2012_2013 adopted budget without cips
DESCRIPTION
FY12/13 Adopted Budget without CIPsTRANSCRIPT
City of
Office of the City Manager 390 Towne Centre Drive – Lathrop, CA 95330 Phone (209) 941-7220 – Fax (209) 941-7248
www.ci.lathrop.ca.us May 21, 2012 Honorable Mayor, Members of the City Council and Citizens of the City of Lathrop: The City’s Fiscal Year (FY) 2012/2013 DRAFT budget has been prepared and is presented for your consideration. With the use of $107,218 in General Fund Reserves, the DRAFT budget is balanced and leaves an estimated fiscal year ending balance of $6.7 million in General Fund Reserve (51% of operational expenses). While the DRAFT budget relies on Reserves, its reliance is greatly reduced compared to the last few fiscal years. This improvement demonstrates both the efforts of City Staff to minimize expenses and a moderate economic recovery in the area. A University of the Pacific economist now cites the area as having the best job growth in the state over the past 12 months, which again foreshadows the beginnings of significant recovery after the most severe recession in 80 years. For FY 2012/2013, initial estimates of property tax revenue indicate that there will be little change from FY 2011/2012; thus the DRAFT budget assumes no change in that revenue source. Staff continues to monitor this situation with the San Joaquin County Assessor and will advise all of the City’s stakeholders if any change is anticipated. Staff expects a noteworthy increase in development plan check and inspection revenues as the development community begins to move forward with a real estate market that appears to have found a bottom and is marginally improving. Baseline sales taxes are expected to grow by 5%; although they appear to have declined from last year due to one‐time revenue removal. Nearly all departments will have greater personnel costs as a result of the Furlough Program conclusion. Some Police Services costs are higher than previous years due to recent cost studies at the San Joaquin County Sheriff’s Department. For FY 2012/2013, the City is anticipating its first increase in revenues to the City’s General Fund (the chief operating fund of the City of Lathrop) in a number of years, due largely to improvements in development plan check/inspection revenues and continued betterment in sales tax, as highlighted above. Overall, it is estimated that the City will see about a $425,959 increase in revenues into the General Fund in FY 2012/2013. After the mid 1990’s and prior to FY 2008/2009, revenues tended upward at varying rates, depending on the stage of the business cycle. However, with the onset of the recession from December 2007 to June 2009; City Staff realized in early 2009 that formerly stable revenue sources had become volatile due to eroding economic conditions. As a result, Staff has been monitoring revenue and planning for its impact. For example, on May 16, 2009, the Council adopted a 5‐Year Sustainability Plan that stabilized the City’s finances by cutting departmental costs and utilizing the General Fund Reserve over a period of 5 years. The City, adopted a phased approach to achieve significant cost reductions:
Overall budget reductions Staffing reductions of 20 City staff and 2 Sheriff Office Staff Implementation of a 10% furlough plan Re‐negotiation of MOU’s with the City’s labor – Existing MOU’s were extended through 6/30/2014 as a part of the end of the furlough
program. This multi‐phased approach allowed the City to achieve about $3.9 million in annual cost savings, and has actually helped the City maintain its General Fund Reserves through this difficult four year period. In preparing the DRAFT FY 2012/2013 budget, major assumptions, milestones and departmental highlights and critical issues are presented as follows: I. Major Budget Assumptions:
Labor. After the 2009 and 2010 Layoffs, no additional filled positions were eliminated. Instead, budget cuts were made by eliminating or unfunding vacant positions, particularly in those departments which are fee based. Employee wages and benefits usually account for the largest portion of a budget. For this reason, most vacant positions were unfunded. Staff continues to be cautious with any new employee additions, due to the additional financial burden placed on the City’s General Fund. However, due to previous City Council direction, Staff will present options (in FY 2012/13 dollars) for two additional employees (outside of the budget assumptions contained here) and the affect upon the General Fund over the five year financial model period of these options:
o Economic Development Administrator position – approximate annual cost: $164,000.
o Code Compliance Supervisor position – approximate annual cost: $117,000.
Services. With the staffing reductions performed in 2009 and 2010, the City is meeting its daily customer service requirements with existing staff members. In February 2012, the City lifted the mandatory furlough program and City Hall reopened on Fridays.
Controlling costs in operations and maintenance. All departments examined their budgets for cost savings during the budget preparation
process. Other than service reductions, there are no places left to cut. However, the City will continue to monitor contracts and operations with an eye towards savings. For FY 2012/2013, departments are resuming training that has been deferred for three years in an effort to both stay current in their specialties and be as efficient as possible, given the smaller overall Staff size.
Equipment and vehicle costs were deferred or reduced. For example, the City has a vehicle and computer replacement schedule.
Vehicles that are serviceable will be kept for another year and only replace necessary computers. In the FY 12/13 budget it is recommended to replace a 15 year old Animal Control vehicle. Over the last couple of years the maintenance and repair on this vehicle has increased significantly.
II. Milestones and Departmental Highlights in FY 2011/2012.
City Manager’s Department. The City implemented Phase 1, 2, 3 and 4 of a multi Phase strategy to achieve a sustainable budget. The strategy mainly included downsizing, reorganizing and the implementation of a furlough program. Enough cannot be said about the success in achieving annual cost savings totaling $3.9 million.
Finance Department. The Department’s primary focus was financial sustainability for the General Fund and Utility Operating Funds. Specific to sustainability to Utility Operating Funds, the Department recently completed the City’s first debt refunding in over ten years by refinancing the 2000 Water System Certificates of Participation and in doing so, saved approximately $1.7 million over the life of the new loan. This savings will help moderate future water rate increases as the City moves forward with a new rate study for 2014 ‐ 2018. The Department will continue to seek out additional refunding candidates in the coming fiscal year as bond covenants and financial market conditions allow. The Department also updated the City’s long‐range financial models for the General Fund and Utility Operating Funds utilizing 5 year forecasts for revenues and expenditures. Lastly, the Department continued a series of presentations regarding City Finances, specifically, the Special Financing Districts, bond refunding, and General Fund 5 year model updates.
General Fund Reserve. The reserve can be compared to a savings account in which money is put aside for unforeseen expenses. Given that economic growth will be moderate over the next couple of years, maintaining as large a reserve as possible is advised. However, Staff does expect a more robust economic recovery commencing in FY 2014/15. While this budget utilizes an estimated $107,000 in reserves to balance itself, the proposed budget ends the year with a reserve of approximately $6.7 million. This means the City’s General Fund reserves are now in a financially healthier position than during the worst part of the recent recession.
Police Services. The City contracts with San Joaquin County for Police services. This budget contains staffing levels identified as core staff
necessary to accomplish the mission of answering community calls for basic policing services. In addition, the budget includes specialized services in support of the City’s overall commitment to Community Oriented Policing and Problem Solving in the City of Lathrop. In June 2011, the City extended the current contract with San Joaquin County until June 30, 2016.
Public Works. In addition to maintaining the City’s Domestic Water, Waste Water and Storm Drainage systems, the Public Works
Department has worked to maximize existing funding and identify new funding opportunities that would support and enhance the Lathrop Community through infrastructure development this last year. These opportunities have assisted with numerous capital improvement projects under construction and in design including, Pavement rehabilitation (Rubberized Asphalt Grant), LAWTF (SRF Loan), Louise Avenue/I‐5 Interim & Lathrop Road/I‐5 Interim (IMD Funds), Lathrop Community Complex (Prop 84 Grant), Manthey Road Bridge (Highway Bridge Replacement Fund), Street and Signal Lights (State Energy Grant). Concerted efforts have also been made to improve street and park landscapes and public infrastructure.
The Public Works Streets and Utility Division either completed or started the following projects:
o Streets: Louise Avenue Rehabilitation and Widening Phase II, Sidewalk replacement and repairs, Thomsen Road Improvements, City wide road maintenance repairs, Golden Valley Parkway and Towne Centre Drive Traffic Signal, and Traffic calming measures throughout the City.
o Water: Wells 6, 7, 8, 9 and 10 Louise Avenue Water Treatment Facility (LAWTF), Well 21 Flushing and commissioning, SCADA Radio Antenna Tower Construction and SCADA Upgrades, and Arsenic Reduction Project.
o Sewer: Crossroads Wastewater Treatment Facility, and the McKinley Avenue Sanitary Sewer Main and Pump Station Improvements.
The Public Works Land Development Division also processed and managed the following projects:
o Lathrop Community Complex, Valverde Park Improvements, Corp Yard Facility including the Emergency Operations Center, Harlan Road Improvements, Gordon Trucking frontage improvements, Assessment Management System (SEMS) implementation, and GIS Update.
Neighborhood & Community Services/Human Resources/Parks and Recreation. The Recreation Department assisted customers with the use
of City facilities (including facility rentals, City classes, special events, etc.) which remained consistent with last year’s use of approximately 1,300 reservations (not including City functions). Also, the Department added several new classes to the Recreation Division including Filipino Martial Arts (Escrima) and Aikido. Lastly, the Senior Center offered a range of programs from Driver Safety and Tax Preparation Services to Flu Shots and Super Senior Karaoke. The Human Resources Department assisted with staffing changes and re‐organizations as well as several successful recruitments.
Community Development/Code Compliance. The Building Division began providing 99% of plan check in FY 11/12 allowing the City to keep the majority of the revenue in‐house. Issued over 238 permits which include 43 residential, 1 commercial and 1 industrial. Planning Division continued to implement the General Plan, the West Lathrop Specific Plan, and the Central Lathrop Specific Plan. Work continued on the Lathrop Gateway Business Park Specific Plan and the Department provided planning assistance to customers on a host of other projects. Completed and received annual recertification approval for FEMA’s National Flood Insurance rating program. The Code Compliance group processed and abated 328 property maintenance and public nuisance violations, 139 Housing and Zoning violations, 7 Abandoned/ Inoperable vehicles. Also, the group updated existing Municipal Codes and structured the policy and procedures for Fireworks.
Fire District. The City will be partnering with the Lathrop Manteca Fire District in the upcoming budget year to discuss options for a joint effort
regarding new revenue sources including a new tax measure in November.
III. Critical Issues for FY 2012/2013
Even during the economic slowdown, Lathrop continues to grow. The new population, as of January 1, 2012 is 18,908, which is an increase of 1.67%. Growth will continue this year, albeit at a moderate pace, as the recovery begins in earnest. This will provide an opportunity for the City to continue to refine its processes, consolidate its gains, and prepare for more development in the future. These are some of the items that the City will address in the upcoming fiscal year:
Financial Solvency. Continue implementing and monitoring the 5‐year sustainability plan so the City can weather the current economic down‐turn. Specifically, the most important financial solvency issues facing the City in the upcoming FY 2012/2013 are: Revenues associated with Property and Sales Tax Cost Containment of the Lathrop Police Services Funding the City’s obligations associated with the South County Surface Water Project due the 2003 COP funds.
Lathrop Community Complex Project. Implement Proposition 84 grant funding for City’s Community Complex Project serving the entire
Lathrop community, inclusive of a youth & teen center and other indoor/outdoor amenities. Council, YAC and Staff have been working on the master plan, concept and design of this project since 2007. Construction will begin this fiscal year.
Public Safety. Maintain safe streets so residents may continue to be able to walk out of their houses free of fear. Therefore, criminal activities, specifically gang and drug issues, need to be in the forefront of activities to be addressed.
Business Development. The City plans to strengthen its ties with existing businesses and reach out to new businesses. Specifically, the City needs to retain the viable operations of businesses like Target and explore options to attract new businesses, especially businesses that create “head of household” jobs and generate tax revenues.
Continue with Levee Upgrades. In the wake of Hurricane Katrina and State Assembly Bill 5 and State Assembly Bill 5, much attention by the
state and federal governments has been placed on levees. In recognition of the fact that RD‐17 is one of a few certified levees in the state, the federal government has fully accredited the levee. AB 5 and SB 5, however, impose a much higher standard on the levee than the 100 year accreditation. They require that the levee have a funding and construction plan in‐place by the year 2015 and implemented by the year 2025. If not, a building moratorium could be imposed by the State. Staff, therefore, sees this as one of its priorities in the years to come.
Conclusion of financial analysis for developer fees and credit/reimbursement policies. The City Council has a policy that development must
pay its own way. To ensure that this remains the case, the City is reviewing its financial systems, development fee structure and credit and reimbursement policies. At the conclusion of this process, it is likely that new or different policies or staffing may be recommended.
DIRECTORY OF OFFICIALS AND ADVISORY BODIES City of Lathrop Adopted Budget Fiscal Year 2012‐2013
CITY COUNCIL J. “CHAKA” Santos, Mayor Christopher Mateo, Vice Mayor Sonny Dhaliwal, Council Member Omar Ornelas, Council Member Martha Salcedo, Council Member ADVISORY BODIES Lathrop/Manteca Fire District Parks and Recreation Commission Planning Commission Senior Advisory Commission Youth Advisory Commission APPOINTED OFFICIALS AND DEPARTMENT/DIVISION HEADS Interim City Manager/Treasurer Stephen Salvatore City Attorney Salvador Navarrete City Clerk Mitzi Ortiz Acting Director of Finance Cari James Neighborhood and Community Services Director Rebecca Enneking Interim Director of Human Resources/Parks and Recreation Rebecca Enneking Chief of Police Danelle Hohe Deputy City Manager/Director of Public Works Stephen Salvatore Director of Community Development and City Engineer Glenn Gebhardt
City of Lathrop Organization ChartFY 2012‐2013
Citizens of Lathrop
Sonny DhaliwalCouncilmember
Martha SalcedoCouncilmember
J. "Chaka" SantosMayor
Christopher MateoVice Mayor
Omar OrnelasCouncilmember
Commissions City Manager City Attorney
City Clerk Public WorksPublic SafetyCulture and Leisure
Community Development
Finance Department
Human Resources
Neighborhoodand Community
Services
Lathrop
Located in Northern California, 70 miles east of San Francisco, 60 miles south of Sacramento, 10 miles south of Stockton, and 328 miles from Los Angeles. The City of Lathrop was founded on August 1, 1887. Since it was located by the railroad, it initially came to be known as Wilsons Station. Leland Stanford is credited as the founder of this city. The city was later named after his brother‐in‐law, Charles Lathrop. It was incorporated as a city in 1989. From 1989 to 2008, Lathrop experienced major growth and made the Top Ten Fastest Growing Cities list several years in a row. Even with develop‐ment slowing down last year, Lathrop still experienced a 1.67 percent growth in population, bringing its total population to 18,908.
Lathrop, California
Budget for FIscal Year 2012‐2013
ESTIMATED ESTIMATEDFUND FUNDBALANCE OPERATING CAPITAL TRANSFER OPERATING CAPITAL REBUDGET DEBT TRANSFER FUNDBALANCE FUNDNO. FUNDNAME 7/1/2012 REVENUES REVENUES IN EXPENDITURES IMPROVEMENTS CAPIMPROVE SERVICE OUT 6/30/2013 NO.
GENERAL101 GENERAL 6,794,270$ 9,395,424 3,439,744 12,445,331 631,250 131,381 6,421,476 101105 ECONOMICDEVELOPMENT 891,127$ 891,127 105SPECIALREVENUE203 GASTAX2105 937,143$ 234,000 180,000 807,128 544,015 203207 TRAFFICSAFETY 70,533$ 32,000 41,120 4,710 56,703 207208 STREETEXP. 145,543$ 1,000 400,000 392,478 106,113 47,952 208209 PUBLICNUISANCE ‐$ 25,000 23,894 1,106 ‐ 209210 ASSETFORFEITURE 1,954$ 1,200 754 210211 MEASURE"K" 415,322$ 300,000 200,236 515,086 211212 PUBLICTRANSIT 25,982$ 25,000 982 212213 STATE/RECYCLINGANDRECOVERY(CA ‐$ 37,689 37,689 ‐ 213214 LTF‐STREETS&ROADAPPORT(COG) 823,885$ 601,096 1,145,894 279,087 214215 FEDERALGRANT ‐$ 2,079,717 2,079,717 ‐ 215216 STIPAUGMENTATION 50,506$ 8,609,280 8,079,677 580,109 216219 UNIVERSALHIRINGGRANT 3,389$ 175,000 175,000 3,389 ‐ 219222 STATECOPS ‐$ 100,000 100,000 ‐ 222223 REGIONALTRAFFIC 3,559$ 3,559 223224 HISTORICLATHROPLOANFUND 214,342$ 193 214,149 224225 TRAFFICMITIGATION 47,195$ 224,818 272,013 225226 CULTURELEISURE 1,546,796$ 293,940 1,840,736 226227 CITYSERVICES 2,530,339$ 949,186 626,250 2,853,275 227228 STORMDRAINCFF 280,954$ 60,449 341,403 228229 ADMINISTRATION 28,629$ 65,593 70,055 24,167 229231 ENVIRONMENTALMITIGATIONCFF ‐$ ‐ 231232 W/CLATHROPTRANS.CFF 532,831$ 110,700 643,531 232233 WLSPREGIONALTRANS.CFF 99,590$ 14,450 114,040 233234 RTIF‐LATHROPLOCALEAST 458,754$ 71,713 5,000 525,467 234235 RTIF‐SANJOAQUINCOUNTY10% ‐$ 24,692 24,692 ‐ 235236 RTIF‐LATHROPLOCALWEST 870,818$ 109,775 5,000 975,593 236237 RTIF‐SANJOAQUINCOG ‐$ 37,038 37,038 ‐ 237239 CLSPSERVICESCFD 331,997$ 360,492 282,834 77,658 331,997 239240 RECYCLING‐3%‐AB939 195,531$ 65,000 48,598 13,216 198,717 240249 XROADSSTORMDRAINCAPREPL 93,085$ ‐ 93,085 249250 CROSSROADSSTORMDRAIN 51,224$ 113,395 8,795 135,357 38,057 ‐ 250251 STORMDRAIN‐SPECBEN. 47,720$ 238,983 186,791 53,358 46,554 251252 STREETLIGHTING 133,360$ 144,161 24,577 142,063 127,035 33,000 252253 WOODFIELDLANDSCAPE 19,557$ 54,764 55,830 12,425 6,066 253255 STONEBRIDGELANDSCAPE 169,247$ 231,665 3,168 167,475 25,622 210,983 255256 STONEBRIDGEDRAIN/LIGHTING 701,928$ 231,408 3,168 182,625 49,250 704,629 256257 MOSSDALECFD 632,794$ 1,939,192 1,651,125 368,754 552,107 257258 MOSSDALELANDSCAPE&LIGHTING 58,872$ 432,862 302,927 82,658 106,149 258259 MOSSDALECFDCAPITALREPLACE 28,753$ 37,422 ‐ 66,175 259261 MOSSDALEL&LCAPREPLACE 33,454$ 5,000 ‐ 38,454 261
SUMMARY OF ESTIMATED TRANSACTION‐ALL FUNDSREVENUES APPROPRIATIONS
Budget for FIscal Year 2012‐2013
ESTIMATED ESTIMATEDFUND FUNDBALANCE OPERATING CAPITAL TRANSFER OPERATING CAPITAL REBUDGET DEBT TRANSFER FUNDBALANCE FUNDNO. FUNDNAME 7/1/2012 REVENUES REVENUES IN EXPENDITURES IMPROVEMENTS CAPIMPROVE SERVICE OUT 6/30/2013 NO.
SUMMARY OF ESTIMATED TRANSACTION‐ALL FUNDSREVENUES APPROPRIATIONS
263 HISTORICLATHROPCFD 20,205$ 29,565 25,380 4,531 19,859 263265 CDBG 2,315$ 27,541 27,541 2,315 265266 MOSSDALESTANDBY2005‐1 110,551$ 565,608 571,616 104,543 266270 SCHOLARSHIP 8,022$ 7,500 522 270271 DEVELOPERPROJECTS 710$ 3,299,560 3,300,270 ‐ 271282 GATEWAY 35,000 35,000 282283 WATT(LATHROPII) ‐$ 7,500 7,500 ‐ 283284 KBHOME ‐$ 100 100 ‐ 284286 S.LATHROPRICHLAND ‐$ 5,000 5,000 ‐ 286288 CROSSROADSRICHLAND ‐$ 1,346,050 1,346,050 ‐ 288289 SYNCONHOMES ‐$ ‐ 289290 PACIFICUNIONHOMES ‐$ 10,000 10,000 ‐ 290293 PULTEHOMES ‐$ 1,500 1,500 ‐ 293294 FARMWORLDANDROBINSON ‐$ 1,000 1,000 ‐ 294295 RIVERISLANDS ‐$ 561,205 401,583 159,622 ‐ 295297 TCNPROPERTIES ‐$ 30,000 30,000 ‐ 297298 WATT(LATHROPI) ‐$ 9,000 9,000 ‐ 298299 CLSP(LANDPARK) ‐$ 20,000 20,000 ‐ 299CAPITALPROJECTS301 GENERAL 5,470,547$ 5,444,495 5,335,000 5,580,042 ‐ 301331 STREETS&ROADS 4,411,258$ 9,775,681 1,453,042 12,633,897 100,000 331341 PARKSFUND(IN‐LIEUFEES) 310,647$ 55,710 254,937 341391 STORMDRAIN 342,247$ 342,000 247 ‐ 391ENTERPRISEFUNDS540 SURFACEWATERSUPPLY‐CSLP ‐$ 1,220,654 1,220,654 ‐ 540541 MOSSDALEVILLAGECFD2003‐1 1,653,550$ 702,288 35,560 2,103,441 216,837 541560 WATERSYSTEMCAPITALREPL 2,127,574$ 324,509 114,875 2,337,208 560561 WATERCONNECTIONFEE 178,599$ 104,789 178 283,210 561562 WATER 4,614,726$ 5,873,702 637,882 1,924,802 3,564,531 3,449,467 2,491,456 3,545,658 562564 SURFACEWATERSUPPLYCFF 212,570$ 36,901 183 249,288 564565 SRFLOAN 138,774$ 597,575 736,349 ‐ 565569 WATERCIP 1,992,435$ 2,872,892 520,822 4,342,183 2,322 ‐ 569601 MWQCFCOLLECTIONSYSTEM 964,826$ 2,704,042 1,730,198 1,027,736 910,934 601603 WASTEWATERCONNECTIONFEE 473,447$ 120,625 596 593,476 603605 WATERRECYCLINGPLANT#1 733,961$ 1,224,133 772,527 313,195 872,372 605606 WASTEWATERSYSTEMCAPREPL 2,661,082$ 390,854 26,971 3,024,965 606607 WATERRECYCLINGPNT#1CAPREPL 494,986$ 168,088 30,287 632,787 607608 WWRECYCLINGPLANT‐#1MBR 950,665$ 1,078,860 571,579 1,558,286 308,387 734,431 608609 WASTEWATERCIP 1,508,865$ 645,440 335,000 1,817,331 1,974 ‐ 609610 MANTECAWWTPEXPANSION 29,901$ 94,789 94,789 470 29,431 610611 WWRECYCLEDWATERCAPREPL 1,219,193$ 30,924 1,188,269 611INTER‐GOVERNMENTAL801 COMPENSATEDABSENCES 993,183$ 143,805 849,378 801TOTAL 50,895,821$ 27,551,611$ 19,715,165$ 26,662,789$ 25,984,593$ 7,643,864$ 24,810,242$ 4,240,339$ 26,662,789$ 35,483,559$
Budget For Fiscal Year 2012‐2013
AMENDEDACTUALS EST. REVENUES EST. REVENUES
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
PROPERTY TAX 2,880,076 2,900,236 2,902,736 SALES TAX 2,126,447 2,997,680 2,405,188 TRANSIENT OCCUPANCY TAX 231,125 235,000 240,000 FRANCHISE TAX 662,429 652,000 662,000 LICENSES AND PERMITS 466,256 270,510 510,445 INTERGOVERNMENTAL 1,337,344 1,298,150 1,307,498 CURRENT SERVICE CHARGES 818,499 853,132 941,422 FINES 131,086 79,000 91,000 USE OF MONEY AND PROPERTY 79,481 67,916 74,274 OTHER 155,392 427,550 260,861 INDIRECT COST TRANSFER IN 3,504,002 3,322,883 3,439,744
12,392,137 13,104,057 12,835,168
GENERAL FUND SUMMARY OF MAJOR SOURCES
TOTAL GENERAL FUND OPERATING REVENUES
Budget For Fiscal Year 2012‐2013
AMENDEDACTUALS EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013CITY COUNCIL101‐1110‐341.04‐00 FIREWORKS PERMIT 100 0 0101‐1110‐372.02‐03 LATHROP DAYS 790 0 0101‐1110‐372.02‐04 JULY 1ST COMMITTEE 1,907 0 0101‐1110‐372.02‐05 PARADE COMMITTEE 2,695 0 0101‐1110‐372.02‐07 ART SHOW 5,170 0 0101‐1110‐372.02‐08 BEAUTIFICATION DAY 800 0 0101‐1110‐372.02‐19 MEMORIAL/VETERANS' DAY CO 950 0 0101‐1110‐372.02‐20 JULY 1ST FIREWORKS 9,342 0 0
21,754 0 0CITY MANAGER101‐1120‐341.01‐01 SERVICE CHARGES 0 5,000 0
0 5,000 0CITY CLERK101‐1210‐371.06‐00 PASSPORTS 5,605 5,000 5,000 101‐1210‐371.06‐00 MISCELLANEOUS REVENUE 1,597 0 2,000
7,202 5,000 7,000 CITY ATTORNEY101‐1310‐341.01‐01 SERVICE CHARGES 13,816 20,000 20,000 101‐1310‐371.90‐00 MISCELLANEOUS REVENUE 424 500 500
14,240 20,500 20,500 CENTRAL SERVICES101‐1440‐333.08‐00 COBRA FEDERAL SUBSIDY 65% 25,254 1,900 0
25,254 1,900 0FINANCE101‐1510‐311.01‐00 SECURED PROPERTY TAXES 2,276,754 2,798,936 2,798,936 101‐1510‐311.01‐01 STATE CONTRIBUTION 526,781 0 0101‐1510‐311.03‐01 SB813 CURRENT 9,080 40,500 43,000 101‐1510‐311.04‐00 OTHER PROPERTY TAXES 67,461 60,800 60,800 101‐1510‐313.01‐00 RETAIL SALES TAX 1,637,863 2,418,680 1,796,053 101‐1510‐313.02‐00 SALES TAX IN LIEU 488,584 579,000 609,135 101‐1510‐314.01‐00 TRANSIENT OCCUPANCY TAX 204,178 235,000 240,000
GENERAL FUND REVENUE BY DEPARTMENT
Budget For Fiscal Year 2012‐2013
AMENDEDACTUALS EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
GENERAL FUND REVENUE BY DEPARTMENT
FINANCE (CONTINUED)101‐1510‐314.01‐01 LATE FEES 26,947 0 0101‐1510‐319.05‐01 FRANCHISE ELECTRIC TAX 252,285 250,000 250,000 101‐1510‐319.05‐02 GAS TAX & SURCHARGE 128,003 150,000 150,000 101‐1510‐319.05‐03 CABLE TAX 69,901 62,000 62,000 101‐1510‐319.05‐04 SOLID WASTE TAX 148,567 150,000 150,000 101‐1510‐319.05‐05 INDUSTRIAL WASTE TAX 48,487 40,000 40,000 101‐1510‐319.05‐07 TELECOMMUNICATIONS 15,186 0 10,000101‐1510‐322.01‐00 BUSINESS LICENSES 85,024 80,000 80,000 101‐1510‐322.01‐01 WEBSITE ADS 125 125 125101‐1510‐324.03‐00 GARAGE SALE PERMITS 70 100 100 101‐1510‐331.01‐00 VEHICLE LICENSE FEE 81,069 45,000 45,000 101‐1510‐331.01‐02 VEHICLE LICENSE IN LIEU 1,119,651 1,119,650 1,119,650 101‐1510‐331.02‐00 HOME OWNER TAX RELIEF 35,805 35,000 35,000 101‐1510‐341.01‐01 SERVICE CHARGES 66,776 10,000 10,000 101‐1510‐341.01‐03 RETURN CHECK CHARGE 1,020 1,300 1,300 101‐1510‐361.01‐00 INVESTMENT EARNINGS 32,721 47,400 47,400 101‐1510‐371.90‐00 MISCELLANEOUS REVENUE 1,174 500 500 101‐1520‐363.01‐00 SALE SURPLUS PROPERTY 1,500 0 0101‐1520‐371.95‐00 CELL PHONE REIMBURSEMENT 5 0 0101‐1520‐379.01‐00 EQUIPMENT REPLACEMENT 0 305,000 66,673
7,325,017 8,428,991 7,615,672 NEIGHBORHOOD AND COMMUNITY SERVICES101‐1610‐321.01‐00 ANIMAL LICENSES 74,490 85,000 75,000 101‐1610‐321.03‐00 DANGEROUS ANIMAL PERMIT 1,410 1,000 500 101‐1610‐341.01‐01 SERVICE CHARGES 2,382 2,000 2,000 101‐1610‐341.01‐20 UNALTERED IMP ANIMAL FEES 2,615 3,000 3,000 101‐1610‐371.01‐00 OVER COUNTER ANIMAL SHELT 7,368 2,000 4,000 101‐1610‐371.01‐01 FORFEITED SPAY/NEUTER DEP 45 100 100 101‐1610‐371.01‐02 MANTECA SHELTER CREDITS 15,545 7,000 10,000 101‐1610‐371.01‐03 PETSMART 7,631 2,500 3,000 101‐1610‐371.90‐00 MISCELLANEOUS REVENUE 2 100 100
