516.25
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS15.6015.5515.5516.2516.25
View from Dublin Hills
Culture & Leisure Services
70City of Dublin Fiscal Years 2012-2013 and 2013-2014
Parks and Facility Development
Department Number 7901
This budget funds a full-time Parks and Facilities Development M
Coordinator who are responsible for managing the design, develop
municipal facilities.
Project management costs for recreation, park and other municipa
projects funded from Public Facility Fees, the Staff project man
This assures that projects which are not funded by the General F
Project management costs for most capital projects that are fund
within the project.
Accomplishments for Fiscal Year 2011-2012
Initiated development of design and construction documents for
Conducted a comprehensive review of the Dublin Swim Center bui
a long-range Master Plan for renovations.
Developed additional phasing options and costs for Fallon Spor
Completed construction documents and bid for Positano Neighbor
Completed design of Passatempo Neighborhood Park.
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Initiate Maintenance Yard Improvements. (FY 12-13 & FY 13-14)
Initiate Public Safety Complex Project. (FY 12-13 & FY 13-14)
Complete construction of Passatempo Neighborhood Park. (FY 12
Complete construction of Schaefer Ranch Park. (FY 12-13 & FY
Determine feasibility and cost of building restroom, ball eld
Initiate development of Emerald Glen Park Recreation and Aquat
Complete construction of Positano Hills Neighborhood Park. (F
Explore opportunities for a large dog park in Eastern Dublin.
Determine feasibility and cost of accelerating the cemetery ex
Highlights
Signicant activities in this budget area include:
Additional part-time / temporary administrative support to ass
(FY 12-13 & FY 13-14).
Funding for professional services to complete dog park study.
Funding for professional services to complete cemetery expansi
Includes salary and benet costs not related to Capital Improv
Culture & Leisure Services
City of Dublin Fiscal Years 2012-2013 and 2013-201471
Basketball Courts at Fallon Sports Park
Parks and Facility Development continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$204,870$214,000$291,900$372,250$
Services and Supplies6,81011,33010,31013,21013,400
Utilities00000
Contract / Professional Services095,20095,20015,00030,000
Capital Outlay00000
TOTAL EXPENDITURES$211,680$320,530$397,410$400,460$363,850
FUNDING
General Fund$211,680$320,530$397,410$352,130$363,850
Public Facility Fees000 48,330 0
TOTAL FUNDING$211,680$320,530$397,410$400,460$363,850
PERSONNEL ALLOCATION
City Positions2.002.252.252.252.25
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS2.002.252.252.252.25
Culture & Leisure Services
72City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin
COMMUNITY DEVELOPMENT
Program Highlights
The total recommended expenditures for Community Development are
represents a decrease of $309,260 or 4% less than the Fiscal Yea
2014 the total forecast expenditures for Community Development a
in each area is reected as Full-Time Equivalents (FTE).
Signicant changes in Community Development include the followin
Community Development Department Decreased contract service
development activity in Fiscal Year 2012-2013 and Fiscal Year 20
Engineering Decreased contract service expenses associated w
Fiscal Year 2012-2013 and Fiscal Year 2013-2014. This decline i
Bikeways / Pedestrian Master Plan in Fiscal Year 2012-2013. A p
allocated to this budget are included in Capital Improvement Pro
Economic Development and Public Information Decreased costs
Council initiatives in prior years.
Sorrento Bridge
Community Development
City of Dublin Fiscal Years 2012-2013 and 2013-201473
Community Development Department
Department Number 8100-8200
(Planning and Building & Safety Divisions)
The Community Development Department provides supervision and en
City and consists of three divisions: Planning; Building and Sa
included under Health and Welfare.
The Planning Division is directly responsible for providing staf
and amendments to the General Plan; development of ordinances fo
City Council; administration of the California Environmental Qua
administration of Neighborhood Resource activities, and administ
Maintenance Ordinances.
The Building and Safety Division is directly responsible for bui
code enforcement activities.
Accomplishments for Fiscal Year 2011-2012
Developed a Design Awards Program to recognize new and remodel
Developed new Emergency Preparedness Building Code Amendment.
Conducted review of Public and Semi-Public Policies.
Initiated study of Dublin Preserve Sphere of Inuence General
Initiated update of Dublin General Plan to include new informa
Initiated creation of new Economic Development Element of Dubl
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Continue update of Dublin General Plan to include new informat
Continue creation of new Economic Development Element of Dubli
Create new Water Conservation and Management Element of Dublin
Explore changes to City policy document to implement One Bay A
Develop on-line posting of Plan Check Comments. (FY 12-13)
Continue development of design guidelines for projects outside
commercial). (FY 12-13)
Create new Energy Conservation and Generation Element of Dubli
Develop On-line Inspection Scheduling. (FY 13-14)
Highlights
Signicant activities in this budget area include:
Consultant services for development of General Plan element in
Decreased professional service costs associated with processin
FY 13-14)
Decreased contract service costs associated with building insp
(FY 13-14)
Community Development
74City of Dublin Fiscal Years 2012-2013 and 2013-2014
City Entrance Sign San Ramon Road
Community Development Department continued...
COMMUNITY DEVELOPMENT SUMMARY
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
DEPARTMENT SUMMARY
Planning$1,811,390 $2,489,080 $2,466,600 $2,171,590 $1,984,73
Building & Safety 1,636,450 2,248,540 2,177,880 2,320,450
TOTAL EXPENDITURES$3,447,840 $4,737,620 $4,644,480 $4,492,040 $4
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$1,841,590$2,338,780$2,276,660$2,
Services and Supplies156,140198,790169,390208,110207,350
Utilities 3,780 9,010 4,230 7,490 7,650
Contract / Professional Services1,446,3302,186,2102,154,2001,
Capital Outlay0 4,830 40,000 4,100 0
TOTAL EXPENDITURES$3,447,840$4,737,620$4,644,480$4,492,040$4,150
FUNDING
General Fund$3,447,840$4,737,620$4,644,480$4,492,040$4,150,79
TOTAL FUNDING$3,447,840$4,737,620$4,644,480$4,492,040$4,150,790
PERSONNEL ALLOCATION
City Positions14.4516.2016.2016.2016.20
Contract Positions4.804.754.756.255.25
TOTAL POSITIONS19.2520.9520.9522.4521.45
Community Development
City of Dublin Fiscal Years 2012-2013 and 2013-201475
Shannon Community Center
Engineering
Department Number 8301
This budget funds activities related to: trafc engineering; Sto
of Capital Projects; inspection of private development facilitie
new streets and sidewalks); review of plans for subdivisions and
parcels within the City; and technical engineering support for A
Accomplishments for Fiscal Year 2011-2012
Explored feasibility of options for Dublin Boulevard lane expa
Provided oversight for construction of St. Patrick Way betwee
Provided oversight for construction of the Alamo Canal Trail U
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Update Bikeways / Pedestrian Master Plan. (FY 12-13 & FY 13-1
Continue Dougherty Road Improvements Sierra Lane to North Ci
Evaluate options for pedestrian safety improvements on Amador
Transition Schaefer Ranch Geologic Hazard Abatement District (
Further analyze Citys infrastructure to determine gaps in ped
new infrastructure. (FY 12-13)
Highlights
Signicant activities in this budget area include:
.......................................................................................................................
(FY 12-13 & FY 13-14)
Increased funding to support participation in Alameda County N
(NPDES) program. (FY 12-13 & FY 13-14)
Funding for contract services necessary to complete the Bikewa
Reduction in anticipated Private Development Inspections based
Community Development
76City of Dublin Fiscal Years 2012-2013 and 2013-2014
Engineering continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$1,008,580$1,269,750$1,254,800$1,
Services and Supplies68,47075,90067,19092,68089,380
Utilities 2,160 2,200 2,370 2,670 2,370
Contract / Professional Services773,440941,770942,270985,9404
Capital Outlay 0 6,000 7,120 3,000 3,500
TOTAL EXPENDITURES$1,852,650$2,295,620$2,273,750$2,359,040$1,936
FUNDING
General Fund$1,804,780$2,212,800$2,234,090$2,146,580$1,892,54
Gas Tax Fund6,0006,0006,0006,0006,000
ACTIA Sales Tax Bike / Ped000168,8000
Assessment District Funds32,37032,88032,88032,39032,970
Tri-Valley Transportation Fund9,50043,9407805,2705,270
TOTAL FUNDING$1,852,650$2,295,620$2,273,750$2,359,040$1,936,780
PERSONNEL ALLOCATION
City Positions8.009.009.009.009.00
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS8.009.009.009.009.00
Alamo Creek
Community Development
City of Dublin Fiscal Years 2012-2013 and 2013-201477
Economic Development and Public Information
Department Number 8401
This budget funds Economic Development and Public Information ac
department are to enhance and maintain the Citys economic base
attraction, expansion and retention; and to create consistent an
businesses through a variety of outreach efforts.
Economic Development and Public Information activities include:
marketing materials; execution of the Business Recognition Progr
City website and other social media outreach efforts; management
Economic Development Alliance, East Bay Small Business Developme
Visitors Bureau (TVCVB); and membership in the California Associ
Accomplishments for Fiscal Year 2011-2012
Developed Social Media Policies.
Initiated development of an Economic Development Strategy.
Identied partnership opportunities with the Dublin Chamber of
Explored and completed a Shop Local Holiday Campaign.
Updated the Façade Improvement Program.
Explored ways Dublin can better connect to Livermore Valley Wi
allow grape growing, utilizing the small business incentive prog
Continued to develop economic incentives for retail, ofce, re
Explored available options for increased marketing of City to
Key Initiatives for Fiscal Year 2012-2013 & Fiscal Year 2013-201
Continue to offer incentives to address current market conditi
Reimbursement, etc.). (FY 12-13 & FY 13-14)
Continue to evaluate social media uses and options for general
Facilitate roundtables with commercial brokers and the develop
Develop business meetings / summits with property owners aroun
Continue the Citys efforts to better connect to the Livermore
Continue to host and program the Dublin Farmers Market. (FY
Evaluate the Trafc Impact Fee / Fee Deferral for single famil
Complete the Economic Development Strategy. (FY 12-13)
Highlights
Signicant activities in this budget area include:
Funding to support Farmers Market activities. (FY 12-13 & FY
Funding for attendance at International Council of Shopping Ce
FY 13-14)
Funding to support Citys efforts to better connect with the L
Savings associated with completion of one-time City Council in
Community Development
78City of Dublin Fiscal Years 2012-2013 and 2013-2014
Economic Development and Public Information continued...
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Salaries / Wages and Benets$248,380$425,470$408,890$435,770$
Services and Supplies33,10080,50082,45096,17095,540
Utilities00000
Contract / Professional Services37,240276,800274,850130,61011
Capital Outlay0 6,880 3,140 00
TOTAL EXPENDITURES$318,720$789,650$769,330$662,550$642,740
FUNDING
General Fund$318,720$789,650$769,330$662,550$642,740
TOTAL FUNDING$318,720$789,650$769,330$662,550$642,740
PERSONNEL ALLOCATION
City Positions1.502.502.502.502.50
Contract Positions0.000.000.000.000.00
TOTAL POSITIONS1.502.502.502.502.50
Hacienda Crossings
Community Development
City of Dublin Fiscal Years 2012-2013 and 2013-201479
City of Dublin
CAPITAL IMPROVEMENT PROJECTS
Overview
The Proposed Five Year Capital Improvement Program (CIP) 2012-20
CIP time frame with a proposed funding allocation for twenty-fou
sixteen (16) projects in Fiscal Year 2013-2014.
Fiscal Year 2012-2013 Proposed Projects
The total Fiscal Year 2012-2013 cost for all the proposed projec
funding sources. Total Capital Improvement Project expenditures
General Improvements $ 10,654,873
Community Improvements $ 86,824
Parks $ 3,869,629
Streets $ 7,542,399
Fiscal Year 2013-2014 Proposed Projects
The total Fiscal Year 2013-2014 cost for all the proposed projec
funding sources. Total Capital Improvement Project expenditures
General Improvements $ 2,412,500
Community Improvements $ 85,324
Parks $ 9,807,871
Streets $ 3,328,916
The following pages contain a summary of these projects and asso
about each of these projects is contained in the Proposed Five Y
View from Dublin Hills
Capital Improvement Projects
City of Dublin Fiscal Years 2012-2013 and 2013-201481
GENERAL IMPROVEMENTS
PROJECT NUMBER AND NAMEACTUAL ADJUSTED PROJECTED PROPOSED FORECAST
2010-20112011-20122011-20122012-20132013-2014
930002Network System Upgrade$122,422 $277,006 $277,006 $100,000
930003Combined Finance / Permit System83,169 77,532 77,532
930004Geographic Information System27,755 25,275 25,275 37,000 1
930006Civic Center Modication Design and Construction276,699 30
930008Civic Center Generator610,100 610,100
930009Automated Document Storage and Retrieval3,000 4,000 4,000
930010Maintenance Yard Facility Improvements3,999 1,180,058 1,18
930015Electronic Agenda System50,721 71,013 71,013
930016Public Safety Complex6,223,915 6,223,915 2,758,420
930017Telephone Systems Replacement409,890
AnnualADA Transition Plan32,200 56,674 56,674 19,650 19,650
TOTAL COST$599,965 $8,834,905 $8,834,905 $10,654,873 $2,412,500
FINANCING
1001General Fund$485,133 $8,600,152 $8,600,152 $10,267,983 $2,34
2302Measure D Fund3,000 3,000
6201Internal Service Fund Buildings82,856 145,595 145,595
6301Internal Service Fund Equipment31,976 86,158 86,158 386,89
TOTAL FINANCING$599,965 $8,834,905 $8,834,905 $10,654,873 $2,412,500
Dublin Public Library
Capital Improvement Projects
82City of Dublin Fiscal Years 2012-2013 and 2013-2014
COMMUNITY IMPROVEMENTS
PROJECT NUMBER AND NAMEACTUAL ADJUSTED PROJECTED PROPOSED FORECAST
2010-20112011-20122011-20122012-20132013-2014
940005Transit Center Art$116,473 $115,747 $115,747
940007Tree Planting Project31,100 5,500 5,500 $2,750 $1,250
AnnualSidewalk Safety Repair Program180,845 131,540 131,540 84,0
TOTAL COST$328,418 $252,787 $252,787 $86,824 $85,324
FINANCING
1001General Fund$139,061 $87,924 $87,924 $86,824 $85,324
2205Measure B Sales Tax Bike / Pedestrian Funds (ACTC)72,884 19,116 19,116
2208Congestion Management Agency Fund30,000 30,000
2801Public Art Fund116,473 115,747 115,747
TOTAL FINANCING$328,418 $252,787 $252,787 $86,824 $85,324
PARKS
PROJECT NUMBER AND NAMEACTUAL ADJUSTED PROJECTED PROPOSED FORECAST
2010-20112011-20122011-20122012-20132013-2014
950001Dublin Heritage Park and Museums$2,600,958 $61,350 $61,350
950003Dublin Sports Grounds Renovation784,792
950004Fallon Sports Park178,677
950007Emerald Glen Park Recreation & Aquatic Complex46,084 46,08
950009Passatempo Neighborhood Park70,392 70,392 1,198,369 1,030,
950011Emerald Glen Activity Center Acquisition72,805
950012Energy Block Grant Project13,506 230,750 230,750
950013Positano Hills Neighborhood Park149,376 916,644 916,644 1,
950016Emerald Glen Park Plaza Replacement107,091 107,091
950017Dougherty Hills Park Slope and Drainage Repair9,609 121,89
950019Schaefer Ranch Neighborhood Park*
950020Fallon Village Neighborhood Park376,380
950022Shannon Park Water Play Area90,620 444,920
TOTAL COST$3,809,723 $1,554,208 $1,554,208 $3,869,629 $9,807,871
FINANCING
1001General Fund$2,685,209 $347,894 $347,894
2311American Recovery & Reinvestment Act Env13,505 173,194 173
2321Storm Water Management149,376
2402East Bay Regional Park District
782,955
4100Public Facility Fees178,677 1,033,120 1,033,120 $3,869,629 $
TOTAL FINANCING$3,809,723 $1,554,208 $1,554,208 $3,869,629 $9,807,871
Capital Improvement Projects
City of Dublin Fiscal Years 2012-2013 and 2013-201483
Dublin Boulevard at Donlon Way
STREETS
PROJECT NUMBER AND NAMEACTUAL ADJUSTED PROJECTED PROPOSED FORECAST
2010-20112011-20122011-20122012-20132013-2014
960001I-580 / Fallon Road Freeway Interchange$33,853
960002Tri-Valley Transportation Development Fee Regional 1,250,000
Transportation Projects
960003Dublin Boulevard Improvements Silvergate Drive $3,067,079 $3,067,079
to Hansen Drive
960004Eastern Dublin Arterial Street and Freeway 102,073 1,002,044 1,002,044 $960,048 $508,363
Improvements
960005Downtown Dublin Roadway Improvements402 10,675 10,675
960008Alamo Canal Trail Under I-58023,491 580,427 580,427 1,357,
960009Village Parkway Amador Valley Boulevard Storm 396,058
Water Treatment
960010Saint Patrick Way Regional Street to Golden Gate 410,477 1,084,129
Drive
960012East and West Dublin BART Station Corridor 421,918
Enhancement Dublin Boulevard From Hansen
Drive to Tassajara Road
960017Citywide Street Storm Drain Condition Assessment38,543 151
960022Trafc Signal Improvements86,034 598,457 598,457
960023Dublin Ranch Street Light Pole Painting33,465 33,281 33,28
960024Speed Feedback Demonstration Project41,695 17,720 17,720
960025Dougherty Road Improvements Sierra Lane to 115,836 446,711 446,711 1,343,249
North City Limit
960026Dublin Boulevard Sierra Court to Dublin Court147,266 147
960027West Dublin BART Golden Gate Drive Improvements7,831 125,7
960028Storm Drain Bypass San Ramon Road443,250 416,750
960029Storm Water Trash Capture Project215,600
AnnualAnnual Street Overlay Program1,053,462 842,089 842,089 921
AnnualAnnual Slurry Seal Program488,619 653,978 653,978 655,100
$4,503,757 $7,676,902 $7,676,902 $7,542,399 $3,328,916
.
Capital Improvement Projects
84City of Dublin Fiscal Years 2012-2013 and 2013-2014
STREETS continued...
