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HomeMy WebLinkAboutItem 4.13 StPatFestivalPlan$CITY CLERK FILE # 950-40 AGENDA STATEMENT CITY COUNCIL MEETING DATE: November 6, 2001 SUBJECT: St. Patrick's Day Festival Plan and Budget Report Prepared by Paul McCreary, Parks and Community Services Manager ATTACHMENTS: I Event Map . 2. Budget Change Form RECOMMENDATION:/~~ Approve a budget modification increaSing the revenue budgets by $60,695 and the expenditure budgets by $63,540. FINANCIAL STATEMENT: The FY 2001/2002 Budget was prepared on the presumption that a contractor would receive festival revenue and pay for festival expenditures. Since the City will be producing the 2002festival a modification of the FY 2001/2002 budget is needed to recognize the revenue and expenses that will now be deposited to and paid from the General Fund. Due t° projected decreases in sponsorships and increases of some expenditures, Staff estimates the City will incur $2,845 more in net costs for this event than anticipated in the adopted budget for FY 2001/2002. DESCRIPTION: Bright Moments Event Production, the firm that produced the 2001 St. Patrick's Day Festival, ceased operations in mid-July. At the City Council meeting on August 21, 2001, the Council~ directed Staff to begin planning the St. Patrick's Day Festival in-house and prepare an event plan and budget change for the Council's approval. An event plan has been developed by Staff and is outlined below. EVENT PLAN Event Production Team The production of the 2002 festival will be under the direction of the Parks and Community Services Manager, with the support of City employees and independent contractors for specialty services. The Recreation Specialist who was originally hired to assist with the Day on the Glen will be working an additional 10-hours per week coordinating the operations of the St. Patrick's Day Festival. Dan O'Hara has been contracted to secure sponsors for the event. He has been extremely successfUl at securing sponsorships for previous St. Patrick's Day Festivals, as well as the Day on the Glen. Staff has secured the services of Pacific Fine Arts to lease booth space to artists and crafters. Pacific Fine Arts has been in business for over 20 years and has been highly recommended by many cities and chambers of commerce throughoUt California. Festival Layout and Components The 2002 St. Patrick's Day Festival will utilize the same site as in previous years. This includes Amador Valley Boulevard between Regional Street and Donohue Drive, as well as the parking lots at the Shamrock Village Shopping Center and Dublin Library. An Event Map showing an G:\COUNCIL\I 1-06-01 st pats budget.doc COPIES TO: st. Patrick's Day Liaison Committee ITEM NO. overview of the site plan is Attachment 1. Staff is proposing a few minor changes to the layout from previous years. The most significant change will be relocating the main stage and restaurant vendors to the library parking lot. In the past the main stage, which features Celtic entertainment, has been in the middle of the carnival area at the Shamrock Village Shopping Center. Staff proposes moving it to the Library parking lot so the venue can be expanded with a larger stage and additional covered seating. The community stage, which is a smaller stage featuring local entertainment, would then be located in the Shamrock Village Shopping Center along with the children's attractions and food. A new stage featuring Irish Dancing would be located on Amador Valley Boulevard at Regional Street. As in the past booths for the art and craft vendors, non-profit groups, Dublin businesses and event sponsors would line the median and southern curb of Amador Valley Boulevard. There is enough space on the street to accommodate 155 artists, 20 non-profit groups and 20 local businesses. Celtic Entertainment Staff proposes adding a third stage this year that would solely feature Irish dancing. In the past Irish dancing has been featured on the main stage for only a couple of hours each day. Irish dancing is popular and many visitors who missed the dancing performances have requested that more Irish dancing be included in the festival. Adding this venue would enhance the Irish theme of the festival. The main stage will still feature a variety of Celtic music from traditional styles to rock; dance tunes and ballads. Food and Beverage ~ Food booths will be located in the library parking lot near the entertainment pavilion and in the Shamrock Village Shopping Center in the carnival midway area. For the entertainment pavilion, Staff will secure a variety of Irish food vendors and local restaurants. To enhance the Irish spirit of the festival, an effort will be made to secure more Irish food vendors than in the past. The food located in the carnival area will be geared towards children and feature items such as hot dogs, fries, hamburgers, pizza, cotton candy and kettle com. Each food area will have Seating available for diners. Beverage booths will be located in four locations and will feature Irish and domestic beer, local wines, soda and water. Beverage booths will be expanded this year to be able to accommodate more lines at each booth and reduce the length of the lines. Commemorative wine and beer glasses will be made available for sale in the beverage booths. Carnival Midway The carnival rides and games have been a popular attraction at past festivals. When more of these types of attractions are available, families tend to spend more time at the festival. Therefore} Staff is proposing utilizing a larger portion of the Shamrock Village Shopping Center for children's attractions. In prior years these attractions have only utilized about 2/3 of the space in this area. To enhance the St. Patrick's Day spirit a vendor will be secured to sell Irish novelty items in the carnival area such as hats, t-shirts, pins, balloons, and other related items. Participation by Non-Profit Organizations Local non-profit organizations will continue to have a significant role in the festival. Groups will be invited to setup informational booths at the festival to promote membership and achievements by the organization. Groups will also be invited to provide community festival workers. As with past festivals the community festival workers will be able to earn an hourly stipend, which will be donated