Budget For Fiscal Year 2012‐2013
AMENDEDACTUALS EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
GENERAL FUND REVENUE BY DEPARTMENT
NEIGHBORHOOD AND COMMUNITY SERVICES (CONTINUED)101‐1610‐372.02‐00 CONTRIBUTIONS 5 100 100 101‐1610‐379.01‐00 EQUIPMENT REPLACEMENT 0 0 52,145101‐1620‐341.02‐03 INSPECTION FEES 8,450 0 0101‐1620‐351.03‐00 OTHER FINES 43,348 0 0
163,291 102,800 149,945 COMMUNITY DEVELOPMENT 101‐2010‐324.20‐00 HOME OCCUPATION PERMITS 742 795 530 101‐2010‐341.01‐01 SERVICE CHARGES 18,482 40,000 20,000 101‐2010‐341.01‐02 SALES OF MAPS 0 60 0101‐2010‐341.02‐01 ZONING FEES 21,430 14,871 14,871 101‐2010‐371.90‐00 MISCELLANEOUS REVENUE 28,705 60,000 55,000 101‐2030‐323.01‐00 CONSTRUCTION PERMITS 298,400 99,990 350,490 101‐2030‐341.02‐02 PLAN CHECK FEES 182,516 140,115 184,415 101‐2030‐341.02‐03 INSPECTION FEES 282 1,000 1,000101‐2030‐341.02‐04 MICROFICHE 7,388 5,000 5,000 101‐2030‐371.04‐00 SMIP EDUCATION FEE 1,877 550 200 101‐2030‐371.07‐00 BUILDING STANDARDS ADMIN 156 0 0101‐2060‐341.02‐03 INSPECTION FEES 0 5,000 5,000101‐2060‐351.03‐00 OTHER FINES 0 5,000 5,000
559,978 372,381 641,506 CULTURE AND RECREATION101‐3001‐372.04‐00 EAST LATHROP COMM COMPLEX 50 0 0101‐3021‐341.01‐04 PARKS AND RECREATION FEES 5,541 4,064 4,360 101‐3021‐362.01‐00 RENT AND CONCESSIONS 805 714 1,914 101‐3021‐372.02‐00 CONTRIBUTIONS 50 100 100 101‐3021‐372.02‐09 SAC‐CONTRIBUTIONS 8,158 6,500 8,000 101‐3021‐379.01‐00 EQUIPMENT REPLACEMENT 0 0 4,185101‐3030‐341.01‐04 PARKS AND RECREATION FEES 39,835 29,165 32,455 101‐3030‐362.01‐00 RENT AND CONCESSIONS 7,601 4,462 4,055 101‐3030‐372.02‐02 YAC‐CONTRIBUTIONS 4,137 2,000 2,000 101‐3030‐379.01‐00 EQUIPMENT REPLACEMENT 0 0 12,158
Budget For Fiscal Year 2012‐2013
AMENDEDACTUALS EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
GENERAL FUND REVENUE BY DEPARTMENT
CULTURE AND RECREATION (CONTINUED)101‐3033‐331.05‐02 SUMMER FOOD PROGRAM 11,341 0 0101‐3033‐341.01‐04 PARKS AND RECREATION FEES 74,887 64,200 69,850 101‐3036‐341.01‐04 PARKS AND RECREATION FEES 13,555 16,910 15,940 101‐3036‐372.02‐00 CONTRIBUTIONS 156 100 100
166,116 128,215 155,117 PUBLIC SAFETY101‐4010‐333.01‐00 ARRA 64,224 96,600 107,848 101‐4010‐341.01‐01 SERVICE CHARGES 296,157 347,047 350,281 101‐4010‐341.01‐05 CADET ACADEMY 726 900 700101‐4010‐351.02‐00 PARKING VIOLATIONS 58,935 50,000 55,000 101‐4010‐351.03‐00 OTHER FINES 12,093 9,000 16,000 101‐4010‐352.02‐00 IMPOUND VEHICLE FEE 16,710 15,000 15,000 101‐4010‐363.01‐00 SALE SURPLUS PROPERTY 12,099 0 3,000101‐4010‐372.02‐10 MUSD‐SCHOOL RESOURCE OFF. 50,000 0 0101‐4010‐379.01‐00 EQUIPMENT REPLACEMENT 0 35,000 0
510,944 553,547 547,829 PUBLIC WORKS101‐5001‐324.01‐00 ENCROACHMENT PERMITS 2,645 1,000 1,200 101‐5001‐324.02‐00 TRANSPORTATION PERMITS 3,350 2,500 2,500 101‐5001‐341.01‐01 SERVICE CHARGES 41,540 100,000 59,000 101‐5001‐341.02‐02 PLAN CHECK FEES 17,355 0 0101‐5001‐341.02‐03 INSPECTION FEES 3,646 0 0101‐5001‐371.90‐00 MISCELLANEOUS REVENUE (456) 0 0101‐5003‐341.02‐03 INSPECTION FEES 0 2,000 47,000 101‐5004‐341.02‐02 PLAN CHECK FEES 0 41,500 95,250 101‐5005‐379.01‐00 EQUIPMENT REPLACEMENT 0 0 35,000101‐5070‐362.01‐00 RENT AND CONCESSIONS 24,755 15,340 17,905 101‐5080‐371.90‐00 MISCELLANEOUS REVENUE 1,504 0 0101‐5080‐379.01‐00 EQUIPMENT REPLACEMENT 0 500 0
94,339 162,840 257,855
Budget For Fiscal Year 2012‐2013
AMENDEDACTUALS EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
GENERAL FUND REVENUE BY DEPARTMENT
TRANSFERS IN101‐9900‐393.00‐00 TRANSFERS IN 3,504,002 3,322,883 3,439,744
GENERAL FUND BY DEPT. TOTAL 12,392,137 13,104,057 12,835,168
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013105 ECONOMIC DEVELOPMENT FUND 105‐9900‐393.00‐00 TRANSFERS IN 0 1,695,000 0
0 1,695,000 0203 GAS TAX 203‐1510‐361.01‐00 INVESTMENT EARNINGS 4,676 0 0203‐5010‐331.03‐01 GAS TAX STREET & HIGHWAY CODE 2105 96,976 80,000 80,000203‐5010‐331.03‐02 GAS TAX STREET & HIGHWAY CODE 2106 63,675 50,000 50,000203‐5010‐331.03‐03 GAS TAX STREET & HIGHWAY CODE 2107 129,581 100,000 100,000203‐5010‐331.03‐04 GAS TAX STREET & HIGHWAY CODE 2107.5 6,063 4,000 4,000203‐5010‐331.03‐05 HUTA 2103 REPLACE PROP 42 171,266 180,000 180,000
472,237 414,000 414,000207 TRAFFIC SAFETY207‐1510‐361.01‐00 INVESTMENT EARNINGS 535 0 0207‐4010‐351.01‐00 VEHICLE CODE FINES 47,113 32,000 32,000207‐4010‐379.01‐00 EQUIPMENT REPLACEMENT 0 3,500 0
47,648 35,500 32,000208 STREETS208‐1510‐361.01‐00 INVESTMENT EARNINGS 1,794 0 0208‐5010‐371.90‐00 MISCELLANEOUS REVENUE 12,603 0 1,000208‐9900‐393.00‐00 TRANSFERS IN 410,000 400,500 400,000
424,397 400,500 401,000209 PUBLIC NUISANCE209‐1510‐361.01‐00 INVESTMENT EARNINGS 43 50 0209‐1630‐351.03‐00 OTHER FINES 7,185 0 0209‐2040‐341.02‐03 INSPECTION FEES 0 5,000 0209‐2040‐351.03‐00 OTHER FINES 0 80,000 0209‐9900‐393.00‐00 TRANSFERS IN 0 83,384 25,000
7,228 168,434 25,000210 ASSET FORFEITURE210‐1510‐361.01‐00 INVESTMENT EARNINGS 11 0 0
11 0 0
OTHER FUNDS
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
211 MEASURE "K"211‐1510‐361.01‐00 INVESTMENT EARNINGS 1,402 0 0211‐8000‐332.01‐00 MEASURE "K" 54,217 54,217 0211‐8000‐332.01‐01 MAINTENANCE IMPROVEMENTS 215,895 200,000 300,000
271,514 254,217 300,000213 STATE RECYCLING/RECOVERY213‐8000‐331.05‐08 RUBBERIZED ASPHALT GRANT 0 37,689 37,689
0 37,689 37,689214 LTF ‐ STREETS AND ROADS214‐1510‐361.01‐00 INVESTMENT EARNINGS 4,782 0 0214‐8000‐332.05‐00 LTF ‐ STREET AND ROADS 222,004 800,862 589,396214‐8000‐332.07‐00 PED. & BIKE PATH 9,380 19,089 11,700
236,166 819,951 601,096215 FEDERAL GRANT215‐1510‐361.01‐00 INVESTMENT EARNINGS 129 0 0215‐8000‐333.03‐00 OTHER FEDERAL GRANTS 366,541 1,514,633 2,017,763215‐8000‐333.09‐00 ARRA 819,069 0 0215‐8000‐333.09‐01 EECBG PROGRAM 24,219 89,700 61,954
1,209,958 1,604,333 2,079,717216 STIP AUGMENTATION216‐1510‐361.01‐00 INVESTMENT EARNINGS 298 0 0216‐8000‐331.05‐10 PROP 84 0 0 5,000,000216‐8000‐331.06‐00 STIP AUGMENTATION GRANT 353,088 3,609,280 3,609,280
353,386 3,609,280 8,609,280217 XROADS MAINTENANCE217‐1510‐361.01‐00 INVESTMENT EARNINGS 37 0 0
37 0 0218 XROADS STREET IMPROVEMENTS218‐1510‐361.01‐00 INVESTMENT EARNINGS 821 0 0
821 0 0
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
219 UNIVERSAL HIRING GRANT219‐1510‐361.01‐00 INVESTMENT EARNINGS 2 0 0219‐4010‐333.05‐00 OTHER FEDERAL GRANTS 5,748 10,576 175,000
5,750 10,576 175,000221 LAW ENFORCE EQUIP PROGRAM221‐1510‐361.01‐00 INVESTMENT EARNINGS 1,121 0 0
1,121 0 0222 STATE AB1913222‐1510‐361.01‐00 INVESTMENT EARNINGS 1,607 0 0222‐4016‐333.02‐00 COPS 100,000 100,000 100,000
101,607 100,000 100,000223 REGIONAL TRAFFIC IMPACT223‐1510‐361.01‐00 INVESTMENT EARNINGS 3,359 0 0
3,359 0 0224 LOAN FUND224‐1510‐361.01‐00 INVESTMENT EARNINGS 1,145 0 0
1,145 0 0225 TRAFFIC MITIGATION 225‐1510‐361.01‐00 INVESTMENT EARNINGS 7,447 0 0225‐5010‐318.02‐00 LOCAL TRANS. CFF 0 31,806 224,818
7,447 31,806 224,818226 CULTURE & LEISURE226‐1510‐361.01‐00 INVESTMENT EARNINGS 8,826 0 0226‐3040‐318.03‐00 CULTURE AND LEISURE CFF 432,821 413,505 293,940
441,647 413,505 293,940227 CITY SERVICES227‐1510‐318.04‐01 CITY SERVICES 282,511 267,387 949,186227‐1510‐361.01‐00 INVESTMENT EARNINGS 18,409 0 0
300,920 267,387 949,186
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
228 STORM DRAIN CFF228‐1510‐361.01‐00 INVESTMENT EARNINGS 2,622 0 0228‐5020‐318.04‐02 STORM DRAIN ‐ EAST SIDE 0 0 17,502228‐5020‐318.04‐86 ZONE 35 SERVICE COMMERCIAL 0 0 42,947228‐5020‐318.04‐88 ZONE 45 LTD INDUSTRIAL 0 19,163 0228‐5090‐318.04‐02 STORM DRAIN ‐ WEST SIDE 10,756 0 0
13,378 19,163 60,449229 ADMINISTRATION CFF229‐1510‐318.04‐03 CITY ADMIN CFF 40,600 33,406 60,237229‐1510‐318.04‐05 RTIF ADMIN CFF 4,204 3,361 5,356229‐1510‐361.01‐00 INVESTMENT EARNINGS 393 0 0
45,197 36,767 65,593230 SJC MULTISPECIES HABITAT230‐1510‐361.01‐00 INVESTMENT EARNINGS 80 0 0
80 0 0231 ENVIRO. MITIGATION CFF231‐5010‐318.04‐04 ENVIRONMENTAL MITIGATION 6,360 0 0
6,360 0 0232 W/C LATHROP TRANS. CFF232‐1510‐361.01‐00 INVESTMENT EARNINGS 2,714 0 0232‐5010‐318.02‐00 LOCAL TRANS. CFF 180,897 162,000 110,700
183,611 162,000 110,700233 WLSP REGIONAL TRANSPORT CFF233‐1510‐361.01‐00 INVESTMENT EARNINGS 300 0 0233‐5010‐318.01‐00 REGIONAL TRANS. CFF 23,614 21,150 14,450
23,914 21,150 14,450234 RTIF ‐ COG234‐1510‐361.01‐00 INVESTMENT EARNINGS 2,447 0 0234‐5010‐318.01‐00 REGIONAL TRANS. CFF 1,957 17,861 71,713
4,404 17,861 71,713
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
235 RTIF‐ SAN JOAQUIN COUNTY235‐1510‐361.01‐00 INVESTMENT EARNINGS 45 0 0235‐5010‐318.01‐00 REGIONAL TRANS. CFF 28,319 24,833 24,692
28,364 24,833 24,692236 RTIF LATHROP236‐1510‐361.01‐00 INVESTMENT EARNINGS 5,820 0 0236‐5010‐318.01‐00 REGIONAL TRANS. CFF 191,566 164,663 109,775
197,386 164,663 109,775237 RTIF‐SJCOG 15%237‐1510‐361.01‐00 INVESTMENT EARNINGS 68 0 0237‐5010‐318.01‐00 REGIONAL TRANS. CFF 42,478 37,250 37,038
42,546 37,250 37,038239 CSLP CFD 2006‐2239‐1510‐361.01‐00 INVESTMENT EARNINGS 2,549 0 0239‐5066‐341.01‐01 SERVICE CHARGES 318,772 319,000 360,492
321,321 319,000 360,492240 RECYCLING AB939240‐1510‐361.01‐00 INVESTMENT EARNINGS 1,332 0 0240‐5040‐319.05‐06 RECYCLING AB939 TAX 76,896 60,000 60,000240‐5040‐331.05‐09 BEVERAGE RECYCLING GRANT 5,000 5,000 5,000
83,228 65,000 65,000249 XROAD STORM DRAIN CAP REPLACE249‐1510‐361.01‐00 INVESTMENT EARNINGS 490 0 0249‐9900‐393.00‐00 TRANSFERS IN 6,570 0 0
7,060 0 0250 CROSSROAD STORM DRAIN250‐1510‐361.01‐00 INVESTMENT EARNINGS 559 0 0250‐5021‐355.01‐01 CROSSROAD STORM DRAIN FEE 113,394 113,395 113,395250‐9900‐393.00‐00 TRANSFERS IN 0 0 8,795
113,953 113,395 122,190
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
251 STORM DRAIN251‐1510‐361.01‐00 INVESTMENT EARNINGS 466 0 0251‐5020‐355.01‐02 STORM DRAIN FEE 238,983 238,983 238,983
239,449 238,983 238,983252 STREET LIGHTING252‐1510‐361.01‐00 INVESTMENT EARNINGS 607 0 0252‐5012‐355.01‐10 LIGHT DISTRICT FEE ZONE 2 91,132 92,060 100,572252‐5014‐355.01‐11 LIGHTING ZONE 2 INDUSTRIAL 43,589 43,589 43,589252‐9900‐393.00‐00 TRANSFERS IN 56,278 41,822 24,577
191,606 177,471 168,738253 WOODFIELD LANDSCAPE MAINTENANCE253‐1510‐361.01‐00 INVESTMENT EARNINGS 34 0 0253‐5062‐355.01‐15 LANDSCAPE MAINT‐WOODFIELD 54,764 54,764 54,764253‐9900‐393.00‐00 TRANSFERS IN 32,775 20,287 0
87,573 75,051 54,764255 STONEBRIDGE LANDSCAPE MAINT. DISTRICT255‐1510‐361.01‐00 INVESTMENT EARNINGS 362 0 0255‐5060‐355.01‐18 STONEBRIDGE ‐LANDSCAPING 231,656 231,665 231,665255‐9900‐393.00‐00 TRANSFERS IN 2,873 3,017 3,168
234,891 234,682 234,833256 STONEBRIDGE DRAINAGE/ LIGHTING DISTRICT256‐1510‐361.01‐00 INVESTMENT EARNINGS 3,595 0 0256‐5061‐355.01‐20 STONEBRIDGE‐DRAIN/LIGHTING 231,399 231,408 231,408256‐5061‐371.90‐00 MISCELLANEOUS REVENUE 2,451 0 0256‐9900‐393.00‐00 TRANSFERS IN 2,873 3,017 3,168
240,318 234,425 234,576257 MOSSDALE CFD257‐1510‐361.01‐00 INVESTMENT EARNINGS 1,197 0 0257‐5063‐318.07‐00 MOSSDALE MAINT DIST FEE 65,191 59,925 42,683257‐5063‐355.01‐13 MOSSDALE CFD 1,806,750 1,838,507 1,896,509
1,873,138 1,898,432 1,939,192
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
258 MOSSDALE LANDSCAPE & LIGHTING258‐1510‐361.01‐00 INVESTMENT EARNINGS 554 0 0258‐5064‐355.01‐14 MOSSDALE LANDSCAPE & LIGH 432,862 432,862 432,862258‐9900‐393.00‐00 TRANSFERS IN 6,500 0 0
439,916 432,862 432,862259 MOSSDALE CFD CAP REPLACE259‐1510‐361.01‐00 INVESTMENT EARNINGS 61 0 0259‐9900‐393.00‐00 TRANSFERS IN 5,000 23,001 37,422
5,061 23,001 37,422261 MOSSDALE DRAIN/LT CAP RPL261‐1510‐361.01‐00 INVESTMENT EARNINGS 148 0 0261‐9900‐393.00‐00 TRANSFERS IN 5,000 5,000 5,000
5,148 5,000 5,000263 HISTORICAL LATHROP CFD263‐1510‐361.01‐00 INVESTMENT EARNINGS 111 0 0263‐5065‐355.01‐19 HISTORIC LATHROP CFD 2005‐1 16,065 16,065 16,065263‐5065‐355.01‐23 HISTORIC LATHROP CFD 2005‐1 ZONE 2 13,500 13,500 13,500
29,676 29,565 29,565265 C.D.B.G.265‐1510‐361.01‐00 INVESTMENT EARNINGS 12 0 0265‐3001‐333.01‐00 CDBG 0 12,748 27,541
12 12,748 27,541266 MOSSDALE STANDBY 2005‐1266‐1510‐361.01‐00 INVESTMENT EARNINGS 715 0 0266‐5034‐344.01‐36 MOSSDALE STANDBY 2005‐1 733,899 576,511 565,608
734,614 576,511 565,608270 SCHOLARSHIP270‐1510‐361.01‐00 INVESTMENT EARNINGS 93 0 0270‐3001‐333.01‐02 COMMUNITY CENTER 1,010 0 0270‐3001‐372.02‐00 CONTRIBUTIONS 3,553 0 0
4,656 0 0
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
271 DEVELOPER PROJECTS271‐1510‐361.01‐00 INVESTMENT EARNINGS 4,223 0 0271‐8000‐372.01‐00 DEVELOPER CONTRIBUTIONS 235,088 4,714,031 3,299,560
239,311 4,714,031 3,299,560282 GATEWAY282‐1510‐361.01‐00 INVESTMENT EARNINGS 529 0 0282‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 17,644 50,000 35,000
18,173 50,000 35,000283 WATT LATHROP II283‐1510‐361.01‐00 INVESTMENT EARNINGS 41 0 0283‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 594 7,500 7,500
635 7,500 7,500284 KB HOME284‐1510‐361.01‐00 INVESTMENT EARNINGS 17 0 0284‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 0 0 100
17 0 100286 S LATHROP RICHLAND286‐1510‐361.01‐00 INVESTMENT EARNINGS 770 0 0286‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 0 0 5,000
770 0 5,000288 CROSSROADS RICHLAND288‐1510‐361.01‐00 INVESTMENT EARNINGS 164 0 0288‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 4,245 35,000 1,346,050
4,409 35,000 1,346,050290 PACIFIC UNION HOMES290‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 0 4,000 10,000
0 4,000 10,000291 CROSSROADS CREA INVESTORS291‐1510‐361.01‐00 INVESTMENT EARNINGS 165 0 0
165 0 0
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
293 PULTE HOMES293‐1510‐361.01‐00 INVESTMENT EARNINGS 1,300 0 0293‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 0 1,500 1,500
1,300 1,500 1,500294 FARMWORLD294‐1510‐361.01‐00 INVESTMENT EARNINGS 3 0 0294‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 0 500 500
3 500 500295 RIVER ISLANDS295‐1510‐361.01‐00 INVESTMENT EARNINGS 232 0 0295‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 548,076 574,263 561,205
548,308 574,263 561,205296 ROBINSON PROPERTY296‐1510‐361.01‐00 INVESTMENT EARNINGS 98 0 0296‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 0 500 500
98 500 500297 TCN PROPERTIES297‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 569,007 40,000 30,000
569,007 40,000 30,000298 WATT LATHROP I298‐1510‐361.01‐00 INVESTMENT EARNINGS 120 0 0298‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 3,176 9,000 9,000
3,296 9,000 9,000299 RICHLAND COMMUNITIES299‐8999‐371.91‐00 CONTRIBUTIONS FROM DEVELOPERS 228,788 25,000 20,000
228,788 25,000 20,000301 GENERAL CIP301‐1510‐361.01‐00 INVESTMENT EARNINGS 26,020 0 0301‐9900‐393.00‐00 TRANSFERS IN 275,866 1,432,928 5,444,495
301,886 1,432,928 5,444,495
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
331 STREETS AND ROADS CIP331‐1510‐361.01‐00 INVESTMENT EARNINGS 12,784 0 0331‐9900‐393.00‐00 TRANSFERS IN 2,768,884 13,046,330 9,775,681
2,781,668 13,046,330 9,775,681341 PARK‐IN‐LIEU FEES341‐1510‐361.01‐00 INVESTMENT EARNINGS 4,227 0 0
4,227 0 0391 STORM DRAIN CIP391‐1510‐361.01‐00 INVESTMENT EARNINGS 1,467 0 0391‐9900‐393.00‐00 TRANSFERS IN 132,000 237,266 0
133,467 237,266 0463 SEWER ASSESSMENT DIST #1463‐1510‐361.01‐00 INVESTMENT EARNINGS 88 0 0
88 0 0540 SURFACE WATER SUPPLY‐CSLP540‐1510‐361.01‐00 INVESTMENT EARNINGS 139 0 0540‐5090‐318.04‐20 WATER CONNECTION 0 1,217,115 1,220,654
139 1,217,115 1,220,654541 MOSSDALE VILLAGE CFD 2003‐1541‐1510‐361.01‐00 INVESTMENT EARNINGS 8,245 0 0541‐5050‐355.01‐21 CFD 2003‐1 894,213 1,074,552 702,288
902,458 1,074,552 702,288560 WATER CAPTAL REPLACEMENT 560‐1510‐361.01‐00 INVESTMENT EARNINGS 10,143 0 0560‐9900‐393.00‐00 TRANSFERS IN 640,498 304,592 324,509
650,641 304,592 324,509561 WATER CONNECTION FEES561‐1510‐361.01‐00 INVESTMENT EARNINGS 1,057 0 0561‐5050‐318.04‐20 WATER CONNECTION CFF‐ EAST SIDE 41,112 29,873 72,889561‐5090‐318.04‐20 WATER CONNECTION CFF‐ WEST SIDE 48,479 46,650 31,900561‐5090‐318.04‐60 MERCHANT BUILDERS 25,791 0 0
116,439 76,523 104,789
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
562 WATER562‐1510‐361.01‐00 INVESTMENT EARNINGS 20,859 10,000 10,400562‐1510‐374.01‐00 LATE CHARGES 63,920 50,000 72,081562‐5050‐345.01‐10 SERVICE CHARGES 3,344,467 3,618,375 3,875,045562‐5050‐345.01‐12 RECONNECTION FEES 66,446 60,000 60,000562‐5050‐345.01‐20 CONSTRUCTION WATER 9,830 17,000 17,000562‐5050‐345.01‐30 FIRE SERVICE CHARGE 223,176 165,842 193,707562‐5050‐345.01‐40 SCSWSP FACILITIES CHARGE 546,415 490,095 490,095562‐5050‐345.01‐41 SCSWSP FIXED CHARGES 1,287,242 957,454 995,752562‐5050‐361.01‐00 INVESTMENT EARNINGS 1 0 0562‐5050‐361.02‐00 SPECIFIC INVESTMENT INVESTMENT EARNINGS 3,038 0 0562‐5050‐371.90‐00 MISCELLANEOUS REVENUE 9,516 0 0562‐5050‐379.01‐00 EQUIPMENT REPLACEMENT 0 0 56,663562‐5090‐318.04‐20 WATER CONNECTION CFF 1,217,532 0 0562‐8000‐372.01‐00 DEVELOPER CONTRIBUTIONS 189,062 188,763 159,622562‐8000‐375.01‐00 WELL 21 CONSTRUCTION 0 581,219 581,219562‐9900‐393.00‐00 TRANSFERS IN 887,075 1,837,932 1,924,802
7,868,579 7,976,680 8,436,386564 SURFACE WATER SUPPLY CFF564‐1510‐361.01‐00 INVESTMENT EARNINGS 1,086 0 0564‐5050‐318.04‐21 SURFACE WATER SUPPLY‐ EASTSIDE 10,025 6,463 36,901
11,111 6,463 36,901565 SRF LOAN569‐9900‐393.00‐00 TRANSFERS IN 0 600,000 597,575
0 600,000 597,575569 WATER CIP569‐1510‐361.01‐00 INVESTMENT EARNINGS 13,815 0 0569‐9900‐393.00‐00 TRANSFERS IN 2,344,109 8,861,965 2,872,892
2,357,924 8,861,965 2,872,892
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
601 MWQCF COLLECTION SYSTEM601‐1510‐361.01‐00 INVESTMENT EARNINGS 6,023 5,000 5,000601‐1510‐374.01‐00 LATE CHARGES 45,395 47,928 49,366601‐5030‐344.01‐10 WASTEWATER CHARGES 2,093,202 2,476,625 2,460,592601‐5030‐344.01‐12 LOT SEGREGATION 0 1,200 1,200601‐5030‐344.01‐20 WASTEWATER CO‐GEN 391,892 0 131,220601‐5030‐371.90‐00 MISCELLANEOUS REVENUE 6,000 0 0601‐5030‐379.01‐00 EQUIPMENT REPLACEMENT 0 0 56,664601‐9900‐393.00‐00 TRANSFERS IN 0 14,000 0
2,542,512 2,544,753 2,704,042603 WASTEWATER CONNECTION FEES603‐1510‐361.01‐00 INVESTMENT EARNINGS 3,544 0 0603‐5030‐318.04‐50 SEWER CONNECTION‐EAST SIDE 658,792 65,000 118,725603‐5090‐318.04‐50 SEWER CONNECTION‐WEST SIDE 2,917 2,775 1,900603‐5090‐318.04‐60 MERCHANT BUILDERS (258,022) 0 0
407,231 67,775 120,625605 XROAD RECYCLING PLANT #1605‐1510‐361.01‐00 INVESTMENT EARNINGS 1,944 3,000 13,504605‐1510‐374.01‐00 LATE CHARGES (57,774) 0 0605‐5031‐344.01‐30 XROADS WASTEWATER CHARGES 1,155,247 1,136,197 1,170,284605‐5031‐344.01‐35 XROADS STAND BY 29,488 30,000 30,345605‐5032‐371.90‐00 MISCELLANEOUS REVENUE 9,900 0 10,000605‐9900‐393.00‐00 TRANSFERS IN 9,192 0 0
1,147,997 1,169,197 1,224,133606 WASTEWATER CAPITAL REPLACEMENT606‐1510‐361.01‐00 INVESTMENT EARNINGS 11,726 0 0606‐9900‐393.00‐00 TRANSFERS IN 339,115 346,728 390,854
350,841 346,728 390,854607 XROADS WASTEWATER CAPITAL REPLACEMENT607‐1510‐361.01‐00 INVESTMENT EARNINGS 1,703 0 0607‐5031‐371.90‐00 MISCELLANEOUS REVENUE 10,385 0 0607‐9900‐393.00‐00 TRANSFERS IN 156,910 163,268 168,088
Budget For Fiscal Year 2012‐2013
AMENDEDACTUAL EST. REVENUES EST. REVENUES
ACCOUNT NUMBER REVENUE SOURCE FY 2010‐2011 FY 2011‐2012 FY 2012‐2013
OTHER FUNDS
607 XROADS WASTEWATER CAPITAL REPLACEMENT (CONTINUED)168,998 163,268 168,088
608 MBR#1 WASTE RECYCLING PLANT608‐1510‐361.01‐00 INVESTMENT EARNINGS 7,669 5,000 5,000608‐1510‐374.01‐00 LATE CHARGES 17,070 11,440 11,440608‐5034‐344.01‐10 WASTEWATER CHARGES 788,404 1,045,009 1,050,000608‐5034‐371.90‐00 MISCELLANEOUS REVENUE 12,411 12,411 12,420608‐9900‐393.00‐00 TRANSFERS IN 612,580 575,837 571,579
1,438,134 1,649,697 1,650,439609 SEWER CIP609‐1510‐361.01‐00 INVESTMENT EARNINGS 11,745 0 0609‐9900‐393.00‐00 TRANSFERS IN 687,936 1,796,449 645,440
699,681 1,796,449 645,440610 MANTECA WWTP EXPANSION610‐1510‐361.01‐00 INVESTMENT EARNINGS 2,797 0 0610‐5030‐391.00‐00 PROCEEDS FROM ISSUANCE 835,952 93,283 94,789
838,749 93,283 94,789611 RECYCLED WATER CAPITAL REPLACEMENT611‐1510‐361.01‐00 INVESTMENT EARNINGS 5,498 0 0611‐9900‐393.00‐00 TRANSFERS IN 280,531 0 0
286,029 0 0621 MOSSDALE VILLAGE AD IMPROVEMENT FUND621‐1510‐361.01‐00 INVESTMENT EARNINGS 5 0 0
5 0 0
TOTAL OTHER FUNDS 33,666,343 62,908,849 61,094,397
GRAND TOTAL REVENUES 46,058,480 76,012,906 73,929,565
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013CITY COUNCIL 56,545 63,277 55,882 55,882
CITY MANAGER 499,825 415,994 450,147 450,147
CITY CLERK 135,442 128,460 150,220 150,220
CITY ATTORNEY 358,738 474,301 507,019 507,019
HUMAN RESOURCESPersonnel 139,615 199,304 137,884 137,884Central Services 411,285 501,500 510,700 510,700Total Human Resources 550,900 700,804 648,584 648,584
FINANCEAccounting 906,794 1,076,955 1,063,833 1,055,733Information Systems 789,463 1,007,686 1,002,647 1,002,647Audio Visual 0 0 0 0Total Finance 1,696,257 2,084,641 2,066,480 2,058,380
NEIGHBORHOOD AND COMMUNITY SERVICESAnimal Services 235,002 249,116 315,986 357,986Code Compliance 0 0 0 0Public Nuisance 0 0 0 0Total Neighborhood and Community Srvcs 235,002 249,116 315,986 357,986
COMMUNITY DEVELOPMENT Planning 394,435 415,753 420,627 420,627Building 460,235 515,445 571,202 571,202Code Compliance 168,359 155,067 190,690 190,690Public Nuisance 10,524 85,000 23,894 23,894Total Community Development 1,033,553 1,171,265 1,206,413 1,206,413
OPERATING EXPENDITURES BY DEPARTMENT
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013
OPERATING EXPENDITURES BY DEPARTMENT
CULTURE AND RECREATIONAdministration 143,984 236,716 329,728 329,728Senior Center 132,437 174,926 180,074 180,074Recreation Programs 234,667 233,594 280,822 280,822Kid Club & Day Camp 260,246 293,644 293,008 293,008Sports, Fitness & Outdoor Programs 98,516 88,375 66,159 66,159Library 9,603 10,484 10,691 10,691Total Culture and Recreation 879,453 1,037,739 1,160,482 1,160,482
PUBLIC SAFETYPolice Administration 3,584,755 3,952,360 4,088,379 4,088,379Traffic Safety 27,868 39,300 41,120 41,120Assest Feorfeiture 0 0 1,200 1,200Universal Hiring Grant 4,264 10,576 175,000 175,000State COPS 100,000 100,000 100,000 100,000Total Public Safety 3,716,887 4,102,236 4,405,699 4,405,699
PUBLIC WORKSAdministration 365,211 472,578 473,554 473,554PW Construction Management 104,695 117,269 122,492 122,492PW Land Development Eng 283,069 241,089 255,037 255,037City Hall 139,837 192,731 207,544 207,544PW Utility Engineering 284,207 317,714 342,327 342,327Building Maintenance 166,784 192,757 191,048 191,048Parks & Landscaping Maintenance 137,666 196,017 193,731 193,731Transportation Services
Streets Maintenance 279,077 373,185 365,987 365,987Street Trees & Landscaping 24,368 26,764 26,491 26,491Public Transit 0 25,000 25,000 25,000RTIF
Lathrop Local ‐East 1,238 5,000 5,000 5,000
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013
OPERATING EXPENDITURES BY DEPARTMENT
PUBLIC WORKS (CONTINUED)San Joaquin Co 10% 28,364 24,833 24,692 24,692Lathrop Local‐West 2,631 354,676 5,000 5,000SJCOG 15% 42,546 37,250 37,038 37,038
CLSP Services CFD 467,241 329,618 282,834 282,834Solid Waste Mgmt (Recycling) 30,985 45,824 48,598 48,598Crossroad Storm Drain Zone 1 106,151 127,124 135,357 135,357Storm Drains City Zone 1 151,244 171,394 186,791 186,791Street Lighting Residential 118,008 117,810 100,158 100,158Industrial Street Lighting 28,081 40,798 41,905 41,905Woodfield Landscape Maintenance 49,568 62,138 55,830 55,830Stonebridge Landscape Maint 117,360 161,656 167,475 167,475Stonebridge‐Drainage & Lighting 126,348 180,025 182,625 182,625Mossdale Services CFD 1,216,021 1,464,706 1,651,125 1,651,125Mossdale Landscape & Lighting 429,567 416,564 302,927 302,927Historic Lathrop CFD 16,387 29,749 25,380 25,380Total Public Works 4,716,654 5,724,269 5,455,946 5,455,946
UTILITIESMossdale Village CFD 2003‐1 22,292 25,000 35,560 35,560Water Connection Fees 0 0 0 0Water Services 2,547,238 3,336,975 3,564,531 3,564,531MWQCF Collection System 1,571,240 1,898,632 1,730,198 1,730,198Xroad Recycling Plant#1‐Treatment 554,987 629,166 652,877 652,877Xroad Recycling Plant#1‐ Collect Syst. 111,922 115,550 119,650 119,650WW Recycling Plant‐1 MBR 1,024,575 1,463,124 1,558,286 1,558,286Total Utilities 5,832,254 7,468,447 7,661,102 7,661,102
DEVELOPER PROJECTSGateway 52,449 50,000 35,000 35,000Watt (Lathrop II) (15) 7,500 7,500 7,500
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013
OPERATING EXPENDITURES BY DEPARTMENT
DEVELOPER PROJECTS (CONTINUED)KB Home 62 0 100 100South Lathrop‐Richland 310 0 5,000 5,000Crossroads Richland 5,967 35,000 1,346,050 1,346,050Pacific Union Homes 814 4,000 10,000 10,000Pulte Homes 4,306 1,500 1,500 1,500Farm World 0 500 500 500River Islands 349,017 385,500 401,583 401,583Robinson Property 0 500 500 500TCN Properties 6,672 40,000 30,000 30,000Watt (Lathrop I) 2,799 9,000 9,000 9,000Richland Communities 1,399 25,000 20,000 20,000Total Developer Deposits 423,780 558,500 1,866,733 1,866,733
TOTAL EXPENDITURES 20,135,290 24,179,049 25,950,693 25,984,593
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013GENERAL FUND
City Council 56,545 63,277 55,882 55,882City Manager 499,825 415,994 450,147 450,147City Clerk 135,442 128,460 150,220 150,220City Attorney 358,738 474,301 507,019 507,019Personnel 139,615 199,304 137,884 137,884Central Services 411,285 501,500 510,700 510,700Finance 906,794 1,076,955 1,063,833 1,055,733Information Systems 789,463 1,007,686 1,002,647 1,002,647Audio Visual 0 0 0 0Animal Services 235,002 249,116 315,986 357,986Planning 394,435 415,753 420,627 420,627Building 460,235 515,445 571,202 571,202Code Compliance 168,359 155,067 190,690 190,690Culture and Recreation Administration 143,984 236,716 329,728 329,728Senior Center 132,437 174,926 180,074 180,074Recreation Programs 234,667 233,594 280,822 280,822Kid Club & Day Camp 260,246 293,644 293,008 293,008Sports, Fitness & Outdoor Programs 98,516 88,375 66,159 66,159Library 9,603 10,484 10,691 10,691Police Administration 3,584,755 3,952,360 4,088,379 4,088,379Public Works Administration 365,211 472,578 473,554 473,554PW Construction Management 104,695 117,269 122,492 122,492PW Land Development Eng 283,069 241,089 255,037 255,037City Hall 139,837 192,731 207,544 207,544PW Utility Engineering 284,207 317,714 342,327 342,327Building Maintenance 166,784 192,757 191,048 191,048Parks & Landscaping Maintenance 137,666 196,017 193,731 193,731
TOTAL GENERAL FUND 101 10,501,415 11,923,112 12,411,431 12,445,331
OPERATING EXPENDITURES BY FUND