FINANCINGACTUAL ADJUSTED PROJECTED PROPOSED FORECAST
2010-20112011-20122011-20122012-20132013-2014
1001General Fund$38,543 $151,457 $151,457 $370,600
2201State Gas Tax584,537 742,568 742,568 727,758 $625,100
2202SAFETEA-LU347,824 951,215 951,215 1,560,785
2204Measure B Sales Tax Local Streets (ACTC)340,565 177,556 17
2205Measure B Sales Tax Bike / Pedestrian Funds (ACTC)72,876 4
2208Congestion Management Agency Funds261,098 46,662 46,662
2209Trafc Congestion Relief Fund451,799
2210Highway Safety Trafc Reduction Bond7,831 125,718 125,718 51
2211Federal Transportation (TIGER)50,000 50,000 292,523
2321Storm Water Management396,058 443,250 416,750
2402East Bay Regional Park District106,950
2705Assessment District East Dublin Lights33,465 33,281 33,281
4301Trafc Impact Fee Category 1(25,399)1,001,774 1,001,774 78
4302Trafc Impact Fee Category 283,992 301,142 301,142 174,675
4303Trafc Impact Fee Category 3751,067 10,675 10,675
4304Downtown Dublin Trafc Impact Fee402 46,711 46,711 1,065,791
4305Dougherty Valley Trafc Impact Fee8,583 1,204,268
4306Tri-Valley Transportation Development Fee498,933
........................................
4309Mitigation Contributions517,730 3,614,345 3,614,345 336,615
$4,503,757 $7,676,902 $7,676,902 $7,542,399 $3,328,916
Fallon Road
Capital Improvement Projects
City of Dublin Fiscal Years 2012-2013 and 2013-201485
City of Dublin
INTERNAL SERVICE FUNDS
Internal Services
The Internal Service Fund provides funding to support the follow
and computers; 2) Replacement of capital equipment owned by the
services providers; 3) Replacement of major building system comp
pumps, boilers, etc. at City owned facilities; 4) Replacement of
and repairs of buildings, vehicles, equipment and computers.
Each City Operating Department includes within its budget charge
that considers the expected life of the specic item. The Inter
represent income to the Internal Services Fund. The charges to
accumulate funds over time for the replacement of the equipment.
and operation costs for vehicles serviced by the Fund, such as g
and other operating costs for equipment such as copiers, printer
The estimated expenditures in Fiscal Year 2011-2012 are $1,358,1
expense and transfers), which is $147,580 or 10% less than the b
include: 1) Carryover in the amount of $121,262 for the re engi
January 2013; 2) lower than expected costs for computer and equi
for the ongoing maintenance and repairs of vehicles and equipmen
building maintenance and repairs.
The proposed budget for Fiscal Year 2012-2013 is $839,600 (exclu
transfers). The Fiscal Year 2012-2013 Internal Service Fund budg
and equipment maintenance of $440,750, funding for the Geographi
of $27,000, the Telephone System CIP #930017 in the amount of $3
building maintenance and repairs in the amount of $50,000. In F
expenditures will be funded from this budget activity: 1) Replac
2) Replace 34 computers and laptops ($45,800); 3) Replace 3 pri
the primary domain controller server and other miscellaneous inf
The Forecast Budget for Fiscal Year 2013-2014 is $797,570 (exclu
transfers). The Fiscal Year 2013-2014 Internal Service Fund budg
and equipment maintenance of $463,550, the second year funding f
#930004 in the amount of $64,000, and budgeted contingency for u
the amount of $50,000. In Fiscal Year 2013-2014 the following C
Internal Service Funds
City of Dublin Fiscal Years 2012-2013 and 2013-201487
Sorrento
budget activity: 1) Replace 3 police patrol cars and related equ
computers ($39,600); 3) Replace 4 printers and the main copier (
domain controller server and other miscellaneous information ser
This budget activity is shown for informational purposes only.
INTERNAL SERVICE FUNDS
(Excludes Retiree Medical Fund 6901)
Actual Adjusted Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CATEGORY EXPENDITURE SUMMARY
Services and Supplies$351,320$389,630$383,160$442,750$465,550
Capital Outlay9,5401,116,070974,960396,850332,020
Depreciation3,022,3402,757,7702,762,1702,779,8202,802,080
Transfer to CIP114,840211,600211,600386,89064,000
TOTAL EXPENDITURES$3,498,040$4,475,070$4,331,890$4,006,310$3,663
FUNDING
Vehicles & Apparatus Replacement Funds$199,810$1,001,050$894,
Building Replacement Fund2,751,4202,349,3802,338,8502,163,180
Equipment Replacement Fund213,840737,010716,610801,590496,460
Maintenance & Repairs Fund332,970387,630382,210440,750463,550
TOTAL FUNDING$3,498,040$4,475,070$4,331,890$4,006,310$3,663,650
Internal Service Funds
88City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin
AGENCY FUNDS
Improvement Assessment Districts
The Citys auditors, in the preparation of the Comprehensive Ann
to servicing debt on Assessment District obligations as part of
account for assets held by the City in a duciary capacity. The
indentures, ordinances, or other regulations. Revenues are coll
documents. This section of the budget document has been present
In the case of the Assessment District, the City has an obligati
issue, and to initiate foreclosure in cases where payment of the
that the accounting of these funds be presented only for informa
budget. An Assessment District is unique in the fact that City
process the monies collected. Payments derived from Property Ta
account within the Citys nancial system. The City ensures the
then make the required payments to the individual bondholders.
Dougherty Hills Dog Park
Agency Funds
City of Dublin Fiscal Years 2012-2013 and 2013-201489
City of Dublin
DUBLIN BOULEVARD EXTENSION
ASSESSMENT DISTRICT
Overview
This is a debt service fund which makes payments on bonds issued
Extension improvements. A total of $2,350,000 in bonds was orig
Year 2011-2012 a total principal amount of $189,050 remains outs
for the full retirement of these bonds on September 2, 2012.
Each year the City requests that the County Tax Collector place
principal and interest. No Assessment will be required in Fisca
the nal debt service payment. The Assessments are only levied
a benet from the improvements. The Assessment District is comp
east of Dougherty Road. The Districts Trustee US Bank holds a
by a property owner. There was no delinquency reported at the t
and earns interest each year under the terms of the Assessment D
in the Reserve Fund until the balance available reaches $164,500
used to reduce the amount of assessments collected and / or to c
follows, the estimated balance in the Reserve Fund during Fiscal
used to meet the nal debt service payment scheduled for Septemb
A separate column has been included in the summary providing an
held by the Districts Trustee. Debt service payment funds coll
summarized in the second column of the summary, with combined in
is provided for both Fiscal Year 2011-2012 and Fiscal Year 2012-
In Fiscal Year 2012-2013 the debt service summary provides for t
service schedule also provides for the nal redemption of the ou
installment of the Term Bonds dated September 2, 2012.
In Fiscal Year 2012-2013 the funds on hand will be forwarded to
for September 2, 2012 ($182,000 principal and $7,052.50 interest
administrative costs. Upon completing the repayment any residua
Dublin Boulevard Extension Assessment District
City of Dublin Fiscal Years 2012-2013 and 2013-201491
FOR INFORMATION PURPOSES ONLY
DUBLIN BOULEVARD EXTENSION ASSESSMENT DISTRICT
Summary of Estimated Financial Activity
RESERVE REDEMPTION
FUND FUND
(Held by US (Held by City for
Bank, Trustee)Bond Payments)TOTAL
BEGINNING FUND BALANCE FY 2011-2012$164,500$236,367$400,867
Estimated FY 2011-2012 Revenues
Estimated Assessments$0$23,330$23,330
Estimated Interest Income*0645645
TOTAL ESTIMATED REVENUES$0$23,975$23,975
Estimated FY 2011-2012 Expenditures
Estimated Debt Service Principal$0$(203,000)$(203,000)
Estimated Debt Service Interest 0(21,970)(21,970)
Estimated Other Expenses0(3,730)(3,730)
TOTAL ESTIMATED EXPENDITURES$0$(228,700)$(228,700)
Other Sources / Uses
$0$0$0
Use of Surplus in Reserve Fund (Maximum Balance $164,500)
EST. ENDING FUND BALANCE FY 2011-2012$164,500$31,642$196,142
Estimated FY 2012-2013 Revenues
Estimated Assessments$0$0$0
Estimated Interest Income*000
TOTAL ESTIMATED REVENUES$0$0$0
Estimated FY 2012-2013 Expenditures
Estimated Debt Service Principal$0$(182,000)$(182,000)
Estimated Debt Service Interest 0(7,050)(7,050)
Estimated Other Expenses Including Close-Out0(7,092)(7,092)
TOTAL ESTIMATED EXPENDITURES $0$(196,142)$(196,142)
Other Sources / Uses
$(164,500)$164,500$0
Use of Surplus in Reserve Fund (Final Payment September 2, 20
EST. ENDING FUND BALANCE FY 2012-2013$0$0$0
Dublin Boulevard Extension Assessment District
92City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin
GEOLOGIC HAZARD ABATEMENT DISTRICTS
Overview
A Geologic Hazard Abatement District (GHAD) is a special entity
applies to a specic dened area within the City. The District
Code which establishes in Section 25670 that a District is a pol
instrumentality of a local agency.
The Citys role is limited to providing support to the GHAD, coo
the funds collected on the property tax bills and coordinating t
collected for the GHAD are derived from Property Tax Assessments
of the District. The District can perform maintenance on dened
potential major extraordinary work required if a landslide were
The Public Resources Code denes a geologic hazard as an actua
earthquake, fault movement, or any other natural or unnatural movement of la
The purpose of establishing a GHAD is intended as a means to add
a geologic hazard. State law identies the purpose of a Distric
control of a geologic hazard; and (b) Mitigation or abatement of
geologic hazards (Public Resources Code 26525).
The City of Dublin has established three separate Districts: Fal
(North Tassajara) GHAD. These districts are managed by a Board
of Dublin City Council. Assessments are levied in accordance wi
adopted at a public meeting.
Amador Valley Hotel Historic Marker Dublin Heritage Park and
Geologic Hazard Abatement Districts
City of Dublin Fiscal Years 2012-2013 and 2013-201493
Ted Faireld Park
Fallon Village Geologic Hazard Abatement District
#5301 & #5311
This assessment district was established in accordance with a co
project. On December 4, 2007 the City Council approved Resoluti
Hazard Abatement District with the Board of Directors consisting
was formed to provide a mechanism for ongoing maintenance of ope
boundary of this assessment district encompasses approximately 1
On May 3, 2011, the City Council approved Resolution No. 52-11 w
District. The modication was made to include the future develo
to the current District. The Jordan Ranch Property was annexed
On February 5, 2008, the Board of Directors adopted Resolution N
on each parcel within the original District boundaries, in accor
annually to reect the percentage change in the San Francisco-Oa
Urban Consumers as of the preceding June. Parcels are assessed f
assessments were collected in Fiscal Year 2008-2009.
On December 20, 2011, the Board of Directors adopted Resolution
on each parcel within the portion of the District boundaries, wh
approved assessments are in accordance with the Engineers Repor
percentage change in the San Francisco-Oakland-San Jose Consumer
the preceding December. Parcels are assessed following the issua
annexed area are expected to be collected in Fiscal Year 2012-20
The City anticipates the total number of parcels in the District
Fiscal Year 2012-2013, and will increase again in Fiscal Year 2
primarily to administrative costs in an amount similar to the co
in excess of the annual expenses are maintained in a reserve to
was developed to accommodate the collection of adequate funds to
event at a 10-year interval. Therefore, initial GHAD expenses d
adequate reserves are established. The reserve fund is invested
authorized by the District.
This information is presented for informational purposes, since
Dublin.
Geologic Hazard Abatement Districts
94City of Dublin Fiscal Years 2012-2013 and 2013-2014
FALLON VILLAGE GEOLOGIC HAZARD ABATEMENT DISTRICT
Actual Adjusted Projected Proposed
2010-20112011-20122012-20132013-2014
BEGINNING BALANCE JULY 1st$43,222$154,372
PROJECTED BEGINNING BALANCE JULY 1st$333,743$591,021
Funding
Assessments #5301$114,440$184,420$255,940$336,750
Assessments Annexation #1 (Fund #5311)003,36011,830
Interest Income1,4301,7915,0288,470
TOTAL FUNDING$115,870$186,211 $264,328 $357,050
Category Expenditure Summary
District Administration Expenses$4,720$6,840$7,050$7,050
Contract Maintenance Expenses0000
TOTAL EXPENDITURES$4,720$6,840$7,050$7,050
NET ADDITION / (REDUCTION) IN RESERVES$111,150$179,371$257,278$3
ENDING BALANCE JUNE 30th$154,372$333,743$591,021$941,021
Dublin Swim Center
Geologic Hazard Abatement Districts
City of Dublin Fiscal Years 2012-2013 and 2013-201495
Schaefer Ranch Geologic Hazard Abatement District
#5302
This assessment district was established in accordance with a co
project. On December 5, 2006, the City Council approved Resolut
Geologic Hazard Abatement District with the Board of Directors c
District was formed to provide a mechanism for ongoing maintenan
The boundary of the District encompasses 500 acres of land locat
Interstate 580, and south of the unincorporated area of Alameda
On February 5, 2008, the Board of Directors adopted Resolution N
on each parcel in accordance with the Engineers Report. The re
increase for ination to reect the percentage change in the San
(CPI) for all Urban Consumers at December, plus 0.5 percent. The
2009. Parcels are assessed following the issuance of a Building
The City anticipates the number of parcels in the District to in
in Fiscal Year 2013-2014 to 232. Beginning in Fiscal Year 2012-
related to administrative expenses. An expenditure of $51,100 i
maintenance services in both Fiscal Year 2012-2013 and Fiscal Ye
allocated to reserves in accordance with the maintenance and mon
All funds collected in excess of the annual expenses are maintai
Engineers Report was developed to accommodate collection of ade
million) geologic event at a 13 year interval. The reserve fund
expenses authorized by the District.
This information is presented for informational purposes, since
Dublin.
Sorrento
Geologic Hazard Abatement Districts
96City of Dublin Fiscal Years 2012-2013 and 2013-2014
Piazza Sorrento
SCHAEFER RANCH GEOLOGIC HAZARD ABATEMENT DISTRICT
Actual Adjusted Projected Proposed
2010-20112011-20122012-20132013-2014
BEGINNING BALANCE JULY 1st$111,033$278,244
PROJECTED BEGINNING BALANCE JULY 1st$522,730$784,097
Funding
Assessments $169,920$250,040$320,750$409,170
Interest Income2,8613,0767,11710,980
TOTAL FUNDING$172,781$253,116 $327,867 $420,150
Category Expenditure Summary
District Administration Expenses$5,570$8,630$15,400$25,430
Contract Maintenance Expenses0051,10051,100
TOTAL EXPENDITURES$5,570$8,630$66,500$76,530
NET ADDITION / (REDUCTION) IN RESERVES$167,211$244,486$261,367$3
ENDING BALANCE JUNE 30$278,244$522,730$784,097$1,127,717
Geologic Hazard Abatement Districts
City of Dublin Fiscal Years 2012-2013 and 2013-201497
Fallon Sports Park
Fallon Crossing (North Tassajara) Geologic Hazard
Abatement District
#5321
This assessment district was established in accordance with a co
project. On August 16, 2011, the City Council approved Resoluti
Geologic Hazard Abatement District with the Board of Directors c
District was formed to provide a mechanism for ongoing maintenan
boundary of the District encompasses 68 acres of land located on
north of Interstate Highway 580. Tassajara Road and Moller Creek
northwestern limits of the site.
On December 20, 2011, the Board of Directors adopted Resolution
on each parcel in accordance with the Engineers Report. The re
increase for ination to reect the percentage change in the San
(CPI) for all Urban Consumers at December, plus 0.5 percent. The
2013. Parcels are assessed following the issuance of a Building
The City anticipates 5 parcels will initially be levied in Fisca
2013-2014. The Expenditures are expected to be related primaril
the annual expenses are maintained in a reserve to address poten
to accommodate collection of adequate funds to address a larger
interval. Therefore, initial GHAD expenses described in the rep
are established. The reserve fund is invested and earns interes
District.
This information is presented for informational purposes, since
Dublin.
Geologic Hazard Abatement Districts
98City of Dublin Fiscal Years 2012-2013 and 2013-2014
FALLON CROSSING (NORTH TASSAJARA) GEOLOGIC HAZARD ABATEMENT DIST
Actual Adjusted Projected Proposed
2010-20112011-20122012-20132013-2014
BEGINNING BALANCE JULY 1st$0$0
PROJECTED BEGINNING BALANCE JULY 1st$0$2,494
Funding
Assessments$0$0$4,980$25,720
Interest Income0014173
TOTAL FUNDING$0$0$4,994$25,893
Category Expenditure Summary
District Administration Expenses$0$0$2,500$2,500
Contract Maintenance Expenses0000
TOTAL EXPENDITURES$0$0$2,500$2,500
NET ADDITION / (REDUCTION) IN RESERVES$0$0$2,494$23,393
ENDING BALANCE JUNE 30th$0$0$2,494$25,887
Tennis Courts at Fallon Sports Park
Geologic Hazard Abatement Districts
City of Dublin Fiscal Years 2012-2013 and 2013-201499
City of Dublin
APPENDIX
Introduction to Appendix
The City of Dublin adopts an Annual Budget which incorporates th
Fiscal Year. The Fiscal Year begins July 1st and ends on June 3
The schedules included in the Appendix are intended to provide a
and expenditures. In preparing the Preliminary Budget and Finan
nearest ten dollars. This may result in minor differences for t
as compared to previously issued nancial statements. The diffe
2011-2012 Budget data shown for comparison reect the Adjusted B
City Council action throughout the year.
Questions about the presentation of the information can be direc
via e-mail at cityofdublin@dublin.ca.gov.