back to their organization. Available positions will include greeters, booth sitters, survey takers, caf6 cleanup, beverage pourers and ticket cashiers. Letters inviting groups to participate will be mailed in November to groups listed on the City's non-profit mailing list. In addition to the St. Patrick's Day Festival, the City will host the Shamrock 5K Fun Run, the Dublin Sister City Association will sponsor the Green & White Gala, the Alameda County Firefighters will sponsor a Communit~ Pancake Breakfast and the Dublin Lions Club will sponsor the St. Patrick's Day Parade. An overview of these, events follows. SHAMROCK 5K FUN RUN The City will be sponsoring the 4th Annual Shamrock 5K Ftm Run and Walk on Sunday, March 17, 2002 from 8:30-10:30 A.M. The event will start and finish in the Shamrock Village Shopping Center and utilize the same 3.1-mile racecourse. Pre-race activities will feature an aerobic warm-up and stretching. Post-race activities will include food, water, energy drinks, sponsor recognition, a Celtic band, and the awards ceremony. OTHER ST. PATRICK'S DAY EVENTS The Dublin Sister City Association will be sponsoring the annual Green & White Gala on Friday, March 15, 2002. On Saturday morning, the Alameda County Firefighters will be sponsoring a Community Pancake Breakfast at Fire Station Number 16. After filling up on green pancakes, visitors will be able to see. the Dublin Lions Club's annual St. Patrick's Day Parade, which begins at 9:30 A.M. Despite the opening of the new Safeway on the comer of Dublin Boulevard and Amador Plaza Road, the parade will continue to be staged on Amador Plaza and follow the same route as in past years. The Friends of the Dublin Library will be sponsoring their semi-annual Used Book Sale at the library from Friday, March 15 through Monday, March 18. PROPOSED EVENT BUDGET Staff has prepared a budget for the 2002 St. Patrick's Day Festival. The budget was prepared utilizing data from the 2001 St. Patrick's Day and Day on the Glen festivals. Following is the Proposed Budget as compared to the Adopted Budget. REVENUE 200112002 ADOPTED BUDGET 2001/2002 PROPOSED BUDGET Charge for Service $38,000 $68,695 Contributions $0 $30,000 TOTAL REVENUE $98,695 $38,000 EXPENDITURES 200112002 ADOPTED BUDGET 2001/2002 PROPOSED BUDGET Salaries and Benefits $10,065 Postage $525 Operating Supplies $17,290 Communications $100 Advertising $12,500 Printing & Binding $1,550 Rental Equipment $19,640 Contract Services $35,000 $36,870 TOTAL EXPENDITURES $35,000 $98,540 NET GAIN $3,000 $155 Due to projected decreases in sponsorship revenue and increases in expenditures, Staff estimates the City will incur $2,845 more in net cost than anticipated in the adopted budget for FY 2001/2002. With the looming economic recession Staff is anticipating a decrease of $5,000 in sponsorship revenue this year. Since the event will be produced in-house the part-time salary budget needs to be increased to account for the additional 10-hours per week for the Recreation Specialist. Conversely the contract services budget will be decreased due to the fact that the City will no longer be paying a management fee to an outside firm. The most significant increase in expenditures is for advertising. In an effort to attract more visitors from outside of the Th-Valley, Staff is proposing increasing television advertising of the event. Significant advertising would still be placed in the local newspapers as well as on several radio stations in the Bay Area. The costs of rental equipment have increased due to the third stage for Irish Dance, and larger tents for the main stage. The FY 2001/2002 Budget was prepared on the presumption that a contractor would receive festival revenue and pay for festival expenditures. The only items included in the budget were the promoter's management fee ($35,000 expenditure) and the net festival proceeds anticipated from the festival ($38,000 in revenue). Since the City will be producing the 2002 festival budget modifications are needed to recognize the actual revenue .and expenses that will now be deposited to, and paid from, the General Fund. The Budget Change Form in Attachment 2 addresses the needed budget modifications. RECOMMENDATION Staff recommends the Council approve the budget modification increasing the revenue budgets by $60,695 and the expenditure budgets by $63,540. 2002 ST, PATRICK'S DAY FESTIVAL PRELIMINARY SITE LAYOUT DUBLIN LIB1L~RY ATTACHMENT I CITY OF DUBLIN BUDGET CHANGE FORM New Appropriations (City Council Approval Required): X. From Unappropriated Reserves (If Other than General Fund, Fund No - __X From New Revenues Budget Transfers: CHANGE FORM # From Budgeted Contingent Reserve (1080-799.000) Within Same Department Activity Between Departments (City Council Approval Required) Name: REVENUE BUDGET $30,695 Account #: Name: Special Events - Charge for Service Account #: 001.565.012 Name: REVENUE BUDGET $30,000 Name: Contributions from Others Account #: Account #: 001.570.002 Name: Name: Part-Time Salaries $8,870 Account #: Account #: 001.80700.701.002 Name: Name: Retirement (10.148 % on hours past 999) $1,195 Account #: Account #: 001.80700.701.004 Name: Name: Postage $525 Account #: Account #: 001.80700.711.000 Name: Name: Operating Supplies $17,290 Account #: Account #: 001.80700.713.000 Name: Name: Communications $100 Account #: Account #: 001.80700.714.000 Name: Name: Advertising $12,500 Account #: Account #: 001.80700.715.000 Name: Name: Printing and Binding $1,550 Account #: Account #: 001.80700.716.000 Name: Name: Rentals and Leases $19,640 Account #: Account #: 001.80700.719.000 Name: . Name: Contract Services $1,870 Account #: Account #: 001.80700.740.000 _.----- -~ /1 Si~mature ASD/Fin Mgr f'~-~'~ ~L ~ Date: Signature REASON FOR BUDGET CHANGE ENTRY: The FY 2001/2002 Budget was prepared on the presumption that a contractor would receive festival revenue and pay for festival expenditures. Since the City will be producing the 2002 festival in-house a budget modification is needed to recognize the revenue and expenses that will now be deposited to and paid from the General Fund. It will be necessary to increase revenues by $60,695 and expenditures by $63,540 and appropriate an additional $2,845 from the General Fund Unappropriated Reserves. Mayor: Posted By: Signature Signature Date: Date: ATTACHMENT 2