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013
OPERATING EXPENDITURES BY FUND
SPECIAL REVENUE FUNDSTRAFFIC SAFETY FUND 207 27,868 39,300 41,120 41,120
Streets 279,077 373,185 365,987 365,987Street Trees & Landscape 24,368 26,764 26,491 26,491STREETS FUND 208 303,445 399,949 392,478 392,478
PUBLIC NUISANCE FUND 209 10,524 85,000 23,894 23,894
ASSEST FORFEITURE FUND 210 0 0 1,200 1,200
PUBLIC TRANSIT FUND 212 0 25,000 25,000 25,000
UNIVERSAL HIRING GRANT FUND 219 4,264 10,576 175,000 175,000
STATE COMMUNITY OPTION FUND 222 100,000 100,000 100,000 100,000
RTIF‐LATHROP LOCAL ‐ EAST FUND 234 1,238 5,000 5,000 5,000
RTIF‐SAN JOAQUIN CO 10% FUND 235 28,364 24,833 24,692 24,692
RTIF‐LATHROP LOCAL ‐ WEST FUND 236 2,631 354,676 5,000 5,000
RTIF‐SJCOG 15% FUND 237 42,546 37,250 37,038 37,038
CLSP SERVICES CFD FUND 239 467,241 329,618 282,834 282,834
SOLID WASTE FUND 240 30,985 45,824 48,598 48,598
CROSSROADS STORM DRAIN FUND 250 106,151 127,124 135,357 135,357
STORM DRAINS FUND 251 151,244 171,394 186,791 186,791
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013
OPERATING EXPENDITURES BY FUND
SPECIAL REVENUE FUNDS (CONTINUED)Street Lighting Residential 118,008 117,810 100,158 100,158Industrial Street Lighting 28,081 40,798 41,905 41,905STREET LIGHT FUND 252 146,089 158,608 142,063 142,063
WOODFIELD PARK FUND 253 49,568 62,138 55,830 55,830
STONEBRIDGE ‐ LANDSCAPING FUND 255 117,360 161,656 167,475 167,475
STONEBRIDGE ‐ DRAIN & LIGHT FUND 256 126,348 180,025 182,625 182,625
MOSSDALE CFD FUND 257 1,216,021 1,464,706 1,651,125 1,651,125
MOSSDALE LANDSCAPE & LIGHT FUND 258 429,567 416,564 302,927 302,927
HISTORIC LATHROP CFD FUND 263 16,387 29,749 25,380 25,380
GATEWAY FUND 282 52,449 50,000 35,000 35,000
WATT (LATHROP II) FUND 283 (15) 7,500 7,500 7,500
KB HOME FUND 284 62 0 100 100
S. LATHROP‐RICHLAND FUND 286 310 0 5,000 5,000
CROSSROADS RICHLAND FUND 288 5,967 35,000 1,346,050 1,346,050
PACIFIC UNION HOMES FUND 290 814 4,000 10,000 10,000
PULTE HOMES FUND 293 4,306 1,500 1,500 1,500
FARMWORLD FUND 294 0 500 500 500
Budget For Fiscal Year 2012‐2013
AMENDED CITY MANAGER CITY COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FY 2010‐2011 FY 2011‐2012 FY 2012‐2013 FY 2012‐2013
OPERATING EXPENDITURES BY FUND
SPECIAL REVENUE FUNDS (CONTINUED)RIVER ISLANDS FUND 295 349,017 385,500 401,583 401,583
ROBINSON PROPERTY FUND 296 0 500 500 500
LUCKEY/TCN PROPERTIES FUND 297 6,672 40,000 30,000 30,000
WATT (LATHROP I) FUND 298 2,799 9,000 9,000 9,000
RICHLAND COMMUNITIES FUND 299 1,399 25,000 20,000 20,000
TOTAL SPECIAL REVENUES 3,801,621 4,787,490 5,878,160 5,878,160
ENTERPRISE FUNDSMOSSDALE VILLAGE CFD 2003‐1 FUND 541 22,292 25,000 35,560 35,560
WATER CONNECTION FEES FUND 561 0 0 0 0
WATER FUND 562 2,547,238 3,336,975 3,564,531 3,564,531
MWQCF COLLECTION SYSTEM FUND 601 1,571,240 1,898,632 1,730,198 1,730,198
Crossroads Recycling Plant #1 Treatment 554,987 629,166 652,877 652,877Crossroads Recycling Plant #1 Collect Syst. 111,922 115,550 119,650 119,650WATER RECYCLE PLANT #1 FUND 605 666,909 744,716 772,527 772,527
WW RECYCLING PLANT‐1 MBR FUND 608 1,024,575 1,463,124 1,558,286 1,558,286
TOTAL ENTERPRISE FUNDS 5,832,254 7,468,447 7,661,102 7,661,102
GRAND TOTAL 20,135,290 24,179,049 25,950,693 25,984,593
Budget for Fiscal Year 2012‐2013
2010‐11 2011‐12 2012‐13BUDGET BUDGET BUDGET
ADMINISTRATIONBudget Analyst I/II 1.00 1.00 1.00City Manager 1.00 1.00 1.00Senior Administrative Assistant 1.00 1.00 1.00
3.00 3.00 3.00
CITY CLERKCity Clerk 1.00 1.00 1.00
1.00 1.00 1.00
CITY ATTORNEYCity Attorney 1.00 1.00 1.00Legal Secretary 1.50 1.50 1.50
2.50 2.50 2.50
FINANCEAccountant I/II 1.00 1.00 1.00Accounting Manager 1.00 1.00 1.00Accounting Specialist I/II/Technician 4.00 4.00 4.00Administrative Assistant I/II 0.00 0.00 1.00Budget Manager 1.00 1.00 1.00Director of Finance 1.00 1.00 1.00Information Technology Analyst 1.00 1.00 1.00Information Technology Manager 1.00 1.00 1.00Information Technology Technician 1.00 1.00 1.00Office Assistant I/II 1.00 1.00 0.00Special Districts Manager 1.00 1.00 1.00
13.00 13.00 13.00
AUTHORIZED REGULAR POSITIONS BY DEPARTMENT
Budget for Fiscal Year 2012‐2013
2010‐11 2011‐12 2012‐13BUDGET BUDGET BUDGET
AUTHORIZED REGULAR POSITIONS BY DEPARTMENT
NEIGHBORHOOD & COMMUNITY SERVICESAnimal Services Assistant 1.00 1.00 1.00Animal Services Officer 2.00 2.00 2.00Director of Neighborhood & Community Services 1.00 1.00 1.00
4.00 4.00 4.00
COMMUNITY DEVELOPMENT Building Inspector I/II/III 1.00 1.00 1.00Chief Building Official 1.00 1.00 1.00Code Compliance Officer I/II/III 1.00 1.00 1.00Director of Community Development/City Engineer 1.00 1.00 1.00Management Analyst I/II 1.00 1.00 1.00Office Assistant I/II 1.00 1.00 1.00Permit Technician 1.00 0.00 0.00Principal Planner 1.00 1.00 1.00Senior Administrative Assistant 1.00 1.00 1.00
9.00 8.00 8.00
CULTURE & RECREATIONAdministrative Assistant I/II 1.00 1.00 1.00Budget Analyst I/II 1.00 1.00 1.00Facility Supervisor 1.38 1.66 1.66Parks and Recreation Administrator 0.00 1.00 1.00Recreation Coordinator 1.35 0.00 0.00Recreation Leaders 3.70 3.70 3.70Recreation Supervisor 2.00 2.00 2.00Senior Center Manager 1.00 1.00 1.00Senior Recreation Leaders 3.75 3.75 3.75
15.18 15.11 15.11
Budget for Fiscal Year 2012‐2013
2010‐11 2011‐12 2012‐13BUDGET BUDGET BUDGET
AUTHORIZED REGULAR POSITIONS BY DEPARTMENT
PUBLIC SAFETYAdministrative Assistant I/II 1.00 1.00 1.00Chief of Police 1.00 1.00 1.00Criminal Research Analyst 1.00 1.00 1.00Deputy Sheriff II for Community Resource Officer 1.00 1.00 1.00Deputy Sheriff II for School Resource Officer 1.00 1.00 1.00Deputy Sheriff II's for Investigations 2.00 2.00 2.00Deputy Sheriff II's for Patrol 15.00 15.00 15.00Lieutenant to serve as Supervisor 1.00 1.00 1.00Police Office Supervisor 1.00 1.00 1.00Sergeant to serve as Supervisor 2.00 2.00 2.00
26.00 26.00 26.00
PUBLIC WORKSBudget Analyst I/II 1.00 1.00 1.00Construction Inspector I/II 1.00 1.00 1.00Director of Public Works 1.00 1.00 1.00Executive Assistant 1.00 1.00 1.00Maintenance Worker I/II 2.00 2.00 2.00Meter Reader 1.00 1.00 1.00Principal Engineer 2.00 1.00 1.00Public Works Superintendent 1.00 1.00 1.00Senior Civil Engineer 2.00 2.00 2.00Senior Maintenance Worker 1.00 1.00 1.00Solid Waste & Recycling Coordinator 1.00 1.00 1.00Utility Operator I/II/III 5.00 5.00 5.00
19.00 18.00 18.00
Budget for Fiscal Year 2012‐2013
2010‐11 2011‐12 2012‐13BUDGET BUDGET BUDGET
AUTHORIZED REGULAR POSITIONS BY DEPARTMENT
PARK MAINTENANCEMaintenance Services Supervisor 1.00 1.00 1.00Senior Maintenance Worker Parks 1.00 1.00 1.00
2.00 2.00 2.00
TOTAL FUNDED POSITIONS 94.68 92.61 92.61
Budget for Fiscal Year 2012‐2013
2010‐11 2011‐12 2012‐13BUDGET BUDGET BUDGET
ADMINISTRATIONAssistant City Manager 1.00 1.00 1.00Economic Development Administrator 0.00 1.00 1.00
1.00 2.00 2.00
CITY CLERKOffice Assistant I/II 1.00 1.00 1.00
1.00 1.00 1.00
HUMAN RESOURCESDirector of Human Resources 1.00 1.00 1.00
1.00 1.00 1.00
FINANCEAccounting Specialist I/II/Technician 1.00 1.00 1.00Senior Accountant 1.00 1.00 1.00
2.00 2.00 2.00
NEIGHBORHOOD & COMMUNITY SERVICESAnimal Services Manager 1.00 1.00 1.00
1.00 1.00 1.00
COMMUNITY DEVELOPMENT Assistant Chief Building Official 1.00 1.00 1.00Assistant Community Development Director 1.00 1.00 1.00Associate/Assistant Planner 2.00 2.00 2.00Budget Analyst I/II 1.00 1.00 1.00Building Inspector I/II/III 3.00 3.00 3.00Chief Planning Official 1.00 1.00 1.00Code Compliance Supervisor 1.00 1.00 1.00Director of Community Development 1.00 1.00 1.00
UNFUNDED POSITIONS BY DEPARTMENT
Budget for Fiscal Year 2012‐2013
2010‐11 2011‐12 2012‐13BUDGET BUDGET BUDGET
UNFUNDED POSITIONS BY DEPARTMENT
COMMUNITY DEVELOPMENT (CONTINUED)Permit Center Manager 1.00 1.00 1.00Permit Technician 2.00 2.00 2.00Plans Examiner 0.75 0.75 0.75Senior Planner 1.00 1.00 1.00
15.75 15.75 15.75
CULTURE & RECREATIONDirector of Parks and Recreation 1.00 1.00 1.00Facility Supervisor 0.48 0.20 0.20Park Facility Project Manager 1.00 1.00 1.00Recreation Coordinator 0.00 0.35 1.35Senior Recreation Leaders 1.98 1.98 1.98
4.46 4.53 5.53
PUBLIC SAFETYAdministrative Assistant I/II 1.00 1.00 1.00Administrative Sergeant 1.00 1.00 1.00Deputy Sheriff II for School Resource Officer 1.00 1.00 1.00Deputy Sheriff II's for Community Impact Team 1.33 1.33 1.33
4.33 4.33 4.33
PUBLIC WORKSAdministrative Assistant I/II 1.00 1.00 1.00Assistant Public Works Director 1.00 1.00 1.00Chief Utility Operator 1.00 1.00 1.00Construction Inspector I/II 3.00 3.00 3.00Maintenance Worker I/II 2.00 2.00 2.00Principal Engineer 0.00 1.00 1.00Senior Civil Engineer 2.00 2.00 2.00Senior Construction Inspector 1.00 1.00 1.00
Budget for Fiscal Year 2012‐2013
2010‐11 2011‐12 2012‐13BUDGET BUDGET BUDGET
UNFUNDED POSITIONS BY DEPARTMENT
PUBLIC WORKS (CONTINUED)Senior Engineering Technician 1.00 1.00 1.00Senior Management Analyst 1.00 1.00 1.00Street Maintenance Supervisor 1.00 1.00 1.00Utility Maintenance Supervisor 1.00 1.00 1.00Utility Operator I/II/III 1.00 1.00 1.00
16.00 17.00 17.00
PARK MAINTENANCEMaintenance Worker I/II 4.00 4.00 4.00
4.00 4.00 4.00
TOTAL UNFUNDED POSITIONS 50.54 52.61 53.61
General Fund$13,207,962
15%
Water Operations$9,505,454
11%
Water Capital$9,076,567
10%
MWQCF$2,757,934
3%
WPR #1$1,085,722
1%
MBR #1$1,866,673
2%
Wastewater Capital$2,482,147
3%
Total City Budget by Fund Type Fiscal Year 2012‐2013
General Fund
Special Revenue Funds
Construction Funds
Water Operations
Water Capital
Special Revenue Funds$23,959,430
27%
Construction Funds$25,399,938
28%
11%Wastewater Operations (MWQCF)
Wastewater Operations (WPR #1)
Wastewater Operations (MBR #1)
Wastewater Capital
65
Property Tax$2,902,736
23%
Franchise Fees$662 000
Licenses & Permits$510,445
4%
Motor Vehicle in Lieu
$1,164,650 9%
Other Intergovernmental$142,848
1%
Service Charges$941,422
7%
Fines & Forfeitures$91,0001%
Use of Money & Property$74,274 1%
Other $260,861
2%
General Fund Anticipated Revenues Fiscal Year 2012‐2013
Property Tax
Sales & Use Tax
Operating Transfer In
Hotel Tax
Franchise Fees
Licenses & Permits
Motor Vehicle in Lieu
Other Intergovernmental
67
Sales & Use Tax$2,405,188
19%
Operating Transfer In$3,439,744
27%
Hotel Tax$240,000
2%
$662,000 5%
Other Intergovernmental
Service Charges
Fines & Forfeitures
Use of Money & Property
Other
Culture and Recreation$1,160,482
9%
Public Works $1,785,733
13%
Community Development$1,182,519
Central Services$510 700
Finance & InformationTechnology$2,058,380
16%
Neighborhood and Community Services$357,986
2% Debt Service$631,250
5%
CIP$66,673 0% Assessment Districts
$64,708 0%
General Fund Expenditures Fiscal Year 2012‐2013
Culture and Recreation
Public Works
Community Development
Public Safety
General Government
Human Resources
Central Services
Finance & Information
69
, ,9%
Public Safety$4,088,379
31%
General Government$1,163,268
9%HumanResources$137,884
1%
$510,700 4%
Finance & InformationTechnologyNeighborhood and Community ServicesDebt Service
CIP/Equip. Replacement ReservesAssessment Districts
City Council Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 21,754$ ‐$ ‐$ ‐$
Total 21,754$ ‐$ ‐$ ‐$
General FundPersonnel Services 30,205$ 27,626$ 30,882$ 30,882$ Contract Services 9,138$ 14,051$ 2,900$ 2,900$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 17,202$ 21,600$ 22,100$ 22,100$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 56,545$ 63,277$ 55,882$ 55,882$
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
City Council
Description of Division The City Council serves as the governing body that guides the progress of the City of Lathrop into the future. The City Council enacts and enforces ordinances and regulations that concern municipal affairs, subject only to the limitations and restrictions of the State Constitution. The City Council, as a body, supervises and provides guidance for the activities of the City. The City Council members are the elected representatives of the citizens of Lathrop.
Accomplishments 2011/2012 Financial Solvency. Continued to monitor the 5‐year budget model which projects revenues and expenses into the
future. The model is an essential aid in guiding the annual budget and ensuring financial sustainability. 1. Promote Business Development. Due to the downturn in the economy in residential construction, considerable
time has been spent working on solutions to various challenges. 2. Ongoing water and sewer issues. Provide options for surface water funding obligations and issues and evaluate
options for residential and industrial wastewater treatment capacity.
Promote Community Values. Create an environment where children and seniors are valued and nurtured, where the City values civic engagement and promotes community involvement. Reinforce a sense of community by focusing on community events.
1. Completed Negotiations of a five year Police Services Agreement with the San Joaquin County Sheriff’s Office.
2. Held Ribbon Cutting Ceremony for newly constructed Louise Avenue Water Treatment Facility, Corporation Yard and Emergency Command Center.
3. The City was selected to receive a grant for $5 million through the Proposition 84 Statewide Park Program for the City’s Community Complex Project.
Work Plan 2012/2013
Financial Solvency. Continue to maintain the 5‐year survival plan to ensure the City’s sustainability. 1. Public Safety. Maintain safe streets and neighborhoods so that residents may continue to be able to walk out of
their houses free of fear. 2. Promote Business Development. Promote equitable and sustainable development in residential construction,
commercial construction and industrial construction.
Promote Community Values. Continue to create an environment where children and seniors are valued and
City Council
Work Plan 2012/2013 (continued)
nurtured, where the City values civic engagement and promotes community involvement. Reinforce a sense of community by focusing on community events.
1. Continue to explore resident cost reduction options 2. Continue to maintain Parks, Recreation and Community Services
Capital Improvement Program. Specifically, the Library, teen center and common room facility so that the Lathrop One site can be abandoned.
Capital Requests
None Significant Operating Changes
In this year’s budget, the committee funds (listed below) will continue to be budgeted in trustee accounts in order to reduce staff time required to manage the funds and to track both contributions and expenses within one account.
1. July 1st Celebration 2. Parade Committee 3. Lathrop Days 4. Beautification Day 5. Mayor’s Art Show
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 15,248$ 11,798$ 18,000$ 18,000$ 1040 HEALTH INSURANCE (6) 0 0 01044 WORKER'S COMP INSUR 13,983 14,850 11,500 11,5001046 FICA 980 978 1,382 1,382
Total 30,205$ 27,626$ 30,882$ 30,882$
2001 PROFESSIONAL SERVICES 99$ 1,000$ 1,000$ 1,000$ 2038 COMMUNITY PROMOTIONS 0 1,500 1,500 1,5002039 JULY 1ST CELEBRATION 0 8,892 0 02040 PARADE COMMITTEE 1,325 0 0 02042 LATHROP DAYS 2,347 0 0 02043 BEAUTIFICATION DAY 518 2,259 0 02044 MAYOR'S ART SHOW 4,313 0 0 02065 PRINTING 536 400 400 400
Total 9,138$ 14,051$ 2,900$ 2,900$
2530 LATHROP‐MANTECA FIRE DISTRICT ‐$ ‐$ ‐$ ‐$ ‐$ ‐$ ‐$ ‐$
3010 OFFICE SUPPLIES ‐$ 200$ 500$ 500$ 3020 MATERIALS & SUPPLIES 1,112 800 1,000 1,0003037 MISCELLANEOUS EQUIP 0 0 0 03040 UNIFORM/PROTECT CLOTH 0 0 0 03043 BADGES & NAME PLATES 81 100 100 1003045 REFERENCE BOOKS 0 0 0 03047 AWARDS 152 500 500 5003510 MEMBER. DUES/SUBSCRIPT 11,342 12,000 12,000 12,0003520 TRAINING & TRAVEL 4,515 8,000 8,000 8,000
Total 17,202$ 21,600$ 22,100$ 22,100$
TOTAL 56,545$ 63,277$ 55,882$ 55,882$
City CouncilCity Council
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
General Fund101‐1110‐411
InterGov. Contract Services
Materials & Supplies
City Manager
Budget Analyst I/II
(Confidential)
(.50)
Sr. Administrative
Assistant
FY 2012/2013
City of Lathrop – City Manager’s Office
City Manager Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund ‐$ 5,000$ ‐$ ‐$
Total ‐$ 5,000$ ‐$ ‐$
General FundPersonnel Services 333,733$ 349,233$ 370,222$ 370,222$ Contract Services 153,183$ 44,600$ 49,800$ 49,800$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 4,909$ 8,550$ 9,500$ 9,500$ Fixed Charges 8,000$ 13,611$ 20,625$ 20,625$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 499,825$ 415,994$ 450,147$ 450,147$
Departmental StaffingBudget Analyst I/II 1.00 1.00 1.00 1.00City Manager 1.00 1.00 1.00 1.00Senior Administrative Assistant 1.00 1.00 1.00 1.00
Total City Manager FTE 3.00 3.00 3.00 3.00
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
City Manager
Description of Division The City Manager provides leadership to all City personnel and implements efficient and effective municipal services to the citizens of Lathrop. Major elements of these duties include execution of the City Council policy, public information, fiscal responsibility and budget, and legislative relations.
Accomplishments 2011/2012
Five‐Year Budget Model. The 5‐year forecasting model continues to be used to project revenues and expenses into the future. The model is an essential aid in preparing the annual budget.
Eliminated Furlough Program. Due to sustainable budget forecasting, in February, the City‐wide staff furlough program , implemented in August 2009, was eliminated.
Police Services Contract. Completed negotiations with San Joaquin County Sheriff’s Office for a new five‐year Police Services Contract. The current contract term is July 1, 2011 through June 30, 2016.
Work Plan 2012/2013
Economic Sustainability. Management prepared a 5‐year forecasting model in FY 08/09 to project revenues and expenses into the future. The model is an essential aid in guiding the annual budget and will be monitored and updated every quarter so that the City continues on its course of Economic Sustainability.
Police Services. The City Council adopted a 2012 goal of Feeling Safe in the Community. In weighing this goal vs. Economic Sustainability, the Council directed Staff to explore Joint Police Service Options.
Infrastructure. A key component of assisting Economic Development is to be prepared and ready to go when the economy improves. Staff’s priority; therefore, is focused on finding cost efficient options for wastewater capacity during the FY 12/13.
City Manager
Work Plan 2012/2013 (continued)
City‐wide User Fee Study. The City embarked on a city‐wide fee study. The fee study will ensure that costs are accurately and fairly distributed to the people who use the services. It is estimated that the study will be complete in the upcoming fiscal year. Most of the cost of the study will be recovered through fees.
Capital Requests
None
Significant Operating Changes
Economic Development. In FY 06/07 the budget included funding for an Economic Development Administrator. Funding was not allocated in Fiscal years 07/08 and 08/09. In Fiscal years 09/10 and 10/11 funding was approved for Contract Economic Development Professional Services. Last year, as a cost saving measure, the Economic Development activities were managed by existing staff and no new funding was budgeted. This year, funding for a Full‐time Economic Development Administrator is optional.
City Manager
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Budget Analyst I/II 0.50 0.50 0.50
City Manager 1.00 1.00 1.00
Senior Administrative Assistant 1.00 1.00 1.00
Total Full Time Equivalents 2.50 2.50 2.50
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 233,828$ 249,360$ 270,413$ 270,413$ 1012 PART‐TIME SALARIES 0 0 0 01013 OVERTIME 133 1,000 750 7501014 VACATION/SICK LEAVE 7,199 0 0 01020 RETIRE‐PERS EMPLOYER 24,726 26,804 32,041 32,0411021 RETIRE‐PERS EMPLOYEE 16,933 16,944 12,229 12,2291040 HEALTH INSURANCE 34,063 37,500 37,497 37,4971042 LIFE INSURANCE 633 638 636 6361044 WORKER'S COMP INSUR 3,808 4,410 3,425 3,4251045 AUTO ALLOWANCE 5,400 5,400 5,400 5,4001046 FICA 3,739 3,812 4,558 4,5581047 SUI 1,085 1,085 1,085 1,0851049 SDI 2,186 2,280 2,188 2,188
Total 333,733$ 349,233$ 370,222$ 370,222$
2001 PROFESSIONAL SERVICES 144,716$ 29,800$ 20,000$ 20,000$ 2009 SETTLEMENTS 0 0 0 02060 ADVERTISING 8,400 14,400 14,400 14,4002061 MARKETING 67 0 15,000 15,0002065 PRINTING 0 400 400 400
Total 153,183$ 44,600$ 49,800$ 49,800$
3010 OFFICE SUPPLIES 856$ 750$ 1,500$ 1,500$ 3510 MEMBER. DUES/SUBSCRIPT 500 1,100 1,400 1,4003520 TRAINING & TRAVEL 3,553 6,700 6,600 6,600
Total 4,909$ 8,550$ 9,500$ 9,500$
4020 CONTINGENCY ACCOUNT 8,000$ 3,000$ ‐$ ‐$ 4090 COMPENSATED ABSENCES 0 10,611 20,625 20,625
Total 8,000$ 13,611$ 20,625$ 20,625$ TOTAL 499,825$ 415,994$ 450,147$ 450,147$
City ManagerCity Manager
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
General Fund101‐1120‐412
Materials & Supplies
Fixed Charges
City Clerk Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 7,202$ 5,000$ 7,000$ 7,000$
Total 7,202$ 5,000$ 7,000$ 7,000$
General FundPersonnel Services 104,981$ 112,970$ 120,010$ 120,010$ Contract Services 17,642$ 11,885$ 25,000$ 25,000$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 2,819$ 3,605$ 3,605$ 3,605$ Fixed Charges ‐$ ‐$ 1,605$ 1,605$ Capital Outlay 10,000$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 135,442$ 128,460$ 150,220$ 150,220$
Departmental StaffingCity Clerk 1.00 1.00 1.00 1.00
Total City Clerk FTE 1.00 1.00 1.00 1.00
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
City Clerk
Description of Division
The City Clerk’s Office is responsible for records management, legislative history, and elections. Some of the duties include:
Coordinating City‐Wide Records Management Program, including creation, maintenance and disposition of records and maintenance of Municipal Code, City Council Handbook of Rules and Procedures and various logs and publications
Preparing legislative documentation for Regular Meetings, Special Meetings and Study Sessions of the City Council, including agendas, agenda packets, minutes, resolutions, ordinances and miscellaneous legal notices pursuant to State law
Conducting General and Special Municipal Elections called by the City Council and serving as the Elections Official
Administering campaign and economic interest reporting, maintaining Conflict of Interest Code and serving as the Filing Official / Officer, pursuant to State law
Managing contracts, bonds, bid openings, Board / Commission / Committee recruitments and legal noticing
Serving as Public Information Officer
Processing passports
Providing notary services
Accomplishments 2011/2012
Updated City Council Handbook of Rules and Procedures
Continued to preserve all vital records of the City of Lathrop
Continued organizing and streamlining processes of the City Clerk’s Office
Provided passport services
City Clerk
Work Plan 2012/2013
Conduct 2012 General Municipal Election
Conduct biennial review of the City of Lathrop Conflict of Interest Code
Coordinate City‐Wide records disposition to be conducted annually
Continue to preserve all vital records of the City of Lathrop
Implement Contract Management and Tracking Program
Continue to provide passport services to the public
Continue to provide notary services to the public
Continue to organize and streamline processes of the City Clerk’s Office
Capital Requests
None
Significant Operating Changes
None
City Clerk
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
City Clerk 1.00 1.00 1.00
Total Full Time Equivalents 1.00 1.00 1.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 71,052$ 77,603$ 84,502$ 84,502$ 1014 VACATION/SICK LEAVE 1,082 0 0 01020 RETIRE‐PERS EMPLOYER 7,400 8,391 10,013 10,0131021 RETIRE‐PERS EMPLOYEE 5,074 5,310 3,826 3,8261040 HEALTH INSURANCE 15,297 16,035 16,600 16,6001042 LIFE INSURANCE 199 201 200 2001044 WORKER'S COMP INSUR 2,662 2,970 2,300 2,3001046 FICA 998 1,109 1,264 1,2641047 SUI 434 434 434 4341049 SDI 783 917 871 871
Total 104,981$ 112,970$ 120,010$ 120,010$
2001 PROFESSIONAL SERVICES 3,189$ 6,385$ 4,500$ 4,500$ 2057 ELECTIONS 10,141 0 15,000 15,0002060 ADVERTISING 3,668 5,000 5,000 5,0002065 PRINTING 644 500 500 5002069 OFFICE EQUIP & REPAIR 0 0 0 0
Total 17,642$ 11,885$ 25,000$ 25,000$
3010 OFFICE SUPPLIES 1,478$ 1,650$ 1,650$ 1,650$ 3045 REFERENCE BOOKS 0 500 500 5003510 MEMBER. DUES/SUBSCRIPT 245 255 255 2553520 TRAINING & TRAVEL 1,096 1,200 1,200 1,200
Total 2,819$ 3,605$ 3,605$ 3,605$
4090 COMPENSATED ABSENCES ‐$ ‐$ 1,605$ 1,605$ Total ‐$ ‐$ 1,605$ 1,605$
5012 COMPUTER EQUIPMENT 10,000$ ‐$ ‐$ ‐$ Total 10,000$ ‐$ ‐$ ‐$
TOTAL 135,442$ 128,460$ 150,220$ 150,220$
City ClerkCity Clerk
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
General Fund101‐1210‐411
Materials & Supplies
Capital Outlay
Fixed Charges
City Attorney Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 14,240$ 20,500$ 20,500$ 20,500$
Total 14,240$ 20,500$ 20,500$ 20,500$
General FundPersonnel Services 329,174$ 348,491$ 369,559$ 369,559$ Contract Services 19,928$ 100,000$ 100,000$ 100,000$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 9,636$ 10,750$ 11,400$ 11,400$ Fixed Charges ‐$ 15,060$ 26,060$ 26,060$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 358,738$ 474,301$ 507,019$ 507,019$
Departmental StaffingCity Attorney 1.00 1.00 1.00 1.00Legal Secretary 1.50 1.50 1.50 1.50
Total City Attorney FTE 2.50 2.50 2.50 2.50
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
City Attorney Description of Division The City Attorney is appointed by and serves at the pleasure of the City Council. Under policy direction, the City Attorney is charged with the task of advising the City Council, City Manager, other Administrative Staff, and various boards and commissions of the City on all legal aspects of municipal operations. The City Attorney represents the City in civil and criminal actions; prosecutes violations of City ordinances; and drafts necessary legal documents, including ordinances, resolutions and contracts. The City Attorney attends all regular and special City Council meetings and Planning Commission meetings, and, when necessary, Council Committee meetings and other advisory body meetings. The attorney‐client relationship is established for the City by advising members of the City Council and Staff in all city‐related matters. Other services of the City Attorney include coordination with the City Manager, Department Heads and general staff. The City Attorney also provides advice regarding relevant laws and supervises the work of outside counsel handling litigation and other matters.