The following are the sections included in the Appendix:
#1 Summary Appropriations by Major Fund Type
#2 Historical Comparison of Revenues by Source
#3 Comparison of Expenditures by Program
#4 Position Allocation Plan
#5 Appropriations Limit
#6 Financial Terms Dened
Sybase, Dublin
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014101
#1 Summary Appropriations by
Major Fund Type (Proposed Budget)
CITY OF DUBLIN FISCAL YEAR 2012-2013 SUMMARY BY MAJOR FUND TYPE
SUMMARY APPROPRIATIONS BY MAJOR FUND TYPE (PROPOSED FY 2013 BUDG
General Special Capital
Funds AvailableTotalFundRevenueProject
CURRENT REVENUE
Property Taxes$23,226,350 $23,073,950 $152,400 $0
Sales Taxes15,003,560 14,550,000 453,560 0
Taxes Other Than Property or Sales Tax4,202,3004,202,300 0 0
Special Assessments985,8200 985,820 0
Licenses & Permits2,452,4902,452,490 0 0
Fines & Forfeitures257,280115,410 141,870 0
Use of Money & Property1,610,7001,077,630 129,000 0
Intergovernmental Revenues4,569,100181,800 4,387,300 0
Charges for Service10,848,7706,566,010 2,722,600 0
Impact Fees4,984,6200 0 0
Other Revenues8,871,5907,241,290 1,621,300 0
TOTAL CURRENT REVENUE$77,012,580 $59,460,880 $10,593,850 $0
OTHER SOURCES / USES
Appropriations from Reserves
Economic Stability Reserve$0 $0 $0 $0
Assigned For One-Time Initiatives (Operating)269,860 269,860 0 0
Assigned For One-Time Initiatives (Capital)587,074 587,074 0 0
Carry-Over Fiscally Responsible Adjustment328,040 328,040 0 0
Innovations & New Opportunities1,630,205 1,630,205 0 0
Civic Center Expansion Design542,082 542,082 0 0
Public Safety Complex (New 6/30/12)907,960 907,960 0 0
Emergency Communications50,000 50,000 0 0
Unrestricted (Capital Contribution) 889,294 889,294 0 0
Operating Transfer In / (Out)0 35,379 (35,379)0
Fund Transfers In / (Out) Capital Projects0 (10,725,407)(4,670
SUB-TOTAL OTHER SOURCES / USES$5,204,515 ($5,485,513)($4,706,247
TOTAL FUNDS AVAILABLE$82,217,095 $53,975,367 $5,887,603 $22,153,
Appendix
102City of Dublin Fiscal Years 2012-2013 and 2013-2014
Impact Internal
FeesService
$0 $0
0 0
0 0
0 0
0 0
0 0
290,460 113,610
0 0
0 1,560,160
4,984,620 0
0 9,000
$5,275,080 $1,682,770
$0 $0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
(6,370,560)(386,890)
($6,370,560)($386,890)
($1,095,480)$1,295,880
Dublin Boulevard
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014103
SUMMARY APPROPRIATIONS BY MAJOR FUND TYPE (PROPOSED FY 2013 BUDG
General Special Capital
Funds AvailableTotalFundRevenueProject
OPERATING EXPENDITURES
General Government$7,895,850 $7,842,070 $53,780 $0
Public Safety27,890,28026,571,890 1,318,390 0
Transportation3,270,0002,185,420 1,084,580 0
Health & Welfare4,403,630581,380 3,822,250 0
Culture & Leisure Services8,690,1308,554,170 27,630 0
Community Development7,513,6307,301,170 207,190 0
TOTAL OPERATING EXPENDITURES$59,663,520 $53,036,100 $6,513,820 $
CAPITAL PROJECTS
General $10,654,873 $0 $0 $10,654,873
Community Improvement86,8240 0 86,824
Parks3,869,6290 0 3,869,629
Streets7,542,3990 0 7,542,399
TOTAL CAPITAL PROJECTS$22,153,725 $0 $0 $22,153,725
INTERNAL SERVICE EXPENDITURES (cash basis)$839,600 $0$0$0
TOTAL PROPOSED EXPENDITURES$82,656,845 $53,036,100 $6,513,820 $2
Appropriations To Reserves General$189,267 $189,267 00
Appropriations To / (From) Reserves Restricted($629,017)$750,000 ($626,217)$0
TOTAL APPROPRIATIONS RESERVES($439,750)$939,267 ($626,217)$0
TOTAL APPROPRIATIONS$82,217,095 $53,975,367 $5,887,603 $22,153,7
Appendix
104City of Dublin Fiscal Years 2012-2013 and 2013-2014
Impact Internal
FeesService
$0 $0
0 0
0 0
0 0
108,330 0
5,270 0
$113,600 $0
$0 $0
0 0
0 0
0 0
$0 $0
$0$839,600
$113,600 $839,600
00
($1,209,080)$456,280
($1,209,080)$456,280
($1,095,480)$1,295,880
Dublin Ranch Golf Course
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014105
CITY OF DUBLIN FISCAL YEAR 2013-2014 SUMMARY BY MAJOR FUND TYPE
SUMMARY APPROPRIATIONS BY MAJOR FUND TYPE (FORECAST FY 2014 BUDG
General Special Capital
Funds AvailableTotalFundRevenueProject
CURRENT REVENUE
Property Taxes$24,044,530 $23,888,530 $156,000 $0
Sales Taxes15,770,130 15,300,000 470,130 0
Taxes Other Than Property or Sales Tax4,270,3004,270,300 0 0
Special Assessments1,033,7800 1,033,780 0
Licenses & Permits2,597,0202,597,020 0 0
Fines & Forfeitures257,280115,410 141,870 0
Use of Money & Property1,727,9401,183,720 155,160 0
Intergovernmental Revenues2,612,000183,620 2,428,380 0
Charges for Service9,974,0805,690,130 2,723,790 0
Impact Fees7,367,0600 0 0
Other Revenues2,448,9701,652,720 796,250 0
TOTAL CURRENT REVENUE$72,103,090 $54,881,450 $7,905,360 $0
OTHER SOURCES / USES
Appropriations from Reserves
Economic Stability Reserve$0 $0 $0 $0
Assigned For One-Time Initiatives (Operating)234,000 234,000 0 0
Assigned For One-Time Initiatives (Capital)250,474 250,474 0 0
Carry-Over Fiscally Responsible Adjustment336,150 336,150 0 0
Innovations & New Opportunities0 0 0 0
Civic Center Expansion Design0 0 0 0
Public Safety Complex0 0 0 0
Emergency Communications0 0 0 0
Unrestricted (Capital Contribution) 695,297 695,297 0 0
Operating Transfer In / (Out)0 37,462 (37,462)0
Fund Transfers In / (Out) Capital Projects0 (2,433,824)(1,736,
SUB-TOTAL OTHER SOURCES / USES$1,515,921 ($880,441)($1,773,886)$
TOTAL FUNDS AVAILABLE$73,619,011 $54,001,009 $6,131,474 $15,634,
Appendix
106City of Dublin Fiscal Years 2012-2013 and 2013-2014
Impact Internal
FeesService
$0 $0
0 0
0 0
0 0
0 0
0 0
275,450 113,610
0 0
01,560,160
7,367,060 0
0 0
$7,642,510 $1,673,770
$0 $0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
(11,400,363)(64,000)
($11,400,363)($64,000)
($3,757,853)$1,609,770
Sorrento
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014107
SUMMARY APPROPRIATIONS BY MAJOR FUND TYPE (FORECAST FY 2014 BUDGcontinued...
General Special Capital
Funds AvailableTotalFundRevenueProject
OPERATING EXPENDITURES
General Government$7,600,970 $7,558,260 $42,710 $0
Public Safety29,256,90027,908,240 1,348,660 0
Transportation3,259,8602,252,060 1,007,800 0
Health & Welfare4,299,830590,470 3,709,360 0
Culture & Leisure Services8,975,2508,947,620 27,630 0
Community Development6,730,3106,686,070 38,970 0
TOTAL OPERATING EXPENDITURES$60,123,120 $53,942,720 $6,175,130 $
CAPITAL PROJECTS
General $2,412,500 $0 $0 $2,412,500
Community Improvement85,3240 0 85,324
Parks9,807,8710 0 9,807,871
Streets3,328,9160 0 3,328,916
TOTAL CAPITAL PROJECTS$15,634,611 $0 $0 $15,634,611
INTERNAL SERVICE EXPENDITURES (cash basis)$797,570 $0$0$0
TOTAL PROPOSED EXPENDITURES$76,555,301 $53,942,720 $6,175,130 $1
Appropriations To Reserves General$58,289 $58,289 $0 $0
Appropriations To Reserves Restricted($2,994,579)$0 ($43,656)$0
TOTAL APPROPRIATIONS RESERVES($2,936,290)$58,289 ($43,656)$0
TOTAL APPROPRIATIONS$73,619,011 $54,001,009 $6,131,474 $15,634,6
Appendix
108City of Dublin Fiscal Years 2012-2013 and 2013-2014
Impact Internal
FeesService
$0 $0
0 0
0 0
0 0
0 0
5,270 0
$5,270 $0
$0 $0
0 0
0 0
0 0
$0 $0
$0$797,570
$5,270 $797,570
$0
($3,763,123)$812,200
($3,763,123)$812,200
($3,757,853)$1,609,770
Alamo Creek
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014109
#2 Historical Comparison of Revenues by Source
CITY OF DUBLIN 2012-2013 and 2013-2014 BUDGET & FINANCIAL PLAN
HISTORICAL COMPARISON OF REVENUES BY SOURCE
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
GENERAL FUNDS #1001
PROPERTY TAXES
Current Secured $16,504,120 $16,500,000 $16,500,000 $17,504,0
Current Unsecured 1,075,550 1,050,000 1,050,000 1,120,000 1,
In Lieu Property Tax 3,340,370 3,410,190 3,410,190 3,537,950
Supplemental 300,420 300,000 300,000 400,000 450,000
Prior Secured 548,110 500,000 500,000 375,000 280,000
Prior Unsecured(14,860) 11,000 11,000 5,000 5,000
Property Tax Penalties 164,780 165,000 165,000 132,000 118,8
Housing Authority Pilot Tax
Sub-Total $21,918,490 $21,936,190 $21,936,190 $23,073,950 $2
TAXES OTHER THAN PROPERTY
Sales Tax
Sales and Use Tax $9,726,840 $10,308,750 $10,717,500 $10,912,
In Lieu Sales Tax 3,242,280 3,436,250 3,572,500 3,637,500 3,
Sales Tax Total $12,969,120 $13,745,000 $14,290,000 $14,550
Property Transfer Tax 475,200 400,000 400,000 430,000 451,50
Transient Occupancy Tax (Hotel) 683,730 850,000 850,000 875,0
Franchise Taxes
Electric Franchise Tax 423,670 469,350 496,650 450,000 463
Gas Franchise Tax 95,620 101,560 106,710 102,300 105,300
Garbage Franchise Tax 1,444,820 1,640,000 1,640,000 1,670,0
Cable Franchise Tax 675,480 690,000 675,000 675,000 675,00
Franchise Taxes Total $2,639,590 $2,900,910 $2,918,360 $2,8
Sub-Total $16,767,640 $17,895,910 $18,458,360 $18,752,300 $1
Appendix
110City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
LICENSES & PERMITS
Business Licenses $142,650 $139,000 $139,000 $139,000 $139,0
Police Licenses 16,700 19,750 19,830 19,380 19,380
Animal Licenses 5,870 6,000 5,680 5,600 5,600
Fire Permits 59,510 46,510 49,600 50,730 52,980
Planning Permits 52,050 53,710 49,110 52,740 52,740
Building Permits 2,344,000 2,646,720 2,792,250 2,047,170 2,2
Construction and Demo Permits 77,070 68,550 91,530 55,470 56
Encroachment / Transportation Permits 49,700 59,750 70,310 79
Newspaper Rack Permits 3,240 3,240 3,240 0 3,240
Grading 1,950 600 5,400 3,280 3,280
Sub-Total $2,752,740 $3,043,830 $3,225,950 $2,452,490 $2,597
FINES & FORFEITURES
Business License Penalties $2,500 $3,250 $2,500 $2,500 $2,50
Penalties Other 0 0 0 0 0
Other Court Fines 61,680 57,000 64,120 60,000 60,000
Parking Citations 60,440 58,400 52,910 52,910 52,910
Sub-Total $124,620 $118,650 $119,530 $115,410 $115,410
REVENUE FROM USE OF MONEY & PROPERTY
Interest $535,120 $627,070 $522,180 $553,030 $652,160
Field & Court Rentals 150,180 133,900 180,570 185,080 190,69
Facility Rentals 287,550 273,600 265,200 274,760 275,260
Leased Property 63,880 61,510 61,510 64,100 64,800
Sub-Total $1,036,730 $1,096,080 $1,029,460 $1,076,970 $1,182
INTER-GOVERNMENTAL REVENUE
FEDERAL REVENUE
Federal Grants Heritage Center $0 $0 $0 $0 $0
Federal Grant Planning 19,350 0 0 0 0
Federal Revenue-Total $19,350 $0 $0 $0 $0
STATE REVENUE
Motor Vehicle In-Lieu $250,970 $0 $0 $0 $0
Mandated Costs Reimbursement 19,660 0 15,850 0 0
Property Tax Relief (HOPTR) 177,020 180,000 180,000 181,800
Other State Grants Street Tree Maintenance 29,600 0 0 0 0
Sub-Total $477,250 $180,000 $195,850 $181,800 $183,620
Sub-Total $496,600 $180,000 $195,850 $181,800 $183,620
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014111
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CHARGES FOR SERVICES
Sale of Documents $2,860 $3,220 $8,930 $20,720 $3,700
Cable TV Support 79,960 0 0 0 0
Building Use Insurance 16,320 17,860 17,860 16,000 16,000
Police Charges for Services 63,370 54,880 64,890 60,730 60,7
Fire Charges for Services 118,460 207,470 223,700 121,340 12
Santa Rita Services 639,960 650,000 689,510 800,000 820,000
Waste Management Administration Fee 564,280 645,000 645,000 6
Local Share Permit Surcharge Green Building 870 720 1,120 640 720
Heritage & Cultural Arts 258,030 232,600 239,180 273,590 276
Recreation & Community Services* 1,696,980 1,693,080 1,663,700
Zoning / Planning 1,334,680 1,468,380 1,442,360 1,259,010 8
Annexation 28,130 0 0 0 0
Plan Checking Building 3,030 2,600 3,200 2,600 2,600
Plan Checking Engineering 1,608,050 1,646,980 1,647,450 1,6
Local Share Permit Surcharges Zone 7 / SMIP 17,850 7,300 24,670 7,580 10,900
Sub-Total $6,432,830 $6,630,090 $6,671,570 $6,566,010 $5,690
OTHER REVENUES
Sale of Property $166,930 $166,670 $166,670 $166,670 $0
Contributions / Donations / Sponsorships 152,300 62,510 58,370
Miscellaneous Revenue 95,620 81,000 150,260 88,560 53,080
Reimbursement, General 61,630 172,310 187,900 3,725,250 24,5
Reimbursement, Damage 54,080 16,760 25,820 19,370 19,370
Community Benet Payments 2,796,110 755,840 802,480 3,168,790
Sub-Total $3,326,670 $1,255,090 $1,391,500 $7,241,290 $1,652
TOTAL GENERAL FUND $52,856,320 $52,155,840 $53,028,410 $59,460,220 $54,880,640
CEMETERY RESERVE FUND #1002
REVENUE FROM USE OF MONEY & PROPERTY
Interest $930 $970 $560 $660 $810
Sub-Total $930 $970 $560 $660 $810
OTHER REVENUES
Miscellaneous $0 $0 $0 $0 $0
Sub-Total $0 $0 $0 $0 $0
TOTAL
$930$970 $560$660 $810
Appendix
112City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CRIMINAL ACTIVITY FUND #2101
REVENUE FROM USE OF MONEY & PROPERTY
Interest $1,290 $1,300 $840 $1,070 $1,280
Sub-Total $1,290 $1,300 $840 $1,070 $1,280
OTHER REVENUES
Miscellaneous $3,090 $0 $20,710 $0 $0
Sub-Total $3,090 $0 $20,710 $0 $0
TOTAL
$4,380$1,300$21,550 $1,070$1,280
VEHICLE ABATEMENT FUND #2102
REVENUE FROM USE OF MONEY & PROPERTY
Interest $3,110 $3,670 $1,960 $2,430 $3,060
Sub-Total $3,110 $3,670 $1,960 $2,430 $3,060
INTERGOVERNMENTAL STATE
County Grants $32,100 $32,000 $33,470 $32,580 $32,580
Sub-Total $32,100 $32,000 $33,470 $32,580 $32,580
TOTAL $35,210 $35,670 $35,430 $35,010 $35,640
SUPPLEMENTAL LAW ENFORCEMENT FUND #2103
REVENUE FROM USE OF MONEY & PROPERTY
Interest $320 $0 $310 $0 $0
Sub-Total $320 $0 $310 $0 $0
INTERGOVERNMENTAL STATE
Other State Grants $100,000 $61,620 $100,000 $100,000 $100,0
Sub-Total $100,000 $61,620 $100,000 $100,000 $100,000
TOTAL $100,320 $61,620 $100,310 $100,000 $100,000
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014113
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
FEDERAL POLICE GRANT FUND #2104
REVENUE FROM USE OF MONEY & PROPERTY
Interest $120 $0 $30 $0 $0
Sub-Total $120 $0 $30 $0 $0
INTER-GOVERNMENTAL REVENUE FEDERAL
Federal Law Enforcement Block Grant $0 $0 $0 $0 $0
Sub-Total $0 $0 $0 $0 $0
TOTAL $120 $0 $30 $0 $0
TRAFFIC SAFETY FUND #2106
FINES & PENALTIES
Vehicle Fines $178,980 $173,500 $141,870 $141,870 $141,870
Sub-Total $178,980 $173,500 $141,870 $141,870 $141,870
REVENUE FROM USE OF MONEY & PROPERTY
Interest $1,270 $910 $1,050 $0 $0
Sub-Total $1,270 $910 $1,050 $0 $0
INTERGOVERNMENTAL STATE
Other State Grants $0 $38,380 $0 $0 $0
Sub-Total $0 $38,380 $0 $0 $0
OTHER REVENUES
Reimbursement, Damage$0$0$0$0$0
Sub-Total $0 $0 $0 $0 $0
TOTAL $180,250 $212,790 $142,920 $141,870 $141,870
FEDERAL ASSET SEIZURE FUND #2107
REVENUE FROM USE OF MONEY & PROPERTY
Interest $1,980 $1,920 $1,090 $1,110 $1,360
Sub-Total $1,980 $1,920 $1,090 $1,110 $1,360
OTHER REVENUES
Miscellaneous $134,360 $0 $0 $0 $0
Sub-Total $134,360 $0 $0 $0 $0
TOTAL $136,340 $1,920 $1,090 $1,110 $1,360
Appendix
114City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
EMS SPECIAL REVENUE FUND #2109
PROPERTY TAXES
Current Assessments $144,820 $146,600 $146,600 $148,900 $152
Prior Assessments 2,780 2,500 2,500 2,500 2,500
Late Payment Penalties 990 1,000 1,000 1,000 1,000
Sub-Total $148,590 $150,100 $150,100 $152,400 $156,000
REVENUE FROM USE OF MONEY & PROPERTY
Interest $480 $110 $0 $0 $0
Interest Designated 40 0 0 0 0
Sub-Total $520 $110 $0 $0 $0
INTERGOVERNMENTAL COUNTY
