Loading...
CC Resolution 2018-035 FY 2018-19 Budget & AppropriationsRESOLUTION NO. 2018 - 035 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF LA QUINTA, CALIFORNIA, ESTABLISHING THE CITY'S APPROPRIATION LIMIT FOR FISCAL YEAR 2018/19 AND APPROVING A BUDGET FOR FISCAL YEAR 2018/19 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 capital improvement program 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 and capital improvement program 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 2018/19 is $129,043,889. 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 2018/19 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 2018/19 Budget and capital improvement program which is on file with the City Clerk is hereby approved. Resolution No. 2018-035 Budget Approval FY 2018/19 Adopted June 19, 2018 Page 2 of 3 SECTION 4. Continuing appropriations which remain unspent and were authorized by Council in Fiscal Year 2017/18 are approved in the Fiscal Year 2018/19 Budget in an amount not to exceed $10,433,700 (Exhibit A). SECTION 5. 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 departments or capital projects shall be made only upon City Council approval. C. Transfers of budgeted appropriations between accounts within a department 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 and grant appropriations remaining from uncompleted prior year capital projects and grant programs 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 6. The City Council, recognizing the need for maintaining Fund Balance reserves has established a Reserve Policy. These funds cannot be appropriated without the explicit approval of the City Council. General Fund Reserves Overview (Exhibit B) will be used in the Fiscal Year 2017/18 Comprehensive Annual Financial Report "CAFR." SECTION 7. 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 19th day of June, 2018, by the following vote: AYES: Council Members Fitzpatrick, Pena, Radi, Sanchez, Mayor Evans NOES: None ABSENT: None ABSTAIN: None Resolution No. 2018-035 Budget Approval FY 2018/19 Adopted June 19, 2018 Page 3 of 3 LINDA EVANS, Mayor City of La Quinta, California ATTEST: MONIKA RA EVA, Acting City Clerk City of La Quinta, California (SEAL) APPROVED AS TO FORM: WILLIAM H. IHRKE, City Attorney City of La Quinta, California EXHIBIT A RESOLUTION NO. 2018-035 Continuing Appropriations/Carryovers from 2017118 to 2018/19 Vendor/Program Account Number Description Amount TOT Rebate Program 101-1007-60536 Ironman Event & Unassigned $ 90,000 Ironman Event 101-3003-60149 December 2018 Contribution 37,500 Accounting and Auditing Services 101-1006-60103 Professional Services 29,000 Washington Street Apts Rehabilition Project 248-9102-60103 Professional Services 145,000 Washington Street Apts Rehabilition Project 248-9102-60159 Relocation Benefits 190,000 Washington Street Apts Rehabilition Project 248-9102-60185 Design/Construction 240,200 Washington Street Apts Rehabilition Project 248-9102-60198 Planning & Development 807,000 Washington Street Apts Rehabilition Project 249-9102-60188 Construction 8,895,000 TOTAL CARRYOVERS $10,433,700 NOTE. All carryovers are estimates based on projected invoices to end 2017118. Upon completion of the final audit (October 2018), Finance will verify account balances and carryover remaining funds. In no event shall a carryover exceed the per account amount noted above. EXHIBIT B RESOLUTION NO. 2018-035 �LAQUINTA- GENERAL FUND RESERVES Based on Adopted Budqet for 2018/19 UTI-CATED •• 6/30/19 LOAN PAYMENT TO GENERAL FUND FROM OPERATING ESTIMATED GENERAL FUND ESTIMATED AT SUCCESSOR SURPLUS ESTIMATED AT RESERVES 6-30-2018 AGENCY /(SHORTFALL) 6/30/2019 NATURAL DISASTER $ 7,400,000 $ 7,400,000 ECONOMIC DISASTER $ 8,140,000 $ 8,140,000 CASH FLOW $ 5,000,000 $ 5,000,000 CAPITAL REPLACEMENT $ 5,000,000 $ 5,000,000 DESIGNATED FOR SPECIFIC USE (PENSION TRUST) $ 2,000,000 $ 2,000,000 UNAPPROPRIATED $ 7,993,926 $ 2,490,453 $ 65,751 $ 10,550,130 TOTAL ESTIMATED RESERVES $ 35,533,926 $ 2,490,453 $ 65,751 $ 38,090,130 SUMMARY RESERVES 6/30/17 $ NET CHANGE $ RESERVES 6/30/19 $ 35,533,926 _ _ _ Net change, $2,556,204 2,556,204 38,090,130 CALCULATION FOR REDEVELOPMENT AGENCY LOAN REPAYMENT FY 2018/19 Approved Repayment $ 3,113,066 x 80% = 2,490,453 General Fund $ 3,113,066 x 20% = 622,613 RDA Low -Mod Housing Fund 3,113,066 ESTIMATED FUND BALANCE ESTIMATED AT 6-30-2018 ADDITIONS DELETIONS ESTIMATED AT 6/30/2019 SALES TAX (MEASURE G) $ 4,702,313 $ 2,208,887 $ 6,911,200 PUBLIC SAFETY FIRE SERVICE TRUST $ 9,450,000 $ (300,000) $ 9,150,000 CARRYOVERS AND CAPITAL PROJECTS (GENERAL FUND ONLY) $ 6,200,000 $ 156,500 $ 6,356,500