Accomplishments 2011/12 During the last year, the City Attorney’s Office has processed over 60 Public Records requests, numerous Liability Claims and Municipal Code violation prosecutions; and settled several law suits including Valley Landscaping vs. City of Lathrop; City of Lathrop vs. City of Manteca (Centerpoint); and City of Manteca vs. City of Lathrop (South Lathrop, LLC) and has also worked with the City’s development team to implement ongoing projects as directed by Council.
Work Plan 2012/2013 The City Attorney intends to continue to support development of Lathrop through necessary review, consideration, and analysis of adopted or currently proposed projects. Such support will include representation of the City during proceedings and litigation. The City Attorney also is committed to increasing the work output of the City Attorney’s Office and thereby limiting the cost of outside counsel.
Significant Operating Changes The City Attorney’s Office continues to strive to reduce outside counsel expenses as possible. FY 2009/2010 the budget for outside counsel services was $199,800 but only $42,136 was expensed. FY 2010/2011, the budget was reduced to $175,000 and only $19,928 was expensed. In FY 2011/2012 the budget was reduced to $100,000 and only approximately $27,000 will be used.
Capital Requests None
City Attorney
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
City Attorney 1.00 1.00 1.00
Legal Secretary 1.50 1.50 1.50
Total Full Time Equivalents 2.50 2.50 2.50
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 188,204$ 207,575$ 225,849$ 225,849$ 1012 PART‐TIME SALARIES 28,821 31,085 31,397 31,3971013 OVERTIME 0 500 500 5001014 VACATION/SICK LEAVE 7,397 0 0 01020 RETIRE‐PERS EMPLOYER 23,434 25,819 30,481 30,4811021 RETIRE‐PERS EMPLOYEE 16,063 16,336 11,649 11,6491040 HEALTH INSURANCE 48,766 49,173 52,117 52,1171042 LIFE INSURANCE 317 555 555 5551044 WORKER'S COMP INSUR 4,059 4,890 3,800 3,8001045 AUTO ALLOWANCE 5,400 5,400 5,400 5,4001046 FICA 3,413 3,583 4,354 4,3541047 SUI 1,302 1,302 1,302 1,3021049 SDI 1,998 2,273 2,155 2,155
Total 329,174$ 348,491$ 369,559$ 369,559$
2001 PROFESSIONAL SERVICES 19,928$ 100,000$ 100,000$ 100,000$ 2065 PRINTING 0 0 0 0
Total 19,928$ 100,000$ 100,000$ 100,000$
3010 OFFICE SUPPLIES 901$ 1,000$ 1,000$ 1,000$ 3037 MISCELLANEOUS EQUIP 0 0 0 03045 REFERENCE BOOKS 5,660 5,850 6,500 6,5003510 MEMBER. DUES/SUBSCRIPT 685 900 900 9003520 TRAINING & TRAVEL 2,390 3,000 3,000 3,000
Total 9,636$ 10,750$ 11,400$ 11,400$
4090 COMPENSATED ABSENCES ‐$ 15,060$ 26,060$ 26,060$ Total ‐$ 15,060$ 26,060$ 26,060$
TOTAL 358,738$ 474,301$ 507,019$ 507,019$
City AttorneyCity Attorney
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
General Fund101‐1310‐411
Materials & Supplies
Fixed Charges
Director of Neighborhood
and Community Services
Animal Services
Assistant
Animal Services
Officer
(2)
FY 2012/2013
City of Lathrop – Neighborhood and Community Services Department
Animal Services
Division
Human Resources/
Central Services
Budget Analyst I/II
(Confidential)
(0.50)
Culture and Recreation
AdministrationSenior CenterCommunity Center
Program/Events/Facilities
Recreation Supervisor
Community Center
Sports/Kids Club/Day Camp
Recreation Supervisor
Senior Center
Manager
Sr. Recreation
Leader
Emergency
Services
Budget Analyst II
(Confidential)
Culture and Recreation
Administrator
Administrative
Assistant I/IIRecreation Coordinator
1 = 1.00 FTE
Sr. Recreation Leader
3 = 2.75 FTE
Facilities Supervisor
3 = 1.66 FTE
Recreation Leader
11 = 3.70 FTE
Human Resources Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund ‐$ ‐$ ‐$ ‐$
Total ‐$ ‐$ ‐$ ‐$
General FundPersonnel Services 131,154$ 151,954$ 115,110$ 115,110$ Contract Services 4,029$ 64,800$ 8,700$ 8,700$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 4,432$ 9,550$ 11,450$ 11,450$ Fixed Charges ‐$ ‐$ 2,624$ 2,624$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 139,615$ 226,304$ 137,884$ 137,884$
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
Human Resources
Description of Division
The Human Resources Division includes the duties normally assigned to Personnel, Risk Management, and Safety Coordinator. This division handles all recruitment, examination and selection of employees; all employee personnel records, employee benefits, and all other benefits; training, and coordinating with CSJVRMA for risk management, safety programs, EAP, liability, property, vehicles, and worker’s compensation.
Accomplishments 2011/2012
Recruited and hired 2 full‐time positions and 7 part‐time positions through the end of April 2011. Provided annual Administrative Policies overview, CPR/first Aide training, and Harassment prevention training to City
Council members and Commission members. Ongoing update of HR Department web pages. Coordinated surplus equipment disposal and sale. Processed auto claims and City property damage claims to recover costs to repair damages to City property. Administered employee benefits. Processed renewals of risk and liability program policies. Continued department assessment of policies & procedures, updating/reorganizing record keeping procedures, develop
standard forms for City‐wide use. Coordinated and implemented quarterly all‐staff informational meetings. Coordinated “Healthy You” 6‐week health awareness program to employees.
Work Plan 2012/2013
Continue to provide employees with current and updated benefit information. The HR Department will also continue to research employee programs that would benefit our employees.
Provide safety and customer service trainings. Continue to handle new and vacant position recruitments as well as other personnel matters. Reorganize confidential employee record filing system to better meet the needs of the department while remaining
compliant with employment law and records retention. Continue department assessment and identify best practices.
Human Resources
Capital Requests None
Significant Operating Changes
Director of Human Resources and Director of Parks and Recreation Classifications. As a budget savings measure, the Di‐rector of Human Resources and the Director of Parks and Recreation classifications will remained unfilled. The duties of the Parks and Recreation Director classification and Human Resources Director will continue to be performed by the Di‐rector of Neighborhood and Community Services.
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Budget Analyst I/II 0.50 0.50 0.50
Dir of Neighborhood and Com Services 0.60 0.70 0.40
Total Full Time Equivalents 1.10 1.20 0.90
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 87,063$ 107,452$ 82,753$ 82,753$ 1013 OVERTIME 133 500 250 2501014 VACATION/SICK LEAVE 4,695 0 0 01020 RETIRE‐PERS EMPLOYER 9,415 11,579 9,805 9,8051021 RETIRE‐PERS EMPLOYEE 6,450 7,322 3,746 3,7461040 HEALTH INSURANCE 16,284 18,950 14,551 14,5511042 LIFE INSURANCE 240 266 192 1921044 WORKER'S COMP INSUR 3,969 2,559 1,295 1,2951045 AUTO ALLOWANCE 0 0 0 01046 FICA 1,377 1,599 1,294 1,2941047 SUI 477 521 391 3911049 SDI 1,051 1,206 833 833
Total 131,154$ 151,954$ 115,110$ 115,110$
2001 PROFESSIONAL SERVICES 785$ 58,000$ 2,000$ 2,000$ 2009 SETTLEMENTS 0 0 0 02060 ADVERTISING 1,922 4,000 4,000 4,0002062 PHYSICAL/PRE‐EMPLOYMENT 1,322 2,000 2,000 2,0002065 PRINTING 0 500 400 4002069 OFFICE EQUIP & REPAIR 0 200 200 2002075 OTHER MAINT. & REPAIR 0 100 100 100
Total 4,029$ 64,800$ 8,700$ 8,700$
3010 OFFICE SUPPLIES 167$ 1,000$ 1,000$ 1,000$ 3020 MATERIALS & SUPPLIES 80 250 250 2503037 MISCELLANEOUS EQUIP 0 200 0 03045 REFERENCE BOOKS 892 1,700 1,800 1,8003047 AWARDS 2,587 4,500 4,500 4,5003510 MEMBER. DUES/SUBSCRIPT 0 0 1,000 1,0003520 TRAINING & TRAVEL 706 1,900 2,900 2,900
Total 4,432$ 9,550$ 11,450$ 11,450$
Human ResourcesHuman Resources
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
General Fund101‐1410‐412
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Human ResourcesHuman Resources
Fund Title:Fund/Division Number:
General Fund101‐1410‐412
4031 GENERAL LIAB. INSURANCE ‐$ ‐$ ‐$ ‐$ 4090 COMPENSATED ABSENCES 0 0 2,624 2,624
Total ‐$ ‐$ 2,624$ 2,624$
TOTAL 139,615$ 226,304$ 137,884$ 137,884$
Fixed Charges
Central Services Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 25,254$ 1,900$ ‐$ ‐$
Total 25,254$ 1,900$ ‐$ ‐$
General FundPersonnel Services 119,309$ 106,000$ 110,700$ 110,700$ Contract Services 900$ 10,200$ 1,800$ 1,800$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 56,417$ 77,300$ 75,500$ 75,500$ Fixed Charges 234,659$ 308,000$ 322,700$ 322,700$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service 626,244$ 626,250$ 626,250$ 626,250$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 1,037,529$ 1,127,750$ 1,136,950$ 1,136,950$
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
Central Services
Description of Division
The Central Services Division provides a focal point for expenses that overlap one or more departments. It is more cost‐effective to budget in a single area than in each department. This division does not include direct services to the public, nor does it include any staff that is dedicated to this function only. The Human Resources Department handles this budget.
Included in this budget are the following expenditures:
City share of retiree medical insurance premiums
Employee educational assistance program
City Staff trainings
Postage and express mail delivery services
Annual payment to CSJVRMA for administration, risk management, liability, property, vehicle and employee assistance insurance coverage
Annual lease payments for City Hall
Accomplishments 2011/2012
As outlined above
Work Plan 2012/2013
As outlined above
Capital Requests None
Significant Operating Changes
COBRA Insurance. As part of prior years lay‐off assistance program, COBRA insurance premiums were partially funded. This year, no funds are budgeted.
Special Fees. In fiscal year 2011/2012. City Council approved annual funding for the Lathrop Manteca Fire Department Haz‐Mat Program. This years’ expense has been budgeted within the City’s Streets fund.
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1025 RETIREMENT‐EMP'RR HEALTH 81,015$ 104,100$ 110,700$ 110,700$ 1026 COBRA INSURANCE PAYMENTS 38,294 1,900 0 0
Total 119,309$ 106,000$ 110,700$ 110,700$
2001 PROFESSIONAL SERVICES 900$ 1,200$ 900$ 900$ 2009 SETTLEMENTS 0 9,000 0 02065 PRINTING 0 0 900 900
Total 900$ 10,200$ 1,800$ 1,800$
3010 OFFICE SUPPLIES 9,079$ 8,700$ 8,500$ 8,500$ 3011 POSTAGE 40,081 58,700 57,200 57,2003015 DUPLICATING COSTS 1,440 1,500 0 03020 MATERIALS & SUPPLIES 0 0 300 3003037 MISCELLANEOUS EQUIP 0 0 0 03510 MEMBER. DUES/SUBSCRIPT 449 1,700 800 8003520 TRAINING & TRAVEL 5,368 6,700 8,700 8,700
Total 56,417$ 77,300$ 75,500$ 75,500$
4031 GENERAL LIAB. INSURANCE 205,708$ 243,000$ 292,700$ 292,700$ 4040 SPECIAL FEES 0 35,000 0 04041 RENTS 28,951 30,000 30,000 30,0004080 BAD DEBT 0 0 0 0
Total 234,659$ 308,000$ 322,700$ 322,700$
8001 PRINCIPAL 626,244$ 626,250$ 626,250$ 626,250$ 8002 INTEREST 0 0 0 0
Total 626,244$ 626,250$ 626,250$ 626,250$
TOTAL 1,037,529$ 1,127,750$ 1,136,950$ 1,136,950$
Human ResourcesCentral Services
Debt Service
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
General Fund101‐1440‐412
Materials & Supplies
Fixed Charges
Director of Finance
Accounting Manager Budget ManagerIT Manager
IT AnalystAccountant I/II
Accounting
Specialist I/II/
Technician
(4)
Administrative
Assistant I
FY 2012/2013
City of Lathrop – Finance Department
Special Districts
Manager
IT Technician
Finance and Information Technology Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 7,325,017$ 8,428,991$ 7,847,348$ 7,615,672$
Total 7,325,017$ 8,428,991$ 7,847,348$ 7,615,672$
General FundPersonnel Services 942,205$ 1,008,086$ 1,067,945$ 1,059,845$ Contract Services 368,505$ 468,400$ 496,250$ 496,250$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 178,295$ 211,760$ 230,160$ 230,160$ Fixed Charges 174,105$ 233,395$ 209,125$ 209,125$ Capital Outlay 33,147$ 163,000$ 63,000$ 63,000$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 1,696,257$ 2,084,641$ 2,066,480$ 2,058,380$
Departmental StaffingAccountant I/II 1.00 1.00 1.00 1.00Accounting Manager 1.00 1.00 1.00 1.00Accounting Specialist I/II/Technician 4.00 4.00 4.00 4.00Administrative Assistant I/II 0.00 0.00 1.00 1.00Budget Manager 1.00 1.00 1.00 1.00Director of Finance 1.00 1.00 1.00 1.00Information Technology Analyst 1.00 1.00 1.00 1.00Information Technology Manager 1.00 1.00 1.00 1.00Information Technology Technician 1.00 1.00 1.00 1.00Office Assistant I/II 1.00 1.00 0.00 0.00Special Districts Manager 1.00 1.00 1.00 1.00
Total Finance FTE 13.00 13.00 13.00 13.00
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
Finance
Description of Division
The Accounting Division prepares utility bills, collects revenue, invests City funds, coordinates the City budget, issues financial reports, issues and administers debt, administers City purchasing, processes City payroll, and pays City bills in accordance with fiscal policies and internal controls. Accomplishments 2011/2012
Refinanced the Certificates of Participation, 2000 Series A (2000 COP’s) Updated long‐range financial planning utilizing five year forecasts for budget process Provided quarterly General Fund updates to Council and City employees Received the GFOA Award of Excellence in Financial Reporting Revised Investment Policy, October 2011 Participated in labor negotiations Provided customer service to utility residential customers and businesses Prepared Cost Plan in compliance with AB 938 in order to recover overhead from state and federal grants Assisted departments with grant administration Headed the School Supply/Backpack Drive for Lathrop elementary schools Attended 2 X 2 meetings between City of Lathrop and LMFD Assisted with the project management of the Sales Tax Initiative Completed an audit of Transient Occupancy facilities in the City
Finance Work Plan 2012/2013
Water and Wastewater Rate Studies. Continue to explore cost reduction opportunities keeping rate increases at a minimum and operating utilities at a fiscally responsible level.
Five Year Financial Plan. Continue to update and revise the model as needed for long‐range financial planning, especially during our current economic crises.
Policies and Procedures. Review, update and create financial policies which promote financial solvency and budget sustainability.
Special Financing Districts. Manage the City’s debt and maintenance districts. Capital Requests
None
Significant Operating Changes The Office Assistant II position is recommended to be reclassified to an Administrative Assistant I.
Finance
Staffing FY 2012/2013 (in alphabetical order) Staffing Summary
Position: 10/11 11/12 12/13
Accountant 1.00 1.00 1.00
Accounting Manager 1.00 1.00 1.00
Accounting Specialist I/II/Technician 1.00 1.00 1.00
Administrative Assistant I/II 0.00 0.00 1.00
Budget Manager 1.00 1.00 1.00
Director of Finance 1.00 1.00 1.00
Office Assistant I/II 1.00 1.00 0.00
Special Districts Manager 0.54 0.54 0.54
Total Full Time Equivalents 6.54 6.54 6.54
Budget For Fiscal Year 2012‐2013
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 450,919$ 492,384$ 534,644$ 526,544$ 1013 OVERTIME 186 800 1,100 1,1001014 VACATION/SICK LEAVE 24,101 0 0 01020 RETIRE‐PERS EMPLOYER 48,894 53,174 63,350 63,3501021 RETIRE‐PERS EMPLOYEE 33,522 33,653 24,218 24,2181040 HEALTH INSURANCE 79,785 89,017 90,669 90,6691041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 1,100 1,338 1,275 1,2751044 WORKER'S COMP INSUR 11,764 13,394 10,392 10,3921046 FICA 6,757 7,231 8,510 8,5101047 SUI 2,838 2,838 2,838 2,8381048 ANNUAL BILINGUAL PAY 183 200 200 2001049 SDI 3,327 3,747 4,207 4,2071099 EXPENSE VARIANCE 10 0 0 0
Total 663,386$ 697,776$ 741,403$ 733,303$
2001 PROFESSIONAL SERVICES 59,408$ 92,300$ 87,300$ 87,300$ 2020 SALES TAX AUDIT 13,783 49,000 24,000 24,0002060 ADVERTISING 0 100 100 1002065 PRINTING 7,386 15,500 13,500 13,5002069 OFFICE EQUIP & REPAIR 0 1,000 1,000 1,0002075 OTHER MAINT. & REPAIR 0 0 800 800
Total 80,577$ 157,900$ 126,700$ 126,700$
3010 OFFICE SUPPLIES 7,573$ 9,000$ 9,000$ 9,000$ 3033 GAS/DIESEL/OIL/LUBRICANTS 0 0 300 3003037 MISCELLANEOUS EQUIP 1,400 0 0 03045 REFERENCE BOOKS 0 500 500 5003510 MEMBER. DUES/SUBSCRIPT 495 900 2,100 2,1003520 TRAINING & TRAVEL 499 1,600 5,100 5,100
Total 9,967$ 12,000$ 17,000$ 17,000$
Materials & Supplies
FinanceAccounting
Personnel Services
Fund Title:Fund/Division Number:
Department:Division:
Contract Services
General Fund101‐1510‐412
Budget For Fiscal Year 2012‐2013
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FinanceAccounting
Fund Title:Fund/Division Number:
Department:Division:
General Fund101‐1510‐412
4010 FIXED CHARGES 152,773$ 150,000$ 150,000$ 150,000$ 4041 RENTS 65 0 0 04080 BAD DEBT 26 0 0 04090 COMPENSATED ABSENCES 0 59,279 28,730 28,730
Total 152,864$ 209,279$ 178,730$ 178,730$
TOTAL 906,794$ 1,076,955$ 1,063,833$ 1,055,733$
Fixed Charges
Information Technology
Description of Division The Information Technology Division (IT) provides information technology services to the public, City Council, and all City departments. IT provides the support and leadership required to ensure that the full benefit of the City’s investments in technology is realized. IT supports approximately 100 users who depend on the 120 computers, 20 servers, 100 telephones, 10 Routers, 10 Data Switches, internal and external network security, 10 voice/data circuits and a number of information systems located across the city. IT also began to support the Lathrop‐Manteca Fire District technology systems. IT also supports the public facing information systems including Channel 97 and the City’s website which receives an average of approximately 210 visits each day. Accomplishments 2011/2012
Completed 4,400 Help Desk support requests Completed porting of the New Corporation Yard surveillance system Performed a security audit with the aid of an external technology company Developed a RFP for ERP (Enterprise Resource Plan) system Implemented 90% of the security audit recommendations Deployed 20 new systems Designed the Disaster Recovery Plan infrastructure to leverage the New Corp Yard site Implementation of Virtual system to reduce energy consumption and received over $3,000 from PG&E Continued maintenance of the City’s website
Information Technology
Work Plan 2012/2013
The highest priority of the Information Technology Division:
Continue the Annual security audit Implementation of the security audit recommendations Continue maintenance of the City’s website Consolidation of servers into new technology to reduce cost and implementation of the DRP (Disaster Recovery Plan) Implementation of the DRP at the new Corp Yard Migration of the email system to new software to accommodate the DRP and meet the records retention requirements Development and support of GIS (Geographic Information Systems) infrastructure Implementation of Wireless to replace carriers circuits to reduce approximately $26,400 annually Continue system refresh to reduce costs and labor Design and Implementation of Wireless Wide Area Network
Work Plan Maintenance Contracts Chameleon $8,000 Chameleon is Animal Service’s case management system which tracks both service requests and registered animals in Lathrop. Additionally Chameleon ties to Pet Harbor, an online animal shelter that allows people to view lost or adoptable animals. This is the annual software license and support renewal. HTE $115,000 The City utilizes the HTE system for general financial operations, utility billing, human resources functions, permitting, work orders and budgeting. HTE costs include the yearly software license renewal, as well as the maintenance and technical support agreement. This is an increase of 3% from last fiscal year for COLA (Cost of Living Adjustment).
Information Technology
Work Plan 2012/2013 (continued)
Various Contract Renewals $183,000 Software & Hardware contract renewals to maintain systems functionality and cost reduction for the following:
Service Desk Maintenance $2,000 Software licensing compliance Virus Protection (Every Two Years) $9,000 Software licensing compliance Telephone Maintenance $12,000 Software licensing compliance Server Maintenance $5,000 GIS (Geographic Information Systems) Maintenance cost of $15,000 Imaging Laser Fiche system at a cost of $9,000 Software licensing compliance Permit soft — permit tracking maintenance and hosting at a cost of $36,000 Microsoft License at a cost of $21,000 — Software licensing compliance
Internet DNS Maintenance $1,000 ASCAP‐Music fees $2,000 Software licensing compliance Blackberry server Maintenance support at a cost of $2,000 Software licensing compliance Email Spam Maintenance renewal (every two years) $7,000 Software licensing compliance Phone Switch/Firewall/Router/Switches Maintenance $21,000 Software licensing compliance Email System Archiver & OS $26,000 Software licensing compliance Offsite Data Backup—Barracuda $15,000
Professional Services External Security Audits $15,000 An external security audit is planned for the 2012‐2013 budget cycle. This audit covers the labor of an independent outside consultant to test internal and external Network, Email and Active Directory security of the City’s computing systems and recommend necessary changes as well as a design of the recommendations. This approach is considered to be a best practice in the industry because of the costs associated to own the tools as well as the experience necessary to evaluate the data, and compliance with the Grand Jury report.
Information Technology
Work Plan 2012/2013 (continued)
Wireless between buildings $63,000 Currently the City has AT&T and Verizon circuits to connect each of the buildings with a monthly cost of over $2,200. The proposed hardware and professional services will reduce the number of circuits saving the City approximately $26,400, with a return on the investment of approximately two years. This technology will also increase the speed of the network between building by over 25 times of the current carriers infrastructure. This new technology will not only increase the speed and reduce costs, but create a redundancy for the DR (Disaster Recovery) for the City to operate in case of a City Hall disaster. Printer Maintenance Support $25,000 The Information Technology department performed a four month study of all the printers and copiers in the City. After this evaluation, we invited the three companies that are currently providing the support of these devices, to submit a one year contract proposal to provide supplies (paper not included), maintenance and support. After evaluation of the submitted costs, we selected the company that would provide the best service with the best price to the City. With this newly proposed maintenance contract, the City has reduced costs by approximately $3,000 annually and a significant amount of labor from staff to repair the devices including the ordering process of supplies (paper not included).
Information Technology
Work Plan 2012/2013 (continued) Enterprise Resource Planning System RFP $485,000 The City currently has and supports three different computer software systems with very limited integration between them, which generates a significant amount of manual labor. Several benefits could be achieved with an Enterprise Resource Planning system. For instance, the manual labor for integration is eliminated. Additionally, Citizens and Businesses would have the capability to review and/or make payments to accounts via the internet for business licenses, vendor purchase orders, and invoicing. The proposal is to bring all three systems together with this new technology and in the process save the City approximately $1.2 Million over 10 years in annual maintenance costs. Maintenance and Repair requests. Emergency Hardware / Software $20,000 Emergency hardware and software covers unanticipated but necessary purchases of equipment or repairs to equipment. Most of the network infrastructure are out of warranty for fiscal year 12/13. Telecommunication Voice and Data $150,000 The City has six data circuits and three voice circuits. The data circuits are used to connect all the sites to give the users access to functionality such as email, internet, Finance System, phone system, and many others. The above amount also includes costs for 60 cellular phones, internet circuit, and a multitude of dedicated phone lines for alarms, water pumps and other systems. Capital Requests Equipment Replacement Replacement of systems $31,500 All of the computer systems are out of warranty for fiscal year 12/13. A significant number of computers are over five years old and in some cases over six years old. This past fiscal year a number of them failed and Staff had to use parts from other systems to keep them running. In some cases, staff was successful in procuring the parts to repair them; however, the cost to repair is often times more than the cost to replace. Significant Operating Changes None
Information Technology
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Information Technology Analyst 1.00 1.00 1.00
Information Technology Manager 1.00 1.00 1.00
Information Technology Technician 1.00 1.00 1.00
Total Full Time Equivalents 3.00 3.00 3.00
Budget For Fiscal Year 2011‐2012Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 177,808$ 215,853$ 234,603$ 234,603$ 1013 OVERTIME 0 1,500 1,000 1,0001014 VACATION/SICK LEAVE 18,376 0 0 01020 RETIRE‐PERS EMPLOYER 20,246 23,245 27,798 27,7981021 RETIRE‐PERS EMPLOYEE 13,886 14,715 10,631 10,6311040 HEALTH INSURANCE 37,952 43,072 41,428 41,4281042 LIFE INSURANCE 483 556 555 5551044 WORKER'S COMP INSUR 4,132 4,890 3,800 3,8001046 FICA 2,876 3,173 3,546 3,5461047 SUI 1,302 1,302 1,302 1,3021048 ANNUAL BILINGUAL PAY 0 0 0 01049 SDI 1,758 2,004 1,879 1,879
Total 278,819$ 310,310$ 326,542$ 326,542$
2001 PROFESSIONAL SERVICES 27,265$ 46,000$ 41,300$ 41,300$ 2004 PERSONNEL 0 0 0 02058 COMPUTER TECH SUPP. 231,406 236,495 306,000 306,0002065 PRINTING 0 250 250 2502067 EQUIPMENT RENTAL 0 1,250 2,000 2,0002075 OTHER MAINT. & REPAIR 29,257 26,505 20,000 20,000
Total 287,928$ 310,500$ 369,550$ 369,550$
3010 OFFICE SUPPLIES 474$ 1,500$ 1,500$ 1,500$ 3015 DUPLICATING COSTS 27,363 22,000 25,000 25,0003020 MATERIALS & SUPPLIES 22 1,000 1,000 1,0003033 GAS/DIESEL/OIL/LUBRICANTS 0 0 500 5003037 MISCELLANEOUS EQUIP 15,667 24,900 31,500 31,5003053 PHONE SERVICES 124,642 150,000 150,000 150,0003510 MEMBER. DUES/SUBSCRIPT 160 160 160 1603520 TRAINING & TRAVEL 0 200 3,500 3,500
Total 168,328$ 199,760$ 213,160$ 213,160$
Personnel Services
Contract Services
Materials & Supplies
FinanceInformation Technology
Fund Title: General FundFund/Division Number: 101‐1520‐412
Budget For Fiscal Year 2011‐2012Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
FinanceInformation Technology
Fund Title: General FundFund/Division Number: 101‐1520‐412
4041 RENTS 21,241$ 23,000$ 25,000$ 25,000$ 4080 BAD DEBT 0 0 0 04090 COMPENSATED ABSENCES 0 1,116 5,395 5,395
Total 21,241$ 24,116$ 30,395$ 30,395$
5010 OFFICE EQUIPMENT 17,520$ 24,000$ ‐$ ‐$ 5012 COMPUTER EQUIPMENT 15,627 139,000 63,000 63,000
Total 33,147$ 163,000$ 63,000$ 63,000$
TOTAL 789,463$ 1,007,686$ 1,002,647$ 1,002,647$
Capital Outlay
Fixed Charges
Director of Neighborhood
and Community Services
Animal Services
Assistant
Animal Services
Officer
(2)
FY 2012/2013
City of Lathrop – Neighborhood and Community Services Department
Animal Services
Division
Human Resources/
Central Services
Budget Analyst I/II
(Confidential)
(0.50)
Culture and Recreation
AdministrationSenior CenterCommunity Center
Program/Events/Facilities
Recreation Supervisor
Community Center
Sports/Kids Club/Day Camp
Recreation Supervisor
Senior Center
Manager
Sr. Recreation
Leader
Emergency
Services
Budget Analyst II
(Confidential)
Culture and Recreation
Administrator
Administrative
Assistant I/IIRecreation Coordinator
1 = 1.00 FTE
Sr. Recreation Leader
3 = 2.75 FTE
Facilities Supervisor
3 = 1.66 FTE
Recreation Leader
11 = 3.70 FTE
Neighborhood and Community Services Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 111,493$ 102,800$ 149,945$ 149,945$
Total 111,493$ 102,800$ 149,945$ 149,945$
General FundPersonnel Services 179,368$ 185,831$ 197,700$ 197,700$ Contract Services 11,042$ 14,806$ 15,306$ 15,306$ InterGov. Contract Services 32,516$ 33,500$ 33,500$ 75,500$ Materials & Supplies 11,400$ 14,979$ 16,679$ 16,679$ Fixed Charges 676$ ‐$ 656$ 656$ Capital Outlay ‐$ ‐$ 52,145$ 52,145$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 235,002$ 249,116$ 315,986$ 357,986$
Neighborhood & Comm. Srvcs. Grand Total 235,002$ 249,116$ 315,986$ 357,986$
Departmental StaffingAnimal Services Assistant 1.00 1.00 1.00 1.00Animal Services Officer 2.00 2.00 2.00 2.00Director of Neighborhood & Com Serv 1.00 1.00 1.00 1.00Total Neighborhood & Community Services FTE 4.00 4.00 4.00 4.00
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
Animal Services
Description of Division
Animal Services is comprised of three major program areas: Field, Shelter and Administrative services, responsible for the efficient and effective enforcement of all Federal, State and Local laws regulating animals and ownership, including, but not limited to, licensing, care and control of animals, sheltering of stray, unwanted, injured, or sick animals, nuisance abatement, humane investigations and public education. Animal Services administers the State‐mandated rabies program including vaccine clinics, reporting bites and the quarantine of animals. Additionally, Animal Services is responsible for maintaining compliance with all Federal and State laws regulating the animal welfare industry, including the Hayden Bill which mandates numerous programs including spay/neuter of all adopted animals, rescue & foster, lost & found, treatment of sick/injured animals and longer stray holding periods, as well as maintaining compliance with the PETS Act through coordination with county, state and federal agencies to provide the community with an emergency evacuation plan inclusive of animals in and after a disaster. Accomplishments 2011/2012
Continued Partnership with Pet Smart Adoption Partner Charities Maintained Lost/Found/Adopt portals via website Continued agreement with local Veterinarian for spay/neuter of all adopted Lathrop animals Sponsored new event “Pet Pics With Santa”; all proceeds benefited the Animal Services adoption program National Night Out participation Participation in the Lathrop Police Citizen’s Academy Participation in Junior Police Academy Participation in approximately 10 adoption rotations at Pet Smart for cats/kittens resulting in at least 60 additional
adoptions. Staff also volunteered weekend adoptions. Participation in approximately 6 weekend adoptions for dogs resulting in at least 10 additional adoptions Animal Services Division received City of Lathrop Annual Teamwork Award for 2011
Work Plan 2012/2013
The highest priorities for the Animal Services Department are to continue and enhance:
Existing adoption program to include an aggressive adoption program for dogs Existing Spay/Neuter program to include low‐cost services to the community Low‐Cost Rabies vaccination clinics; increasing the number of clinics Public education regarding spay/neutering, safety issues, etc.
