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HomeMy WebLinkAboutItem 8.3 Mod 04-05 ArticleXIII CITY CLERK File # D~I?51[Q]-[ZJ[[] AGENDA STATEMENT CITY COUNCIL MEETING DATE: June 20, 2005 SUBJECT: 2004-2005 Budget Modification with Regard to Article XIII B of the State Constitution Prepared by: Carole Perry, Administrative Services Director and Lisa Hisatomi, Administrative Analyst II ATTACHMENTS: None RECOMMENPATION/ wr Authorize appropriations to Rcserves, any revenues in excess of ~} budgeted expenditures as of June 30, 2005, as outlined below. FINANCIAL STA-h:~ENT: This action will provide appropriations to Reserves in the amount of any revenues received that are in exccss of expenditures. This action will not change the amounts authori7.ed for expenditure. Actual amounts appropriated to Reserves in each Fund will be identified after the books arc closed and all accruals recorded, DESCRIPTION: This action requests authorization to "appropriate" all revenucs received in the currcnt Fiscal Year 2004-2005 that are in excess of expenditures, The actual amounts involved will be detennined following the close of Fiscal Year 2004-2005. Each year thc City Council takes this action to protect the ability to utilize these reserves in future years, without the risk of exceeding the State mandated Appropriations Limit. The State Constitution establishes a limit on the amount of annual appropriations that can legally be made trom "Proceeds of Taxes." Although the City is currently well below the maximum Appropriations Limit, this action will protect future expenditures from Reserves. Under State Law certain funds can be excluded from the calculation of the total "appropriations" which will be subject to the Limit. The law speci Ikally excludes funds that have been "appropriated" to Reserves in a prior fiscal year. When the Reserve Funds are eventually used, they arc not subject to the Appropriations Limit in the year utilized, since they were previously "appropriated" under the Limit authorized in a prior year. In other words, if the City Council appropriated $500,000 to Reserves in Fiscal Year 2004-2005 and the funds were used on a capital project in Fiscal Year 2006-2007, this expenditure would not be subject to the Limit. At the time of the adoption of the Fiscal Year 2004-2005 budget, the City Council directed Staff to allocate an estimated year-end surplus of $251,713 to Reserves. The Reserves were earmarked for Economic Uncertainty. As part of the development of the Fiscal Year 2005-2006 Preliminary Budget, Staff has revised the revenue and expenditure estimates for Fiscal Year 2004-2005. Those revised estimates project that the _________________________________________________________W~MW.____~w_______________________________________~ COPIES TO: 101'2 FI ~ \!:Illd¡tt\A¡f"IIda Stllt~lUfn jI¡;:I~~~~R~toR~8~1'V 011.(; Ii:NÐo!LSTMTu4_0!. DOC ITEM NO. 8.S City's 2004-2005 year-end surplus will be approximately $3.0 million. Excluding the carry-over of $764,439 in Capital Improvement Projects (ClP's), the $280,000 reserve established for Box Culvert Maintenance and the $251,713 previously allocated to reserves by the City Council, the remaining General Fund surplus is projccted at $1,658,931. This amount is higher than originally anticipated in the Mid-Year report presented to City Council, primarily due to higher than expected revenues from sales taxes, building pemllts and interest eanrings. The Fiscal Year 2005-2006 Budget includes the known revenue reductions by the State of California. In addition, the City has a number of projects in progress that will require additional contributions fÌom the General Fund in the future. If the Fiscal Year 2004-2005 surplus exceeds Staff's estimate, Staff would recommend that the additional amounts be allocated to address these projects, as delineated in the chart below. RECOMMENDED YEAR-END SURPLUS ALLOCATION Previously Authorized Recommended Additions / Additions / (Reductions) to (Reductions) Projected Ending Reserves In to Reserves in Balance as of June PROJECT FY2004/2005 FY2004/2005 30.2005 Economic Uncertain~ $251,713 $ 0 $251,713 Capital Project Carryovers $ 0 $ 764 439 $764,439 Future Restricted Projects $ 0 $ 1,658,931 $1,658,931 Box Culvert Maintenance $ 0 $ 280 000 $280,000 TOTALS: $251,713 $2,703.370 $2.955.083 Staff recommends that the City Council authorize the appropriation of an excess rcvenues to Reserves in conformance with this report. 20f2