County Grants $171,570 $171,570 $185,870 $174,150 $177,630
Sub-Total $171,570 $171,570 $185,870 $174,150 $177,630
TOTAL $320,680 $321,780 $335,970 $326,550 $333,630
ENFORCEMENT GRANTS #2111
INTERGOVERNMENTAL FEDERAL
Federal Grant $9,550 $0 $1,050 $0 $0
Sub-Total $9,550 $0 $1,050 $0 $0
INTERGOVERNMENTAL STATE
Other State Grants$11,700 $14,240 $13,160 $2,200 $0
Sub-Total $11,700 $14,240 $13,160 $2,200 $0
TOTAL $21,250 $14,240 $14,210 $2,200 $0
STATE GAS TAX FUND #2201
REVENUE FROM USE OF MONEY & PROPERTY
Interest $18,740 $21,340 $14,090 $16,380 $21,050
Sub-Total $18,740 $21,340 $14,090 $16,380 $21,050
INTERGOVERNMENTAL STATE
Gas Tax Section 2105 $251,120 $225,000 $225,000 $230,000 $23
Gas Tax Section 2106 165,730 160,500 160,500 162,500 162,500
Gas Tax Section 2107 335,200 338,000 338,000 350,000 355,000
Gas Tax Section 2107.5 6,000 6,000 6,000 6,000 6,000
Prop 42 (TCRF) Replacement 390,380 500,000 500,000 515,000 5
Sub-Total $1,148,430 $1,229,500 $1,229,500 $1,263,500 $1,281
TOTAL $1,167,170 $1,250,840 $1,243,590 $1,279,880 $1,302,550
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014115
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
SAFE, ACCOUNTABLE, FLEXIBLE, EFFICIENT TRANSPORTATION EQUITY ACT
INTERGOVERNMENTAL FEDERAL
SAFETEA-LU Funds Federal Grant $347,820 $2,359,000 $951,220
Sub-Total $347,820 $2,359,000 $951,220 $1,560,790 $0
TOTAL $347,820 $2,359,000 $951,220 $1,560,790 $0
ACTC SALES TAX LOCAL STREETS FUND #2204
TAXES OTHER THAN PROPERTY
Sales & Use Tax $327,120 $322,790 $322,790 $334,570 $346,620
Sub-Total $327,120 $322,790 $322,790 $334,570 $346,620
REVENUE FROM USE OF MONEY & PROPERTY
Interest $34,320 $10,580 $5,920 $7,460 $7,270
Sub-Total $34,320 $10,580 $5,920 $7,460 $7,270
OTHER REVENUES
Reimbursement, General $0 $0 $0 $0 $0
Sub-Total $0 $0 $0 $0 $0
TOTAL $361,440 $333,370 $328,710 $342,030 $353,890
ACTC SALES TAX BIKE & PED FUND #2205
TAXES OTHER THAN PROPERTY
Sales & Use Tax $116,200 $114,660 $114,660 $118,990 $123,510
Sub-Total $116,200 $114,660 $114,660 $118,990 $123,510
REVENUE FROM USE OF MONEY & PROPERTY
Interest $7,580 $5,770 $3,200 $1,360 $2,200
Sub-Total $7,580 $5,770 $3,200 $1,360 $2,200
OTHER REVENUES
Reimbursement, General $23,490 $230,140 $126,210 $341,300 $0
Sub-Total $23,490 $230,140 $126,210 $341,300 $0
TOTAL $147,270 $350,570 $244,070 $461,650 $125,710
Appendix
116City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
CONGESTION MANAGEMENT AGENCY FUND #2208
INTERGOVERNMENTAL REVENUE STATE
Other State Grants $261,100 $522,000 $76,660 $0 $0
Sub-Total $261,100 $522,000 $76,660 $0 $0
REVENUE FROM USE OF MONEY & PROPERTY
Interest $0 $4,170 $0 $0 $0
Sub-Total $0 $4,170 $0 $0 $0
TOTAL $261,100 $526,170 $76,660 $0 $0
TCRF (TRAFFIC CONGESTION RELIEF) FUND #2209
REVENUE FROM USE OF MONEY & PROPERTY
Interest $6,160 $0 $0 $0 $0
Sub-Total $6,160 $0 $0 $0 $0
INTERGOVERNMENTAL REVENUE STATE
Other State Grants $0 $0 $0 $0 $0
Sub-Total $0 $0 $0 $0 $0
TOTAL $6,160 $0 $0 $0 $0
HIGHWAY SAFETY TRAFFIC REDUCTION BOND #2210
REVENUE FROM USE OF MONEY & PROPERTY
Interest $0 $0 $480 $0 $0
Sub-Total $0 $0 $480 $0 $0
INTERGOVERNMENTAL REVENUE STATE
Other State Grants $7,830 $600,210 $648,620 $0 $0
Sub-Total $7,830 $600,210 $648,620 $0 $0
TOTAL $7,830 $600,210 $649,100 $0 $0
AMERICAN RECOVERY & REINVESTMENT ACT (ARRA) TRANSPORTATION (TI
INTERGOVERNMENTAL FEDERAL
ARRA-Transportation Funds Federal Grant $0 $0 $50,000 $292,
Sub-Total $0 $0 $50,000 $292,520 $0
TOTAL $0 $0 $50,000 $292,520 $0
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014117
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
ACTC VEHICLE REGISTRATION FEE FUND #2212
REVENUE FROM USE OF MONEY & PROPERTY
Interest $0 $0 $0 $0 $0
Sub-Total $0 $0 $0 $0 $0
INTERGOVERNMENTAL COUNTY
County Grants $0 $0 $0 $203,360 $203,360
Sub-Total $0 $0 $0 $203,360 $203,360
TOTAL $0 $0 $0 $203,360 $203,360
MEASURE D RECYCLING FUND #2302
USE OF MONEY & PROPERTY
Interest $2,800 $1,440 $990 $850 $900
Sub-Total $2,800 $1,440 $990 $850 $900
INTERGOVERNMENTAL STATE
Other State Grants $42,960 $16,470 $16,470 $10,000 $10,000
County Grants 175,940 140,000 140,000 140,000 140,000
Sub-Total $218,900 $156,470 $156,470 $150,000 $150,000
OTHER REVENUE
Miscellaneous $2,950 $0 $2,750 $0 $0
Sub-Total $2,950 $0 $2,750 $0 $0
TOTAL $224,650 $157,910 $160,210 $150,850 $150,900
GARBAGE SERVICE FUND #2303
USE OF MONEY & PROPERTY
Interest $760 $350 $1,650 $0 $0
Interest Designated 600 0 0 0 0
Sub-Total $1,360 $350 $1,650 $0 $0
CHARGES FOR SERVICES
Current Residential Garbage / Recycle $2,197,870 $2,315,010
Prior Year Residential Garbage / Recycle 39,490 50,000 50,000 50,000 50,000
Late Payment Penalties 16,250 15,000 15,000 15,000 15,000
Sub-Total $2,253,610 $2,380,010 $2,380,000 $2,475,650 $2,541,190
TOTAL $2,254,970 $2,380,360 $2,381,650 $2,475,650 $2,541,190
Appendix
118City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
LOCAL RECYCLING PROGRAMS FUND #2304
USE OF MONEY & PROPERTY
Interest $5,980 $2,870 $2,860 $1,060 $850
Sub-Total $5,980 $2,870 $2,860 $1,060 $850
INTERGOVERNMENTAL STATE
County Grants $55,930 $37,600 $21,100 $18,000 $13,480
Sub-Total $55,930 $37,600 $21,100 $18,000 $13,480
TOTAL $61,910 $40,470 $23,960 $19,060 $14,330
AMERICAN RECOVERY & REINVESTMENT ACT ENV FUND #2311
INTERGOVERNMENTAL FEDERAL
Federal Grant $13,510 $167,340 $173,190 $0 $0
Sub-Total $13,510 $167,340 $173,190 $0 $0
TOTAL $13,510 $167,340 $173,190 $0 $0
STORM WATER MANAGEMENT FUND #2320
USE OF MONEY & PROPERTY
Interest $8,400 $7,790 $5,330 $6,960 $6,330
Sub-Total $8,400 $7,790 $5,330 $6,960 $6,330
INTERGOVERNMENTAL STATE
Other State Grants $212,210 $0 $0 $483,250 $416,750
Sub-Total $212,210 $0 $0 $483,250 $416,750
TOTAL $220,610 $7,790 $5,330 $490,210 $423,080
EAST BAY REGIONAL PARK DISTRICT FUND #2402
REVENUE FROM USE OF MONEY & PROPERTY
INTERGOVERNMENTAL STATE
County Grants $782,960 $0 $0 $106,950 $0
Sub-Total $782,960 $0 $0 $106,950 $0
TOTAL $782,960 $0 $0 $106,950 $0
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014119
Piazza Sorrento
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
STREET LIGHT DISTRICT (CITY-WIDE 1983-1) FUND #2701
ASSESSMENTS
Current Assessments $263,020 $265,310 $266,010 $266,880 $271
Prior Year Assessments 5,630 3,990 3,320 3,990 3,990
Late Payment Penalties 1,910 1,670 1,670 1,880 1,880
Sub-Total $270,560 $270,970 $271,000 $272,750 $277,430
REVENUE FROM USE OF MONEY & PROPERTY
Interest $2,710 $1,920 $1,490 $1,860 $1,880
Interest Designated 80 0 0 0 0
Sub-Total $2,790 $1,920 $1,490 $1,860 $1,880
OTHER REVENUES
Reimbursement, Damage $4,580 $2,500 $2,920 $2,500 $2,500
Sub-Total $4,580 $2,500 $2,920 $2,500 $2,500
TOTAL $277,930 $275,390 $275,410 $277,110 $281,810
LANDSCAPE DISTRICT (STAGECOACH RD. 1983-2) FUND #2702
ASSESSMENTS
Current Assessments $69,290 $72,140 $72,770 $78,820 $85,630
Prior Year Assessments 280 0 870 430 430
Late Payment Penalties 120 0 110 160 160
Sub-Total $69,690 $72,140 $73,750 $79,410 $86,220
REVENUE FROM USE OF MONEY & PROPERTY
Interest $450 $550 $180 $490 $650
Interest Designated 20 0 0 0 0
Sub-Total $470 $550 $180 $490 $650
TOTAL $70,160 $72,690 $73,930 $79,900 $86,870
Appendix
120City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
LANDSCAPE DISTRICT (DOUGHERTY RD. 1986-1) FUND #2703
ASSESSMENTS
Current Assessments $100,560 $103,030 $104,550 $114,220 $125
Prior Year Assessments 1,150 880 320 660 660
Late Payment Penalties 320 340 80 260 260
Sub-Total $102,030 $104,250 $104,950 $115,140 $126,130
REVENUE FROM USE OF MONEY & PROPERTY
Interest $1,330 $1,130 $590 $930 $1,110
Interest Designated 30 0 0 0 0
Sub-Total $1,360 $1,130 $590 $930 $1,110
TOTAL $103,390 $105,380 $105,540 $116,070 $127,240
LANDSCAPE DISTRICT (SANTA RITA AREA 1997-1) FUND #2704
ASSESSMENTS
Current Assessments $271,210 $298,610 $280,240 $299,980 $321
Prior Year Assessments 2,150 1,940 2,770 2,200 2,200
Late Payment Penalties 1,010 530 380 650 650
Sub-Total $274,370 $301,080 $283,390 $302,830 $324,840
REVENUE FROM USE OF MONEY & PROPERTY
Interest $2,960 $3,060 $1,870 $2,870 $3,500
Interest Designated 70 0 0 0 0
Sub-Total $3,030 $3,060 $1,870 $2,870 $3,500
TOTAL $277,400 $304,140 $285,260 $305,700 $328,340
Dublin Senior Center
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014121
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
STREET LIGHT DISTRICT (EAST DUBLIN 1999-1) FUND #2705
ASSESSMENTS
Current Assessments $183,280 $203,310 $204,920 $210,700 $214
Prior Year Assessments 3,620 4,100 2,580 3,500 3,500
Late Payment Penalties 1,200 1,350 1,350 1,490 1,490
Sub-Total $188,100 $208,760 $208,850 $215,690 $219,160
REVENUE FROM USE OF MONEY & PROPERTY
Interest $5,850 $4,670 $3,670 $4,870 $5,950
Interest Designated 50 0 0 0 0
Sub-Total $5,900 $4,670 $3,670 $4,870 $5,950
OTHER REVENUES
Reimbursement, Damage $0 $0 $0 $0 $0
Sub-Total $0 $0 $0 $0 $0
TOTAL $194,000 $213,430 $212,520 $220,560 $225,110
PUBLIC ART FUND #2801
REVENUE FROM USE OF MONEY & PROPERTY
Interest $5,730 $3,680 $3,300 $2,700 $3,290
Sub-Total $5,730 $3,680 $3,300 $2,700 $3,290
OTHER REVENUES
Developer Contribution $100,380 $0 $5,080 $100,000 $0
Sub-Total $100,380 $0 $5,080 $100,000 $0
TOTAL $106,110 $3,680 $8,380 $102,700 $3,290
CABLE TELEVISION FACILITIES #2811
REVENUE FROM USE OF MONEY & PROPERTY
Interest $0 $980 $240 $1,700 $2,830
Sub-Total $0 $980 $240 $1,700 $2,830
CHARGES FOR SERVICES
Cable TV Support $0 $122,700 $135,000 $135,000 $135,000
Sub-Total $0 $122,700 $135,000 $135,000 $135,000
TOTAL $0 $123,680 $135,240 $136,700 $137,830
Appendix
122City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
AFFORDABLE HOUSING FUND #2901
REVENUE FROM USE OF MONEY & PROPERTY
Interest $189,080 $58,650 $45,600 $74,160 $90,750
Principal 454,890 500 38,000 0 0
Sub-Total $643,970 $59,150 $83,600 $74,160 $90,750
CHARGES FOR SERVICES
Housing Services $57,060 $41,600 $66,410 $50,600 $47,600
Sub-Total $57,060 $41,600 $66,410 $50,600 $47,600
OTHER REVENUES
Miscellaneous Revenue 0 0 15,210 0 0
Reimbursement, General 522,500 0 0 0 0
Developer Contribution 923,280 300,000 819,440 1,175,500 787
Sub-Total $1,445,780 $300,000 $834,650 $1,175,500 $787,750
TOTAL $2,146,810 $400,750 $984,660 $1,300,260 $926,100
NOISE MITIGATION FUND #2902
REVENUE FROM USE OF MONEY & PROPERTY
Interest $990 $1,070 $620 $740 $900
Sub-Total $990 $1,070 $620 $740 $900
OTHER REVENUES
Developer Contribution $4,140 $890 $2,000 $2,000 $6,000
Sub-Total $4,140 $890 $2,000 $2,000 $6,000
TOTAL $5,130 $1,960 $2,620 $2,740 $6,900
COMMUNITY DEVELOPMENT BLOCK GRANT (CDBG) FUND #2903
INTERGOVERNMENTAL FEDERAL
Federal Grant Programs $76,060 $60,430 $53,000 $61,350 $53
CDBG Recovery Funds (Capital Project) 0 0 0 0 0
Sub-Total $76,060 $60,430 $53,000 $61,350 $53,080
TOTAL $76,060 $60,430 $53,000 $61,350 $53,080
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014123
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
PUBLIC FACILITY FEE FUND #4100
REVENUE FROM USE OF MONEY & PROPERTY
Interest $33,490 $123,150 $102,050 $241,370 $205,140
Sub-Total $33,490 $123,150 $102,050 $241,370 $205,140
OTHER REVENUES
Developer Contribution $5,251,380 $8,379,560 $12,163,570 $3,6
Reimbursements00000
Sub-Total $5,251,380 $8,379,560 $12,163,570 $3,629,840 $5,035,120
TOTAL $5,284,870 $8,502,710 $12,265,620 $3,871,210 $5,240,260
FIRE IMPACT FEE FUND #4200
OTHER REVENUES
Developer Contribution $98,360 $202,900 $331,970 $55,330 $67
Sub-Total $98,360 $202,900 $331,970 $55,330 $67,440
TOTAL $98,360 $202,900 $331,970 $55,330 $67,440
TRAFFIC IMPACT FEE FUND #4300
REVENUE FROM USE OF MONEY & PROPERTY
Interest $102,160 $23,490 $70,850 $49,090 $70,310
Sub-Total $102,160 $23,490 $70,850 $49,090 $70,310
OTHER REVENUES
Developer Contribution $2,831,350 $918,120 $1,589,250 $1,256,
Reimbursements 181,110 0 0 0 90,530
Sub-Tota l $3,012,460 $918,120 $1,589,250 $1,256,060 $2,255,500
TOTAL $3,114,620 $941,610 $1,660,100 $1,305,150 $2,325,810
Appendix
124City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF REVENUES BY SOURCE continued...
Actual Adj. Budget Estimated Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
INTERNAL SERVICE FUNDS #6101 6501 (Vehicles / Equipment / Fa
REVENUE FROM USE OF MONEY & PROPERTY
Interest $176,800 $216,860 $131,140 $104,100 $113,610
Sub-Total $176,800 $216,860 $131,140 $104,100 $113,610
CHARGES FOR SERVICE
Internal Charges For Use $1,124,660 $1,298,580 $1,289,080 $1,
Sub-Total $1,124,660 $1,298,580 $1,289,080 $1,527,780 $1,560
OTHER REVENUES
Sale of Real & Personal Property $13,210 $10,000 $6,300 $7,50
Contributions00000
Reimbursement, Damage 2,400 0 0 0 0
Sub-Total $15,610 $10,000 $6,300 $7,500 $9,000
TOTAL $1,317,070 $1,525,440 $1,426,520 $1,639,380 $1,682,770
TOTAL REVENUE ALL FUNDS $72,585,110 $73,714,350 $77,788,940 $77,012,580 $72,103,090
LESS:
INTERNAL SERVICES FUNDS REVENUE $(1,317,070) $(1,525,440) $(1,426,520) $(1,639,380) $(1,682,770)
TOTAL AVAILABLE REVENUE NET OF ISF $71,268,040 $72,188,910 $76,362,420 $75,373,200 $70,420,320
Hay Barn Dublin Heritage Park and Museums
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014125
#3 Historical Comparison of Expenditures by Program
CITY OF DUBLIN 2012-2013 and 2013-2014 BUDGET & FINANCIAL PLAN
HISTORICAL COMPARISON OF EXPENDITURES BY PROGRAM (ALL FUNDS)
Actual Adj. Budget Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
GENERAL GOVERNMENT
City Council $338,090 $465,680 $454,840 $414,020 $382,900
City Manager 1,120,500 1,274,860 1,273,470 1,333,360 1,372,8
Elections 24,390 1,870 1,870 46,120 3,120
Central Services / Human Resources 387,260 540,240 508,700 51
Insurance 902,520 884,370 871,380 983,380 1,018,660
City Attorney 709,210 848,710 790,510 905,900 758,640
Administrative Services 1,787,900 2,104,690 2,034,780 2,066,6
Building Management 684,510 790,790 769,080 845,080 853,130
Non-Departmental 2,252,980 663,570 709,560 787,450 471,880
TOTAL General Government $8,207,360 $7,574,780 $7,414,190 $
PUBLIC SAFETY
Police Services $12,637,240 $13,738,820 $14,579,360 $15,236,0
Fire Services 10,385,680 10,855,910 10,796,830 11,206,120 11
Disaster Preparedness 346,670 101,430 101,830 113,810 171,95
Crossing Guards 100,890 122,960 111,660 111,890 111,890
Animal Control 414,420 370,310 294,890 365,340 416,410
Trafc Signals and Street Lighting 636,150 802,790 799,130 85
TOTAL Public Safety $24,521,050 $25,992,220 $26,683,700 $27
TRANSPORTATION
Public Works Administration $846,360 $891,860 $862,190 $948,3
Street Maintenance 423,080 597,380 474,370 595,040 497,490
Street Sweeping 120,660 128,260 125,660 159,830 162,470
Street Landscaping 1,195,890 1,320,330 1,226,750 1,402,030 1
Street Tree Maintenance 99,420 163,740 150,270 164,710 169,7
TOTAL Transportation $2,685,410 $3,101,570 $2,839,240 $3,27
Appendix
126City of Dublin Fiscal Years 2012-2013 and 2013-2014
HISTORICAL COMPARISON OF EXPENDITURES BY PROGRAM continued...