Animal Services
Work Plan 2012/2013 (continued)
In coordination and compliance with State Law, develop:
Veterinary service contracts for the department Microchip clinics Foster and Volunteer programs
Capital Requests
Vehicle Purchase (101‐1610‐412‐5030): It is proposed to transfer $52,145 from the Animal Services Equipment Replacement Reserve to cover the cost of a new vehicle for one of the Animal Services Officers. The new vehicle would replace one currently in use that is 15 years old and requiring an increased amount of maintenance and repair each year. The $52,145 would include the vehicle as well as animal collection unit, light bars, radio, computer mount, etc.
Significant Operating Changes
Beginning in Fiscal Year 2009/2010, the Animal Services Division was moved to be a Division within the Neighborhood and Community Services Department, along with the Code Compliance and Emergency Services Divisions. Code Compliance was moved out of the Neighborhood & Community Services Department in Fiscal Year 2011/2012 and placed under Community Development. The Animal Services Division proposes no significant operating changes for this fiscal year.
The Neighborhood & Community Services Director oversees the Human Resources Department, Parks & Recreation Department and Neighborhood & Community Services Department. The following budgetary allocation is proposed to change as follows for Fiscal Year 2012/2013:
FY 2011/2012 FY 2012/2013
Human Resources 70% 40%
Animal Services 10% 10%
Parks & Recreation 20% 50%
Animal Services
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Animal Services Assistant 1.00 1.00 1.00
Animal Services Officer 1.00 1.00 1.00
Budget Analyst I/II 0.10 0.10 0.10
Dir of Neighborhood & Com Services 0.10 0.10 0.10
Total Full Time Equivalents 2.20 2.20 2.20
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 90,298$ 99,365$ 113,949$ 113,949$ 1013 OVERTIME 908 1,350 1,350 1,3501014 VACATION/SICK LEAVE 10,938 0 0 01015 STAND BY 8,968 10,000 10,000 10,0001020 RETIRE‐PERS EMPLOYER 10,445 11,276 13,502 13,5021021 RETIRE‐PERS EMPLOYEE 7,181 7,156 5,182 5,1821040 HEALTH INSURANCE 33,202 35,235 36,179 36,1791042 LIFE INSURANCE 128 276 275 2751044 WORKER'S COMP INSUR 14,426 18,153 14,065 14,0651046 FICA 1,578 1,674 1,854 1,8541047 SUI 955 955 955 9551048 ANNUAL BILINGUAL PAY 200 200 200 2001049 SDI 141 191 189 189
Total 179,368$ 185,831$ 197,700$ 197,700$
2001 PROFESSIONAL SERVICES 6,361$ 10,000$ 10,000$ 10,000$ 2058 COMPUTER TECH SUPP. 0 0 500 5002060 ADVERTISING 0 50 50 502065 PRINTING 2,093 2,000 2,000 2,0002069 OFFICE EQUIP & REPAIR 0 0 0 02070 AUTO/HEAVY EQUIP MAINT 2,588 2,606 2,606 2,6062072 COMMUNICATION EQUIP REPAIR 0 0 0 02075 OTHER MAINT. & REPAIR 0 150 150 150
Total 11,042$ 14,806$ 15,306$ 15,306$
2512 ANIMAL SHELTER/INTERGOVT 32,516$ 33,500$ 33,500$ 75,500$ 32,516$ 33,500$ 33,500$ 75,500$
3010 OFFICE SUPPLIES 655$ 1,000$ 1,000$ 1,000$ 3020 MATERIALS & SUPPLIES 2,073 2,600 2,600 2,6003024 AUTO/HEAVY EQUIP PART 238 250 250 250
InterGov. Contract Services
Personnel Services
Contract Services
Materials & Supplies
Neighborhood and Community Animal Services
Fund Title: General FundFund/Division Number: 101‐1610‐412
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Neighborhood and Community Animal Services
Fund Title: General FundFund/Division Number: 101‐1610‐412
3026 OTHER‐MAINT. & REPAIR 98$ 200$ 200$ 200$ 3033 GAS/DIESEL/OIL/LUBRICANTS 3,278 4,000 4,000 4,0003035 SHOP TOOLS 225 200 200 2003037 MISCELLANEOUS EQUIP 0 400 400 4003040 UNIFORM/PROTECT CLOTH 670 2,300 2,300 2,3003045 REFERENCE BOOKS 172 225 225 2253054 UNALTERED IMPOUND ANIMAL 175 500 500 5003055 PERSMART SPAY/NEUTER EXP 3,546 2,500 2,500 2,5003056 FORFEITED SPAY NEUTER 0 100 100 1003510 MEMBER. DUES/SUBSCRIPT 270 404 404 4043520 TRAINING & TRAVEL 0 300 2,000 2,000
Total 11,400$ 14,979$ 16,679$ 16,679$
4080 BAD DEBT 676$ ‐$ ‐$ ‐$ 4090 COMPENSATED ABSENCES 0 0 656 656
Total 676$ ‐$ 656$ 656$
5030 VEHICLES ‐$ ‐$ 52,145$ 52,145$ Total ‐$ ‐$ 52,145$ 52,145$
TOTAL 235,002$ 249,116$ 315,986$ 357,986$
Capital Outlay
Fixed Charges
Materials & Supplies (CONTINUED)
City of Lathrop – Community Development
FY 2012/2013
Director of
Community Development/City
Engineer
Planning Building
Principal Planner Chief Building Official
Building Inspector
Permit Technician
Management Analyst I/II
Sr. Administrative Assistant
Planning (.33) Building (.34)
Public Works (.33)
Code Compliance
Code Compliance Officer
I/II
Office Assistant
I/II
Community Development Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 611,776$ 372,381$ 641,506$ 641,506$ Public Nuisance 7,228$ 168,434$ 25,000$ 25,000$
Total 619,004$ 540,815$ 666,506$ 666,506$
General FundPersonnel Services 852,158$ 802,575$ 867,822$ 867,822$ Contract Services 152,620$ 240,140$ 266,290$ 266,290$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 9,413$ 22,147$ 18,981$ 18,981$ Fixed Charges 8,838$ 16,013$ 29,426$ 29,426$ Capital Outlay ‐$ 5,390$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 1,023,029$ 1,086,265$ 1,182,519$ 1,182,519$ Public Nuisance
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services 10,524$ 85,000$ 23,894$ 23,894$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 3,529$ 3,529$ 1,106$ 1,106$
Public Nuisance Total 14,053$ 88,529$ 25,000$ 25,000$
Community Development Grand Total 1,037,082$ 1,174,794$ 1,207,519$ 1,207,519$
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
Community Development Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Departmental StaffingBuilding Inspector I/II/III 1.00 1.00 1.00 1.00Chief Building Official 1.00 1.00 1.00 1.00Code Enforcement Officer I/II/III 1.00 1.00 1.00 1.00Director of Com Dev/City Engineer 1.00 1.00 1.00 1.00Management Analyst I/II 1.00 1.00 1.00 1.00Office Assistant I/II 1.00 1.00 1.00 1.00Permit Technician 1.00 0.00 0.00 0.00Principal Planner 1.00 1.00 1.00 1.00Senior Administrative Assistant 1.00 1.00 1.00 1.00
Total Community Development FTE 9.00 8.00 8.00 8.00
Community Development—Planning
Description of Division The Planning Division is responsible for promoting the City’s development, encouraging new business and business expansion and retention, residential and other appropriate growth, preparing and implementing the General Plan, Zoning and Subdivision Ordinances, and processing Specific Plans, Plan Amendments, Urban Design Concepts, Conditional Use Permits, Site Plan Reviews, Home Occupation Permits, Administrative Permits and other discretionary and non‐discretionary applications. The Planning Division provides assistance to the Code Compliance program including code interpretations with the objective of improving and enhancing the existing community. The Planning Division is responsible for implementing and administering the Community Development Block Grant Program. Accomplishments 2011/2012
The implementation of the Central Lathrop Specific Plan master planned community began in 2006. The overall project consists of 6,800 dwelling units, approximately 5 million square feet of new retail/office space, the Lathrop Center, a new High School for Lathrop, K‐8 schools, parks, and open space. A 62 large lot subdivision was recorded in 2006 and a tentative map for 1,040 single‐family lots within 10 villages was approved in early 2007. Manteca Unified School District completed construction of the new High School and opened the fall of 2008. The City received Stimulus funds and finished Golden Valley Parkway from River Islands North to Lathrop Road. The City is cooperatively working with the developers to generate retail commercial interest to facilitate construction on the undeveloped building sites and parcels.
The implementation of the approved River Islands Phase 1 began in 2007. The Phase 1 tentative subdivision map comprised of 1,350 net acres and created approximately 4,200 residential parcels, as well as commercial and office space, parks, and public facilities land uses. The project developer completed improvements to Stewart Rd. to provide access and facilitate the first residential and commercial construction activity anticipated to begin in 2013. State and Federal permitting was completed, allowing the Bradshaw Bridge/River Islands Parkway to begin construction in July 2011. Construction on the Charter Elementary School has begun. A Vesting Tentative Map application for River Islands Phase II large lot parcels was processed and approved.
Implementation of the Mossdale Landing, Mossdale Landing East, and Mossdale Landing South development projects continues to grow. To date, approximately 1,800 residential building permits have been issued; 5 in 03/04, 582 in 04/05, 626 in 05/06, 260 in 06/07, 23 in 07/08, 25 in 08/09, 166 in 09/10, 91 in 10/11 and 22 in 11/12 to date . The City experienced a decrease in new residential building permits over the previous FY. The Village Commercial/Bank/Office project, of approximately 57,600 sq. ft. was completed along with Buildings 1, 2 and 3 in the Mossdale Business Park. The Lathrop Market Place I, consisting of approximately 300,000 sq. ft. of retail commercial space, began construction; the major tenant, Target, is approximately 127,000 square feet and opened in July 2008. The City is cooperatively working with the developers to generate retail commercial interest to facilitate construction on the undeveloped building sites and parcels.
Community Development—Planning
Accomplishments 2011/2012 (continued)
Lathrop Gateway Business Park Specific Plan—project EIR and limited entitlements received Planning Commission and City Council approval for a 384‐acre specific plan area with approximately 57 acres of commercial office uses, 168 acres of limited industrial uses, 83 acres of service commercial uses and the remaining 77 acres in roads, and public facility sites. On January 23, 2012 the City Council approved partial Annexation of the specific plan area which is scheduled to be considered by LAFCO at their April 20th meeting.
Approved new commercial, industrial and residential projects during the 11/12 fiscal year, including but not limited to:
Sandoval Industrial Building—SPR‐10‐0059
Super Stores Industries—refrigerated warehouse addition—SPR‐11‐0034
Medical Marijuana—Information Presentations
KSC Travel Plaza—GPA, RZ and Annexation (Put on Hold)
Lathrop Gateway Business Park Annexation
California Natural Products—Warehouse Expansion SPR‐11‐0043
River Islands Phase II Large Lot VTM 3765
Flood Plain Management Ordinance Update
William Lyon Homes Tract 3468 102 Lots, has committed to infrastructure for the first 50 homes
FEMA’s Community Rating System— staff completed and received annual recertification approval for FEMA’s National Flood Insur‐ance Rating Program.
DWR/FEMA Community Assistance Visit – staff met with DWR staff and received input on our Flood Plain Management Ordinance to maintain National Flood Insurance Program participation.
Approved Architectural Design review and pre‐plotting of Phase 1 for William Lyon Homes in Tracts 3468 in Mossdale Village spe‐cific plan area. Developer expects to construct 50 of the 102 lot subdivision over the next year.
Provide ongoing support for the Economic Development Team.
Staff was active in the review and comment on surrounding jurisdiction development and projects including but not limited to; Manteca— NW Airport Way Master Plan and Circulation Element; SJ County—KSC Travel Center– UPRR Intermodal Facility.
Community Development—Planning
Work Plan 2012/2013
The Community Development Department‐Planning Division will continue to implement the General Plan, the West Lathrop Specific Plan, and the Central Lathrop Specific Plan.
Continue to work with the Lathrop Gateway Business Park Specific Plan to find a major anchor or tenant.
Continue to work with LBA Realty and LN Real Estate to find major anchor tenants for their approved but unconstructed industrial buildings.
Continue to assist and work with Land Park at Lathrop (CLSP), Mossdale Village and River Islands developers to review process and implement the Specific Plans.
Continue to process active current planning projects including but not limited to:
Sleep Inn Hotel, proposal for a 3‐story 76 room hotel.
Simplot, proposal for fertilizer equipment update and material storage tanks.
In‐N‐Out Burger, proposal for manufacturing/warehouse building expansion .
O’Reilly Auto Parts, proposal for 7,000 s.f. retail store.
Nationwide Fleet Sales, proposal to re‐occupancy of the former Delta Powersport building.
Antonini Enterprises Trucking Terminal, proposal to re‐occupancy of the former Home Depot cross‐dock facility.
USA Motors, proposal to expand the sales lot.
Provide Economic Development support including: research, city tours, new business needs analysis, relocation research, and support to San Joaquin Council of Governments, and demographic research and updates.
Effectively manage the Community Development Block Grant (CDBG) program.
Continue to be active in the review and comment on surrounding jurisdiction development and projects including but not limited to; Manteca— NW Airport Way Master Plan (Center Point industrial project); SJ County—KSC Travel Center; SJ County– Railroad Intermodal Facility.
Community Development—Planning
Work Plan 2012/2013 (continued)
Continue to promote quality infill development within the existing community, including housing.
Capital Requests
None
Significant Operating Changes
Continue to work with San Joaquin County and the cities of Tracy, Manteca, Lodi, and Stockton who have been awarded an Enterprise Zone by the State of California starting in July 2008 and continuing for 15 years. The State of California will offer businesses large tax breaks if it is located within the Enterprise Zone. Each of the cities is required to cover its fair share of the costs of administering the program and to encourage businesses to locate in their industrial and commercial areas. The City has committed to funding San Joaquin County $50,000 for its share.
The State of California has continued to experience a down‐turn in commercial and residential building. Residential construction in the Mossdale Village specific plan area has slowly begun to rebound. The recession has resulted in a significant decrease in new commercial projects, however, the existing commercial centers are experiencing extremely low vacancy rates. Staff would anticipate the market demand to result in new commercial development.
Community Development—Planning
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Dir of Com Dev/City Engineer 0.50 0.35 0.30
Director of Public Works 0.20 0.05 0.05
Management Analyst I/II 0.50 0.50 0.45
Senior Administrative Assistant 0.34 0.34 0.34
Total Full Time Equivalents 2.54 2.24 2.14
Principal Planner 1.00 1.00 1.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 193,409$ 197,845$ 204,488$ 204,488$ 1013 OVERTIME 0 1,000 450 4501014 VACATION/SICK LEAVE 8,988 0 0 01020 RETIRE‐PERS EMPLOYER 20,775 21,365 24,230 24,2301021 RETIRE‐PERS EMPLOYEE 14,225 13,512 9,254 9,2541040 HEALTH INSURANCE 32,812 33,187 32,664 32,6641042 LIFE INSURANCE 558 592 585 5851044 WORKER'S COMP INSUR 3,906 4,964 3,698 3,6981045 AUTO ALLOWANCE 480 120 120 1201046 FICA 2,830 2,870 3,147 3,1471047 SUI 1,319 972 929 9291049 SDI 2,175 2,202 2,022 2,022
Total 281,477$ 278,629$ 281,587$ 281,587$
2001 PROFESSIONAL SERVICES 55,821$ 68,873$ 55,000$ 55,000$ 2002 PLANNING COMMISSION 967 2,000 2,000 2,0002004 PERSONNEL 0 1,000 2,500 2,5002016 CONTRACTS‐OTHER 46,448 50,000 60,000 60,0002060 ADVERTISING 982 1,000 1,000 1,0002065 PRINTING 181 500 500 5002069 OFFICE EQUIP & REPAIR 0 250 0 0
Total 104,399$ 123,623$ 121,000$ 121,000$
3010 OFFICE SUPPLIES 613$ 2,000$ 1,000$ 1,000$ 3020 MATERIALS & SUPPLIES 0 36 100 1003037 MISCELLANEOUS EQUIP 125 0 0 03043 BADGES & NAME PLATES 36 50 50 503045 REFERENCE BOOKS 0 464 50 503510 MEMBER. DUES/SUBSCRIPT 25 651 242 2423520 TRAINING & TRAVEL 0 2,360 3,420 3,420
Total 799$ 5,561$ 4,862$ 4,862$
Community DevelopmentPlanning
Materials & Supplies
General Fund101‐2010‐441
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Community DevelopmentPlanning
General Fund101‐2010‐441
Fund Title:Fund/Division Number:
4040 SPECIAL FEES 6,865$ 6,800$ 7,000$ 7,000$ 4041 RENTS 895 895 895 8954090 COMPENSATED ABSENCES 0 245 5,283 5,283
Total 7,760$ 7,940$ 13,178$ 13,178$
TOTAL 394,435$ 415,753$ 420,627$ 420,627$
Fixed Charges
Community Development—Building
Description of Division
The Building Division is responsible for serving the public by ensuring that the safety depicted by the current adopted California Codes and the Lathrop Municipal Code are enforced during the construction, use, occupancy and maintenance of buildings and structures, and all of their various components. This is accomplished by providing examination of plans, calculations and specifications, inspections of all aspects of construction and providing staff to perform and manage the building permit process. The staff carries on this service after permits are issued and finaled by maintaining plans and documents for future inquires.
Accomplishments 2011/2012
Processed permit applications, performed a variety of plan reviews and issued over 203 permits to date.
Processed an additional 21 permit applications waiting to be issued.
Approved and issued building permits and tenant improvements for businesses in the D’Arcy Business Park, Crossroads Business Park, Savemart Shopping Center, High Five Plaza and the Lathrop Crossing Plaza.
Performed plans in‐house examination saving in excess of $165,000 and provided building inspection services to ensure that building and structures are built to meet all life safety and structural requirements of the applicable Building and Safety Codes.
Issued Certificates of Occupancy for approved and completed commercial and industrial projects such as:
CK Grill & Bar; JH Motorsports, Gordon Trucking, SSI Cold Storage and several miscellaneous
Provided training for the Building Inspectors to continue their education on the newly adopted California Codes.
Continued to work with and improve the new building permit software.
Worked together with Public Works, Engineering and Planning Staff:
To insure the safety and efficient use of the future occupants of the new Corp Yard Facility on Louise Avenue.
Providing preliminary plan check and structural comments for the new Louise Avenue Arsenic Treatment Facility
Provide preliminary comments for the new McKinley Avenue Sewer and Pump Facility
And worked with the Parks and Recreation Staff regarding the new Library and Teen Center Facility
Community Development—Building
Work Plan 2012/2013
The Building Division will continue to work together as a team to explore ways to streamline and create more effective efficiencies within the department. This would include, but not be limited to:
Continue to provide technical and educational training for all Building Staff in all areas of the New 2010 California Code of Regulations, Title 24, and all other related codes and programs. Building will be looking at training of‐fered by different jurisdictions that is free or reasonable priced.
Use best mix of staffing resources for plan review and inspection services.
Re‐certifying the Chief Building Official
Maintain and improve the portion of the City website pertaining to the Building Division which would include but not be limited to:
Providing informational handouts to educate the general public on building code issues.
Providing information on obtaining a permit (i.e. Application, required Plan Check Submittals and licensing verifi‐cation)
Continue to monitor and maintain the cost level of supplies, office equipment, and training and travel to reflect the tem‐porary increase in permitting, plan checking and inspections.
Continued adjustments to the Permit Software that has been implemented. This includes scanning documents to attach to permit files. Performing reporting task such as the monthly building report and providing costs and cost estimates to numerous customers who frequently request costs estimates. Improving the use of the software.
Capital Requests
None
Community Development—Building
Significant Operating Changes
The State of California has seen a slight increase in residential building. This has led to an increase of residential home productions in the City of Lathrop.
The sum of $140,115 has been budgeted in professional services for contract plan check services for 2011‐12. The actual sum of $165,215 has been received to date. These funds represent 70 percent of the plan check fees collected by the City. City staff has been providing approximately 99% of the plan check services for 2011‐2012 allowing the city to keep the majority of the revenues in house.
City ended furlough’s on February 20, 2012.
Community Development—Building
Staffing FY 2012/2013 (in alphabetical order)
Position: 10/11 11/12 12/13
Building Inspector I/II/III 1.00 1.00 1.00
Chief Building Official 1.00 1.00 1.00
Dir of Com Dev/City Engineer 0.50 0.35 0.30
Director of Public Works 0.20 0.05 0.05
Management Analyst I/II 0.50 0.50 0.50
Senior Administrative Assistant 0.33 0.33 0.33
Total Full Time Equivalents 4.53 3.23 3.18
Permit Technician 1.00 0.00 0.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 262,895$ 268,165$ 293,637$ 293,637$ 1013 OVERTIME 244 2,000 1,000 1,0001014 VACATION/SICK LEAVE 22,452 0 0 01020 RETIRE‐PERS EMPLOYER 29,373 35,261 34,793 34,7931021 RETIRE‐PERS EMPLOYEE 20,143 22,313 13,291 13,2911040 HEALTH INSURANCE 55,790 63,143 46,992 46,9921042 LIFE INSURANCE 607 891 755 7551044 WORKER'S COMP INSUR 7,480 8,885 6,028 6,0281045 AUTO ALLOWANCE 480 120 120 1201046 FICA 4,127 4,790 4,705 4,7051047 SUI 1,749 1,836 1,380 1,3801049 SDI 1,851 2,244 2,132 2,132
Total 407,191$ 409,648$ 404,833$ 404,833$
2001 PROFESSIONAL SERVICES 1,493$ 68,983$ 129,090$ 129,090$ 2004 PERSONNEL 5,625 10,000 10,000 10,0002009 SETTLEMENTS 0 0 0 02058 COMPUTER TECH SUPP. 39,000 0 0 02060 ADVERTISING 0 0 0 02065 PRINTING 17 500 500 5002069 OFFICE EQUIP & REPAIR 26 250 0 02070 AUTO/HEAVY EQUIP MAINT 560 2,000 2,000 2,000
Total 46,721$ 81,733$ 141,590$ 141,590$
3010 OFFICE SUPPLIES 661$ 2,000$ 1,000$ 1,000$ 3011 POSTAGE 0 0 0 03020 MATERIALS & SUPPLIES 57 400 100 1003033 GAS/DIESEL/OIL/LUBRICANTS 1,519 2,000 2,000 2,0003035 SHOP TOOLS 0 500 100 1003037 MISCELLANEOUS EQUIP 125 0 0 03040 UNIFORM/PROTECT CLOTH 609 700 700 700
Community DevelopmentBuilding
Fund Title: General FundFund/Division Number: 101‐2030‐444
Personnel Services
Contract Services
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Community DevelopmentBuilding
Fund Title: General FundFund/Division Number: 101‐2030‐444
3045 REFERENCE BOOKS 1,260$ 1,000$ 1,000$ 1,000$ 3510 MEMBER. DUES/SUBSCRIPT 615 1,191 1,191 1,1913520 TRAINING & TRAVEL 582 2,810 2,810 2,810
Total 5,428$ 10,601$ 8,901$ 8,901$
4041 RENTS 895$ 895$ 895$ 895$ 4090 COMPENSATED ABSENCES 0 7,178 14,983 14,983
Total 895$ 8,073$ 15,878$ 15,878$
5012 MACHINES & EQUIPMENT ‐$ 5,390$ ‐$ ‐$ Total ‐$ 5,390$ ‐$ ‐$
TOTAL 460,235$ 515,445$ 571,202$ 571,202$
Capital Outlay
Fixed Charges
Materials & Supplies (CONTINUED)
Code Compliance
Description of Division
The Code Compliance Division is responsible for the City of Lathrop’s code enforcement operations. The Division conducts complex inspections of residential, commercial, and industrial properties to determine compliance with applicable local and state codes, laws, regulations and ordinances relating to maintenance of properties and structures. The Division initiates enforcement actions and issues citations and notices. Code Compliance is vital to the protection of the public health, safety, and quality of life for the citizens of Lathrop.
Accomplishments 2011/2012
Provided Code Compliance services for the department, including the processing and inspecting of:
Business Licensing 77 Health & Safety—Garbage Service 16 Health & Safety—Property Nuisance 113 Health & Safety—Vacant & Abandoned
Residential 82 Health & Safety—Vehicle & Boat Repair 32 Housing (Heating, Ventilation, Structural,
Sanitation) 61 Encroachment (Streets, Sidewalks) 8 Vehicles (Abandoned, In‐Op) 7 Zoning 78
Continued implementation of a year‐round weed abatement program.
Attended National Night Out and Provided Public Information Regarding Code Compliance, Complaint Procedures and Policies
Attended Citizen’s Police Academy and educated attendees regarding code procedures and common code violations.
Code Compliance
Accomplishments 2011/2012 Continued
We performed a substantial and successful abatement of the Park Street Area.
We have continued to provide the Council with options and proposals for potentially amending the Boat and RV Ordi‐nance.
Work Plan 2012/2013
Continue monitoring and updating the existing Municipal Codes.
Implement Council priorities for Code Issues such as prioritizing life and safety issues, neighborhood preservations and no longer accepting anonymous reports of assumed code violations.
Continue the weed abatement program by,
Maintain a contractor abatement list, Educate property owners, Conduct inspections, Issuing notices and citations as necessary, Abating property, if needed
Provide educational material about code compliance and the importance of keeping their community safe and clean.
Continue attending public forums to educate the public about code compliance.
Continue to keep the neighborhoods free of blight by abating unsafe structures, removing abandoned vehicles, and re‐moving other items declared a public nuisance.
Continue to issue inspection notices and administrative citations.
Work on Code Compliance Policy and Procedures.
Capital Requests
None
Significant Operating Changes City ended Furlough on February 20, 2012.
Code Compliance
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Budget Analyst I/II 0.10 0.00 0.00
Code Compliance Officer I/II/III 1.00 1.00 1.00
Dir of Neighborhood & Com Services 0.10 0.00 0.00
Management Analyst I/II 0.00 0.00 0.05
Office Assistant I/II 1.00 1.00 1.00
Total Full Time Equivalents 2.20 2.00 2.15
Dir of Com Dev/City Engineer 0.00 0.00 0.10
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 100,246$ 75,627$ 120,409$ 120,409$ 1013 OVERTIME 70 500 550 5501014 VACATION/SICK LEAVE 9,047 0 0 01020 RETIRE‐PERS EMPLOYER 11,210 8,123 12,805 12,8051021 RETIRE‐PERS EMPLOYEE 7,704 5,159 5,470 5,4701040 HEALTH INSURANCE 26,520 19,733 35,690 35,6901042 LIFE INSURANCE 138 203 304 3041044 WORKER'S COMP INSUR 5,894 3,450 3,318 3,3181046 FICA 1,569 1,069 1,771 1,7711047 SUI 955 434 933 9331049 SDI 137 0 152 152
Total 163,490$ 114,298$ 181,402$ 181,402$
2001 PROFESSIONAL SERVICES 96$ 1,000$ 1,000$ 1,000$ 2004 PERSONNEL 0 30,834 0 02060 ADVERTISING 0 200 200 2002065 PRINTING 760 1,400 1,000 1,0002069 OFFICE EQUIP & REPAIR 0 250 0 02070 AUTO/HEAVY EQUIP MAINT 644 1,000 1,400 1,4002075 OTHER MAINT. & REPAIR 0 100 100 100
Total 1,500$ 34,784$ 3,700$ 3,700$
3010 OFFICE SUPPLIES 260$ 800$ 800$ 800$ 3020 MATERIALS & SUPPLIES 40 400 400 4003024 AUTO/HEAVY EQUIP PART 0 250 0 03026 OTHER‐MAINT. & REPAIR 0 200 0 03033 GAS/DIESEL/OIL/LUBRICANTS 2,103 2,500 2,500 2,5003035 SHOP TOOLS 0 500 50 503040 UNIFORM/PROTECT CLOTH 299 350 350 3503045 REFERENCE BOOKS 181 300 100 1003510 MEMBER. DUES/SUBSCRIPT 303 185 268 268
Fund Title: General Fund Community DevelopmentFund/Division Number: 101‐2060‐447 Code Compliance
Personnel Services
Contract Services
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: General Fund Community DevelopmentFund/Division Number: 101‐2060‐447 Code Compliance
3520 TRAINING & TRAVEL ‐$ 500$ 750$ 750$ Total 3,186$ 5,985$ 5,218$ 5,218$
4010 FIXED CHARGES 183$ ‐$ 100$ 100$ 4090 COMPENSATED ABSENCES 0 0 270 270
Total 183$ ‐$ 370$ 370$
7002 EQUIPMENT REPLACEMENT ‐$ ‐$ ‐$ ‐$ Total ‐$ ‐$ ‐$ ‐$
TOTAL 168,359$ 155,067$ 190,690$ 190,690$
Fixed Charges
Depreciation/Amortization
Materials & Supplies (CONTINUED)
Public Nuisance
Description of Division
The Public Nuisance Division activities are performed by the Code Compliance staff, in conjunction with the Planning Division and the City Attorney’s Office. The activity is focused on the abatement of dilapidated and unsafe structures, the removal of abandoned vehicles, and other violations that have been declared a Public Nuisance. The monies from the Public Nuisance fund are used when all other legal collection avenues have been exhausted and the violation remains. The fund is intended to be self‐renewing by reimbursement.
Accomplishments 2011/2012
Provided Code Compliance services for the City, including the processing and abatement of approximately:
163 property maintenance and public nuisance violations and abatements thereof
88 Housing and Zoning violations and abatements thereof
7 Vehicle Cases
102 Weed Violation cases and abatements thereof
Work Plan 2012/2013
This fund provides the fiscal resources for Code Compliance activities, such as demolitions, abatements, boarding‐up houses, etc. A lien is placed on the property to recover the costs, and the money is recovered through property taxes.
Staff will continue to respond on nights and weekends for emergency services assistance for fire and damaged properties.
Significant Operating Changes
City ended furlough on February 20, 2012.
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
2016 CONTRACTS‐OTHER 10,524$ 85,000$ 23,894$ 23,894$ Total 10,524$ 85,000$ 23,894$ 23,894$
Internal ChargesTRANSFERS OUT 3,529$ 3,434$ 1,106$ 1,106$ Total 3,529$ 3,434$ 1,106$ 1,106$
TOTAL 14,053$ 88,434$ 25,000$ 25,000$
Fund Title: Public Nuisance Fund Community DevelopmentFund/Division Number: 209‐2040‐425 Public Nuisance
Contract Services
City of Lathrop – Community Development
FY 2012/2013
Director of
Community Development/City
Engineer
Planning Building
Principal Planner Chief Building Official
Building Inspector
Permit Technician
Management Analyst I/II
Sr. Administrative Assistant
Planning (.33) Building (.34)
Public Works (.33)
Code Compliance
Code Compliance Officer
I/II
Office Assistant
I/II
Culture and Recreation Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 166,116$ 128,215$ 155,117$ 155,117$
Total 166,116$ 128,215$ 155,117$ 155,117$
General FundPersonnel Services 769,501$ 903,303$ 970,915$ 970,915$ Contract Services 65,634$ 70,641$ 70,524$ 70,524$ InterGov. Contract Services 8,747$ ‐$ ‐$ ‐$ Materials & Supplies 35,571$ 63,300$ 74,265$ 74,265$ Fixed Charges ‐$ 495$ 17,620$ 17,620$ Capital Outlay ‐$ ‐$ 27,158$ 27,158$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 879,453$ 1,037,739$ 1,160,482$ 1,160,482$
Departmental StaffingAdministrative Assistant I/II 1.00 1.00 1.00 1.00Budget Analyst I/II 1.00 1.00 1.00 1.00Facility Supervisor 1.38 1.66 1.66 1.66Parks & Recreation Administrator 0.00 1.00 1.00 1.00Recreation Coordinator 1.35 0.00 0.00 0.00Recreation Leaders 3.70 3.70 3.70 3.70Recreation Supervisor 2.00 2.00 2.00 2.00Senior Center Manager 1.00 1.00 1.00 1.00Senior Recreation Leaders 3.75 3.75 3.75 3.75
Total Culture and Recreation FTE 15.18 15.11 15.11 15.11
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
Culture and Recreation—Administration
Description of Division
The Administration Division provides direct administration and supervision of other Divisions in the Department including personnel functions, budget monitoring, and the development and implementation of Department policies and procedures. This Division also provides management support for the planning and construction of parks and recreation facilities. Additionally, this Division helps support three City Council appointed Commissions and five Citizen Committees. The Division also produces the quarterly activity guide, processes program registration and facility bookings. Accomplishments 2011/2012
With assistance from Public Works staff, received Statewide Park Development and Community Revitalization Program of 2008 (Prop 84) grant award of $5,000,000 for the East Lathrop Community Complex Project (award announced March 2012).
