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CC Resolution 2013-032RESOLUTION NO. 2013 - 032 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF LA QUINTA, CALIFORNIA, ESTABLISHING THE CITY'S APPROPRIATION LIMIT FOR FISCAL YEAR 2013/2014 AND APPROVING A BUDGET FOR FISCAL YEAR 2013/2014 WHEREAS, each year the La Quinta City Council adopts a Budget for Revenues and Expenditures for the upcoming Fiscal Year; and WHEREAS, the City Council desires to make provisions for a level of services commensurate with the needs of the City; and WHEREAS, the City Council has reviewed said budget and has had several public meetings to receive public input; and WHEREAS, the City Council has, after due deliberation and consideration, made such amendments in the proposed budget as it considers desirable; and WHEREAS, Section 7910 of the Government Code of the State of California provides that each year the governing body of each local jurisdiction shall, by resolution, establish its appropriations limit for the following fiscal year; and WHEREAS, Section 7902(b) of the Government Code sets forth the method for determining the said appropriations limit, to be based upon the limit applicable for the prior fiscal year and adjusted for changes in the cost -of -living and in City population. NOW, THEREFORE, BE IT RESOLVED by the City of La Quinta to adopt, as follows: SECTION 1. The appropriations limit for the City of La Quinta established in accordance with Section 7902(b) of the California Government Code, for Fiscal Year 2013/2014 is $101,848,105. SECTION 2. It is hereby found and determined that in compliance with Government Code Section 7910, the documentation used in the determination of said appropriations limit for Fiscal Year 2013/2014 was available to the public in the Finance Department of the City and in the Office of the City Clerk at least fifteen days prior to this date. SECTION 3. The Fiscal Year 2013/2014 Budget which is on file with the City Clerk is hereby approved. Resolution No. 2013-032 Budget Approval FY 2013/2014 Adopted June 18, 2013 Page 2 SECTION 4. The Successor Agency to the Redevelopment Agency agrees to the reimbursement to the City for services performed by the City on behalf of the Agency. Such reimbursement, as computed and included in the budget document, shall include salary, salary related costs, direct costs, and indirect overhead costs. SECTION 5. Continuing Appropriations which remain unspent and were authorized by Council in Fiscal Year 2012/2013 are approved in the Fiscal Year 2013/2014 Budget in an amount not to exceed $907,918 of which $102,311 will be offset by grant funding (Exhibit A). SECTION 6. Encumbrances for Fiscal Year 2013/2014 for committed appropriations are approved in the Fiscal Year 2012/2013 Budget in an amount not to exceed $164,389 (Exhibit A). SECTION 7. Budget adjustment procedures are approved as follows: A. Additional appropriations and the transfer of cash or unappropriated fund balance from one fund to another shall be made only upon City Council approval. B. Transfers of budgeted appropriations between divisions or capital projects shall be made only upon City Council approval. C. Transfers of budgeted appropriations between accounts within a division or capital project may be made with the approval of the City Manager or his designee. D. Prior year budget continuing Appropriations and Encumbrances for unexpended capital project appropriations remaining from uncompleted prior year capital projects shall be made with City Manager approval. These carry-over appropriations are for prior year Council approved capital projects and shall not exceed the approved project budget. SECTION 8. The City Council, recognizing the need for maintaining Fund Balance reserves has established a General Fund Cash Flow Reserve for Fiscal Year 2013/2014 of 8.25% of the Fiscal Year 2013/2014 budget which amounts to $2,836,820 for Fiscal Year 2013/2014, and has also established a General Fund Emergency Reserve for Fiscal Year 2013/2014 of 35% of the Fiscal Year 2013/2014 budget plus $4,000,000 which amounts to $16,034,995. The two aforementioned reserve categories cannot be appropriated without the explicit approval of the City Council. Resolution No. 2013-032 Budget Approval FY 2013/2014 Adopted June 18, 2013 Page 3 SECTION 9. The City Manager shall render a monthly report to the City Council on the status of City operations as