Actual Adj. Budget Projected Proposed Forecast
2010-20112011-20122011-20122012-20132013-2014
HEALTH & WELFARE
Waste Management $2,449,920 $2,645,580 $2,650,540 $2,711,420
Environmental Programs 234,330 462,300 380,650 431,980 414,0
Social Services 441,460 353,410 334,040 292,530 278,960
Housing Programs 9,649,860 1,822,180 1,137,950 967,700 794,9
TOTAL Health & Welfare $12,775,570 $5,283,470 $4,503,180 $4
CULTURE & LEISURE SERVICES
Community TV $145,330 $68,490 $68,200 $112,280 $112,280
Library Services 518,070 593,880 579,270 559,730 579,420
Park Maintenance 1,973,370 2,490,470 2,427,050 2,487,850 2,7
Heritage & Cultural Arts 739,660 846,890 872,550 987,110 1,0
Recreation & Community Services 3,625,140 3,876,520 3,832,410
Parks / Facilities Development 211,680 320,530 397,410 400,46
TOTAL Culture & Leisure Services $7,213,250 $8,196,780 $8,17
COMMUNITY DEVELOPMENT
Development Services (Planning & Building) $3,447,840 $4,737,620 $4,644,480 $4,492,040 $4,150,790
Engineering 1,852,650 2,295,620 2,273,750 2,359,040 1,936,78
Economic Development 318,720 789,650 769,330 662,550 642,740
TOTAL Community Development $5,619,210 $7,822,890 $7,687,560
TOTAL OPERATING BUDGET $61,021,850 $57,971,710 $57,304,760 $59,663,520 $60,123,120
CAPITAL IMPROVEMENT BUDGET
General $599,965 $8,834,905 $8,834,905 $10,654,873 $2,412,50
Community Improvements 328,418 252,787 252,787 86,824 85,324
Parks 3,809,723 1,554,208 1,554,208 3,869,629 9,807,871
Streets 4,503,757 7,676,902 7,676,902 7,542,399 3,328,916
TOTAL Capital Improvements $9,241,863 $18,318,802 $18,318,80
INTERNAL SERVICE FUND BUDGET
Total Internal Service Fund $360,860 $1,505,700 $1,358,120 $8
TOTAL EXPENDITURES ALL FUNDS $70,624,573 $77,796,212 $76,981
Less Internal Service Fund Expenses $(360,860) $(1,505,700) $(1,358,120) $(839,600) $(797,570)
NET TOTAL EXPENDITURES ALL FUNDS $70,263,713 $76,290,512 $75,623,562 $81,817,245 $75,757,731
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014127
#4 Position Allocation Plan
CITY OF DUBLIN FISCAL YEAR 2012-2013 POSITION ALLOCATION PLAN
SUMMARY BY PROGRAM
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
ProgramsPositionsPositionsPositionsPositionsPositions
General Government
City Positions19.34 20.09 19.75 -0.34 19.75
Contract Positions1.48 1.48 1.34 -0.14 1.34
Sub-Total20.82 21.57 21.09 -0.48 21.09
Public Safety Police
City Positions6.00 6.00 6.00 0.00 6.00
Contract Positions53.00 53.00 53.00 0.00 54.00
Sub-Total59.00 59.00 59.00 0.00 60.00
Public Safety Fire
City Positions1.00 1.00 1.00 0.00 1.00
Contract Positions38.74 38.64 38.64 0.00 38.64
Sub-Total39.74 39.64 39.64 0.00 39.64
Public Safety Other
City Positions0.33 0.33 0.33 0.00 0.33
Contract Positions0.13 0.13 0.26 0.13 0.26
Sub-Total0.46 0.46 0.59 0.13 0.59
Transportation
City Positions4.45 4.45 4.45 0.00 4.45
Contract Positions10.85 10.85 11.08 0.23 11.08
Sub-Total15.30 15.30 15.53 0.23 15.53
Health & Welfare
City Positions5.83 5.58 5.92 0.34 5.92
Contract Positions0.000.000.000.000.00
Sub-Total5.83 5.58 5.92 0.34 5.92
Culture & Leisure
City Positions20.60 20.85 21.85 1.00 21.85
Contract Positions9.95 9.99 10.82 0.83 12.37
Sub-Total30.55 30.84 32.67 1.83 34.22
Appendix
128City of Dublin Fiscal Years 2012-2013 and 2013-2014
SUMMARY BY PROGRAM continued...
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
ProgramsPositionsPositionsPositionsPositionsPositions
Community Development
City Positions23.95 27.70 27.70 0.00 27.70
Contract Positions4.80 4.75 6.25 1.50 5.25
Sub-Total28.75 32.45 33.95 1.50 32.95
GRAND TOTAL200.45 204.84 208.39 3.55 209.94
Difference
Compared to Forecast
2010-20112011-20122012-20132011-20122013-2014
City Employees81.50 86.00 87.00 1.00 87.00
Contract Employees118.95118.84 121.39 2.55 122.94
TOTAL CITY & CONTRACT200.45 204.84 208.39 3.55 209.94
NOTE: All of the designated personnel perform duties directly from Cir the temporary
/ seasonal Staff in the Parks & Community Services Department wht include all
the contract personnel who perform work under contract to the Ciersonnel include
Contract Engineering, some contract Public Works through MCE Cor, and trafc
signal maintenance services; or legal services provided by Meyer
Dougherty Hills
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014129
CITY OF DUBLIN FISCAL YEAR 2012 2013 POSITION ALLOCATION PLAN
CITY POSITIONS
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
GENERAL GOVERNMENT
City Manager City Manager1.00 1.00 1.00 0.00 1.00
Assistant City Manager1.00 1.00 1.00 0.00 1.00
City Clerk1.00 0.00 0.00 0.00 0.00
City Clerk / Records Manager0.00 1.00 1.00 0.00 1.00
Secretary to the CM / Deputy City Clerk1.00 1.00 0.00 (1.00)0.00
Executive Aide0.00 0.00 1.00 1.00 1.00
Administrative Technician0.00 0.00 1.00 1.00 1.00
Senior Ofce Assistant1.00 1.00 0.50 (0.50)0.50
Secretary1.00 1.00 1.00 0.00 1.00
Ofce Assistant I / II0.00 0.50 0.00 (0.50)0.00
Sub-Total6.00 6.50 6.50 0.00 6.50
Central Services Human Resources Director1.00 1.00 1.00 0.00 1.00
Administrative Analyst I 0.50 0.75 0.00 (0.75)0.00
Administrative Analyst II0.00 0.00 0.75 0.75 0.75
Assistant to the City Manager0.00 0.34 0.00 (0.34)0.00
Senior Administrative Analyst0.34 0.00 0.00 0.00 0.00
Sub-Total1.84 2.09 1.75 (0.34)1.75
Administrative Services Director1.00 1.00 1.00 0.00 1.00
Administrative
Services
Finance Manager1.00 1.00 1.00 0.00 1.00
Information Systems Manager1.00 1.00 1.00 0.00 1.00
GIS Coordinator1.00 1.00 1.00 0.00 1.00
Senior Administrative Analyst1.00 0.00 0.00 0.00 0.00
Assistant to the City Manager0.00 1.00 1.00 0.00 1.00
Administrative Analyst I1.00 0.00 0.00 0.00 0.00
Accountant0.00 1.00 1.00 0.00 1.00
Senior Finance Technician1.00 1.00 1.00 0.00 1.00
Finance Technician I / II1.00 1.00 1.00 0.00 1.00
Finance Technician (*Y-Rated )0.50 0.50 0.50 0.00 0.50
Senior Ofce Assistant1.00 0.00 0.00 0.00 0.00
Administrative Technician0.00 1.00 1.00 0.00 1.00
Information Systems Technician I / II1.00 1.00 1.00 0.00 1.00
Network Systems Coordinator1.00 1.00 1.00 0.00 1.00
Sub-Total11.50 11.50 11.50 0.00 11.50
Appendix
130City of Dublin Fiscal Years 2012-2013 and 2013-2014
Dublin Senior Center
CITY POSITIONS continued...
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
PUBLIC SAFETY
Administrative Analyst I1.00 1.00 0.00 (1.00)0.00
Police Services
Administrative Analyst II0.00 0.00 1.00 1.00 1.00
Administrative Aide1.00 1.00 1.00 0.00 1.00
Ofce Assistant I / II2.00 2.00 2.00 0.00 2.00
Neighborhood Resources Tech I / II (*Y-Rated)0.00 0.00 2.00 2.0
Community Safety Assistant2.00 2.00 0.00 (2.00)0.00
Sub-Total6.00 6.00 6.00 0.00 6.00
Senior Administrative Analyst0.33 0.33 0.00 (0.33)0.00
Disaster
Preparedness
Assistant to the City Manager0.00 0.00 0.33 0.33 0.33
Sub-Total0.33 0.33 0.33 0.00 0.33
Fire Services Senior Ofce Assistant1.00 1.00 1.00 0.00 1.00
Sub-Total1.00 1.00 1.00 0.00 1.00
TRANSPORTATION
Public Works Director1.00 1.00 1.00 0.00 1.00
Public Works
Administration
Public Works Manager1.00 1.00 1.00 0.00 1.00
Administrative Technician1.00 1.00 1.00 0.00 1.00
Secretary1.00 0.00 0.00 0.00 0.00
Ofce Assistant I / II0.45 1.45 1.45 0.00 1.45
Sub-Total4.45 4.45 4.45 0.00 4.45
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014131
CITY POSITIONS continued...
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
HEALTH & WELFARE
Assistant to the City Manager0.00 0.00 0.34 0.34 0.34
Environmental
Programs
Environmental Specialist1.00 1.00 0.00 (1.00)0.00
Environmental Coordinator0.00 0.00 0.75 0.75 0.75
Environmental Technician1.00 1.00 1.00 0.00 1.00
Administrative Aide0.00 1.00 0.50 (0.50)0.50
Ofce Assistant I / II0.50 0.00 0.00 0.00 0.00
Sub-Total2.50 3.00 2.59 (0.41)2.59
Assistant to the City Manager0.00 0.00 0.33 0.33 0.33
Waste Mgmt
Environmental Coordinator0.00 0.00 0.25 0.25 0.25
Senior Administrative Analyst0.33 0.33 0.00 (0.33)0.00
Administrative Aide0.00 0.00 0.50 0.50 0.50
Sub-Total0.33 0.33 1.08 0.75 1.08
Community Development Director0.20 0.00 0.00 0.00 0.00
Housing
Programs
Housing Specialist1.00 1.00 1.00 0.00 1.00
Administrative Analyst II0.00 0.00 0.75 0.75 0.75
Administrative Analyst I1.00 0.75 0.00 (0.75)0.00
Secretary0.50 0.50 0.00 (0.50)0.00
Administrative Technician0.00 0.00 0.50 0.50 0.50
Ofce Assistant I / II0.30 0.00 0.00 0.00 0.00
Sub-Total3.00 2.25 2.25 0.00 2.25
And there was an Evening and there was a Morning Shannon Par
Appendix
132City of Dublin Fiscal Years 2012-2013 and 2013-2014
Dublin Boulevard at Dublin Heritage Park and Museums
CITY POSITIONS continued...
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
CULTURE & LEISURE
Parks & Community Svcs Director 0.00 0.25 0.25 0.00 0.25
Heritage &
Cultural Arts
Heritage & Cultural Arts Manager1.00 1.00 0.90 (0.10)0.90
Heritage Center Director1.00 1.00 1.00 0.00 1.00
Recreation Coordinator1.00 0.80 0.80 0.00 0.80
Recreation Technician0.00 0.00 0.40 0.40 0.40
Sub-Total3.00 3.05 3.35 0.30 3.35
Parks & Community Svcs Director 1.00 0.50 0.50 0.00 0.50
Parks &
Asst. Parks & Community Services Dir.1.00 1.00 1.00 0.00 1.00
Community
Services
Heritage & Cultural Arts Manager0.00 0.00 0.10 0.10 0.10
Recreation Supervisor2.00 2.00 2.00 0.00 2.00
Recreation Coordinator5.00 5.20 5.20 0.00 5.20
Graphic Design and Comm Coordinator0.00 0.00 1.00 1.00 1.00
Administrative Aide1.00 1.00 1.00 0.00 1.00
Senior Ofce Assistant2.00 2.00 2.00 0.00 2.00
Ofce Assistant I / II1.60 1.85 1.85 0.00 1.85
Recreation Technician2.00 2.00 1.60 (0.40)1.60
Sub-Total15.60 15.55 16.25 0.70 16.25
Parks & Community Svcs Director 0.00 0.25 0.25 0.00 0.25
Parks &
Facilities Parks & Facilities Dev. Manager1.00 1.00 1.00 0.00 1.00
Management
Parks & Facilities Dev. Coordinator1.00 1.00 1.00 0.00 1.00
Sub-Total2.00 2.25 2.25 0.00 2.25
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014133
CITY POSITIONS continued...
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
COMMUNITY DEVELOPMENT
Community Development Director0.80 1.00 1.00 0.00 1.00
Community
Development
Asst. Director of Community Dev.0.00 0.00 1.00 1.00 1.00
Planning Manager1.00 1.00 0.00 (1.00)0.00
Principal Planner1.00 1.00 1.00 0.00 1.00
Senior / Associate Planner1.00 1.00 1.00 0.00 1.00
Assistant Planner1.00 1.00 1.00 0.00 1.00
Senior Code Enforcement Ofcer1.00 1.00 1.00 0.00 1.00
Code Enforcement Ofcer1.00 1.00 1.00 0.00 1.00
Administrative Analyst II0.00 0.00 0.25 0.25 0.25
Administrative Analyst I0.00 0.25 0.00 (0.25)0.00
Secretary1.50 1.50 1.00 (0.50)1.00
Administrative Aide0.00 0.00 1.00 1.00 1.00
Ofce Assistant I / II2.15 2.45 2.45 0.00 2.45
Chief Building Ofcial0.00 0.00 1.00 1.00 1.00
Building Ofcial1.00 1.00 0.00 (1.00)0.00
Senior Plan Checker1.00 1.00 0.00 (1.00)0.00
Plan Check Engineer0.00 1.00 1.00 0.00 1.00
Permit Technician 1.00 1.00 2.00 1.00 2.00
Administrative Technician1.00 1.00 0.50 (0.50)0.50
Sub-Total14.45 16.20 16.20 0.00 16.20
Engineering City Engineer1.00 1.00 1.00 0.00 1.00
Senior Civil Engineer3.00 2.00 2.00 0.00 2.00
Public Works Trans / Ops Manager0.00 1.00 1.00 0.00 1.00
Assistant Civil Engineer1.00 1.00 0.00 (1.00)0.00
Associate Civil Engineer0.00 0.00 1.00 1.00 1.00
Administrative Analyst II0.00 0.00 1.00 1.00 1.00
Administrative Analyst I1.00 1.00 0.00 (1.00)0.00
Public Works Technician I / II (Limited-Term)0.00 1.00 1.00 0.00
Public Works Inspector 2.00 2.00 2.00 0.00 2.00
Sub-Total8.00 9.00 9.00 0.00 9.00
Economic Development Director1.00 0.00 0.00 0.00 0.00
Economic
Development
Economic Dev Dir / Public Information Ofcer0.00 1.00 1.00 0.00 1.00
Administrative Analyst II0.00 1.00 1.00 0.00 1.00
Senior Ofce Assistant0.00 0.50 0.50 0.00 0.50
Ofce Assistant I / II0.50 0.00 0.00 0.00 0.00
Sub-Total1.50 2.50 2.50 0.00 2.50
GRAND TOTAL ALL CITY POSITIONS81.50 86.00 87.00 1.00 87.00
Appendix
134City of Dublin Fiscal Years 2012-2013 and 2013-2014
CITY OF DUBLIN FISCAL YEAR 2012 2013 POSITION ALLOCATION PLAN
CONTRACT POSITIONS
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
GENERAL GOVERNMENT
Bldg Mgmt Landscape Foreman0.66 0.66 0.66 0.00 0.66
(MCE)
Landscape Laborer I0.82 0.82 0.68 (0.14)0.68
Sub-Total1.48 1.48 1.34 (0.14)1.34
PUBLIC SAFETY
Police Services Commander1.00 1.00 1.00 0.00 1.00
Lieutenant2.00 2.00 2.00 0.00 2.00
Sergeant Training1.00 1.00 1.00 0.00 1.00
Sergeant Patrol4.00 4.00 4.00 0.00 4.00
Sergeant Investigations3.00 3.00 3.00 0.00 3.00
Sergeant Trafc1.00 1.00 1.00 0.00 1.00
Ofcer Patrol27.00 27.00 27.00 0.00 28.00
Ofcer Investigations6.00 6.00 6.00 0.00 6.00
Ofcer Trafc3.00 3.00 3.00 0.00 3.00
Ofcer School 2.00 2.00 2.00 0.00 2.00
Secretary II1.00 1.00 1.00 0.00 1.00
Sheriff's Technician2.00 2.00 2.00 0.00 2.00
Sub-Total53.00 53.00 53.00 0.00 54.00
CERT Coordinator0.00 0.00 0.13 0.13 0.13
Disaster
Preparedness
Emergency Prep & Comm Outreach Mgr0.13 0.13 0.13 0.00 0.13
Sub-Total0.13 0.13 0.26 0.13 0.26
Fire Services Landscape Foreman (MCE)0.04 0.04 0.04 0.00 0.04
Landscape Laborer I (MCE)0.15 0.15 0.15 0.00 0.15
Landscape Laborer II (MCE)0.06 0.06 0.06 0.00 0.06
Landscape Laborer III (MCE)0.13 0.13 0.13 0.00 0.13
Fireghter / Paramedic12.00 12.00 12.00 0.00 12.00
Fire Engineer12.00 12.00 12.00 0.00 12.00
Fire Captain12.00 12.00 12.00 0.00 12.00
Fire Marshal0.18 0.13 0.13 0.00 0.13
Deputy Fire Marshal1.00 1.00 1.00 0.00 1.00
Plans Checker0.18 0.13 0.13 0.00 0.13
Code Compliance Ofcer1.00 1.00 1.00 0.00 1.00
Sub-Total38.74 38.64 38.64 0.00 38.64
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014135
Pinnacle at Dublin Ranch
CONTRACT POSITIONS continued...