Provided Staff support to Parks and Recreation Commission, Senior Advisory Commission, Youth Advisory Commission, Veteran’s Memorial Committee, Lathrop Celebration Committee, Mayor’s Art Show Committee, Holiday Parade Committee, and Beautification Day.
Worked with the Parks & Recreation Commission on the City’s Fee Waiver Policy (approved by City Council November 2011).
Created and implemented a handbook for all Mayor’s Committee Members.
Created and implemented an application and process for determining the July 1st Event Host Group.
Assisted the Youth Advisory Commission sub‐committees in preparation of the Lathrop Community Complex Project (fundraising, policies/rules, etc.).
Assisted Public Works in the completion of the Valverde Park Phase II project (Picnic Shelter/Amphitheatre) and submitted all grant reimbursement documents.
Assisted Public Works in determining the programming/facility needs for the Lathrop Community Center Renovation Project; project to begin construction August 2012.
Prepared for the closure of Lathrop Community Center for renovation (construction estimated for August 2012—February 2013); included coordination with Staff and Manteca Unified School District for facility space.
Began developing department Policy & Procedures Manual.
Culture and Recreation—Administration
Work Plan 2012/2013
Assist with Parks & Recreation Capital Improvement Projects, including:
Lathrop Community Complex GG 04‐01
Community Center Renovation PK 03‐03
Continue to review plans and negotiate with Developers for park amenities.
Continue to review the department’s budget, manage the RecTrac software program and final department policies and procedures (i.e. facility rental & special event policies).
Capital Requests
None
Significant Operating Changes
Administrative Assistant I position is recommended to be reclassified to an Administrative Assistant II position.
The Neighborhood & Community Services Director oversees the Human Resources Department, Parks & Recreation Department and Neighborhood & Community Services Department. The following budgetary allocation is proposed to change as follows for Fiscal Year 2012/2013:
FY 2011/2012 FY 2012/2013
Human Resources 70% 40%
Animal Services 10% 10%
Parks & Recreation 20% 50%
Culture and Recreation—Administration
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Administrative Assistant I/II 0.50 0.50 0.50
Budget Analyst I/II 0.80 0.90 0.90
Dir of Neighborhood & Com Services 0.20 0.20 0.50
Parks & Recreation Administrator 0.00 1.00 1.00
Total Full Time Equivalents 1.50 2.60 2.90
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 82,750$ 143,913$ 217,522$ 217,522$ 1012 PART‐TIME SALARIES 0 0 0 01013 OVERTIME 324 950 700 7001014 VACATION/SICK LEAVE 8,554 0 0 01020 RETIRE‐PERS EMPLOYER 9,368 17,641 25,774 25,7741021 RETIRE‐PERS EMPLOYEE 6,428 11,175 9,871 9,8711040 HEALTH INSURANCE 21,816 41,607 47,654 47,6541042 LIFE INSURANCE 174 428 434 4341044 WORKER'S COMP INSUR 4,237 4,908 4,500 4,5001045 AUTO ALLOWANCE 0 0 0 01046 FICA 1,294 2,359 3,311 3,3111047 SUI 651 1,128 1,259 1,2591049 SDI 484 1,662 1,948 1,948
Total 136,080$ 225,771$ 312,973$ 312,973$
2001 PROFESSIONAL SERVICES 140$ 500$ 500$ 500$ 2004 PERSONNEL 231 200 500 5002060 ADVERTISING 0 300 300 3002065 PRINTING 3,658 4,310 4,310 4,3102069 OFFICE EQUIP & REPAIR 210 400 400 4002070 AUTO/HEAVY EQUIP MAINT 172 1,000 1,000 1,0002075 OTHER MAINT. & REPAIR 128 300 300 300
Total 4,539$ 7,010$ 7,310$ 7,310$
3010 OFFICE SUPPLIES 890$ 900$ 900$ 900$ 3011 POSTAGE 641 680 700 7003020 MATERIALS & SUPPLIES 50 200 200 2003033 GAS/DIESEL/OIL/LUBRICANTS 1,372 1,500 1,500 1,5003037 MISCELLANEOUS EQUIP 206 300 300 3003040 UNIFORM/PROTECT CLOTH 23 0 0 03043 BADGES & NAME PLATES 17 75 75 75
Culture and RecreationAdministration
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
General Fund101‐3001‐461
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Culture and RecreationAdministration
Fund Title:Fund/Division Number:
General Fund101‐3001‐461
3045 REFERENCE BOOKS ‐$ 100$ 100$ 100$ 3047 AWARDS 0 100 100 1003510 MEMBER. DUES/SUBSCRIPT 0 0 0 03520 TRAINING & TRAVEL 166 80 1,000 1,000
Total 3,365$ 3,935$ 4,875$ 4,875$
4090 COMPENSATED ABSENCES ‐$ ‐$ 4,570$ 4,570$ Total ‐$ ‐$ 4,570$ 4,570$
TOTAL 143,984$ 236,716$ 329,728$ 329,728$
Materials & Supplies (CONTINUED)
Fixed Charges
Culture and Recreation—Senior Center
Description of Division The Senior Center Division is responsible to meet the recreational, educational, physical and social needs for adults ages 50 or older. The budget provides funding for two positions, Senior Center Manager and Senior Recreation Leader, to manage the facility, implement a variety of programs (activities and food programs), assist the Senior Advisory Commission, produce a monthly newsletter and coordinate volunteers. The Division monitors the Senior Advisory Commission (SAC) Fund.
Accomplishments 2011/2012
Offered the following programs:
AARP Driver Safety Class
AARP Tax Preparation Service
Medicare Insurance Questions (HICAP) & Health Net Mini Seminar
Senior Legal Services (Council for Spanish Speaking)
Flu Shots (Walgreens Drug Store)
Brown Bag, Commodities and Farmer’s Market (offered monthly)
Offered new classes/events:
Advanced Cooking Class
Super Senior Karaoke
Organized 2011 Chili Cook‐Off Fundraiser with the Senior Advisory Commission (September 2011)
Organized 2011 3rd Annual SAC BBQ Event with the Senior Advisory Commission (July 2011)
Assisted Senior Advisory Commission with Annual Spaghetti Fundraiser (April 2012)
Culture and Recreation—Senior Center
Accomplishments 2011/2012 (continued)
Hosted the following holiday/special events: Alien Crash Site Halloween Walk‐Through Experience, Holiday Boutique, Mid‐day Black & White Bash, Bunny Breakfast, Parking Lot Sale, Saint Patrick's Day Breakfast, Mother’s Day Luncheon & Father’s Day Luncheon.
Work Plan 2012/2013
Maintain close communication with seniors and the Senior Advisory Commission (SAC). This includes assisting SAC to prepare event budgets and develop a more sophisticated approach towards event planning and management.
Introduce new programming ideas in consultation with SAC and the seniors.
Explore opportunities to increase self‐sustaining programs such as fee‐for‐service opportunities and Senior Advisory Commission (SAC) fundraising.
Capital Requests
Capital Outlay—Furniture $11,000 This request is for a one time purchase to replace 100 chairs at the Senior Center and also to purchase ergonomic office furniture/equipment for P&R Administrator Office. $4,185 is to be transferred in from the Senior Center Equipment Replacement Reserve; balance of $6,815 is proposed to be funded from the General Fund.
Significant Operating Changes
None
Culture and Recreation—Senior Center
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Senior Center Manager 1.00 1.00 1.00
Senior Recreation Leader 1.00 1.00 1.00
Total Full Time Equivalents 2.00 2.00 2.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 64,549$ 83,233$ 89,416$ 89,416$ 1012 PART‐TIME SALARIES 0 0 0 01013 OVERTIME 0 0 0 01014 VACATION/SICK LEAVE 7,293 0 0 01020 RETIRE‐PERS EMPLOYER 7,550 9,110 10,595 10,5951021 RETIRE‐PERS EMPLOYEE 5,195 5,787 4,072 4,0721040 HEALTH INSURANCE 22,447 30,109 14,028 14,0281042 LIFE INSURANCE 156 219 210 2101044 WORKER'S COMP INSUR 2,797 3,930 3,050 3,0501046 FICA 1,158 1,285 1,443 1,4431047 SUI 781 868 868 8681049 SDI 735 785 758 758
Total 112,661$ 135,326$ 124,440$ 124,440$
2001 PROFESSIONAL SERVICES ‐$ 100$ 100$ 100$ 2003 RECREATION 1,890 1,815 1,814 1,8142004 PERSONNEL 0 0 0 02060 ADVERTISING 0 200 200 2002065 PRINTING 7,128 7,860 7,860 7,8602069 OFFICE EQUIP & REPAIR 530 300 300 300
Total 9,548$ 10,275$ 10,274$ 10,274$
3010 OFFICE SUPPLIES 719$ 800$ 800$ 800$ 3011 POSTAGE 1,356 1,780 1,780 1,7803020 MATERIALS & SUPPLIES 3,199 4,500 4,500 4,5003021 BUILD MAINT MAT & SUP 0 0 0 03026 OTHER‐MAINT. & REPAIR 136 700 700 7003037 MISCELLANEOUS EQUIP 0 300 300 3003040 UNIFORM/PROTECT CLOTH 0 120 120 1203043 BADGES & NAME PLATES 0 100 100 1003047 AWARDS 0 150 150 150
Culture and RecreationSenior Center
Fund Title: General FundFund/Division Number: 101‐3021‐463
Personnel Services
Contract Services
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Culture and RecreationSenior Center
Fund Title: General FundFund/Division Number: 101‐3021‐463
3060 CONTRIBUTION M& O 4,818$ 20,300$ 22,100$ 22,100$ 3510 MEMBER. DUES/SUBSCRIPT 0 0 0 03520 TRAINING & TRAVEL 0 80 780 780
Total 10,228$ 28,830$ 31,330$ 31,330$
4080 COMPENSATED ABSENCES ‐$ 495$ 3,030$ 3,030$ Total ‐$ 495$ 3,030$ 3,030$
5011 FURNITURE ‐$ ‐$ 11,000$ 11,000$ Total ‐$ ‐$ 11,000$ 11,000$
TOTAL 132,437$ 174,926$ 180,074$ 180,074$
Capital Outlay
Fixed Charges
Materials & Supplies (CONTINUED)
Culture and Recreation—Recreation Programs
Description of Division The Recreation Division is responsible for a variety of recreation programs, events, and services. Programs include: special interest classes, special events, teen program and pre‐school programs. Additionally, the Division assists with program registration, facility bookings, and after hours facility monitoring including: Valverde Park, Mossdale Park, Sangalang Park, Park West, Lathrop Skate Park, Senior Center and Lathrop One Building and all other Parks & Recreation facilities. The Division advises the Youth Advisory Commission (YAC) and manages the YAC fund.
Accomplishments 2011/2012
Use of City facilities has remained consistent compared to last fiscal year.
Held the 2011 Annual Tree lighting event with the Lathrop High School Choir and Band, the Lathrop Area Music Program (LAMP) Choir and the Lathrop Elementary School Choir participation.
The Lathrop Youth Advisory Commission/teen volunteers donated over 1,680 hours assisting with City Special Events, teen activities and other recreation programs.
The Lathrop Youth Advisory Commission/teen volunteers provided input to city staff and LDA architects in the development of the East Lathrop Community Complex Project & the submission of the Statewide Park Program Proposition 84 Grant that was awarded for this project in March 2012.
Established several new classes to the Recreation Division (i.e. Aikido, Escrima “Filipino Martial Arts”).
Assisted the Beautification Day / Love Lathrop Committee and Lathrop Celebration Committee with budget and program details.
The Lathrop Youth Advisory Commission held the 2012 Teen Leadership Retreat which was attended by teens from Lathrop & Joseph Widmer Elementary schools as well as Lathrop High School (March 2012).
Culture and Recreation—Recreation Programs
Work Plan 2012/2013
Maintain programs and attendance during the renovation of the Lathrop Community Center (renovation scheduled August 2012—Feburary 2013).
Continue to maintain existing programs and services. Continue in‐house training in RecTrac (the Department’s facility & activity registration program) to improve and
streamline class and facility organization. Assist with Parks & Recreation Capital Improvement Projects, including Lathrop Community Center Renovation
and Lathrop Community Complex.
Capital Requests
Miscellaneous Class Equipment (3037)
Mats/Gymnastics Equipment Replacement $1,500 Miscellaneous Office Equipment for after the Community Center Renovation $2,000
Capital Outlay—Furniture (5011)
Purchase of 100 Additional Chairs / 10 Tables for Community Center $12,158 (funding will be transferred in from Community Center Equipment Replacement Reserve) Office Furniture for after the Community Center Renovation $4,000 (office furniture is not included as part of the Capital Improvement Project)
Significant Operating Changes
Closure of the Lathrop Community Center for Renovation: The Lathrop Community Center will be closed for renovation from approximately August 13, 2012—Feburary 2013. During this time, staff will be relocated to other City facilities. Classes and programs normally held at the Lathrop Community Center will be relocated to the Lathrop Senior Center, Lathrop One facility, or in some cases to Lathrop School.
Culture and Recreation—Recreation Programs
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Administrative Assistant I/II 0.20 0.20 0.20
Facility Supervisor 1.38 1.66 1.66
Recreation Coordinator 0.35 0.00 0.00
Recreation Leader 0.20 0.20 0.29
Recreation Supervisor 1.00 1.00 1.00
Total Full Time Equivalents 3.13 3.06 3.15
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 95,498$ 106,010$ 116,615$ 116,615$ 1012 PART‐TIME SALARIES 25,971 20,646 23,904 23,9041013 OVERTIME 2,429 1,200 1,100 1,1001014 VACATION/SICK LEAVE 8,167 0 0 01020 RETIRE‐PERS EMPLOYER 11,546 11,462 13,863 13,8631021 RETIRE‐PERS EMPLOYEE 7,953 7,274 5,324 5,3241040 HEALTH INSURANCE 31,206 29,053 29,295 29,2951042 LIFE INSURANCE 138 295 294 2941044 WORKER'S COMP INSUR 3,315 4,992 4,200 4,2001046 FICA 2,672 2,684 3,517 3,5171047 SUI 1,995 2,072 2,307 2,3071049 SDI 12 0 0 0
Total 190,902$ 185,688$ 200,419$ 200,419$
2001 PROFESSIONAL SERVICES 3,038$ 4,250$ 4,250$ 4,250$ 2003 RECREATION 25,770 19,376 19,810 19,8102055 YOUTH/ADULT ACTIVITY 0 2,200 2,200 2,2002060 ADVERTISING 0 100 100 1002065 PRINTING 6,219 7,230 7,230 7,2302067 EQUIPMENT RENTAL 0 1,200 1,200 1,200
Total 35,027$ 34,356$ 34,790$ 34,790$
3010 OFFICE SUPPLIES 889$ 1,100$ 1,100$ 1,100$ 3011 POSTAGE 1,122 1,190 1,225 1,2253020 MATERIALS & SUPPLIES 2,353 2,750 2,500 2,5003037 MISCELLANEOUS EQUIP 2,000 1,500 3,500 3,5003040 UNIFORM/PROTECT CLOTH 0 250 250 2503045 REFERENCE BOOKS 0 0 0 03047 AWARDS 615 600 600 6003060 CONTRIBUTION M& O 1,501 5,800 8,900 8,9003510 MEMBER. DUES/SUBSCRIPT 155 160 160 160
Culture and RecreationFund/Division Number: 101‐3030‐461 Recreation Programs
Personnel Services
Materials & Supplies
Fund Title: General Fund
Contract Services
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Culture and RecreationFund/Division Number: 101‐3030‐461 Recreation ProgramsFund Title: General Fund
3520 TRAINING & TRAVEL 103$ 200$ 1,200$ 1,200$ Total 8,738$ 13,550$ 19,435$ 19,435$
4041 RENTS ‐$ ‐$ 10,020$ 10,020$ Total ‐$ ‐$ 10,020$ 10,020$
5011 FURNITURE ‐$ ‐$ 16,158$ 16,158$ Total ‐$ ‐$ 16,158$ 16,158$
TOTAL 234,667$ 233,594$ 280,822$ 280,822$
Capital Outlay
Fixed Charges
Materials & Supplies (CONTINUED)
Culture and Recreation—Kid Club & Day Camp
Description of Division The Kid Club & Day Camp Division provides quality recreational and educational programs for children of local residents. The budget includes appropriations for staffing, materials and supplies necessary to provide before school programs, after school programs, summer camps with educational activities and programs and field trips for school age children. Accomplishments 2011/2012
Program Average Daily Attendance for the last three fiscal years is as follows:
09/10 10/11 11/12
Before School ‐ Community Center 20 15 15 Before School ‐ Joseph Widmer School 12 10 10 Before School ‐ Mossdale School 15 13 10 After School ‐ Community Center 18 20 20 After School ‐ Joseph Widmer School 20 20 20 After School ‐ Mossdale School 20 20 20 Camp Themed Weeks 20 20 20
3rd year for reading program, “Paws for Reading” with volunteers and their canine that encourages children to enjoy reading.
4th year working closely with San Joaquin County Worknet to train personnel for our program.
4th year for the program “Green Machine” that maintains the removal of trash and debris in Valverde Park and teaches Kid Club participants the importance of taking care of our planet. Approximately 15 children from Kid Club participate.
4th year to provide a facility for the federally funded USDA Snack Program at the Lathrop Community Center; this program served approximately 50 children daily during the school year. Snacks were also served for the first time this year at the Joseph Widmer, Jr. School & Mossdale School Kid Club sites.
Culture and Recreation—Kid Club & Day Camp
Accomplishments 2011/2012 (continued)
USDA Summer Food Program also was utilized by the Kid Club program and local community during the summer months. Average Daily Attendance for summer 2011 was:
Breakfast Served Daily 30 Lunch Served Daily 35 Work Plan 2011/2012
Continue to improve customer service and maintain high quality children’s programs for Lathrop residents.
Continue to encourage our participants to make healthy activity choices through our summer camp themes.
Continue to encourage our participants to make healthy diet choices through our educational programming in after school programs.
Continue to teach the children in the community to take pride in their surroundings and environment.
Continue to offer the community educational and entertaining programming through our camp settings and before/ after school program settings.
Maintain high program standards and attendance during the renovation of the Lathrop Community Center (renovation scheduled August 2012—February 2013).
Capital Requests
None
Significant Operating Changes
Closure of the Lathrop Community Center for Renovation: The Lathrop Community Center will be closed for renova‐tion from approximately August 13, 2012—February 2013. During this time, staff will be relocated to other City facili‐ties. Kid Club programs normally held at the Lathrop Community Center will be relocated to other facilities including Lathrop School.
Kid Club Recreation Leaders distributions have been reallocated to include 5% in Recreation Programs Division and 5% in the Sports Division as these Recreation Leaders fill in these other divisions as needed.
Culture and Recreation—Kid Club & Day Camp
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Recreation Supervisor 0.60 0.60 0.60
Senior Recreation Leader 2.75 2.75 2.75
Total Full Time Equivalents 6.71 6.71 6.56
Administrative Assistant I/II 0.20 0.20 0.20
Recreation Leader 3.16 3.16 3.01
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 62,723$ 92,247$ 78,386$ 78,386$ 1012 PART‐TIME SALARIES 87,268 88,137 104,131 104,1311013 OVERTIME 470 800 400 4001014 VACATION/SICK LEAVE 9,769 0 0 01020 RETIRE‐PERS EMPLOYER 10,570 12,595 14,643 14,6431021 RETIRE‐PERS EMPLOYEE 7,300 8,026 5,660 5,6601040 HEALTH INSURANCE 39,881 51,643 52,183 52,1831042 LIFE INSURANCE 126 298 284 2841044 WORKER'S COMP INSUR 8,934 12,288 9,000 9,0001046 FICA 5,183 5,443 6,311 6,3111047 SUI 4,909 5,407 5,135 5,1351049 SDI 12 0 0 0
Total 237,145$ 276,884$ 276,133$ 276,133$
2003 RECREATION ‐$ ‐$ ‐$ ‐$ 2055 YOUTH/ADULT ACTIVITY 8,406 9,000 8,100 8,1002065 PRINTING 2,681 2,820 2,820 2,820
Total 11,087$ 11,820$ 10,920$ 10,920$
2510 SPECIAL CONT/INTERGOV 8,747$ ‐$ ‐$ ‐$ 8,747$ ‐$ ‐$ ‐$
3010 OFFICE SUPPLIES 288$ 500$ 500$ 500$ 3011 POSTAGE 481 510 525 5253020 MATERIALS & SUPPLIES 2,421 2,500 2,500 2,5003037 MISCELLANEOUS EQUIP 77 200 200 2003040 UNIFORM/PROTECT CLOTH 0 550 550 5503510 MEMBER. DUES/SUBSCRIPT 0 160 160 1603520 TRAINING & TRAVEL 0 520 1,520 1,520
Total 3,267$ 4,940$ 5,955$ 5,955$
Culture and RecreationFund/Division Number: 101‐3033‐461 Kid Club & Day Camp
Personnel Services
Materials & Supplies
Fund Title: General Fund
InterGov. Contract Services
Contract Services
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Culture and RecreationFund/Division Number: 101‐3033‐461 Kid Club & Day CampFund Title: General Fund
Internal ChargesINDIRECT COST ‐$ ‐$ ‐$ ‐$ CAPITAL REPLACEMENT 0 0 0 0
Total ‐$ ‐$ ‐$ ‐$
TOTAL 260,246$ 293,644$ 293,008$ 293,008$
Culture and Recreation ‐ Sports, Fitness & Outdoor Programs
Description of Division This is the seventh year for this division in the Parks & Recreation Department. This Division includes: youth sports, adult sports, outdoor programs, and fitness programs.
Accomplishments 2011/2012 Offered Pee Wee Sports (ages 4‐7 years) in flag football, soccer, basketball and t‐ball with an average participation of 60+
children per sport.
Offered Youth Sports (ages 8‐13 years) in flag football, soccer and basketball with an average participation of 40+ participants per sport.
Implemented Start Smart Soccer, Flag Football, T‐Ball and Basketball for children ages 3 and 4 years. This program has the support and interaction of parents and staff.
Offered Fun Day/Clinic for Pee Wee and Youth Soccer staffed by Challenger Sports at Sangalang Park for over 100 children (April 2012).
2nd Year offering British Soccer Camps staffed by Challenger Sports at Mossdale Park (June 2012)
Offered open gym Monday—Friday at the Lathrop Community Center during the day for the community.
4th year of Adult Coed Softball League.
Work Plan 2012/2013
Maintain high program standards and attendance during the renovation of the Lathrop Community Center (renovation scheduled August 2012—Feburary 2013). Renovation will impact the Pee Wee, Youth, Adult and Start Smart Basketball programs.
Increase numbers in Adult Basketball League & Adult Coed Softball participation.
Culture and Recreation ‐ Sports, Fitness & Outdoor Programs
Capital Requests
None
Significant Operating Changes
Closure of the Lathrop Community Center for Renovation: The Lathrop Community Center will be closed for renovation from approximately August 13, 2012—Feburary 2013. During this time, staff will be relocated to other City facilities. Sports Programs (basketball) normally held at the Lathrop Community Center will be relocated to another facility.
Staffing FY 2012/2013 (in alphabetical order)
Position Summary
Position: 10/11 11/12 12/13
Recreation Leader 0.34 0.34 0.40
Recreation Supervisor 0.35 0.35 0.35
Total Full Time Equivalents 1.79 0.79 0.85
Administrative Assistant I/II 0.10 0.10 0.10
Recreation Coordinator 1.00 0.00 0.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 22,042$ 26,556$ 28,245$ 28,245$ 1012 PART‐TIME SALARIES 33,361 11,534 10,288 10,2881013 OVERTIME 269 450 225 2251014 VACATION/SICK LEAVE 2,941 0 0 01020 RETIRE‐PERS EMPLOYER 5,586 6,662 4,155 4,1551021 RETIRE‐PERS EMPLOYEE 3,843 4,232 1,613 1,6131040 HEALTH INSURANCE 16,428 21,073 4,941 4,9411042 LIFE INSURANCE 75 161 72 721044 WORKER'S COMP INSUR 1,824 2,352 1,388 1,3881046 FICA 1,030 1,302 780 7801047 SUI 1,288 1,063 792 7921049 SDI 6 0 0 0
Total 88,693$ 75,385$ 52,499$ 52,499$
2003 RECREATION 2,590$ 4,200$ 4,250$ 4,250$ 2065 PRINTING 1,184 1,140 1,140 1,140
Total 3,774$ 5,340$ 5,390$ 5,390$
3010 OFFICE SUPPLIES 133$ 400$ 400$ 400$ 3011 POSTAGE 208 170 175 1753020 MATERIALS & SUPPLIES 4,405 4,900 5,190 5,1903040 UNIFORM/PROTECT CLOTH 0 125 125 1253047 AWARDS 1,303 1,820 2,040 2,0403510 MEMBER. DUES/SUBSCRIPT 0 155 0 03520 TRAINING & TRAVEL 0 80 340 340
Total 6,049$ 7,650$ 8,270$ 8,270$
TOTAL 98,516$ 88,375$ 66,159$ 66,159$
Fund Title: General Fund Culture and RecreationFund/Division Number: 101‐3036‐461 Sports,Fitness & Outdoor Programs
Personnel Services
Contract Services
Materials & Supplies
Culture and Recreation—Library Description of Division
The Library Division provides staffing and equipment to operate a library branch that is open to the public 25 hours per week. This library branch is made possible through a partnership with the Stockton‐San Joaquin County Public Library system. The branch is currently located at 15461 7th Street, Lathrop.
Accomplishments 2011/2012 Lathrop Library Branch has been operating successfully for seven years.
Lathrop Library Branch offered Preschool Story Time, Puppet Shows, teen programs, arts and crafts programs and guests speakers for all ages.
The Library Division continued to offer services to Lathrop residents, including partnership of new programs and no‐cost computer classes.
Mobile Library site location was changed in order to encourage more participation by Lathrop residents; new sites include Mossdale Landing Community Park and the Green Park.
Work Plan 2012/2013
The Parks & Recreation Library Division will continue to offer services to Lathrop residents such as: computer access, circulation of materials and programming to Lathrop residents (which includes partnership of new programs).
The Stockton‐San Joaquin County Library will be coordinated with for the planning and design of the Lathrop Commu‐nity Complex which includes a new library component.
Capital Requests None
Significant Operating Changes
The Lathrop Branch Library is currently open to the public 25 hours per week (5 hours per day, Tuesday—Saturday).
Culture and Recreation—Library
Staffing FY 2012/2013 (in alphabetical order)
A Supervising Librarian and a Stockton City‐County employee will provide oversight of the Lathrop Branch Library through the Stockton – San Joaquin County Public Library. A small portion of a City of Lathrop Recreation Supervisor’s time is budgeted to assist with coordination of the division.
Position: 10/11 11/12 12/13
Recreation Supervisor 0.05 0.05 0.05
Total Full Time Equivalents 0.05 0.05 0.05
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 2,646$ 3,050$ 3,299$ 3,299$ 1013 OVERTIME 34 50 25 251014 VACATION/SICK LEAVE 308 0 0 01020 RETIRE‐PERS EMPLOYER 303 328 391 3911021 RETIRE‐PERS EMPLOYEE 208 208 150 1501040 HEALTH INSURANCE 418 491 469 4691042 LIFE INSURANCE 3 8 8 81044 WORKER'S COMP INSUR 35 48 38 381046 FICA 43 44 49 491047 SUI 22 22 22 22
Total 4,020$ 4,249$ 4,451$ 4,451$
2003 RECREATION 775$ 900$ 900$ 900$ 2058 COMPUTER TECH SUPP. 0 0 0 02065 PRINTING 884 940 940 940
Total 1,659$ 1,840$ 1,840$ 1,840$
3010 OFFICE SUPPLIES 32$ 125$ 125$ 125$ 3011 POSTAGE 160 170 175 1753020 MATERIALS & SUPPLIES 70 300 300 3003037 MISCELLANEOUS EQUIP 62 200 200 2003045 REFERENCE BOOKS 3,600 3,600 3,600 3,600
Total 3,924$ 4,395$ 4,400$ 4,400$
TOTAL 9,603$ 10,484$ 10,691$ 10,691$
Fund Title: General Fund Culture and RecreationFund/Division Number: 101‐3040‐462 Library
Personnel Services
Contract Services
Materials & Supplies
Chief of Police
Lieutenant
Patrol Sergeant
(1)
Detectives
(2)
Community Resource
Officer
Patrol Deputy
(7)
FY 2012/2013
City of Lathrop – Public Safety
Police Services
Manager
School Resource
Officer
Crime and Intelligence
Analyst
Traffic Deputy
Patrol Sergeant
(1)
Patrol Deputy
(7)
Administrative Assistant
I/II
Public Safety Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 510,944$ 553,547$ 547,829$ 547,829$ Traffic Safety 47,648$ 35,500$ 32,000$ 32,000$ Asset Forfeiture 11$ ‐$ ‐$ ‐$ Universal Hiring Grant 5,750$ 10,576$ 175,000$ 175,000$ COPS 101,607$ 100,000$ 100,000$ 100,000$
Total 667,081$ 699,623$ 854,829$ 854,829$
General FundPersonnel Services 216,854$ 225,084$ 243,218$ 243,218$ Contract Services 29,288$ 36,506$ 32,792$ 32,792$ InterGov. Contract Services 3,187,576$ 3,560,335$ 3,727,603$ 3,727,603$ Materials & Supplies 29,688$ 38,785$ 30,810$ 30,810$ Fixed Charges 50,147$ 51,086$ 53,956$ 53,956$ Capital Outlay 71,202$ 40,564$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service 4,786$ 4,800$ 5,000$ 5,000$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 3,589,541$ 3,957,160$ 4,093,379$ 4,093,379$ Traffic Safety
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services 20,750$ 25,300$ 25,800$ 25,800$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 7,118$ 10,500$ 11,820$ 11,820$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ 3,500$ 3,500$ 3,500$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 5,292$ 4,996$ 4,710$ 4,710$
Traffic Safety Total 33,160$ 44,296$ 45,830$ 45,830$
Operating Revenues by Fund
Departmental Operating Expenditure by Fund
Public Safety Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Asset ForfeiturePersonnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ 1,200$ 1,200$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 94$ ‐$ ‐$ ‐$
Asset Forfeiture Total 94$ ‐$ 1,200$ 1,200$ Universal Hiring Grant
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ ‐$ ‐$ InterGov. Contract Services 4,264$ 10,576$ 175,000$ 175,000$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ 3,389$ 3,389$
Universal Hiring Grant Total 4,264$ 10,576$ 178,389$ 178,389$ California Law Enforcement Equip. Program
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ ‐$ ‐$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 1,121$ ‐$ ‐$ ‐$
CA Law Enforcement Equip.Total 1,121$ ‐$ ‐$ ‐$
Departmental Operating Expenditure by Fund
Public Safety Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Community Option for Police ("COPS")Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ ‐$ ‐$ InterGov. Contract Services 100,000$ 100,000$ 100,000$ 100,000$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 1,607$ ‐$ ‐$ ‐$
COPS Total 101,607$ 100,000$ 100,000$ 100,000$
Public Safety Grand Total 3,729,787$ 4,112,032$ 4,418,798$ 4,418,798$
Departmental Operating Expenditure by Fund
Public Safety Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Departmental StaffingAdministrative Assistant I/II 1.00 1.00 1.00 0.00Chief of Police 1.00 1.00 1.00 0.00Crime & Intelligence Analyst 1.00 1.00 1.00 0.00Deputy Sheriff II for Com Resource Officer 1.00 1.00 1.00 0.00Deputy Sheriff II for School Resource Off 1.00 1.00 1.00 0.00Deputy Sheriff II's for Investigations 2.00 2.00 2.00 0.00Deputy Sheriff II's for Patrol 15.00 15.00 15.00 0.00Lieutenant to serve as Supervisor 1.00 1.00 1.00 0.00Police Services Manager 1.00 1.00 1.00 0.00Sergeant to serve as Supervisor 2.00 2.00 2.00 0.00
Total Public Safety FTE 26.00 26.00 26.00 ‐
Public Safety—Administration
Description of Division
Mission Statement (Why we are here)
We, the members of Lathrop Police Services in partnership with our community, will strive to reduce crime, the fear of crime, and improve quality of life by upholding laws, protecting lives and property, and providing a safe and secure environment for everyone.
