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HomeMy WebLinkAbout- - Attachment 1 - 2/11/201468RV411JSRDIR$\duniv_s\My Documents\Budget FY 12-13\Surplus 12-13 1/20/2014 8:58 AM Attachment 1 Page 1 CITY OF COSTA MESA SURPLUS ANALYSIS - $7 MILLION BREAKDOWN (BUDGET BASIS) FY 2012-13 In Millions Description Ongoing One -Time Total Comments Revenues: Sales Taxes Property Taxes Transient Occupancy Taxes Investment Income Fairfield Pacifica Settlement County of Orange Settlement Other Subtotal Revenues Expenditures: Salary & Benefit Savings: All City Departments Vacancy Offset--Non-Departmental Net Salary & Benefit Savings Departmental Carry over items Development Services General Plan update Public Services - Maint & Operations Other departmental carry over items Non -Departmental: Demand Payment to Department of Finance PERS Unfunded Liability Payment Acquisition Costs Debt Service Other Total carry over and other items $ 1.5 - $ 1.5 Adopted budget vs. actual 0.4 1.3 1.7 One-time $1,324,015 from RDA dissolution 0.8 - 0.8 Adopted budget vs. actual (0.9) - (0.9) Adopted budget vs. actual - GASB 31 $981,698 - 0.6 0.6 Termination of affordable housing agreement - 0.9 0.9 Reimburse property tax collection charges 0.3 0.3 Net positive variances in other revenues 2.1 2.8 4.9 3.3 3.3 (1.8) (1.8) 1.5 1.5 0.4 0.4 - 0.9 0.9 Various items 0.4 0.4 - (2.5) (2.5) Disallowed debt service on loan to RDA - 0.5 0.5 Carryover - 0.5 0.5 Future motel purchase - NITF (carryover) - 1.4 1.4 Payoff 1998 Refunding Bonds from bond reserves 0.9 (0.9) (0.9) 1.6 0.7 Total Surplus $27 $ 4.4 $ 7.1 ❑Srv4\usrd1r$\DUNIV_S\My Documents\Budget FY 12-13\Surplus 12-13 1/31/2014 4:12 PM Attachment) Paget CITY OF COSTA MESA MENDED USES OF THE FY 2012-13 SURPLUS BUDGET CHANGES FOR FY 2013-14 In Millions Description Ongoing One -Time Total Comments General Fund: Previously approved items: Carry over from FY 2012-13: General Plan Update $ 0.444 $ 0.444 Re -budget in FY 2013-14 Other Departmental items 0.355 0.355 Re -budget in FY 2013-14 Pension unfunded liability prepayment 0.500 0.500 Re -budget in FY 2013-14 NITF Acquisition Costs 0.500 0.500 Re -budget in FY 2013-14 Subtotal 1.799 1.799 BA 14-001 Civic Center Barrio default cure 0.350 0.350 Resolution dated 9-17-13. 717-721 James St. CMPA salary adjustment 0.911 0.911 Council approved 11-19-13 BA 14-016 Public Services Project Management 0.200 0.200 Council approved 12-03-13 BA 14-010 Purchase 10 Police Dept. vehicles 0.444 0.444 Council approved 12-03-13 BA 14-019 IT Director/Consultant 0.110 0.110 Council approved 01-07-14 BA 14-021 Staffing Plan (1/3 year cost) 0.600 0.600 Council approved 01-21-14 BA 14-024 Subtotal 1.621 4.592 2.615 Recommended Items - IT infrastructure upgrade 1.053 1.053 Authorized Feb. 19, 2013. Use direct pay vs. loan Offset with current appropriations (0.235) (0.235) Non -departmental FY 2013-14 appropriations for internal rent -replacement costs Increase transfer to CIP Fund 0.300 0.300 Balance from FY 2013-14 revenue increase Subtotal 0.000 1.118 1.118 Subtotal Unused amount Total FY 2012-13 Surplus Program Increase transfer from General Fund Increase transfer from General Fund Total Revenue increase for Fund 401 1.621 $ 7.509 $ 5.532 1.568 $ 7.100 0.300 0.300 0.800 0.800 1.100 1.100 Savings remain in unassigned fund balance From FY 2012-13 surplus From FY 2013-14 revenue increase Reprogram CMHS Track & Field upgrade funds (0.500) (0.500) Adjust CIP budget. Projects selected from the unfunded list: 32. Council Chambers & AA1 upgrades 1.600 1.600 Council approved concept 12-03-13 Total Expenditure increase for Fund 401 1.190 1.100 Net change in CIP Fund 401 $ $ $