it relates to the approved budget and any amendments thereto. PASSED, APPROVED, and ADOPTED at a regular meeting of the La Quinta City Council held on this 18th day of June, 2013, by the following vote: AYES: Council Members Evans, Franklin, Henderson, Osborne, Mayor Adolph NOES: None ABSENT: None ABSTAIN: None Y ' IZ DON AD LPH, Mjyor City of La Quinta, California ATTEST: SUSAN MAYSELS, Cit Jerk City of La Quinta, California (CITY SEAL) FiV2017910,TAF � v 41 . K THER E JENSOf�,d, ity Attorney City of La Quinta, Califgr la EXHIBIT A CRY of La Quints FI9031 Year MUM Con#nuhlp APProPriatbnslEncumbrames - Nate 1 De ranee Account Descd Cenikluap son RevMues TtaWer in Out Erlwmaanoes Total COte manager 101-11002413.31-01 Total Hereon C o olln9 C~ 95 � 33 m0 35 Cannunity Samim 101,300545132-07 1013 11451.80.65 Total Park A6sessmerd Fomlatlan CNm992 Valley Remove M"Im 110.000 60 160 110,000 60000 160 Fire 1016055422.71-01 101-50554224361 ARM Coda Fine Compllmca EOripmeM Benner Maths az 36.959 36,959 1016055422A361 Total Bud9e1B9nd9 4317 t f36 1347 4347 39 959 5 42 Police 101.5054421.3680 .101-6054421.36-71 1016051421.3642 101-1000-391.00-00 101.100p591.00-00 Total UnWmtJAGGrantLmft Surawy Pra4arom Transfer In -COPS Grant - Transfer toforJAG Grant 2311 600 36.000 (1m,00p) 11 23tt 4Q� 46fiw (f00.000 000) 11 86 t1 102 11 15 CammuntyDevelaglletd .. 1016001.463.32-10 10116001.463.e2.10 1016001.483.32-f0 1016mi.463.32-10 1016001.4 M.10 Total Cm rel Plan Updab General Plan HosYp Element General Plan ZN&V Ce,abd 7 GI6 Aail 9na9erY Current Ppnlrp OmmulWlp SonAm SAW 1/,8L12 12,780 5.750 6/80 - t1,658 11,602 12,780 5.750 5180 TO 43.970 Public Works 101-700143122-07 10+-700/431.32-07 101-700143132-07 SuhbW WOdan Fwkinctai RTE RwMabmb 6 Traub En9 RTE Ranldabab 6 Tmft Eng 15,Om 11,472 19 15,000 11.472 13.632 15.000 26+04 so 104 22,134 134 101-7002A31a 1a subtotal Map Plan Oryegdrp 22.11U 1s< 33AM 19250 9,139 S,676 8.946 4.136 30M 33.Bm 3250 ,138 8,139 8,94fi 4,135 15,246 3000 101.7003431.3365 101-7003431A3-79 101-700343/A4-01 101-7003431.6643 101-7003431.56-46 101.700343U6,19 f01-]003431.6652 101-7003431.66-68 subtotal Smpin9 PNJW Decee6la6m Clpn O"opak Qupment Rental Barricades slops Asphae RaplacmnmtdgavaNw0oate15246 Repeleabeetkpends - 93181 11a.751 - 68pOp 204A00 41.706 32.794 33217 5800p 11,600 23,953 4�0 18751 - 101-700443132-07 101.700443134-04 101-7004431.3140 101-7004431.41-01 101-7004-43fA1-07 101-7004431A1-19 101-7004431.43.70 101-7004431.66-02 101-7004431.5637 101-7004431.5662 sumotal IPMsgpe Ll91pn9 Landscape M intmance MerRock Lardsmpa EkrLlUl Sigel E]emiow Median Water Medan Paten Trees Mural Plard Replacemeat GMrIW Supgim - Malarial _ 497 11 497,611 - 10.000 .- 6AST 14A73 10,000 6,087 14.673 101-700643122-07 RBITMMC-PO#1660 101-7006431— 02 Econo6la-PO#1674 101-7006431.6602 JTS-PO#1668 - 101-70 06431.66-02 Memdee-PO#1674 12AW 12,958 101-7006431.56-02 JTB-PO#1979 3,404 3.404 101-7008431.56-02 tlxs-PO#1671 17,280 17280 101-70 06431b6-02 Rafe 410#1672 12" 12.566 101-7006431.56-02 BddgaL=-PO#1670 - Z470 2.470 1014006431.5602 DDL-PO#1665 Z146 2.146 101-7006431.66-02 DDL-PO#1667 S.M U.M 101-7006431.6602 JTB-PO#1661 1.933 1.933 101.7006431.56-02 JTB-PO#1662 6.000 6,000 10/.7006431.6602 ItMs -PO #1677 /8306 1830G 101-]006431.71-01 Econc6te-PO#1679 18728 16728 Subtotal - 13t 131 2 Total 1 627 36 11 7 742 Total GenmlFund 1102,311111 1# 1 54 City of La Quints Flscaf YQar20t2/2013 Continuhq ApWoprla0onmSwuwsbmnces -Note 1 aNnent Ar nt Des - Conumlin fiation Revemres Transfer In Out Erwunbrancas Total JAG Grant 2134000491.9540 213-331.1300 Total Transfer Outto Genael Fund Justice Assistance Grant (2,3111 2.311 Z311 2 11 (2,311 2,311 COPS Fun 212-0OOO-33421-00 Tout &ESF Cops Grant 100000 100000 (100,000 100 AB 939 _ 221-0000463.33-22 Total RWerside County Waste Management z000 2000 2,0011 2 Silwnftu k 601-0000-451.43-00 High Voltage Elec6fcal 20 20000 20 20 00 InformaEon Tectrrology Fund 502-0000-512b&22 ZM4000-612A3-01 W2-0000.M.43.13 502-0OOOfi123352 W2-0000312-71-01 502-0000-611.56-25. Total SOINVARds _ Maintenaneo is Software Maintenance Agreements Canputar Suppor Metwork Ma0hi1my&EWipment Operating Supplies -So6aare 15,600 14,21E 679 6,636 61,665 1 - 15,600 14.215 670 6.636 finis 1,736 99.663 99633 Gmnd Total 1110 102,311 1a0 60 164Aa9 1 72,307 Note 1-The appropriations and woutabrences fsted will be adjusted to refW actual eryendkm as of June 30, 2013 in Fiscal Year 2013-2014