Vision (Where we are headed)
The vision of Lathrop Police Services, a division of the San Joaquin County Sheriff’s Office, is to be regarded by our community and our profession as the premier law enforcement agency in the State of California.
Values (How we do our business)
S afety and security ( Our number one priority to all of our citizens living, working or visiting in the City of Lathrop)
E xcellence ( The quality of being exceptionally good in our service delivery)
R espect ( Willingness to show consideration, appreciation, concern for all people and staff)
V igilance ( Careful attention, alert watchfulness of our community)
I ntegrity ( Honesty and moral soundness)
C ollaboration ( To work together/partnerships)
E thics (A code of behavior, a set of principles of right conduct we model)
Goals (Desired outcome we seek)
To Reduce Crime
To Reduce the Fear of Crime
To Improve the Overall Quality of Life in the Community
To Build and Maintain Effective Partnerships in the City of Lathrop and with all the City Stakeholders
Public Safety—Administration
Accomplishments 2011/2012
Continued funding of (1) Community Resource Officer and (1) School Resource Officer
Presentation of D.A.R.E. Program to 5th grade students at Lathrop, Widmer and Mossdale Elementary Schools. 290
students Graduated the program. Conducted special Traffic Enforcements and directed patrols targeting specific areas of concern. Participated in special Traffic Enforcement targeting Distracted Drivers using hand‐held phones while driving. Conducted Child Safety Seat Inspections at Del Monte Foods, Carpenter Company and Swift Trucking Company. 20 Neighborhood Watch Groups were active in 2011. 20 Community Members opened their homes to their neighbors
on August 2, 2011 for National Night Out. Relationships were established with multiple Lathrop business owners to offer “Business Watch”, a crime deterrent and
prevention program for their workplaces. Two sessions of the Ninth Annual Junior Police Academy Program were held, with 30 cadets participating Seventh Annual Citizen's Police Academy; 13 community members participated Annual Bicycle Rodeo was held with 75 participants. All participants received a free, donated bicycle helmet. File of Life for Senior Citizens. Community Outreach ‐ Canned Food Drives / Clothing Drives / Bicycle Helmet Drive CPTED Crime Prevention Through Environmental Design Youth Activities Commission
Community Crime Prevention Training, specifically Elder Abuse and Identity Theft Awareness South County Crime Stoppers
Public Safety—Administration
Accomplishments 2011/2012 (continued)
Juvenile Probation Partnership ‐ Lathrop Police Services continues our partnership with the Juvenile Probation Department. The full‐time probation officer works closely with our detectives and deputies to help them in the identification and apprehension of subjects involved in gang and drug activities.
116 drunk drivers were arrested during calendar year 2011 for DUI (Driving Under the Influence) A total 662 arrests were made in calendar year 2011.
Awarded 2nd Place in the California Law Enforcement Challenge by the California Office of Traffic Safety
Impounded or stored a total of 314 vehicles in 2011. Of these vehicles, 67 were driven by a person with a suspended Driver’s license, and 21 of the drivers had prior convictions for Driving Under the Influence.
Conducted 3 Sobriety Checkpoints in 11/12 funded through a Grant from the California Office of Traffic Safety.
Participated in AVOID the 10 DUI Checkpoints and DUI Special Patrols with other San Joaquin County allied agencies.
Participated in numerous County‐wide Probation sweeps with local allied agencies.
Continued collaboration with other City Departments, including Code Enforcement, Public Works, Animal Control, Finance, Parks and Recreation, Community Development and the Lathrop/Manteca Fire District.
Public Safety—Administration
Work Plan 2012/13
Continue utilizing Crime Analysis Reports to address hot‐spot crime areas within the City, and deploy officers on regular
patrol, and assign officers to special operations when necessary, to address these problems pro‐actively.
Continue to improve Traffic and Pedestrian Safety by the use of Traffic Enforcements and Public Education.
Continue developing, improving and expanding Crime Prevention Programs within the community.
Expand Neighborhood Watch Programs.
Continue developing the Business Watch Program with local businesses.
Continue Child Safety Restraint Programs for community members, including a Child Safety Seat Faire providing free
safety seat inspections, proper installation assistance, and educational materials on the seatbelt / child safety restraint
laws.
Work in partnership with other local Law Enforcement Agencies, conducting special sweeps to check on sex offenders,
probationers, and parolees to ensure they are in compliance with conditions of parole and probation
Collaboratively coordinate and participate in the “Every 15 Minutes“ program to be held at Lathrop High School in May
2013
Reintroduce Bicycle Patrols in our neighborhoods and community parks
Capital Requests None Significant Operating Changes
None
Public Safety—Administration Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Administrative Assistant I/II 1.00 1.00 1.00
Crime & Intelligence Analyst 1.00 1.00 1.00
Police Services Manager 1.00 1.00 1.00
Total Full Time Equivalents 3.00 3.00 3.00
San Joaquin County Positions: 10/11 11/12 12/13
Chief of Police 1.00 1.00 1.00
Deputy Sheriff Investigations 2.00 2.00 2.00
Deputy Sheriff for Com Resource Officer 0.33 0.33 0.33
Deputy Sheriff for Patrol 10.00 10.00 10.00
Deputy Sheriff for School Resource Officer 1.00 1.00 1.00
Lieutenant to serve as Supervisor 1.00 1.00 1.00
Sergeant to Serve as Supervisor 2.00 2.00 2.00
Total San Joaquin County Positions 17.33 17.33 17.33
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 146,121$ 161,879$ 178,313$ 178,313$ 1013 OVERTIME 324 800 800 8001014 VACATION/SICK LEAVE 11,510 0 0 01020 RETIRE‐PERS EMPLOYER 16,171 17,479 21,128 21,1281021 RETIRE‐PERS EMPLOYEE 11,108 11,083 8,096 8,0961040 HEALTH INSURANCE 22,295 23,946 25,758 25,7581042 LIFE INSURANCE 288 436 433 4331044 WORKER'S COMP INSUR 4,576 4,890 3,800 3,8001045 AUTO ALLOWANCE 0 0 0 01046 FICA 2,328 2,390 2,744 2,7441047 SUI 1,302 1,302 1,302 1,3021048 ANNUAL BILINGUAL PAY 0 0 0 01049 SDI 831 879 844 844
Total 216,854$ 225,084$ 243,218$ 243,218$
2001 PROFESSIONAL SERVICES 10,725$ 10,950$ 11,900$ 11,900$ 2018 ALARM SERVICE 1,860 5,294 2,280 2,2802025 BUILD & GROUND MAINT 3,187 3,470 2,870 2,8702058 COMPUTER TECH SUPP. 2,142 2,142 2,142 2,1422060 ADVERTISING 0 0 0 02065 PRINTING 2,292 1,150 600 6002069 OFFICE EQUIP & REPAIR 0 0 0 02070 AUTO/HEAVY EQUIP MAINT 5,164 8,000 8,000 8,0002072 COMMUNICATION EQUIP REPAIR 1,323 2,000 2,000 2,0002075 OTHER MAINT. & REPAIR 2,595 3,500 3,000 3,000
Total 29,288$ 36,506$ 32,792$ 32,792$
2510 SPECIAL CONT/INTERGOV 2,874,059$ 3,216,207$ 3,377,322$ 3,377,322$ 2511 GOLD RUSH‐POLICE 289,867 320,428 326,581 326,5812514 MOSSDALE LANDING‐POLICE 23,650 23,700 23,700 23,700
3,187,576$ 3,560,335$ 3,727,603$ 3,727,603$
Public SafetyAdministration
InterGov. Contract Services
General Fund101‐4010‐421
Personnel Services
Fund Title:Fund/Division Number:
Contract Services
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Public SafetyAdministration
General Fund101‐4010‐421
Fund Title:Fund/Division Number:
3010 OFFICE SUPPLIES 4,107$ 4,800$ 3,800$ 3,800$ 3020 MATERIALS & SUPPLIES 7,803 8,500 8,500 8,5003026 OTHER‐MAINT. & REPAIR 838 1,000 850 8503033 GAS/DIESEL/OIL/LUBRICANTS 91 300 150 1503035 SHOP TOOLS 0 0 0 03037 MISCELLANEOUS EQUIP 2,579 5,000 500 5003040 UNIFORM/PROTECT CLOTH 0 0 480 4803045 REFERENCE BOOKS 90 300 365 3653047 AWARDS 30 100 100 1003049 UTILITIES‐ GAS ELECTRIC 11,329 13,000 12,000 12,0003050 WATER 681 625 720 7203060 M & O CONTRIBUTION 1,407 1,500 1,500 1,5003510 MEMBER. DUES/SUBSCRIPT 290 660 350 3503520 TRAINING & TRAVEL 443 3,000 1,495 1,495
Total 29,688$ 38,785$ 30,810$ 30,810$
4040 SPECIAL FEES 223$ 800$ 800$ 800$ 4041 RENTS 49,924 50,286 50,286 50,2864080 BAD DEBT 0 0 0 04090 COMPENSATED ABSENCES 0 0 2,870 2,870
Total 50,147$ 51,086$ 53,956$ 53,956$
5030 VEHICLES 71,202$ 40,564$ ‐$ ‐$ Total 71,202$ 40,564$ ‐$ ‐$
8001 PRINCIPAL 4,786$ 4,800$ 5,000$ 5,000$ Total 4,786$ 4,800$ 5,000$ 5,000$
TOTAL 3,589,541$ 3,957,160$ 4,093,379$ 4,093,379$
Materials & Supplies
Capital Outlay
Fixed Charges
Debt Service
Public Safety– Traffic Safety Description of Division
A portion of fines collected for the violation of certain traffic misdemeanors are dispersed by law to a “Traffic Safety Fund” established by each city. These funds must be used exclusively for official traffic control devices, the maintenance thereof, equipment and supplies for traffic law enforcement and traffic accident prevention, and for the maintenance, improvements or construction of public streets, bridges, and culverts within the city.
Accomplishments 2011/2012
Received Second Place Award, Statewide, in the California Law Enforcement Challenge for Traffic Enforcements
Participated in numerous “AVOID the 10” multi‐agency DUI Enforcements within San Joaquin County
Conducted special patrols in areas for problem speeders, near locals Elementary and High Schools
Conducted in‐house Radar / Lidar Training for 6 new Lathrop deputies
Work Plan 2012/2013
Continue increased Traffic Enforcement and Public Education with use of one full‐time Motorcycle Officer.
Capital Requests
Significant Operating Changes None
Staffing Summary None
Traffic Enforcement Radar/Lidar Equipment $3,500
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
2001 PROFESSIONAL SERVICES ‐$ 1,800$ 1,800$ 1,800$ 2065 PRINTING 1,800 500 0 02070 AUTO/HEAVY EQUIP MAINT 16,446 20,000 21,000 21,0002075 OTHER MAINT. & REPAIR 2,504 3,000 3,000 3,000
Total 20,750$ 25,300$ 25,800$ 25,800$
3020 MATERIALS & SUPPLIES ‐$ ‐$ 500$ 500$ 3024 AUTO/HEAVY EQUIP PART 2,625 3,000 3,000 3,0003026 OTHER‐MAINT. & REPAIR 0 1,000 1,000 1,0003033 GAS/DIESEL/OIL/LUBRICANTS 1,614 2,000 2,820 2,8203037 MISCELLANEOUS EQUIP 2,602 3,000 3,000 3,0003040 UNIFORM/PROTECT CLOTH 277 1,500 1,500 1,500
Total 7,118$ 10,500$ 11,820$ 11,820$
5020 MACHINES & EQUIPMENT ‐$ 3,500$ 3,500$ 3,500$ Total ‐$ 3,500$ 3,500$ 3,500$
Internal ChargesINDIRECT COST 5,292$ 4,996$ 4,710$ 4,710$ CAPITAL REPLACEMENT 0 0 0 0
Total 5,292$ 4,996$ 4,710$ 4,710$
TOTAL 33,160$ 44,296$ 45,830$ 45,830$
Fund Title: Traffic Safety Public SafetyFund/Division Number: 207‐4010‐421 Traffic Safety
Contract Services
Materials & Supplies
Capital Outlay
Public Safety—Asset Forfeiture
Description of Division
Asset Forfeiture funds that seized as a result of illegal possession, sale or manufacture of illegal drugs or narcotics can be utilized by police departments to purchase police related equipment
Accomplishments 2011/2012
There was no activity related to this fund in 2011/2012.
Work Plan 2012/2013
Purchase trading cards for new Lathrop deputies and new Lathrop Police Chief.
Capital Requests None
Significant Operating Changes None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
2038 COMMUNITY PROMOTIONS ‐$ ‐$ 1,200$ 1,200$ Total ‐$ ‐$ 1,200$ 1,200$
3037 MISCELLANEOUS EQUIP ‐$ ‐$ ‐$ ‐$ Total ‐$ ‐$ ‐$ ‐$
Internal ChargesINDIRECT COST 94$ ‐$ ‐$ ‐$ CAPITAL REPLACEMENT 0 0 0 0
Total 94$ ‐$ ‐$ ‐$
TOTAL 94$ ‐$ 1,200$ 1,200$
Asset ForfeiturePublic SafetyFund Title: Asset Forfeiture
Fund/Division Number: 210‐4012‐421
Contract Services
Materials & Supplies
Public Safety—Universal Hiring Grant
Description of Division
Universal Hiring Grant
Office of Traffic Safety ‐ Sobriety Checkpoint Mini‐Grant Office of Traffic Safety—Selective Traffic Enforcement Program (STEP) Grant
Accomplishments 2011/2012
Successfully completed the 2011/2012 Sobriety Checkpoint Mini‐Grant by conducting 3 DUI/DL Checkpoints in August and September 2011, in which 1,817 drivers were screened. Submitted an application for a Sobriety Checkpoint Mini‐Grant which, if awarded, will begin in September 2012. Submitted an application for a Selective Traffic Enforcement Program (STEP) Grant which, if awarded, will begin in September 2012.
Work Plan 2012/2013
Plan for upcoming Grant activities for the upcoming fiscal year. Capital Requests None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
2510 SPECIAL CONT/INTERGOV 4,264$ 10,576$ 175,000$ 175,000$ Total 4,264$ 10,576$ 175,000$ 175,000$
Internal ChargesINDIRECT COST ‐$ ‐$ 3,389$ 3,389$ CAPITAL REPLACEMENT 0 0 0 0
Total ‐$ ‐$ 3,389$ 3,389$
TOTAL 4,264$ 10,576$ 178,389$ 178,389$
Fund Title: Universal Hiring Grant Public SafetyFund/Division Number: 219‐4010‐421 Universal Hiring Grant
InterGov. Contract Services
Public Safety—COPS
Description of Division
Citizens Option for Public Safety (COPS) ‐ This fund was established by legislative action to augment funding to local law enforcement. The Police Chief must submit to the City Council a written request specifying the front line law enforcement needs. A public hearing must be held in September and the expenditures must be approved by the City Council. Based on the population of the City, we are allocated to receive $100,000 from the State for front line Law Enforcement.
Accomplishments 2011/2012
Funded the Community Resource Officer Position
Work Plan 2012/2013
Hold a Public Hearing in September 2012 to request funding for the Community Resource Officer Position
Capital Requests None
Significant Operating Changes None
Public Safety—COPS
Staffing Summary FY 2012/2013
Staffing Summary
San Joaquin County Positions: 10/11 11/12 12/13
Deputy Sheriff for Com Resource Officer 0.67 0.67 0.67
Total San Joaquin County Positions 0.67 0.67 0.67
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
2510 SPECIAL CONT/INTERGOV 100,000$ 100,000$ 100,000$ 100,000$ Total 100,000$ 100,000$ 100,000$ 100,000$
Internal ChargesINDIRECT COST 1,607$ ‐$ ‐$ ‐$ CAPITAL REPLACEMENT 0 0 0 0
Total 1,607$ ‐$ ‐$ ‐$
TOTAL 101,607$ 100,000$ 100,000$ 100,000$
Fund Title: State COPS Public SafetyFund/Division Number: 222‐4016‐421 COPS
InterGov. Contract Services
Director of Public Works
Principal Civil Engineer Operations and Maintenance
Superintendent
Budget Analyst I/II
(Confidential)
Maintenance Supervisor
for Building and
Parks/Street
Utility Operator
I/II/III
(5)
Maintenance
Worker II
(2)
Sr. Maintenance
Worker
(2)
Construction
Inspector I/II
Meter Reader
FY 2012/2013
City of Lathrop
Public Works Department
Sr. Engineer
(2)
Solid Waste and
Resource Conservation
Coordinator
Executive AssistantEngineering
Operations and
Maintenance
Sr. Administrative Assistant
Public Works (.33)
Building (.34)
Planning (.33)
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General Fund 94,339$ 162,840$ 257,855$ 257,855$ Streets 424,397$ 400,500$ 401,000$ 401,000$ Public Transit ‐$ ‐$ ‐$ ‐$ RTIF‐Lathrop Local Transportation E 4,404$ 17,861$ 71,713$ 71,713$ RTIF‐San Joaquin County 10% 28,364$ 24,833$ 24,692$ 24,692$ RTIF‐Lathrop Local Transportation W 197,386$ 164,663$ 109,775$ 109,775$ RTIF‐SJCOG 15% 42,546$ 37,250$ 37,038$ 37,038$ CLSP Services CFD 2006‐2 321,321$ 319,000$ 360,492$ 360,492$ Recycling AB939 Tax 83,228$ 65,000$ 65,000$ 65,000$ Crossroad Strm Drain City Zone 1A 113,953$ 113,395$ 122,190$ 122,190$ Storm Drain City Zone 1 239,449$ 238,983$ 238,983$ 238,983$ Residential Street Lighting 138,552$ 124,273$ 115,259$ 115,259$ Industrial Street Lighting 53,054$ 53,198$ 53,479$ 53,479$ Woodfield Landscape Maintenace Dist. 87,573$ 75,051$ 54,764$ 54,764$ Stonebridge Landscaping District 234,891$ 234,682$ 234,833$ 234,833$ Stonebridge Drainage & Lighting Dist. 240,318$ 234,425$ 234,576$ 234,576$ Mossdale Services CFD 2004‐1 1,873,138$ 1,898,432$ 1,939,192$ 1,939,192$ Mossdale Landscape & Lighting Dist. 439,916$ 432,862$ 432,862$ 432,862$ Historic Lathrop CFD 2005‐1 29,676$ 29,565$ 29,565$ 29,565$ Mossdale Village CFD 2003‐1 902,458$ 1,074,552$ 702,288$ 702,288$ Water 7,868,579$ 7,976,680$ 8,436,386$ 8,436,386$ MWQCF Collection System 2,542,512$ 2,544,753$ 2,704,042$ 2,704,042$ Xroad Recycling Plant #1‐Treatment 1,138,097$ 1,169,197$ 1,214,133$ 1,214,133$ Xroad Recycling Plant #1‐Collection Syst 9,900$ ‐$ ‐$ ‐$ MBR#1 Waste Recycling Plant 1,438,134$ 1,649,697$ 1,650,439$ 1,650,439$
Total 18,546,185$ 19,041,692$ 19,490,556$ 19,490,556$
Operating Revenues by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
General FundPersonnel Services 936,680$ 1,089,214$ 1,179,089$ 1,179,089$ Contract Services 353,874$ 350,346$ 291,194$ 291,194$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 172,878$ 236,280$ 231,606$ 231,606$ Fixed Charges 18,037$ 34,315$ 48,844$ 48,844$ Capital Outlay ‐$ 20,000$ 35,000$ 35,000$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
GF Total 1,481,469$ 1,730,155$ 1,785,733$ 1,785,733$ Streets
Personnel Services 102,980$ 110,172$ 111,429$ 111,429$ Contract Services 140,594$ 188,670$ 149,200$ 149,200$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 34,517$ 50,585$ 56,780$ 56,780$ Fixed Charges 986$ 3,473$ 38,578$ 38,578$ Capital Outlay ‐$ 20,285$ 10,000$ 10,000$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 96,264$ 112,132$ 99,220$ 99,220$
Streets Total 375,341$ 485,317$ 465,207$ 465,207$ Street Trees
Personnel Services 10,203$ 10,639$ 11,386$ 11,386$ Contract Services 14,165$ 16,125$ 15,000$ 15,000$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges ‐$ ‐$ 105$ 105$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 5,439$ 4,093$ 6,893$ 6,893$
Street Trees Total 29,807$ 30,857$ 33,384$ 33,384$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Public TransitPersonnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ 3,000$ 3,000$ 3,000$ InterGov. Contract Services ‐$ 20,000$ 20,000$ 20,000$ Materials & Supplies ‐$ 2,000$ 2,000$ 2,000$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
Public Transit Total ‐$ 25,000$ 25,000$ 25,000$ RTIF‐Lathrop Local Transportation E
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ ‐$ ‐$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges 1,238$ 5,000$ 5,000$ 5,000$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
RTIF‐Lathrop Local E Total 1,238$ 5,000$ 5,000$ 5,000$ RTIF‐San Joaquin County 10%
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ ‐$ ‐$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges 28,364$ 24,833$ 24,692$ 24,692$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
RTIF‐SJC Total 28,364$ 24,833$ 24,692$ 24,692$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
RTIF‐Lathrop Local Transportation WPersonnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ ‐$ ‐$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges 2,631$ 5,000$ 5,000$ 5,000$ Capital Outlay ‐$ 349,676$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 5,000$ ‐$ ‐$ ‐$
RTIF‐Lathrop Local W Total 7,631$ 354,676$ 5,000$ 5,000$ RTIF‐SJCOG 15%
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services ‐$ ‐$ ‐$ ‐$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges 42,546$ 37,250$ 37,038$ 37,038$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
RTIF‐SJCOG Total 42,546$ 37,250$ 37,038$ 37,038$ CLSP Services CFD 2006‐2
Personnel Services 4,463$ 4,677$ 4,906$ 4,906$ Contract Services 21,010$ 50,555$ 33,226$ 33,226$ InterGov. Contract Services 228,400$ 239,400$ 206,400$ 206,400$ Materials & Supplies 10,041$ 29,100$ 32,200$ 32,200$ Fixed Charges 203,327$ 5,886$ 6,102$ 6,102$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ 33,595$ 77,658$ 77,658$
CLSP Services CFD Total 467,241$ 363,213$ 360,492$ 360,492$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Recycling AB939 TaxPersonnel Services 30,779$ 16,895$ 37,798$ 37,798$ Contract Services (12)$ 26,029$ 7,900$ 7,900$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 218$ 2,900$ 2,900$ 2,900$ Fixed Charges ‐$ ‐$ ‐$ ‐$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 99,966$ 63,435$ 13,216$ 13,216$
Recycling AB939 Total 130,951$ 109,259$ 61,814$ 61,814$ Crossroad Strm Drain City Zone 1A
Personnel Services 59,525$ 63,363$ 69,202$ 69,202$ Contract Services 13,173$ 19,491$ 20,026$ 20,026$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 27,868$ 33,450$ 35,050$ 35,050$ Fixed Charges 5,585$ 10,820$ 11,079$ 11,079$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 30,775$ 36,863$ 38,057$ 38,057$
City Zone 1A Total 136,926$ 163,987$ 173,414$ 173,414$ Storm Drain City Zone 1
Personnel Services 70,777$ 75,650$ 82,487$ 82,487$ Contract Services 23,860$ 36,144$ 38,377$ 38,377$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 34,795$ 41,298$ 47,178$ 47,178$ Fixed Charges 21,812$ 18,302$ 18,749$ 18,749$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 83,616$ 132,837$ 53,358$ 53,358$
City Zone 1 Total 234,860$ 304,231$ 240,149$ 240,149$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Residential Street LightingPersonnel Services 3,602$ 3,762$ 4,040$ 4,040$ Contract Services 9,893$ 11,545$ 15,093$ 15,093$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 103,613$ 101,600$ 80,000$ 80,000$ Fixed Charges 900$ 903$ 1,025$ 1,025$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 24,365$ 20,430$ 21,387$ 21,387$
Residential Lighting Total 142,373$ 138,240$ 121,545$ 121,545$ Industrial Street Lighting
Personnel Services 3,602$ 3,762$ 4,040$ 4,040$ Contract Services 3,150$ 12,536$ 13,243$ 13,243$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 20,894$ 19,000$ 19,000$ 19,000$ Fixed Charges 435$ 500$ 622$ 622$ Capital Outlay ‐$ 5,000$ 5,000$ 5,000$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 3,280$ 105,377$ 105,648$ 105,648$
Industrial Lighting Total 31,361$ 146,175$ 147,553$ 147,553$ Woodfield Landscape Maintenace Dist.
Personnel Services 4,717$ 5,473$ 5,902$ 5,902$ Contract Services 16,072$ 35,865$ 28,477$ 28,477$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 15,314$ 19,300$ 19,850$ 19,850$ Fixed Charges 1,265$ 1,500$ 1,601$ 1,601$ Capital Outlay 12,200$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 18,741$ 16,403$ 12,425$ 12,425$
Woodfield Landscape Total 68,309$ 78,541$ 68,255$ 68,255$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Stonebridge Landscaping DistrictPersonnel Services 5,279$ 5,526$ 5,767$ 5,767$ Contract Services 60,069$ 76,600$ 82,156$ 82,156$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 47,946$ 74,670$ 74,570$ 74,570$ Fixed Charges 4,066$ 4,860$ 4,982$ 4,982$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 56,378$ 33,645$ 25,622$ 25,622$
Stonebridge Landscaping Total 173,738$ 195,301$ 193,097$ 193,097$ Stonebridge Drainage & Lighting Dist.
Personnel Services 78,295$ 88,963$ 95,933$ 95,933$ Contract Services 31,850$ 44,317$ 31,725$ 31,725$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 13,207$ 42,945$ 51,045$ 51,045$ Fixed Charges 2,996$ 3,800$ 3,922$ 3,922$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 35,423$ 37,607$ 49,250$ 49,250$
Stonebridge D & L Total 161,771$ 217,632$ 231,875$ 231,875$ Mossdale Services CFD 2004‐1
Personnel Services 171,727$ 184,778$ 200,068$ 200,068$ Contract Services 119,847$ 190,236$ 290,330$ 290,330$ InterGov. Contract Services 866,361$ 928,250$ 973,250$ 973,250$ Materials & Supplies 44,166$ 146,442$ 172,017$ 172,017$ Fixed Charges 13,920$ 15,000$ 15,460$ 15,460$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 374,134$ 359,126$ 368,754$ 368,754$
Mossdale Services CFD Total 1,590,155$ 1,823,832$ 2,019,879$ 2,019,879$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Mossdale Landscape & Lighting Dist.Personnel Services 25,189$ 28,462$ 30,588$ 30,588$ Contract Services 179,706$ 232,607$ 116,185$ 116,185$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 220,343$ 150,495$ 150,745$ 150,745$ Fixed Charges 4,329$ 5,000$ 5,409$ 5,409$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 32,823$ 105,249$ 82,658$ 82,658$
Mossdale L & L Total 462,390$ 521,813$ 385,585$ 385,585$ Historic Lathrop CFD 2005‐1
Personnel Services 1,658$ 2,019$ 2,167$ 2,167$ Contract Services 7,571$ 9,425$ 9,227$ 9,227$ InterGov. Contract Services ‐$ 6,000$ 1,500$ 1,500$ Materials & Supplies 6,436$ 8,550$ 8,550$ 8,550$ Fixed Charges 722$ 3,755$ 3,936$ 3,936$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 5,624$ 9,721$ 4,531$ 4,531$
Historict CFD Total 22,011$ 39,470$ 29,911$ 29,911$ Mossdale Village CFD 2003‐1
Personnel Services ‐$ ‐$ ‐$ ‐$ Contract Services 17,312$ 20,000$ 30,060$ 30,060$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies ‐$ ‐$ ‐$ ‐$ Fixed Charges 4,980$ 5,000$ 5,500$ 5,500$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 846,581$ 1,654,533$ 2,103,441$ 2,103,441$
Mossdale Village CFD Total 868,873$ 1,679,533$ 2,139,001$ 2,139,001$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
WaterPersonnel Services 346,766$ 361,230$ 387,332$ 387,332$ Contract Services 263,941$ 444,442$ 623,855$ 623,855$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 297,477$ 455,756$ 509,600$ 509,600$ Fixed Charges 1,639,054$ 2,042,447$ 2,043,744$ 2,043,744$ Capital Outlay ‐$ 33,100$ ‐$ ‐$ Depreciation/Amortization 1,100,784$ ‐$ ‐$ ‐$ Debt Service 2,181,275$ 3,146,171$ 3,449,467$ 3,449,467$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 1,642,414$ 2,378,602$ 2,491,456$ 2,491,456$
Water Total 7,471,711$ 8,861,748$ 9,505,454$ 9,505,454$ Wastewater‐MWQCF Collection System
Personnel Services 155,994$ 164,155$ 176,091$ 176,091$ Contract Services 123,626$ 100,982$ 128,225$ 128,225$ InterGov. Contract Services 1,235,337$ 1,500,000$ 1,338,195$ 1,338,195$ Materials & Supplies 41,910$ 59,550$ 67,800$ 67,800$ Fixed Charges 14,373$ 34,200$ 19,887$ 19,887$ Capital Outlay ‐$ 39,745$ ‐$ ‐$ Depreciation/Amortization 536,709$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 869,427$ 861,886$ 1,027,736$ 1,027,736$
MWQCF Collection Sys Total 2,977,376$ 2,760,518$ 2,757,934$ 2,757,934$ Crossroads Recycling Plant#1‐Schreiber
Personnel Services 6,756$ 7,112$ 7,932$ 7,932$ Contract Services 487,436$ 543,079$ 568,365$ 568,365$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 49,667$ 61,750$ 59,150$ 59,150$ Fixed Charges 11,128$ 17,175$ 17,380$ 17,380$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization 1,084$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 285,078$ 309,475$ 313,195$ 313,195$
Schreiber Treatment Total 841,149$ 938,591$ 966,022$ 966,022$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Crossroads Collection System M & OPersonnel Services 51,568$ 53,662$ 57,445$ 57,445$ Contract Services 49,165$ 48,188$ 47,350$ 47,350$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 1,731$ 2,827$ 3,750$ 3,750$ Fixed Charges 9,458$ 10,873$ 11,105$ 11,105$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization ‐$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges ‐$ ‐$ ‐$ ‐$
Schreiber Collection Sys Total 111,922$ 115,550$ 119,650$ 119,650$ WW Recycling Plant#1‐MBR
Personnel Services 142,800$ 145,932$ 160,215$ 160,215$ Contract Services 622,021$ 960,515$ 1,009,694$ 1,009,694$ InterGov. Contract Services ‐$ ‐$ ‐$ ‐$ Materials & Supplies 207,623$ 220,300$ 265,250$ 265,250$ Fixed Charges 52,131$ 136,377$ 123,127$ 123,127$ Capital Outlay ‐$ ‐$ ‐$ ‐$ Depreciation/Amortization 27,177$ ‐$ ‐$ ‐$ Debt Service ‐$ ‐$ ‐$ ‐$ Equipment Replacement ‐$ ‐$ ‐$ ‐$ Internal Charges 639,559$ 357,442$ 308,387$ 308,387$
MBR‐Treatment & Collection Total 1,691,311$ 1,820,566$ 1,866,673$ 1,866,673$
Public Works Grand Total 19,550,824$ 22,971,288$ 23,769,357$ 23,769,357$
Departmental Operating Expenditure by Fund
Public Works Department Budget Summary
2010‐2011 2011‐2012 2012‐2013 2012‐2013Actual Budget City Manager City Council
Departmental StaffingBudget Analyst I/II 1.00 1.00 1.00 0.00Construction Inspector I/II 1.00 1.00 1.00 0.00Director of Public Works 1.00 1.00 1.00 0.00Executive Assistant 1.00 1.00 1.00 0.00Maintenance Worker I/II 2.00 2.00 2.00 0.00Meter Reader 1.00 1.00 1.00 0.00Principal Engineer 2.00 1.00 1.00 0.00Senior Civil Engineer 2.00 2.00 2.00 0.00Senior Maintenance Worker 1.00 1.00 1.00 0.00Solid Waste & Recycling Coordinator 1.00 1.00 1.00 0.00Utility & Streets Maintenance Superintendent 1.00 1.00 1.00 0.00Utility Operator I/II/III 5.00 5.00 5.00 0.00Parks Maintenance Supervisor 1.00 1.00 1.00 0.00Senior Maintenance Worker Parks 1.00 1.00 1.00 0.00
Total Public Works FTE 21.00 20.00 20.00 ‐
Public Works—Administration
Description of Division The Public Works Administration Division consists of the following positions: Public Works Director, Budget Analyst I/II, Executive Assistant, and Solid Waste and Resource Conservation Coordinator. This Division provides management and administrative support to the other Public Works Divisions, helps administer the Capital Improvement Program (CIP), and reviews and assists in the new development permit processing.
