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HomeMy WebLinkAboutItem 8.1 Designations of General Fund Reserves for FY 2015-16OF Ill 4 �Ir 111 0 � =�, 82 DATE: TO: STAFF REPORT CITY COUNCIL June 21, 2016 Honorable Mayor and City Councilmembers CITY CLERK File #330 -20 FROM: Christopher L. Foss, City Manager J SUBJECT: Special Designations of General Fund Reserves for Fiscal ear 2015 -16 Prepared by Colleen Tribby, Director of Administrative Services EXECUTIVE SUMMARY: In accordance with the City of Dublin's Fund Balance and Reserves Policy, the City Council will consider special designations of General Fund reserves for Fiscal Year 2015 -16. FINANCIAL IMPACT: Approving special designations of General Fund reserves will not result in any net change to total fund balance, but would shift resources among reserve categories. RECOMMENDATION: Staff recommends that the City Council adopt t h e Resolution Authorizing a Special Designation of General Fund Reserves for Fiscal Year 2015 -16, and direct Staff to implement the changes in the financial records. Reviewed By Assistant City Manager DESCRIPTION: The City of Dublin's Fund Balance and Reserves Policy (the Policy) identifies the five classifications of fund balance to be used in the financial reporting of governmental funds, and defines the methodology of allocating net resources before the fiscal year end. The five classifications are: Non - Spendable, Restricted, Committed, Assigned, and Unassigned. Specifically, the Policy states that any excess fund balance, after designations to all other categories, and after providing for at least two months of ongoing expenditures in the cash flow reserve, go to the reserves for Pension and Retiree Health (50 %) and Non - Streets Capital Improvement Projects (50 %). This Staff Report transmits a Resolution authorizing special designations of General Fund reserves as of June 30, 2016 (Attachment 1). While the Fiscal Year 2015 -16 year -end Page 1 of 3 ITEM NO. 8.1 balances will not be final until the close of the City's financial books, Staff can make reasonable assumptions about estimated reserve balances at this point. The General Fund Reserves Summary (Attachment 2) provides a listing of reserve balances by category, and includes a description of the reason for any change. Many of the changes are due to the spending down of Committed reserves for actual capital improvement project expenses during Fiscal Year 2015 -16. Other shifts are related to year -end accounting policies, such as the annual adjustments to long -term General Fund advances, and the spending down of carry -over reserves from the prior year. Recommended Reserve Designations The City's Reserve Policy calls for the Available Cash Flow to be a minimum of two months and a maximum of four months. The City has maintained an average of 3.3 months in that reserve over the last three years. In the current report, the shifting of reserves provides for $23.3 million in the available cash flow reserve at year -end, which represents 4.0 months of the Fiscal Year 2016 -17 operating budget. After accounting for the cash flow reserve, and incorporating reserve changes for accounting purposes, Staff estimates that there will be $14.2 million available to shift among reserves. The following table illustrates all recommended reserve designations for June 30, 2016. The Resolution addresses only the Committed Reserves, as City Council approval of Assigned Reserves is not necessary by resolution. Recommended Reserve Designations, FY 2015 -16 Balance Balance June 30. 2015 Addition June 30. 2016 Note Committed Reserves: Economic Stability Reserve $6,000,000 $2,000,000 $8,000,000 In support of fiscal sustainability initiative Fire Services OPEB (Retiree Health) $9,196,000 $2,008,000 To equal most recent valuation, plus one year amortized $11,204,000 payment of unfunded liability Storm Drain Capture $400,000 $178,436 $578,436 To cover total project costs Shannon Center Parking Lot $775,000 $300,000 $1,075,000 To cover total project costs Utility Undergrounding $0 $1,170,190 $1,170,190 Per Adopted Budget FY 2015 -16 Innovations and New Opportunities $1,372,785 $750,000 $2,122,785 Increase funding; approx $500k to be used for PD technolog Dublin Sports Grounds $0 $2,500,000 $2,500,000 For future renovation of Dublin Sports grounds Subtotal, Committed Reserves $8,906,626 Assigned Reserves: Non - Streets CIP Reserve $3,132,016 $747,500 $3,879,516 Half of residual reserves Catastrophic Loss $10,608,186 $760,345 $11,368,531 To equal 15% of book value of City buildings Service Continuity $2,771,500 $228,500 To cover 18 -month lag between development revenues and $3,000,000 City costs incurred City Pension/ OPEB (Retiree Health $9,866,853 $1,747,500 Lump sum funding against $13.3 million unfunded obligation (for pension and retiree health combined); plus half of $11,614,353 residual reserves. Replace HVAC Units at Civic Center $0 $1,000,000 In additionto $1.2 million available in Building Replacement $1,000,000 Fund Relocate Parks Dept. to Police Wing $0 $250,000 $250,000 Upon completion of the new Public Safety Complex Fire Equipment Replacement $0 $600,000 $600,000 Per Adopted Budget FY 2016 -17 Subtotal, Assigned Reserves $5,333,845 Total Reserve Designation $14,240,471 "Reserve allocation previously approved by the City Council Page 2 of 3 As mentioned above, the FY 2015 -16 numbers are preliminary until the close of the books in the fall. When the numbers are finalized, Staff recommends that any additional residual reserves be allocated according to the City's Fund Balance and Reserves Policy (split evenly between the reserves for Pension and Retiree Health, and Non - Streets Capital Improvement Projects). NOTICING REQUIREMENTS /PUBLIC OUTREACH: None. ATTACHMENTS: 1. Resolution Authorizing a Special Designation of General Fund Reserves for Fiscal Year 2015 -16 2. General Fund Reserves Summary Page 3 of 3 RESOLUTION NO. - 16 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF DUBLIN * * * * * * * * * * * * * * * * * * * * * * * * * ** AUTHORIZING A SPECIAL DESIGNATION OF GENERAL FUND RESERVES FOR FISCAL YEAR 2015 -16 WHEREAS, the City's Fund Balance and Reserves Policy requires special fund balance allocations to be adopted by the City Council, and allows the City Council to take action prior to the end of the fiscal year to direct a specific assignment of the fund balance; and WHEREAS, Staff reviewed updated information regarding fund balance and estimated one- time revenues during the preparation of the Fiscal Year 2016 -17 Budget; NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Dublin does hereby make a special allocation of the estimated Fiscal Year 2015 -16 year -end balance to the Committed fund balance sub - categories as follows: BE IT FURTHER RESOLVED that, any net resources remaining after special designations, and after meeting the minimum requirement of two months cash flow in the Unassigned fund balance and a maximum of 15% asset book value in the Catastrophic Loss reserve, will be assigned as described in the policy: a) 50% to Pension and Other Post Employment Benefits; and b) 50% to the Non - Streets Capital Improvements Program reserve. PASSED, APPROVED AND ADOPTED this 21st day of June, 2016. ATTACHMENT 1 FY 2014 -15 Actual FY 2015 -16 Increase FY 2015 -16 Decrease FY 2015 -16 Change FY 2015 -16 Year End Committed 38,531,179 8,906,626 (7,242,240) 1,664,386 40,195,565 Economic Stabil ity 6,000,000 2,000,000 2,000,000 8,000,000 Downtown Public Impr 1,000,000 (459,647) (459,647) 540,353 Open Space Funding - - Affordable Housing 1,000,000 1,000,000 Emergency Communications 741,000 - 741,000 Fire Svcs 0PEB 9,196,000 2,008,000 2,008,000 11,204,000 Innovations & New Opport 1,372,785 750,000 750,000 2,122,785 Jt City/ School Projects 46,015 (46,015) (46,015) - One -Time Initiative 1,341,408 1,341,408 Specific Committed Reserves - - Emerald Glen Aquatic Complex 3,000,000 (3,000,000) (3,000,000) - Maintenance Facility 250,023 (250,023) (250,023) - Cemetery Expansion 5,272,210 5,272,210 Fallon Sports Park 2,000,000 (1,800,000) (1,800,000) 200,000 Civic Ctr Expansion 136,737 (33,118) (33,118) 103,619 Emergency Generator - - Public Safety Complex - - Storm Drain Capture 400,000 178,436 (578,436) (400,000) - Shannon Center Parking Lot 775,000 300,000 (1,075,000) (775,000) - Utility Undergrounding - 1,170,190 1,170,190 1,170,190 Advance to Public Facility Fee 6,000,000 - 6,000,000 Dublin Sports Ground - 2,500,000 2,500,000 2,500,000 BE IT FURTHER RESOLVED that, any net resources remaining after special designations, and after meeting the minimum requirement of two months cash flow in the Unassigned fund balance and a maximum of 15% asset book value in the Catastrophic Loss reserve, will be assigned as described in the policy: a) 50% to Pension and Other Post Employment Benefits; and b) 50% to the Non - Streets Capital Improvements Program reserve. 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