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
TRANSPORTATION
Public Works Maintenance Superintendent 1.00 1.00 1.00 0.00 1.00
Administration
Sub-Total1.00 1.00 1.00 0.00 1.00
Street Maint Landscape Foreman0.15 0.15 0.19 0.04 0.19
(MCE)
Landscape Laborer I0.41 0.41 0.41 0.00 0.41
Landscape Laborer II0.15 0.15 0.19 0.04 0.19
Landscape Laborer III1.10 1.10 1.20 0.10 1.20
Sub-Total1.81 1.81 1.99 0.18 1.99
Street Tree Landscape Foreman0.07 0.07 0.07 0.00 0.07
Maintenance
Landscape Laborer I0.20 0.20 0.20 0.00 0.20
(MCE)
Landscape Laborer II0.11 0.11 0.11 0.00 0.11
Landscape Laborer III0.32 0.32 0.58 0.26 0.58
Sub-Total0.70 0.70 0.96 0.26 0.96
Street Landscape Foreman 0.82 0.82 0.82 0.00 0.82
Landscape
Landscape Laborer I2.49 2.49 2.19 (0.30)2.19
Maintenance
Landscape Laborer II2.07 2.07 2.07 0.00 2.07
(MCE)
Landscape Laborer III1.96 1.96 2.05 0.09 2.05
Sub-Total7.34 7.34 7.13 (0.21)7.13
Appendix
136City of Dublin Fiscal Years 2012-2013 and 2013-2014
CONTRACT POSITIONS continued...
Difference
Compared to Forecast
2010-2011 2011-2012 2012-2013 2011-2012 2013-2014
Allocated Allocated Allocated Allocated Allocated
DepartmentClassicationPositionsPositionsPositionsPositionPositions
CULTURE & LEISURE
Library Services Landscape Foreman0.26 0.26 0.21 (0.05)0.21
Landscape Laborer I0.16 0.16 0.16 0.00 0.16
Sub-Total0.42 0.42 0.37 (0.05)0.37
Heritage & Landscape Foreman0.05 0.03 0.07 0.04 0.07
Cultural Arts
Landscape Laborer I0.19 0.11 0.21 0.10 0.21
Landscape Laborer II0.16 0.07 0.07 0.00 0.07
Landscape Laborer III0.19 0.00 0.00 0.00 0.00
Sub-Total0.59 0.21 0.35 0.14 0.35
Park Landscape Foreman 0.94 0.98 0.98 0.00 1.41
Maintenance
Landscape Laborer I3.83 3.91 3.98 0.07 4.36
(MCE)
Landscape Laborer II2.14 2.23 2.29 0.06 2.65
Landscape Laborer III2.03 2.24 2.85 0.61 3.23
Sub-Total8.94 9.36 10.10 0.74 11.65
COMMUNITY DEVELOPMENT
Community Building Inspector4.20 4.50 6.00 1.50 5.00
Development
Plan Checker0.60 0.25 0.25 0.00 0.25
Sub-Total4.80 4.75 6.25 1.50 5.25
GRAND TOTAL CONTRACT POSITIONS118.95 118.84 121.39 2.55 122.94
Freeway Underpass Art I-680 Freeway Underpass
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014137
#5 Appropriations Limit
CITY OF DUBLIN FISCAL YEAR 2012-2013 APPROPRIATIONS LIMIT
(Based on Fiscal Year 2011-2012 Limit Adopted By City Council Re
In accordance with Chapter 1025 of the statutes of 1987, as amen
the Appropriations Limit in the annual budget. This limit may a
Limit. The City of Dublin has calculated a Fiscal Year 2012-201
Constitution and the recognized methodology for calculating adju
can only adopt the limit for a single year. The details of this
The Appropriations Limit does not apply to all funds appropriate
that are funded by proceeds of taxes. State law narrowly denes proceeds of taxes. Interpretations from judicial
rulings have also inuenced the methodology used to calculate th
establishes a formula to be used to calculate annual adjustments
selected by the City when the adjustment calculation is complete
The rst optional factor is based on changes in population. The
population or the change in the County Population. For Fiscal Y
larger than the Alameda County population growth of 0.98%. This
published annually in May from the Department of Finance.
The second optional factor allows the City to use either 1) The
change in local assessed valuation based on changes in the Non-
Capita Personal Income as provided by the State of California De
for calculating the change in the assessed valuation compares th
related strictly to Non-Residential improvements. In July 2011,
2011-2012 changes in assessed valuation attributable to Non-Resi
$2,734,600. Based upon the information available, the assessed
adjustment calculation will use the increase in the State Per Ca
The two factors for growth are combined to arrive at a growth ra
the Appropriations Limit for Fiscal Year 2011-2012 to arrive at
2012-2013 Appropriations Limit is $200,919,750 shown on the foll
for Fiscal Year 2012-2013 contains appropriations of $40,088,269
taxes. Therefore, the appropriations subject to the Appropriatio
Budget are $160,831,481 below the allowed amount calculated for
Appendix
138City of Dublin Fiscal Years 2012-2013 and 2013-2014
CALCULATION OF FISCAL YEAR 2012-2013 APPROPRIATIONS LIMIT
(Based on Fiscal Year 2011-2012 Limit)
A. Selection of Optional Factors
1. Change in Population City vs. County.
Factors1/1/20111/1/2012% Increase
a. City of Dublin 43,838 44,891 2.40%
b. County of Alameda1,528,9141,514,0140.98%
The City selected Factor 1a. City of Dublin population growth 2.
2. Change in State per Capita Personal Income vs. City Non Resid
Factors% Change
a. Change in State per Capita Personal Income 3.77%
b. Change in Non Residential Assessed Valuation2.00%
The City selected Factor 2a. Change in State per capita personal
B. FY2012-2013 Growth Adjustment Factor
1.0626
Calculation of factor for FY2012-2013 = X*Y = 1.0240*1.0377 =
X = Selected Factor #1 + 100 = 2.40 + 100 = 1.0240
100 100
Y = Selected Factor #2 + 100 = 3.77 + 100 = 1.0377
100 100
C. Calculation of Appropriations Limit
Fiscal Year 2011-2012 Appropriations Limit $189,083,145
1.0626
Fiscal Year 2012-2013 Adjustment Factor x
Fiscal Year 2012-2013 Appropriations Limit $200,919,750
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014139
#6 Financial Terms Dened
OVERVIEW
For readers of this document it may be benecial to have an unde
organized. When considering the Total Budget it is important to
on the page for each program is a breakdown by of the resources used. Also the Revenue Historical Summary of
Revenues is presented by
The funding received by the City sometimes has legal restriction
can only be spent for certain street related expenses. As descr
Association, governments have established separate funds to he
of the legal restrictions. A comparison would be to think of t that both
receives deposits and accounts for expenses. With modern comput
to have separate bank accounts.
The following are denitions of the funds used by the City of
GENERAL FUND
This is the primary operating fund. The use of these funds is
General Fund (#1001):
City Council policies and State and local laws. It accounts for
for elsewhere.
SPECIAL REVENUE FUNDS
Special Revenue Funds are used to account for the proceeds of sp
that are legally restricted to expenditures for specic purposes
following categories: Public Safety; Transportation; Environment
Arts; Health & Welfare; Capital Project Funds; Development Impac
PUBLIC SAFETY
Established to account for receipt of funds derived from non-fed
Special Criminal Activity (#2101)
forfeitures.
Established to account for the use of funds received from vehicl
Vehicle Abatement (2102)
residents for the towing of abandoned vehicles in city limits.
Established to account for police expenditures funded
Supplemental Law Enforcement (SLES / COPS) (#2103)
by a State grant.
Established to account for police expenditures funded by a
Federal Law Enforcement Block Grant (#2104)
Federal one-time grant.
Appendix
140City of Dublin Fiscal Years 2012-2013 and 2013-2014
Established to account for the receipt of trafc nes and allow
Trafc Safety (#2106)
trafc safety (which excludes Police Personnel costs).
Established to account for the receipts and expenditures of the
Federal Asset Seizure (#2107)
funds.
Established to account for excise taxes and Alameda County gran
Emergency Medical Services (#2109)
to fund the costs of providing Emergency Medical Services.
Established to account for various one-time grants received for
Enforcement Grant (#2111)
not reported in other funds.
TRANSPORTATION
Established to account for the receipt of state gasoline taxes
State Gas Tax (#2201)
Established to account for the revenue received from the U.S. D
SAFETEA-LU (#2202)
under the Safe, Accountable, Flexible, Efcient Transportation E
Established to account for an Alameda County Transportation
Measure B Sales Tax: Local Streets (#2204)
Commission (ACTC) voter approved sales tax used for improvements
Established to account for an Alameda County Transportation
Measure B Sales Tax: Bike and Pedestrian (#2205)
Commission (ACTC) voter approved increase in sales tax used for
Established to account for funds received from the Alameda Coun
Congestion Management Agency (#2208)
Congestion Management Agency, which is now a part of Alameda Cou
Established to account for trafc congestion relief expenditures
Trafc Congestion Relief (#2209)
State grant. (This revenue source was deleted by the State gover
2010-2011.)
Established to account for the receipts of State grants for loc
Highway Safety Trafc Reduction Bond (#2210)
streets and road improvements funded by a statewide bond.
Federal Transportation TIGER (Transportation Investment Genera
Established to account for the receipts of Federal grants for ap
Federal grants.
Established to account
Alameda County Transportation Commission Vehicle Registration Fe
for an Alameda County Transportation Commission (ACTC) voter app
distributed by ACTC to be used for street and road system mainte
ENVIRONMENTAL
Established to account for the use of funds received which are
Measure D Recycling (#2302)
County Waste Management Authority (Stopwaste.org) pursuant to a
for recycling and related activities. This fund also accounts fo
Established to account for the use of funds received which are
Garbage Service (#2303)
collected on the County property tax bill for residential garbag
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014141
Established to account for locally derived funds collected for
Local Recycling (#2304)
recycling program and activities retained by the City at the end
Established to account for the use of
American Recovery and Reinvestment Act Environmental (#2311)
one-time grant funds received from the Federal government relate
Established to account for grant funds received from the State o
Storm Water Management (#2321)
agencies and designated specically for the use of storm water r
Established to account for a one-time Developer deposit intended
Box Culvert Maintenance (#2322)
long term funding for the maintenance and repair of a large box
Established to account for a one-time deposit of funds
Dublin / Dougherty Storm Water Management (#2323)
designated for the maintenance of special drain inlets in the Du
units were installed as part of a State grant.
Established to account for a one-time deposit of funds
Village Parkway Storm Water Management (#2324)
designated for the maintenance of special drain inlets in the Vi
as part of a State grant.
PARKS
Established to account for grant funds received from the East Ba
East Bay Regional Park District (#2402)
Regional Park District from the Measure WW Extend Existing Eas
Tax Rate approved by voters on November 4, 2008.
MAINTENANCE DISTRICTS
Established to account for street light maintenance assessments
Street Light Assessment District 1983-1 (#2701)
collected on the property tax bill. The District was establishe
maintenance and energy costs for public street lights within the
encompasses the entire City, with the exception of Dublin Ranch
western hills.
Established to account
Stagecoach Road Landscape Maintenance Assessment District 1983-2
for maintenance assessments collected from properties in Tract 4
Lakes). The District maintains all of the Stagecoach Road lands
4719.
Established to account for
Dougherty Road Landscape Maintenance Assessment District 1986-1
maintenance assessments collected from properties developed as t
maintains roadside and median landscaping including the landscap
Boulevard and Fall Creek Road; along Amador Valley Boulevard bet
Wildwood Road, Fall Creek Road, Shady Creek Drive and Willow Cre
Established to account for
Santa Rita Landscape Maintenance Assessment District 1997-1 (#27
maintenance assessments collected from properties developed on l
Santa Rita site and has been developed with other uses. This ass
utility costs within the District. The area is bounded by Arnol
Road on the east, and Interstate 580 on the south.
Appendix
142City of Dublin Fiscal Years 2012-2013 and 2013-2014
Established to account for street light maintenance assessments
Street Light Assessment District 1999-1 (#2705)
collected on the property tax bill. The District funds the elec
decorative street lighting that has been installed in the Dublin
off Mountain Rise Place. Additional adjacent areas have also be
CULTURE AND ARTS
Established to account for the fees received from new developme
Public Art (#2801)
requirement to fund public art. These funds can only be used fo
and maintenance of Public Art projects within the City of Dublin
Established to account for Cable TV Facilities fees collected f
Cable TV Facilities Fee (#2811)
providers and passed through to the City for local cable televis
HEALTH AND WELFARE:
Established to account for inclusionary zoning fees and receive
Affordable Housing Fund (#2901)
development. The funds can only be used to directly support th
of citywide affordable housing programs.
Established to account for the mitigation fees received from de
Noise Mitigation (#2902)
eastern Dublin as part of the Eastern Dublin Specic Plan.
Established to account for grants and expenditures
Community Development Block Grant (CDBG) (#2903)
related to Federal Community Development Block Grants received.
CAPITAL IMPROVEMENT FUNDS
The City uses seven specic capital funds. Four of the funds ar
projects that are under way. The four funds are: General Projec
Activities recorded within these funds may include contributions
Fee Funds related to fees collected from new development.
CAPITAL PROJECTS
is used to manage the programming of funds and activities
General Improvements Capital Projects (#3300)
associated with General Projects. The Fund accumulates resources
support projects that are general in nature and are not Streets,
is used to manage the programming of funds and activities
Community Improvements Capital Projects (#3400)
associated with major Capital Improvements Projects. The Fund ac
those resources to support projects that would promote or enhanc
Citys community and are not General Improvements, Streets or Pa
is used to manage the programming of funds and activities assoc
Parks Capital Projects (#3500)
Park Projects. The Fund accumulates resources for capital expend
that would construct, improve, or enhance the Citys parks and f
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014143
is used to manage the programming of funds and activities associ
Streets Capital Projects Fund (#3600)
Street Projects. The Fund accumulates resources for capital expe
that would construct, improve, or enhance the Citys highways, s
systems.
IMPACT FEES
is used to account for impact fees received from new development
Public Facilities Fee (#4100)
used for the design, development, and construction of new parks
is used to account for fees received from new development, which
Fire Facility Fee (#4200)
the design, development, and construction of re capital expansi
is used to account for fees received from new development, which
Trafc Impact Fee (#4300)
the design, development and construction of street projects with
INTERNAL SERVICE FUNDS
Internal Service Funds are used to account for the nancing of g
to other departments or agencies of the City on a cost reimburse
of funds:
Established to nance necessary vehicle replacements including
Vehicle Replacement (#6100)
as well as other public safety vehicles.
Established to nance future major building components such as
Building Systems Replacement (#6200)
Ventilation Air Conditioning (HVAC); major electrical system com
Established to nance necessary equipment replacement such as c
Equipment Replacement (#6300)
and network infrastructure; security systems; telephone systems;
Established to account for the on-going maintenance and repairs
Equipment Maintenance and Repair (#6500)
of vehicles and ofce equipment.
Established to account for the contribution made to the Califor
Employer Obligations (#6900)
Retiree Benet Trust Fund for future retiree health care benets
#6951) was established to account for the repayment to the gener
to pay CALPERS for the Citys Side Fund obligation. The Side Fun
with less than 100 participants to a risk sharing pool. The City
reserves and an internal service charge is made each year to rep
AGENCY FUNDS
Agency Funds are used to account for assets held by the City in
and others. These funds carry out the specications of trust ind
City funds the City Council does not formally budget the funds.
Appendix
144City of Dublin Fiscal Years 2012-2013 and 2013-2014
IMPROVEMENT ASSESSMENT DISTRICT
Established to account for special assessment taxes
Dublin Boulevard Extension Assessment District (#5101)
levied to repay bondholders. The original funds were used to co
bonds will be fully repaid September 2, 2012.
GEOLOGIC HAZARD ABATEMENT DISTRICTS (GHAD)
Three districts were formed under provisions in the California P
GHAD (#5300)
in section 25670 that a District is a political subdivision of t
agency. The City acts as a trustee of the funds collected and ma
This assessment district was established
Fallon Village Geologic Hazard Abatement District (#5301 & #5311
in 2007, in accordance with a condition of approval for the Fall
project area was subsequently annexed into the District. The Di
maintenance of open space areas within the development.
This assessment district was established in 2006,
Schaefer Ranch Geologic Hazard Abatement District (#5302)
in accordance with a condition of approval. The District was for
of open space areas within the development. The boundary of this
acres of land, located at the westerly boundary of the City limi
area of Alameda County.
This assessment district was established in 2011,
Fallon Crossings Geologic Hazard Abatement District (#5321)
in accordance with a condition of approval. The District was for
open space areas within the development. The boundary of this as
on the northeast side of Tassajara Road including areas along Mo
Murray Schoolhouse Dublin Heritage Park and Museums
Appendix
City of Dublin Fiscal Years 2012-2013 and 2013-2014145
City of Dublin
STRATEGIC PLAN
City of Dublin Ten Year Strategic Plan
Adopted Fiscal Year 2011 2012
MISSION
The City of Dublin promotes and supports a high quality of life
new opportunities.
VISION
Dublin is a vibrant city committed to its citizens, natural reso
history with progress, to sustain an enlightened, economically b
Dublin is unied in its belief that an engaged and educated comm
life, including programs to strengthen our economic vitality, an
through the preservation of our natural surroundings. Dublin is
through the creation of rst-class recreational opportunities, f
VALUES
Our Values in Building Community
Promote locations and events that bring people of all ages tog
Provide more venues for family-based activities.
Foster heritage and cultural development.
Our Values in Ensuring a Safe Community
Provide high quality police and re services to insure the saf
Provide education and training to residents and businesses tha
Our Values in Guiding Development
Assure that development contributes positively to the Citys
Support pedestrian-friendly development, transit-oriented deve
responsiveness.
Promote high quality design and architectural standards in pri
Develop transportation systems that facilitate ease of movemen
Strategic Plan
City of Dublin Fiscal Years 2012-2013 and 2013-2014147
Our Values in Governing
Commit to openness and responsiveness to the public and commun
Operate at all times with honesty and integrity.
Exercise fairness in consideration of issues.
Provide a high level of customer service and responsiveness fr
Embrace technology to improve effectiveness and efciency.
Strive to build an informed community through communication.
Our Values in Relating to Other Communities and Entities
Encourage collaboration and communication with other communiti
STRATEGIES
1. Pursue economic development initiatives that attract new busi
2. Continue to strengthen the identity and aesthetic appeal of t
3. Create a community that supports environmental sustainability
environmental protection and provides public access where approp
4. Develop dynamic and unique community recreational and cultura
5. Develop City-wide communication and outreach programs that pr
across several media outlets.
Shannon Community Center Lobby
Strategic Plan
148City of Dublin Fiscal Years 2012-2013 and 2013-2014
City of Dublin Ten Year Strategic Plan
Adopted Fiscal Year 2011 2012
Preliminary Update for Fiscal Year 2012-2013 & Fiscal Year 2013-
STRATEGIES
STRATEGY #1: Pursue economic development initiatives that attrac
strengthening existing businesses.
STRATEGIC GOAL #1A: Develop programs that create and retain job
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2012-2013Facilitate roundtables with commercial brokers and th
2.2012-2013Develop business meetings / summits with property own
3.2011-2012Develop an Economic Development Strategy.Underway
4.2011-2012Continue to develop economic incentives for retail, o
5.2011-2012Identify partnership opportunities with the Dublin Ch
6.2011-2012Explore a Shop Local Holiday Campaign.Complete
7.2011-2012Update the Façade Improvement Program.Complete
8.2010-2011Execute Business Visitation Program. Complete
9.2010-2011Work with DSRSD to develop sewer incentive program. C
STRATEGIC GOAL #1B: Create programs that support small business
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2013-2014Develop on-line inspection scheduling.New
2.2012-2013Facilitate roundtables with commercial brokers and th
3.2012-2013Develop business meetings / summits with property own
4.2012-2013Develop on-line posting of plan check comments.New
5.2011-2012Develop an Economic Development Strategy.Underway
6.2011-2012Develop a Design Awards Program to recognize new and
7.2011-2012Identify partnership opportunities with the Dublin Ch
8.2011-2012Explore a Shop Local Holiday Campaign.Complete
9.2011-2012Update the Façade Improvement Program.Complete
10.2010-2011Explore the feasibility of an ordinance that would eComplete
which have adequate enclosure space, to provide recycling servic
11.2010-2011Explore an environmental recognition program for tar
12.2010-2011Develop a Business Anniversary Awards Program. Comp
13.2010-2011Work with DSRSD to develop sewer incentive program.
14.2010-2011Develop a template recycling plan to be shared with
Strategic Plan
City of Dublin Fiscal Years 2012-2013 and 2013-2014149
Sybase, Dublin
STRATEGY #2: Continue to strengthen the identity and aesthetic a
STRATEGIC GOAL #2A: Facilitate and encourage continued investme
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2012-2013Facilitate roundtables with commercial brokers and th
2.2012-2013Develop business meetings / summits with property own
3.2011-2012Oversee construction of St. Patrick Way between Golde
4.2011-2012Institute Design Awards Program to recognize new and
5.2011-2012Continue to develop economic incentives for retail, o
6.2011-2012Update the Façade Improvement Program.Complete
7.2010-2011Work with Chabot / Las Positas to nd location for Di
8.2010-2011Develop a Downtown Business Attraction Plan. Complet
9.2010-2011Explore beautication programs (i.e. façade improvemeComplete
along Dublin Boulevard between Dougherty Road and San Ramon Road
10.2010-2011 Update Downtown West Dublin BART and San Ramon SpecComplete
addresses the entire Downtown Area.
11.2009-2010Develop Economic Incentive Program.Complete
12.2008-2009Facilitate the selection of public art for three (3)
13.2008-2009 Prepare Community Design Element for General Plan.
14.2007-2008 Work with Dublin Honda on development options for
15.2006-2007Develop Historic District Master Plan for Dublin BlvComplete
required.
16.2006-2007Work with property owner of Ralphs Grocery store to
17.2005-2006Complete Senior Housing Project. Complete
18.2005-2006Complete construction of new Senior Center and prepa
19.2005-2006Work with Dolan Lumber owners to facilitate developm
20.2005-2006Negotiate Lease Agreement and resolve funding for th
21.2005-2006Install lighting at approaches to the I-680 Freeway
22.2005-2006Develop and implement program to keep trucks out of
Strategic Plan
150City of Dublin Fiscal Years 2012-2013 and 2013-2014
STRATEGIC GOAL #2B: Continue to work with private property owne
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2011-2012Institute Design Awards Program to recognize new and
2.2011-2012Continue to develop economic incentives for retail, o
3.2011-2012Update the Façade Improvement Program.Complete
4.2010-2011Work with Chabot / Las Positas to nd location for Di
5.2010-2011Develop a Downtown Business Attraction Plan. Complet
6.2010-2011Explore beautication programs (i.e. façade improvemeComplete
along Dublin Boulevard between Dougherty Road and San Ramon Road
7.2010-2011Update Downtown West Dublin BART and San Ramon SpeciComplete
addresses the entire Downtown Area.
8.2009-2010Develop Economic Incentive Program.Complete
9.2009-2010Examine parking requirements to streamline developmenComplete
within the City of Dublin.
10.2008-2009Prepare Community Design Element for General Plan. C
11.2007-2008 Work with Dublin Honda on development options for A
12.2006-2007Work with property owner of Ralphs Grocery store to
13.2005-2006Work with Dolan Lumber owners to facilitate developm
14.2005-2006Negotiate Lease Agreement and resolve funding for th
15.2004-2005Investigate Options for Shamrock Village.Complete
16.2004-2005Work with Shamrock Village to facilitate improvement
Dougherty Hills
Strategic Plan
City of Dublin Fiscal Years 2012-2013 and 2013-2014151
STRATEGY #3: Create a community that supports environmental sust
open space network that ensures environmental protection and pro
access where appropriate.
STRATEGIC GOAL #3A: Establish Open Space Area in western hills.
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2004-2005Work with East Bay Regional Parks District to completUnderway
conservation easement to provide public access in the western hi
2.2004-2005Identify and secure sources of funding for land acqui
3.2004-2005Upon completion of land acquisition in the western hiNo
appropriate CEQA documents.Progress
STRATEGIC GOAL #3B: Create open space connections and trails wh
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2011-2012Oversee construction of the Alamo Canal Trail Under I
2.2001-2002Complete U.S. Army Reserve Camp Parks General Plan an
3.2007-2008Complete GPA Study on the Transportation Corridor Rig
4.2006-2007Work with EBRPD and the City of Pleasanton to conductComplete
funding sources to facilitate the connection of Alamo Canal Trai
5.2006-2007Complete review of Moller Annexation and General Plan
6.2005-2006Complete General Plan and Specic Plan Amendments for Eastern Dublin Property Owners Annexation Area. Complete
7.2005-2006Complete Review of Mission Peak Annexation and Genera
STRATEGIC GOAL #3C: Implement open space policies of the Easter
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2001-2002Complete U.S. Army Reserve Camp Parks General Plan an
2.2005-2006Complete General Plan and Specic Plan Amendments for Eastern Dublin Property Owners Annexation Area.Complete
3.2005-2006Complete Review of Mission Peak Annexation and Genera
4.2006-2007Complete review of Moller Annexation and General Plan
Martin Canyon Creek Trail
Strategic Plan
152City of Dublin Fiscal Years 2012-2013 and 2013-2014
STRATEGIC GOAL #3D: Explore and implement strategies that enhan
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2012-2013Explore changes to City policy documents to implement One Bay Ar
2.2012-2013Complete Central Irrigation Control Upgrades.New
3.2012-2013Expand the Dublin Unied School District Recycling Co
4.2012-2013Explore opportunities to provide a collection point f
5.2012-2013Coordinate Energy Audit Outcomes.New
6.2012-2013Work with StopWaste to educate the community on the c
7.2012-2013Work with PG&E to promote energy savings programs.New
8.2012-2013Partner with California Youth Energy Services to prov
9.2012-2013Explore a collaborative effort with Dublin San Ramon New
community about water conservation.
10.2012-2013Update the Climate Action Plan (CAP).New
11.2012-2013Coordinate implementation of the Citys Trash Reduct
12.2012-2013Construct by-pass storm drain on San Ramon Road betw
13.2012-2013Establish storm drain capture project to assist with
14.2011-2012Create new Energy Conservation and Generation Elemen
15.2011-2012Create new Water Conservation and Management Element
16.2011-2012Develop a tobacco retailer license system. Underway
17.2011-2012Develop zoning restrictions that would require a ConUnderway
products within 1,000 feet of schools, residential neighborhoods
18.2010-2011Explore the feasibility of a streetlight energy efc
19.2010-2011Explore the feasibility of a mandatory requirement fUnderway
power building infrastructure for future installation, for new r
projects and look at possible incentives.
20.2011-2012Partner with schools to do outreach related to waste
21.2011-2012Explore greater e-waste recycling / disposal opportu
22.2010-2011Explore the feasibility of an ordinance that would eComplete
which have adequate enclosure space, to provide recycling servic
23.2010-2011Conduct six (6) watershed awareness educational even
24.2010-2011Explore an environmental recognition program for tar
25.2010-2011Explore the feasibility of a green eet plan for the
26.2010-2011Implement recommended solutions for paperless City C
27.2010-2011Conduct a volunteer clean-up day in the fall. Comple
28.2010-2011Develop a template recycling plan to be shared with
29.2010-2011Explore and present ndings related to creation of f
30.2010-2011Discontinue use of City supplied individual plastic Complete
at City hosted events.
31.2010-2011Implement a food-scrap, cash-incentive program for s
32.2010-2011Create a Climate Action Plan.Complete
Strategic Plan
City of Dublin Fiscal Years 2012-2013 and 2013-2014153
STRATEGY #4: Develop dynamic and unique community recreational a
in the region.
STRATEGIC GOAL #4A: Expand and enhance Dublin Heritage Park and
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2012-2013Develop and implement Parks and Community Services ma
2.2012-2013Update Public Facility Impact Fee.New
3.2012-2013Update Parks and Community Services Strategic Plan.Ne
4.2011-2012Pursue a Museum Assessment Program Phase III Applicat
5.2011-2012Conduct monthly Saturday events at the Dublin Heritag
6.2011-2012Develop a Facility Use Policy for the Kolb Barn and G
7.2011-2012Establish an Art / Ceramic Studio in the Old Kolb Hou
8.2011-2012Assume ownership of the Camp Parks Collection and conComplete
(pending approval by the US Army Center of Military History).
9.2010-2011Upon relocation of the Kolb properties to the Dublin Complete
catalogue / accessioning of the collections of the Kolb family.
10.2010-2011Conduct a park / facility dedication event for the D
11.2010-2011Produce one exhibit and corresponding catalog each yComplete
theme.
12.2009-2010Implement a self study and peer review for the PhaseComplete
Dimension Assessment for the Dublin Heritage Center.
13.2008-2009Upon acquisition of the Dublin Square Shopping CenteComplete
construction documents for Phase I of the Dublin Historic Park.
14.2007-2008Establish a Visitor Center at St. Raymonds Church.
15.2007-2008Assess the condition of the Kolb Family properties (Complete
relocation of the properties as appropriate.
16.2006-2007Develop Historic District Master Plan for Dublin BlvComplete
required.
17.2006-2007Prepare an update to the Parks and Recreation Master
18.2006-2007Undertake a site master plan, programming and nanciComplete
including DHPA land / cemetery feasibility study.
19.2006-2007Research and submit new application for Murray SchooComplete
Historic Places.
20.2006-2007Submit application for California Cultural Historic
21.2005-2006Refurbish exhibit space within the Murray SchoolhousComplete
highlight Dublins history.
Strategic Plan
154City of Dublin Fiscal Years 2012-2013 and 2013-2014
STRATEGIC GOAL #4B: : Develop a state-of-the-art recreation /
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2012-2013Update Public Facility Impact Fee.New
2.2008-2009Undertake development of design and construction docuUnderway
Complex.
3.2007-2008Re-evaluate the Facilities Feasibility Study and updaComplete
Recreation / Aquatic Center.
STRATEGIC GOAL #4C: Identify opportunities for development of a
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2013-2014Complete Passatempo Neighborhood Park.New
2.2013-2014Complete Schaefer Ranch Park.New
3.2012-2013Update Public Facility Impact Fee.New
4.2012-2013Fallon Sports Park: Determine feasibility and cost of
5.2012-2013Complete Positano Hills Neighborhood Park.New
6.2001-2002Complete U.S. Army Reserve Camp Parks General Plan an
7.2007-2008Complete GPA Study on the Transportation Corridor Rig
8.2006-2007Closely monitor development projects Citywide to idenComplete
recreation facility.
9.2005-2006Complete General Plan and Specic Plan Amendments for Eastern Dublin Property Owners Annexation Area. Complete
10.2005-2006Conduct research on various unique passive park / reComplete
and site requirements.
Median Marker Dublin Boulevard
Strategic Plan
City of Dublin Fiscal Years 2012-2013 and 2013-2014155
STRATEGY #5: Develop City-wide communication and outreach progra
connectivity with our residents and businesses across several me
STRATEGIC GOAL #5A: Identify new and / or enhanced opportunitie
engagement and outreach.
#FISCAL YEARPROPOSED INITIATIVE FOR ACCOMPLISHING STRATEGIC GOAL
1.2012-2013Continue to evaluate Social Media uses and options fo
2.2012-2013Facilitate roundtables with commercial brokers and th
3.2012-2013Develop business meetings / summits with property own
4.2012-2013Identify new opportunities for Neighborhood Outreach
5.2012-2013Expand Crime Prevention Education and Outreach Materi
6.2012-2013Establish Residential Fire Sprinkler Community Awaren
7.2012-2013Explore the feasibility of utilizing part-time volunteers to assist with City Emergency Management Activities.New
8.2012-2013Develop and Implement Parks and Community Services ma
9.2012-2013Expand options available as part of the Camp Connecto
10.2012-2013Expand Saturday programs to include use of existing New
Center and Emerald Glen Park.
11.2011-2012Update Dublin General Plan to include new informatio
12.2011-2012Develop and distribute an Annual Report on City Acco
13.2011-2012Develop a Faith and Culture Based Network that will Complete
between the Police and various faiths and cultures.
14.2011-2012Implement ve Volunteer Projects.Complete
15.2011-2012Partner with schools to do outreach related to waste
16.2011-2012Develop a Design Awards Program to recognize new and
17.2011-2012Develop Social Media Policies.Complete
18.2010-2011Implement City Communication Plan. Complete
19.2010-2011Develop and distribute quarterly e-newsletter by market segment Complete
20.2010-2011Prepare and produce semi-annual Public Service Announcement via Complete
safety tips and upcoming Police Services events.
21.2010-2011Update the Citys website and include an element of
22.2010-2011Explore options for a listserv system to inform the
23.2009-2010Produce a Citywide Newsletter.Complete
24.2009-2010Explore the feasibility of acquiring or producing a Complete
audiences within the community and determine the best means of d
minimizing risk of being a victim of property crimes.
Strategic Plan
156City of Dublin Fiscal Years 2012-2013 and 2013-2014
RESOLUTION NO. - 12
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF DUBLIN
***************************
ADOPTING A BUDGET FOR THE CITY OF DUBLIN
FOR FISCAL YEAR 2012-2013
WHEREAS
, the City Council of the City of Dublin is desirous of establishing a Budget and
Financial Plan for Fiscal Year 2012-2013; and
WHEREAS
, the City Council has reviewed and considered the Budget documents and has
received input from the public; and
WHEREAS
, the City Manager has prepared a balanced budget which continues with
organizational adjustments and allocation of resources in a manner which aligns with available
resources and the proposed Ten Year Strategic Plan; and
WHEREAS
, the General Fund Operating Budget is balanced without the need to draw from
the Reserve for Economic Stability in order to balance funding with planned expenditures; and
WHEREAS
, the City Council has the responsibility to adopt a budget before the Fiscal Year
begins July 1, 2012; and
WHEREASExhibit A
, the Summary of Appropriations () attached hereto and made a part of
this Resolution, reflects the Fiscal Year 2012-2013 Program Budget (All Funds) for the City of
Dublin; and
WHEREASExhibit A
, () has been segregated to isolate a grant appropriation for a community
organization, Dublin Partners In Education, (DPIE) which will be voted on as a separate Resolution
as one City Councilmember is also a member of the community organization’s Board of Directors;
and
WHEREAS
, the action taken by this resolution shall approve the appropriation of all funds
excluding the DPIE appropriation; and
WHEREAS
, the City Council also desires to confirm adjustments made administratively to
Capital Project balances during the preparation of the Budget and accommodate the carryover of
unspent 2011-2012 Capital Project appropriations, for those projects where work and expenditures
will continue in Fiscal Year 2012-2013; and
WHEREAS
, the City Council also desires to accommodate a process for the carryover of
unspent 2011-2012 operating expenditures (excluding personnel costs) for activities where work and
expenditures will continue in Fiscal Year 2012-2013; and
WHEREAS
, as part of the City’s first two-year budget process, a forecast for Fiscal Year
2013-2014 Appropriations has been completed and will be updated and presented to the City
Council for review and adoption in June 2013.
NOW, THEREFORE, BE IT RESOLVED
that the City Council of the City of Dublin does
hereby find, determine, declare and resolve as follows:
1. The Dublin City Council does hereby adopt the Fiscal Year 2012-2013 Budget
Exhibit A (Column A – Excludes DPIE
Appropriation for the City of Dublin, as outlined in
Contribution)
.
2. The City Manager is hereby authorized to make expenditures and appropriations in
accordance with the Budget as adopted, with the exception of those expenditures which require prior
City Council approval, in accordance with the adopted City ordinances, rules and regulations.
3. The City Manager is authorized to transfer budgeted amounts between line items, provided
that the transfer is within the same department activity and fund. Any revisions, which alter total
departmental expenditures of the City are to be approved by the City Council except as follows: The
City Manager will be allowed to transfer funds from the General Fund budgeted contingent reserve
($150,000 appropriated in Activity 1901 – Line Item #81101) to operating departments’ salary and
benefits accounts when required due to: (a) employee turnover or change in status; (b) authorized
changes in classifications; (c) City Council approved funding for increases in employees salaries and
benefits; (d) City Council approved funding for increase in contract or labor rates; and (e) to address
General Fund utility expenditures which exceed the budgeted expenditures.
4. The City Council may also transfer appropriations from the Budgeted Contingent Reserve
upon adopting a formal budget change at a public meeting.
5. The City Council recognizes that the Budget as presented also includes a Contingency for
Fiscally Responsible Adjustments ($336,150 appropriated in Activity 1901 – Line Item #81201),
which is not scheduled to be used in Fiscal Year 2012-2013. As determined by fiscal outcomes as of
June 30, 2013 this funding may be available for appropriation in the subsequent fiscal year. Further,
the City Manager is authorized to increase the appropriations for Fiscal Year 2012-2013 by funds
available from the Fiscally Responsible Adjustment Carry-Over as budgeted in the prior fiscal year.
The City Manager is authorized to transfer funds in accordance with personnel system policies and
procedures.
6. When revenue estimates exceed the amount identified in the Budget due to increases in
development applications and permit activity, as verified by the Administrative Services Director, the
City Manager is authorized to increase the appropriations for Fiscal Year 2012-2013 expenditures in
an amount not to exceed the amount of increased development application and permit revenue.
Increased appropriations shall be documented in the financial records and reported to the City
Council as part of the on-going financial reporting.
7. When revenue estimates exceed the amount identified in the Budget due to increases in
grant revenues, as verified by the Administrative Services Director, the City Manager is authorized to
increase the appropriations for Fiscal Year 2012-2013 expenditures in an amount not to exceed the
amount of increased grant revenue. Increased appropriations shall be documented in the financial
records and reported to the City Council as part of the on-going financial reporting.
8. The City Manager is authorized to make transfers among the various funds designated as
Transfers. This shall be consistent with the “Summary Appropriations by Major Fund” as presented
in the Preliminary Budget and Financial Plan; and fund transfers are reported as part of the regular
financial reports provided to the City Council and public.
9. The City Manager is authorized to increase the appropriations for Fiscal Year 2012-2013
expenditures in an amount not to exceed the amount of funds encumbered or designated by the City
Manager as needed for expenses that did not occur prior to year-end but are expected to be
expended in Fiscal Year 2012-2013 consistent with the original purpose. This ability to carry-over
funding shall not apply to savings from personnel services and shall only occur if the Department
Activity total for non-personnel expenditures were less than the amount budgeted for the same. This
must also be evaluated on a fund by fund basis. The actual amount of the increased appropriation
shall be reported to the City Council, and the City Manager may assign the fund balance in an
amount sufficient to account for the increase.
10. The City Manager shall be authorized to adjust the Fiscal Year 2012-2013 appropriations
to account for the carryover of unspent capital project appropriations from Fiscal Year 2011–2012.
All such adjustments shall be clearly recorded in the City Financial records and shall only be for
projects that remain incomplete as of June 30, 2012.
11. The City Manager is authorized to transfer budgeted capital project amounts between line
items, provided that the transfer is within the same project and fund. Any revisions, which alter the
project’s total expenditures, are to be approved by the City Council.
12. The total projected appropriations to reserves for all funds are shown in Exhibit A.
PASSED, APPROVED AND ADOPTED
this 19th day of June, 2012.
AYES
:
NOES
:
ABSENT
:
________________________________
Mayor
ATTEST
:
____________________________
City Clerk
EXHIBIT A – SUMMARY OF APPROPRIATIONS
Fiscal Year 2012-2013
Excluding DPIE DPIE TOTAL
GENERAL GOVERNMENT
$ 414,020
City Council $ 414,020
1,333,360
City Manager 1,333,360
46,120
Elections 46,120
513,940
Central Services / Human Resources 513,940
983,380
Insurance 983,380
905,900
City Attorney 905,900
2,066,600
Administrative Services 2,066,600
845,080
Building Management 845,080
_____________ 787,450
Non-Departmental 787,450
$ 0 $ 7,895,850
TOTAL-General Government $ 7,895,850
PUBLIC SAFETY
$ 15,236,020
Police Services $ 15,236,020
11,206,120
Fire Services 11,206,120
113,810
Disaster Preparedness 113,810
111,890
Crossing Guards 111,890
365,340
Animal Control 365,340
____________ 857,100
Traffic Signals & Street Lighting 857,100
$ 0 $ 27,890,280
TOTAL-Public Safety $ 27,890,280
TRANSPORTATION
$ 948,390
Public Works Administration $ 948,390
595,040
Street Maintenance 595,040
159,830
Street Sweeping 159,830
1,402,030
Street Landscaping 1,402,030
___________ 164,710
Street Tree Maintenance 164,710
$ 0 $ 3,270,000
TOTAL-Transportation $ 3,270,000
HEALTH & WELFARE
$ 2,711,420
Waste Management $ 2,711,420
431,980
Environmental Programs 431,980
$ 23,000 292,530
Social Services 269,530
___________ 967,700
Housing Programs 967,700
$ 23,000 $ 4,403,630
TOTAL-Health & Welfare $ 4,380,630
CULTURE & LEISURE SERVICES
$ 112,280
Community TV $ 112,280
559,730
Library Services 559,730
2,487,850
Park Maintenance 2,487,850
987,110
Heritage & Cultural Arts 987,110
4,142,700
Recreation & Community Services 4,142,700
___________ 400,460
Parks / Facilities Development 400,460
$ 0 $ 8,690,130
TOTAL-Culture & Leisure Services $ 8,690,130
COMMUNITY DEVELOPMENT
Development Services (Planning &
Building
2,359,040
Engineering 2,359,040
___________ 662,550
Economic Development 662,550
$ 0 $ 7,513,630
TOTAL-Community Development $ 7,513,630
$ 23,000 $ 59,663,520
TOTAL OPERATING BUDGET $ 59,640,520
CAPITAL IMPROVEMENT BUDGET
$ 10,654,873
General $ 10,654,873
86,824
Community Improvements 86,824
3,869,629
Parks 3,869,629
___________ 7,542,399
Streets 7,542,399
$ 0 $ 22,153,725
TOTAL-Capital Improvements $ 22,153,725
INTERNAL SERVICE FUND BUDGET
$ 0 $ 839,600
Total Internal Service Fund $ 839,600
TOTAL EXPENDITURES-
$ 23,000 $ 82,656,845
ALL FUNDS $ 82,633,845
APPROPRIATIONS TO RESERVES
General Fund $ 189,267 $ 189,267
Special Revenue / Capital Project Funds (629,017) ____________ (629,017)
$ 0
TOTAL-Appropriations to Reserves $ (439,750) $ (439,750)
$ 23,000 $ 82,217,095
TOTAL APPROPRIATIONS $ 82,194,095
Exhibit B
Approved Appropriations From General Fund
Committed And Assigned Fund Balances
As presented in the Preliminary Budget and Financial Plan (Fiscal Years 2012-2013 and 2013-2014)
the source of funding includes allocations from reserves. In accordance with adopted policies
related to Fund Balance the City Council must authorize the use of certain reserve funds. The
following schedule identifies the reserves sources that are approved for use by the City Council as
part of the funding sources in the proposed budget.
Fiscal Year Fiscal Year
Appropriations from Reserves
2012-2013 2013-2014
Economic Stability Reserve
Assigned For One-Time Initiatives (Operating) $ 269,860 $ 234,000
Assigned For One-Time Initiatives (Capital) $ 587,074 $ 250,474
Carry-Over Fiscally Responsible Adjustment $ 328,040 $ 336,150
Innovations & New Opportunities $ 1,630,205
Civic Center Expansion Design $ 542,082
Public Safety Complex (New - 6/30/12) $ 907,960
Emergency Communications $ 50,000
Unrestricted - (Capital Contribution) $ 889,294 $ 695,297
RESOLUTION NO. - 12
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF DUBLIN
***************************
ADOPTING AN APPROPRIATION FOR A CITY CONTRIBUTION TO
DUBLIN PARTNERS IN EDUCATION FOR FISCAL YEAR 2012-2013
WHEREAS
, the City Council of the City of Dublin has adopted the majority of the
appropriations for Fiscal Year 2012-2013 in a separate resolution; and
WHEREASExhibit A
, the Summary of Appropriations () attached hereto and made a part of
this Resolution, reflects the Fiscal Year 2012-2013 Program Budget (All Funds) for the City of
Dublin; and
WHEREASExhibit A
, () has been segregated to isolate a Community Support Grant
appropriation for a community organization, Dublin Partners In Education, (DPIE) which will be voted
on as a separate Resolution as a City Councilmember is also a member of the community
organization’s Board of Directors; and
WHEREAS
, the action taken by this resolution shall approve the DPIE appropriation shown in
Column B.
NOW, THEREFORE, BE IT RESOLVED
that the City Council of the City of Dublin does
hereby adopt the appropriation of $23,000 for Dublin Partners In Education as shown in Column B of
Exhibit A.
PASSED, APPROVED AND ADOPTED
this 19th day of June, 2012.
AYES
:
NOES
:
ABSENT
:
________________________________
Mayor
ATTEST
:
____________________________
City Clerk
EXHIBIT A – SUMMARY OF APPROPRIATIONS
Fiscal Year 2012-2013
Excluding DPIE DPIE TOTAL
GENERAL GOVERNMENT
$ 414,020
City Council $ 414,020
1,333,360
City Manager 1,333,360
46,120
Elections 46,120
513,940
Central Services / Human Resources 513,940
983,380
Insurance 983,380
905,900
City Attorney 905,900
2,066,600
Administrative Services 2,066,600
845,080
Building Management 845,080
_____________ 787,450
Non-Departmental 787,450
$ 0 $ 7,895,850
TOTAL-General Government $ 7,895,850
PUBLIC SAFETY
$ 15,236,020
Police Services $ 15,236,020
11,206,120
Fire Services 11,206,120
113,810
Disaster Preparedness 113,810
111,890
Crossing Guards 111,890
365,340
Animal Control 365,340
____________ 857,100
Traffic Signals & Street Lighting 857,100
$ 0 $ 27,890,280
TOTAL-Public Safety $ 27,890,280
TRANSPORTATION
$ 948,390
Public Works Administration $ 948,390
595,040
Street Maintenance 595,040
159,830
Street Sweeping 159,830
1,402,030
Street Landscaping 1,402,030
___________ 164,710
Street Tree Maintenance 164,710
$ 0 $ 3,270,000
TOTAL-Transportation $ 3,270,000
HEALTH & WELFARE
$ 2,711,420
Waste Management $ 2,711,420
431,980
Environmental Programs 431,980
$ 23,000 292,530
Social Services 269,530
___________ 967,700
Housing Programs 967,700
$ 23,000 $ 4,403,630
TOTAL-Health & Welfare $ 4,380,630
CULTURE & LEISURE SERVICES
$ 112,280
Community TV $ 112,280
559,730
Library Services 559,730
2,487,850
Park Maintenance 2,487,850
987,110
Heritage & Cultural Arts 987,110
4,142,700
Recreation & Community Services 4,142,700
___________ 400,460
Parks / Facilities Development 400,460
$ 0 $ 8,690,130
TOTAL-Culture & Leisure Services $ 8,690,130
COMMUNITY DEVELOPMENT
Development Services (Planning &
Building
2,359,040
Engineering 2,359,040
___________ 662,550
Economic Development 662,550
$ 0 $ 7,513,630
TOTAL-Community Development $ 7,513,630
$ 23,000 $ 59,663,520
TOTAL OPERATING BUDGET $ 59,640,520
CAPITAL IMPROVEMENT BUDGET
$ 10,654,873
General $ 10,654,873
86,824
Community Improvements 86,824
3,869,629
Parks 3,869,629
___________ 7,542,399
Streets 7,542,399
$ 0 $ 22,153,725
TOTAL-Capital Improvements $ 22,153,725
INTERNAL SERVICE FUND BUDGET
$ 0 $ 839,600
Total Internal Service Fund $ 839,600
TOTAL EXPENDITURES-
$ 23,000 $ 82,656,845
ALL FUNDS $ 82,633,845
APPROPRIATIONS TO RESERVES
General Fund $ 189,267 $ 189,267
Special Revenue / Capital Project Funds (629,017) ____________ (629,017)
$ 0
TOTAL-Appropriations to Reserves $ (439,750) $ (439,750)
$ 23,000 $ 82,217,095
TOTAL APPROPRIATIONS $ 82,194,095
RESOLUTION NO. XX - 12
A RESOLUTION OF THE CITY COUNCIL
OF THE CITY OF DUBLIN
* * * * * * * * *
ESTABLISHING A SALARY PLAN FOR FULL-TIME PERSONNEL IN ACCORDANCE WITH
THE PERSONNEL RULES
WHEREAS
, the City Council has adopted a Salary & Benefit Plan pursuant to the
Personnel System Rules; and
WHEREAS
, the City Council adopted Resolution No. 85-01 and subsequent
amendments which establish a Salary Plan for full-time personnel in accordance with the
Personnel System Rules; and
NOW, THEREFORE, BE IT RESOLVED
that the following salary provisions shall be
established in accordance with City’s Personnel System Rules.
BE IT FURTHER RESOLVED
that any previous enacted salary provisions contained in
Resolution No. 85-01 and subsequent amendments shall be superseded by this Resolution.
ARTICLE I: SALARY PROVISIONS
SECTION A: REGULAR EMPLOYEES EXEMPT FROM FAIR LABOR STANDARDS ACT
(FLSA) OVERTIME PROVISIONS
Employees covered under this Section shall be paid a monthly salary within the following
ranges with the exclusion of any Performance Pay Adjustment granted in accordance with the
Personnel System Rules. In the event that it is deemed by the City Manager to be in the best
interest of the City, temporary appointments of no more than 6 months, where the work
assignments are such that they can be completed with less than a 40 hour week, may be
approved based upon hourly rates. The total salary paid for such work shall not be less than
the “salary test” required for an exemption under the FLSA.
Monthly Monthly
Minimum Maximum
Accountant $6,853 $8,567
Administrative Analyst II $6,560 $8,200
Assistant Civil Engineer $6,972 $8,715
Associate Civil Engineer $8,108 $10,136
Associate Planner $6,853 $8,567
Environmental Coordinator $6,560 $8,200
Executive Aide
$5,911 $7,389
Geographic Information System Coordinator $6,560 $8,200
Housing Specialist $7,544 $9,431
Network Systems Coordinator $6,560 $8,200
Parks & Facilities Development Coordinator $6,853 $8,567
Permit Coordinator $7,035 $8,794
Recreation Supervisor $6,690 $8,362
Senior Administrative Analyst $7,545 $9,432
Senior Civil Engineer $9,084 $11,355
Senior Planner $7,809 $9,762
SECTION B: REGULAR EMPLOYEES COVERED BY OVERTIME PROVISIONS OF THE
FLSA.
Employees covered under this Section shall be paid hourly wages within the following ranges
with the exclusion of any Performance Pay Adjustment granted in accordance with the
Personnel System Rules. The monthly salaries are shown for informational purposes only.
Monthly Monthly Hourly Hourly
Minimum Maximum Minimum Maximum
Administrative Aide $5,629 $7,037 $32.4750 $40.5981
Administrative Analyst I $5,904 $7,380 $34.0615 $42.5769
Administrative Technician $5,117 $6,396 $29.5212 $36.9000
Assistant Planner $6,068 $7,584 $35.0077 $43.7538
Code Enforcement Officer $5,461 $6,826 $31.5058 $39.3808
Environmental Technician $5,407 $6,760 $31.1942 $39.0000
Finance Technician I $4,301 $5,376 $24.8135 $31.0154
Finance Technician II $4,780 $5,974 $27.5769 $34.4654
Graphic Design & Communications Coord. $5,685 $7,107 $32.7981 $41.0019
Heritage Center Director $5,685 $7,107 $32.7981 $41.0019
Information Systems Technician I $4,909 $6,138 $28.3212 $35.4115
Information Systems Technician II $5,455 $6,819 $31.4712 $39.3404
$4,597 $5,746 $26.5212 $33.1500
Neighborhood Resources Technician I
$5,036 $6,321 $29.0538 $36.4673
Neighborhood Resources Technician II
Office Assistant I $3,640 $4,551 $21.0000 $26.2558
Office Assistant II $4,045 $5,056 $23.3365 $29.1692
Permit Technician $5,117 $6,396 $29.5212 $36.9000
Public Works Inspector $6,248 $7,810 $36.0462 $45.0577
Public Works Technician I $4,597 $5,746 $26.5212 $33.1500
Public Works Technician II $5,036 $6,321 $29.0538 $36.4673
Recreation Coordinator $5,685 $7,107 $32.7981 $41.0019
Recreation Technician $4,548 $5,685 $26.2385 $32.7981
Secretary $4,449 $5,562 $25.6673 $32.0885
Senior Code Enforcement Officer $6,068 $7,584 $35.0077 $43.7538
Senior Finance Technician $5,455 $6,819 $31.4712 $39.3404
Senior Office Assistant $4,449 $5,562 $25.6673 $32.0885
BE IT FURTHER RESOLVED
that the changes contained herein shall be effective July
2, 2012.
th
PASSED, APPROVED AND ADOPTED
this 19 day of June, 2012.
AYES
:
NOES
:
ABSENT
:
ABSTAIN
:
Mayor
ATTEST
:
City Clerk
RESOLUTION NO. XX - 12
A RESOLUTION OF THE CITY COUNCIL
OF THE CITY OF DUBLIN
* * * * * * * * *
ESTABLISHING A SALARY PLAN FOR MANAGEMENT POSITIONS EXEMPT FROM
COMPETITIVE SERVICE
WHEREAS,
the City Council has adopted a Salary & Benefit Plan pursuant to the
Personnel System Rules; and
WHEREAS
, the City Council adopted Resolution No. 86-01 and subsequent amendments
which establish a Salary Plan for full-time management positions exempt from competitive service
in accordance with the City’s Personnel System Rules; and
NOW, THEREFORE, BE IT RESOLVED
that the following salary provisions shall be
established in accordance with City’s Personnel System Rules.
BE IT FURTHER RESOLVED
that any previous enacted salary provisions contained in
Resolution No. 86-01 and subsequent amendments shall be superseded by this Resolution.
ARTICLE I: SALARY PROVISIONS
A. REGULAR EMPLOYEES EXEMPT FROM FAIR LABOR STANDARDS ACT (FLSA)
OVERTIME PROVISIONS
Monthly Minimum Monthly Maximum
$12,338 $15,423
Administrative Services Director/Director of Finance
$13,275 $16,593
Assistant City Manager
$9,686 $12,106
Assistant Director of Community Development
$9,686 $12,106
Assistant Director of Parks & Community Services
$8,843 $11,054
Assistant to the City Manager
$9,539 $11,923
Chief Building Official
$8,843 $1,1054
City Clerk/Records Manager
$10,313 $12,892
City Engineer
$19,105
City Manager (Contract)
$11,964 $14,956
Community Development Director
$9,084 $11,355
Economic Development Director
$11,118 $13,898
Economic Development Director/Public Information Officer
$8,843 $11,054
Finance Manager
$8,843 $11,054
Heritage & Cultural Arts Manager
$11,118 $13,898
Human Resources Director
$8,843 $11,054
Information Systems Manager
$12,147 $15,184
Parks & Community Services Director
$8,843 $11,054
Parks & Facilities Development Manager
$9,084 $11,355
Planning Manager
$8,843 $11,054
Plan Check Engineer
$8,843 $11,054
Principal Planner
$11,756 $14,695
Public Works Director/Assistant City Engineer
$8,843 $11,054
Public Works Manager
$9,084 $11,355
Public Works Transportation and Operations Manager
BE IT FURTHER RESOLVED
that the changes contained herein shall be effective
July 2, 2012.
th
PASSED, APPROVED AND ADOPTED
this 19 day of June, 2012.
AYES
:
NOES
:
ABSENT
:
ABSTAIN
:
________________________________________
Mayor
ATTEST
:
_______________________________________
City Clerk