Accomplishments 2011/2012
During the 2011/2012 fiscal year, the Division successfully negotiated and administered various contracts related to public works operations and /or capital improvement projects, and administered many Public Works functions and activities including;
Assisted with the preparation, processing and administration of Grant funding for energy conservation, Parks & Recreation facilities, road rehabilitation and bridge reconstruction.
Assisted with the processing of reimbursements for state and federal funds for roadway improvements, pedestrian safety measures and traffic mitigation improvements.
Coordinated with City Attorney’s office to process auto claims and City property damage claims to recover costs to repair damages to City property such as fire hydrants, streetlights, and sound walls caused by vehicle accidents or vandalism.
Developed programs intended to maximize staff productivity, such as: the Capital Facility Fee (CFF) Project Cost Summary, fund account management, required certifications, training and memberships.
Administered the budget for the Department’s Operating expenditures and the Capital Improvement Program. Processed and prepared Department staff reports and presentations to City Council. Developed Uniformed Clothing and General Appearance policy for the Public Works Department. Processing of regulatory reporting associated with Domestic and Recycled Water, Waste Water and Storm Drainage as
required by State and federal permit requirements. Provided reports summarizing daily issues related to storm drain, parks, streets, City trees, pump stations, and streetlight
outages.
Provided Management and support to the Departments other functional groups, such as: surplus vehicles, recording documents with County Recorder, Field Incident Reports, water system reporting requirements, etc.
Coordinated with the Bureau of Automotive Repair (BAR) to provide annual vehicle information to comply with their annual smog check program audit.
Compiled information related to public Information requests. Efficiently assisted customers with inquiries related to City projects, street trees, City events, etc. Updated Public Works section of the City website.
Public Works—Administration
Accomplishments 2011/2012 (Continued)
Worked with MUSD to provide support for Healthy Living programs including Community Garden, Sustainable Community Education.
Participated in Community Outreach and Education at MUSD Planet Party Day, Annual Night Out Event and Public Works Week event providing community with information on Water Conservation, Strom Water Runoff Impacts, Waste Conservation and Recycling.
Work Plan 2012/2013
The goal of the Public Works Administration Division is to coordinate and implement the activities in the Public Works 2012 Work Plan while keeping the City Council and Executive Management informed with project status reports on the operation, safety and financial status of the Public Works Department. These include the following :
Pursue grant funds, in conjunction with the City Manager’s Office, from Local, State and Federal programs to assist in financing needed for construction and operation of public infrastructure facilities, alternative energy options and programs to enhance the community
Update Public Works page on City website to include updated information on Solid Waste, Recycling and Storm Water Pollution information and Sustainable community
Develop guidelines and develop procedures to summarize funding program elements and mechanisms for capital improvement projects.
Capital Requests None Significant Operating Changes
Furlough program suspended on February 18, 2012, City Hall is now open every Friday.
Public Works—Administration
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Budget Analyst I/II 1.00 1.00 1.00
Director of Public Works 0.60 0.90 0.90
Executive Assistant 1.00 1.00 1.00
Senior Administrative Assistant 0.33 0.33 0.33
Solid Waste & Resource Conservation Coord. 0.50 0.50 0.50
Total Full Time Equivalents 3.43 3.73 3.73
Budget For Fiscal Year 2012‐2013
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 230,773$ 273,803$ 317,781$ 317,781$ 1012 PART‐TIME SALARIES 0 0 0 01013 OVERTIME 1,615 1,750 1,750 1,7501014 VACATION/SICK LEAVE 12,279 0 0 01020 RETIRE‐PERS EMPLOYER 24,939 32,198 37,654 37,6541021 RETIRE‐PERS EMPLOYEE 17,097 20,371 14,390 14,3901040 HEALTH INSURANCE 47,184 55,735 57,474 57,4741041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 387 767 764 7641044 WORKER'S COMP INSUR 4,047 5,390 4,193 4,1931045 AUTO ALLOWANCE 1,440 2,160 2,160 2,1601046 FICA 3,538 4,424 5,003 5,0031047 SUI 1,489 1,619 1,619 1,6191048 ANNUAL BILINGUAL PAY 0 0 0 01049 SDI 1,911 2,823 2,685 2,685
Total 346,699$ 401,040$ 445,473$ 445,473$
2001 PROFESSIONAL SERVICES 14,119$ 41,724$ 10,000$ 10,000$ 2065 PRINTING 0 200 200 2002069 OFFICE EQUIP & REPAIR 0 500 0 02075 OTHER MAINT. & REPAIR 5 17,900 100 100
Total 14,124$ 60,324$ 10,300$ 10,300$
3010 OFFICE SUPPLIES 332$ 600$ 600$ 600$ 3011 POSTAGE 0 100 100 1003015 DUPLICATING COSTS 0 0 0 03020 MATERIALS & SUPPLIES 0 500 500 5003033 GAS/DIESEL/OIL/LUBRICANTS 0 300 0 03040 UNIFORM/PROTECT CLOTH 0 250 250 2503045 REFERENCE BOOKS 0 100 100 1003510 MEMBER. DUES/SUBSCRIPT 191$ 536$ 536$ 536$ 3520 TRAINING & TRAVEL 2,832 2,950 3,100 3,100
Total 3,355$ 5,336$ 5,186$ 5,186$
Public WorksAdministration
Personnel Services
Fund Title:Fund/Division Number:
Department:Division:
Contract Services
General Fund101‐5001‐442
Materials & Supplies
Budget For Fiscal Year 2012‐2013
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Public WorksAdministration
Fund Title:Fund/Division Number:
Department:Division:
General Fund101‐5001‐442
4040 SPECIAL FEES 1,033$ 1,470$ 1,570$ 1,570$ 4090 COMPENSATED ABSENCES 0 4,408 11,025 11,025
Total 1,033$ 5,878$ 12,595$ 12,595$
TOTAL 365,211$ 472,578$ 473,554$ 473,554$
Fixed Charges
Public Works—Construction Management
Description of Division
This division performs construction inspection of Public Works projects and oversees construction of developer off‐site improvements to ensure that the City’s infrastructure is built to the City’s standards and adheres to approved plans and contract documents.
Accomplishments 2011/2012
The Division completed inspections services for a number of private and commercial developments including Gordon Trucking, and also for the Reclamation District 17 levee project.
Inspected all Capital Improvement Program (CIP) projects, which included Louise Avenue and I‐5 Improvements, Golden Valley Parkway and Towne Centre Drive Intersection Improvements, McKinley Corridor Sanitary Sewer, LAWTF offsite pipelines, Corporation Yard, Pavement Management Project, Sidewalk Repairs and various others.
Completed the Public Works Forum workshop on trenching, shoring, and locator training. Completed the Qualified SWPPP Developer (QSD Inspector)/Qualified SWPPP Practitioner (QSP) certification. Completed the storm water inspection certification for the Certified Erosion, Sediment and Storm Water Inspector (CESSWI). Reviewed and inspected Storm Water Pollution Prevention Plans (SWPPP). Initiated development of Standard Operating Procedures processes and manual for Public Works Inspection and field documentation
practices. Management of City Encroachment Permits. Additional personnel to complete QSD/QSP certification.
Public Works—Construction Management
Work Plan 2012/2013
Continue providing Inspection Services for private development. Residential growth has shown a small resurgence and commercial development shows promise in the coming year. Inspections of improvements within the City’s right‐of‐way will be required to ensure that the improvements meet the City Standards. Ultimately, these improvements will become a part of the City’s infrastructure.
Continue to provide inspection services for the Capital Improvement Program (CIP). The CIP has identified numerous projects including: Lathrop/I‐5 Interim, Harlan Road Improvements, Lathrop Road Improvements, etc.
Continue to oversee construction projects city‐wide to ensure compliance with the new SWPPP requirements.
Assist with CIP records management.
Complete Standard Operating Procedures processes and manual for Public Works Inspection and field documentation practices.
Management of all City Encroachment Permits.
Capital Requests
None Significant Operating Changes
Three of the four Construction Inspector positions are vacant and will remain unfunded for FY 2012/2013 to lower General Fund expenses. The Senior Construction Inspector position is also vacant and will remain unfunded for FY 2012‐2013. If possible, staff from the Land Development, Transportation Engineering Division, and inspectors from the Building Division will be used to assist with the workload.
Public Works—Construction Management
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Construction Inspector I/II 1.00 1.00 1.00
Total Full Time Equivalents 1.00 1.00 1.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 61,048$ 70,106$ 76,509$ 76,509$ 1013 OVERTIME 1,008 3,000 1,500 1,5001014 VACATION/SICK LEAVE 7,463 0 0 01020 RETIRE‐PERS EMPLOYER 7,028 7,597 9,066 9,0661021 RETIRE‐PERS EMPLOYEE 4,820 4,809 3,467 3,4671040 HEALTH INSURANCE 14,217 16,035 16,306 16,3061042 LIFE INSURANCE 80 194 193 1931044 WORKER'S COMP INSUR 2,797 2,970 2,300 2,3001046 FICA 1,010 1,044 1,137 1,1371047 SUI 434 434 434 434
Total 99,905$ 106,189$ 110,912$ 110,912$
2001 PROFESSIONAL SERVICES ‐$ ‐$ ‐$ ‐$ 2004 PERSONNEL 0 5,000 5,000 5,0002065 PRINTING 0 150 150 1502070 AUTO/HEAVY EQUIP MAINT 400 400 400 4002075 OTHER MAINT. & REPAIR 15 100 100 100
Total 415$ 5,650$ 5,650$ 5,650$
3010 OFFICE SUPPLIES 119$ 200$ 200$ 200$ 3024 AUTO/HEAVY EQUIP PART 1,027 730 730 7303033 GAS/DIESEL/OIL/LUBRICANTS 2,588 2,500 3,000 3,0003037 MISCELLANEOUS EQUIP 167 250 250 2503040 UNIFORM/PROTECT CLOTH 350 650 650 6503045 REFERENCE BOOKS 49 100 100 1003510 MEMBER. DUES/SUBSCRIPT 75 500 500 5003520 TRAINING & TRAVEL 0 500 500 500
Total 4,375$ 5,430$ 5,930$ 5,930$
TOTAL 104,695$ 117,269$ 122,492$ 122,492$
Personnel Services
Contract Services
Materials & Supplies
Public WorksConstruction Management
Fund Title: General FundFund/Division Number: 101‐5003‐442
Public Works—Land Development
Description of Division
The Land Development and Transportation Engineering Division provides engineering review and project management services, such as, formation of financial districts, project plan review, permit processing and public assistance. The division provides for the regulation and control of the design and improvement of subdivisions, redevelopment and real property services within the City. It is also responsible for overseeing the Capital Improvements for the Transportation system in the City of Lathrop. Land Development works closely with the Community Development department to provide Public Works conditions of approval associated with Building and Planning permit applications.
Accomplishments 2011/2012 Accepted public improvements, including:
Louise Avenue Rehabilitation and Widening, Phase II Sidewalk Repair Improvements Concrete curb, gutter and sidewalk, paved parking areas, drainage improvement and pavement rehabilitation on
Thomsen Road West of 5th Street Citywide Pavement and Striping repairs Golden Valley Parkway and Towne Centre Drive Traffic Signal Installation Traffic Calming measures implemented at Woodfield and Longbarn, Granite and Flagstone, Lathrop and Manthey,
Jasper and Cedar Valley Manthey Road Bridge processed for funding through the Highway Bridge Replacement Program
Continued to implement the Wastewater ISU Allocation Policy. Provided plan check services for all subdivisions and other developments, including parcel and subdivision maps,
improvement plans, specific plans, and building permit submittals. Coordinated with Public Agencies to obtain Economic Stimulus Funding and Department of Transportation Funds for
Capital Improvement Projects. Coordinated with Union Pacific Railroad to provide a non‐exclusive roadway easement on 7th street. Worked on Community Development and Developers to initiate design of Harlan Road Improvements—storm drain
master planning , sewer master planning and roads way improvements. Assisted with Gordon Trucking frontage improvements.
Public Works—Land Development
Work Plan 2012/2013
Continue to provide quality review and plan checking of all design and improvement of subdivisions and other developments within the City, including River Islands, Central Lathrop, South Lathrop, Mossdale Landing, Historic Lathrop, and Crossroads Industrial Park.
Update the City Design & Construction Standards and Details. Construct improvements at the Interstate 5/Louise Avenue Interchange and the Interstate 5/Lathrop Road. Land Acquisition, Engineering and bidding for the Lathrop Road Westerly Grade Separation. Continue the Citywide Traffic Calming Program. Work with SJCOG to identify upgrades to the City’s STAA and non‐STAA Truck Routes as part of a County‐wide effort. Work with SJCOG to identify upgrades to the County‐wide Bicycle and Pedestrian Master Plan. Pavement Management Improvements consistent with the City’s Pavement Management Plan. Sidewalk Improvements addressing trip hazards. Initiation of City wide ADA Transition Plan. Engineering of Harlan Road Street Improvements—South of Roth Road.
Capital Requests
None
Significant Operating Changes
None
Public Works—Land Development
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Dir of Com Dev/ City Engineer 0.00 0.30 0.30
Senior Engineer 1.00 1.00 1.00
Total Full Time Equivalents 2.00 1.30 1.30
Principal Engineer 1.00 0.00 0.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 93,083$ 136,160$ 148,022$ 148,022$ 1014 VACATION/SICK LEAVE 2,441 0 0 01020 RETIRE‐PERS EMPLOYER 9,799 14,686 17,539 17,5391021 RETIRE‐PERS EMPLOYEE 6,711 9,282 6,693 6,6931040 HEALTH INSURANCE 9,960 20,846 21,580 21,5801042 LIFE INSURANCE 249 340 357 3571044 WORKER'S COMP INSUR 4,785 3,861 2,990 2,9901046 FICA 1,415 1,941 2,240 2,2401047 SUI 434 564 564 5641049 SDI 1,061 1,475 1,427 1,427
Total 129,938$ 189,155$ 201,412$ 201,412$
2001 PROFESSIONAL SERVICES 151,491$ 46,500$ 45,000$ 45,000$ 2060 ADVERTISING 0 200 200 2002065 PRINTING 27 650 650 6502069 OFFICE EQUIP & REPAIR 305 1,000 1,000 1,0002075 OTHER MAINT. & REPAIR 10 0 0 0
Total 151,833$ 48,350$ 46,850$ 46,850$
3010 OFFICE SUPPLIES 496$ 500$ 500$ 500$ 3015 DUPLICATING COSTS 0 0 0 03033 GAS/DIESEL/OIL/LUBRICANTS 287 400 400 4003040 UNIFORM/PROTECT CLOTH 135 250 250 2503045 REFERENCE BOOKS 0 400 400 4003510 MEMBER. DUES/SUBSCRIPT 380 814 910 9103520 TRAINING & TRAVEL 0 720 1,000 1,000
Total 1,298$ 3,084$ 3,460$ 3,460$
4040 SPECIAL FEES ‐$ 500$ 500$ 500$ 4090 COMPENSATED ABSENCES 0 0 2,815 2,815
Total ‐$ 500$ 3,315$ 3,315$
TOTAL 283,069$ 241,089$ 255,037$ 255,037$
Contract Services
Materials & Supplies
Fund Title:
Fixed Charges
Public WorksFund/Division Number: 101‐5004‐442 Land Development
Personnel Services
General Fund
Public Works—City Hall
Description of Division
The City Hall Division of the Public Works Department provides the operation, maintenance and janitorial services of the City Hall building. Associated building costs such as utilities are budgeted in this division. City Hall represents our City, therefore, it is important that it be well maintained and run efficiently.
Accomplishments 2011/2012 Repaired inlet heater and gasket on LAARS (HVAC) boiler unit. Replaced Council Chambers electric ballast. Installed energy efficiency occupancy sensor switches in conference rooms and offices. Installed ash tray/trash receptacle outside Council Chambers. Payment drop box repaired. City Hall parking lot fire lanes repainted. Maintained a safe, clean and efficient operation of the City Hall building. Coordinated with Sonitrol Alarm Services to provide security maintenance services at City Hall.
Work Plan 2012/2013 Continue to maintain a safe, clean efficient operation of City Hall. Continue routine preventative maintenance for the HVAC unit.
Capital Requests Replace front lobby doors (4) and HVAC unit $35,000
Significant Operating Changes
Furlough program suspended on February 18, 2012. City Hall is now open every Friday.
The work schedules for building maintenance staff were re‐organized to a four ten hour day (4/10) work schedule to improve customer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works—City Hall
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Services Supervisor 0.07 0.07 0.07
Senior Maintenance Worker 0.05 0.05 0.05
Total Full Time Equivalents 0.12 0.12 0.12
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 3,598$ 5,191$ 6,969$ 6,969$ 1013 OVERTIME 37 240 120 1201014 VACATION/SICK LEAVE 969 0 0 01020 RETIRE‐PERS EMPLOYER 467 780 658 6581021 RETIRE‐PERS EMPLOYEE 321 494 316 3161040 HEALTH INSURANCE 1,607 1,859 1,802 1,8021042 LIFE INSURANCE 11 20 18 181044 WORKER'S COMP INSUR 851 1,486 1,152 1,1521046 FICA 66 107 110 1101047 SUI 51 52 52 521049 SDI 24 57 47 47
Total 8,002$ 10,286$ 11,244$ 11,244$
2001 PROFESSIONAL SERVICES 956$ 2,610$ 1,000$ 1,000$ 2016 CONTRACTS‐OTHER 4,588 4,500 4,500 4,5002018 ALARM SERVICE 9,385 10,500 12,700 12,7002025 BUILD & GROUND MAINT 38,854 42,500 40,000 40,0002027 STREET TREES & LANDSCAPE 1,085 1,400 1,400 1,4002058 COMPUTER TECH SUPP. 0 0 0 02060 ADVERTISING 0 100 100 1002065 PRINTING 0 100 100 1002067 EQUIPMENT RENTAL 0 1,000 1,000 1,0002070 AUTO/HEAVY EQUIP MAINT 1,476 4,100 4,100 4,1002075 OTHER MAINT. & REPAIR 888 1,685 2,250 2,250
Total 57,232$ 68,495$ 67,150$ 67,150$
3017 CUSTODIAL SUPPLIES 3,125$ 3,600$ 3,600$ 3,600$ 3020 MATERIALS & SUPPLIES 782 3,500 3,500 3,5003021 BUILD MAINT MAT & SUP 108 500 500 5003024 AUTO/HEAVY EQUIP PART 249 1,000 1,000 1,0003026 OTHER‐MAINT. & REPAIR 124 500 500 5003033 GAS/DIESEL/OIL/LUBRICANTS 1,054 1,300 1,500 1,5003040 UNIFORM/PROTECT CLOTH 17 50 50 50
Contract Services
Materials & Supplies
Fund Title: Public WorksFund/Division Number: 101‐5005‐442 City Hall
Personnel Services
General Fund
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: Public WorksFund/Division Number: 101‐5005‐442 City Hall
General Fund
3045 REFERENCE BOOKS ‐$ ‐$ ‐$ ‐$ 3049 UTILITIES‐ GAS ELECTRIC 52,448 65,000 65,000 65,0003050 WATER 5,499 6,000 6,000 6,0003510 MEMBER. DUES/SUBSCRIPT 9 25 25 253520 TRAINING & TRAVEL 0 75 75 75
Total 63,415$ 81,550$ 81,750$ 81,750$
4040 SPECIAL FEES 11,188$ 12,400$ 12,400$ 12,400$ Total 11,188$ 12,400$ 12,400$ 12,400$
5036 BUILDING ‐$ 20,000$ 35,000$ 35,000$ Total ‐$ 20,000$ 35,000$ 35,000$
TOTAL 139,837$ 192,731$ 207,544$ 207,544$
Capital Outlay
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Utility Engineering
Description of Division
The Utility Engineering Division provides the basis for development and implementation of the utility related projects for the City’s Capital Improvement Program (CIP) for water, wastewater, and drainage improvements. It supports utility infrastructure planning, and compliance with permits administered by state and federal regulatory agencies. It also provides engineering technical support and contract administration for the City’s existing utility systems in conjunction with the Public Works Operations and Maintenance Division.
Accomplishments 2011/2012 CIP Project Management for the utility related CIP projects for water, wastewater and drainage improvements.
Wells 6,7,8,9 & 10 LAWTF Offsite Pipelines Tank Construction Water Treatment Plant Construction Well Modifications Well 21 Flushing and commissioning SCADA Radio Antenna Tower Construction SCADA upgrades to accommodate improved functionality McKinley Avenue Sanitary Sewer Main and Pump Station Improvements Crossroads Wastewater Treatment Facility (operational repairs) Corp Yard Facility Lathrop Community Complex Valverde Park Improvements
Support for regulatory permit compliance for the City’s water, wastewater, and drainage systems. Activities included coordination of monitoring and reporting requirements of the permits, and ongoing planning and implementation of the City’s Storm Water Management Plan, Sewer System Management Plan, Urban Water Management Plan associated with regulatory permit compliance.
Ongoing efforts to improve utility accounting practices including water meter calibration for industrial and commercial accounts, and meter replacement for the City’s wells. This information is needed to reduce system losses and evaluate infiltration in the wastewater collection system.
Public Works—Utility Engineering
Accomplishments 2011/2012 (continued)
Supported infrastructure planning efforts including studies for the expansion of wastewater capacity at the Crossroads and WRP‐1 (MBR) wastewater treatment plants.
Provided engineering technical support and contract administration services for the City’s utility systems. Contracts include services for wastewater treatment plant operations, water quality monitoring, wastewater discharge, permit compliance, SCADA, recycled water farming, and maintenance contracts.
Update of GIS software and database to reflect current infrastructure for water, sewer, storm drainage and recycled water facilities.
Implementation of Assessment Management System (SEMS) for all Utility Improvements, SS, SD, Water and Recycled Water, data integration with City SCADA, Water Quality Testing information and City water account usage and owner information.
Initiation of the Urban Water Management Plan and Water Master Plan Update. Work Plan FY 2012/2013 The work plan of the Public Works Utility Engineering Division for the upcoming fiscal year includes the following:
CIP Project Management: Continue project management of utility related CIP projects for fiscal year 2012‐2013. Prioritize CIP projects to balance goals and objectives with available resources, and budget constraints.
The plan for the upcoming year includes 12 projects.
Utility Planning: Continue technical studies and CIP planning for water, sewer, recycled water and drainage utilities. Master plan updates including hydraulic modeling of the utility systems are needed to identify and plan projects to correct system deficiencies and provide capacity for future growth.
Completion of the Urban Water Management Plan and Water Master Plan Update.
Public Works—Utility Engineering Work Plan FY 2012/2013 (continued)
Regulatory Permit Compliance: Ongoing monitoring and reporting efforts are needed to maintain compliance with following state and federal permits for the water, wastewater, recycled water and drainage systems:
NPDES Phase II MS4, a permit administered by the Regional Water Quality Control Board (RWQCB) to meet Clean Water Act requirements for the City’s drainage system
Waste Discharge Requirements permits administered by the RWQCB for the City’s wastewater treatment plants, wastewater collection system, and recycled water distribution systems. This includes reporting spills to the Office of Emergency Services, RWQCB, and San Joaquin County Environmental Health Department or California Department of Public Health (CDPH)
Water Supply Permit administered by the CDPH
Infrastructure Asset & Maintenance Management: Develop and improve procedures for infrastructure and maintenance management through improved records and document management systems. Provide support for ongoing data collection for the GIS enterprise database developed through the Project and Permit Tracking project.
Continue WRP 1 Expansion Project Crossroads to promote development opportunities. Assessment of back lot wastewater collection system throughout the east side of the City and development of plan for
long range improvements to aging systems. Storm Drain Master Plan update for the Harlan Road drainage area. Oversight of Sanitary Sewer Master plan for the Harlan Road drainage area including the Woodfield Pump Station and
drainage to the new McKinley Pump Station. Engineering of storm drainage and sanitary sewer improvements along Harlan Road in conjunction with the Harlan
Road Street Improvements. Develop meter calibration plan.
Public Works—Utility Engineering
Capital Requests
None Significant Operating Changes
Staff worked with the State of California Regional board to process approval of a revised plan for monitoring wells and
sprayfields order to reduce costs. Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Principal Engineer 1.00 1.00 1.00
Public Works Superintendent 0.02 0.02 0.02
Senior Engineer 1.00 1.00 1.00
Total Full Time Equivalents 2.02 2.02 2.02
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 197,007$ 211,484$ 229,996$ 229,996$ 1014 VACATION/SICK LEAVE 3,820 0 0 01020 RETIRE‐PERS EMPLOYER 20,603 22,804 27,252 27,2521021 RETIRE‐PERS EMPLOYEE 14,107 14,413 10,399 10,3991040 HEALTH INSURANCE 30,989 32,391 33,532 33,5321042 LIFE INSURANCE 542 549 548 5481044 WORKER'S COMP INSUR 7,280 5,999 4,792 4,7921046 FICA 2,797 3,018 3,583 3,5831047 SUI 877 877 877 8771049 SDI 2,133 2,292 2,286 2,286
Total 280,155$ 293,827$ 313,265$ 313,265$
2001 PROFESSIONAL SERVICES 2,258$ 15,000$ 10,000$ 10,000$ 2058 COMPUTER TECH SUPP. 0 0 0 02060 ADVERTISING 0 100 100 1002065 PRINTING 3 700 700 7002069 OFFICE EQUIP & REPAIR 305 500 500 5002075 OTHER MAINT. & REPAIR 10 0 0 0
Total 2,576$ 16,300$ 11,300$ 11,300$
3010 OFFICE SUPPLIES 496$ 500$ 500$ 500$ 3033 GAS/DIESEL/OIL/LUBRICANTS 287 500 500 5003040 UNIFORM/PROTECT CLOTH 0 400 400 4003045 REFERENCE BOOKS 0 400 400 4003510 MEMBER. DUES/SUBSCRIPT 629 740 740 7403520 TRAINING & TRAVEL 64 300 2,000 2,000
Total 1,476$ 2,840$ 4,540$ 4,540$
4090 COMPENSATED ABSENCES ‐$ 4,747$ 13,222$ 13,222$ Total ‐$ 4,747$ 13,222$ 13,222$
TOTAL 284,207$ 317,714$ 342,327$ 342,327$
Personnel Services
Contract Services
Materials & Supplies
Fixed Charges
Fund Title: General Fund Public WorksFund/Division Number: 101‐5006‐442 Utility Engineering
Public Works—Building Maintenance
Description of Division
The Building Maintenance Division of the Public Works Department provides the operation, maintenance and janitorial services for the Senior Center and Community Center buildings. Associated building costs such as utilities are budgeted through this division. The Senior Center and Community Center are public facilities where members of the community gather, therefore it is important that both buildings are maintained and run efficiently.
Accomplishments 2011/2012 Assistance with the establishment of the Emergency Command Center at the New Corp Yard Facility Assisted Parks & Recreation with the set up and coordination of the following City events: Memorial Day Celebration,
Veteran’s Day Celebration, Tree Lighting Ceremony, Volunteer Recognition Dinner, July 1st Celebration, National Night Out, Lathrop Days Celebration and the Holiday Parade.
Performed Facility Maintenance including: Serviced the HVAC unit at the Senior Center and Community Center. Community Center Gym lighting and Senior Center lighting. Repairs to the Senior Center ADA door, rain gutter, craft room. Sewer repairs at the Community Center. Community Center Gym panic bar door repaired. Coordinated with janitorial services to complete annual carpet cleaning and floor wax at the Community Center
and Senior Center. Veteran’s Memorial American and State flags replaced to be in compliance with the National Flag Pole Code
requirements. Refinished plaques at Valverde and installed “Scott Brooks” plaque at Community Center Gymnasium.
Monitored building entrances, walkways, parking lots and landscape islands to eliminate litter, graffiti and safety concerns.
Assisted with assessment of Code Compliance and ADA compliance items at the Community Center Coordinate with Bay Alarm Services to provide security maintenance services at the Community Center. Coordinated with Sonitrol Alarm Services to provide security maintenance services at the Senior Center. Coordinated integration of the landscape irrigation control with the Calsense Central Irrigation Control System.
Public Works—Building Maintenance
Work Plan 2012/2013
Assist other City departments with City events.
Monitor building entrances, walkways, parking lots and landscape islands to eliminate litter, graffiti and safety concerns.
Implementation of SEMS Asset Management program to manage facility maintenance.
Assist with the implementation of the ADA and Code compliance Upgrades at the Community Center.
Assist with finalizing the design criteria for the proposed Lathrop Community Complex providing critical input to day to day needs for maintenance of the new facility.
Continue ongoing facility maintenance and general operations.
Capital Requests None
Significant Operating Changes The work schedules for building maintenance staff were re‐organized to a four ten hour day (4/10) work schedule to
improve customer service, staff productivity and reduce personnel cost. Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works—Building Maintenance
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Services Supervisor 0.20 0.20 0.20
Senior Maintenance Worker 0.20 0.20 0.20
Total Full Time Equivalents 0.40 0.40 0.40
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 12,610$ 17,539$ 23,083$ 23,083$ 1013 OVERTIME 146 800 400 4001014 VACATION/SICK LEAVE 3,280 0 0 01020 RETIRE‐PERS EMPLOYER 1,626 2,544 2,255 2,2551021 RETIRE‐PERS EMPLOYEE 1,118 1,612 1,048 1,0481040 HEALTH INSURANCE 5,451 6,153 6,091 6,0911042 LIFE INSURANCE 36 65 58 581044 WORKER'S COMP INSUR 2,920 4,952 3,840 3,8401046 FICA 229 347 360 3601047 SUI 172 174 174 1741049 SDI 68 163 135 135
Total 27,656$ 34,349$ 37,444$ 37,444$
2001 PROFESSIONAL SERVICES ‐$ 4,599$ ‐$ ‐$ 2016 CONTRACTS‐OTHER 14,656 14,050 14,600 14,6002018 ALARM SERVICE 6,392 7,800 8,500 8,5002025 BUILD & GROUND MAINT 54,103 54,239 57,204 57,2042067 EQUIPMENT RENTAL 818 1,000 1,000 1,0002070 AUTO/HEAVY EQUIP MAINT 1,333 1,400 2,500 2,5002075 OTHER MAINT. & REPAIR 7,414 1,800 3,700 3,700
Total 84,716$ 84,888$ 87,504$ 87,504$
3017 CUSTODIAL SUPPLIES 5,509$ 7,000$ 7,000$ 7,000$ 3020 MATERIALS & SUPPLIES 695 1,100 1,100 1,1003021 BUILD MAINT MAT & SUP 412 2,500 1,500 1,5003024 AUTO/HEAVY EQUIP PART 54 400 400 4003026 OTHER‐MAINT. & REPAIR 29 100 0 03033 GAS/DIESEL/OIL/LUBRICANTS 2,154 3,000 3,000 3,0003035 SHOP TOOLS 0 200 200 2003040 UNIFORM/PROTECT CLOTH 384 1,200 900 9003045 REFERENCE BOOKS 0 150 150 1503049 UTILITIES‐ GAS ELECTRIC 34,275$ 40,000$ 40,000$ 40,000$ 3050 WATER 6,211 11,000 8,500 8,500
Personnel Services
Contract Services
Materials & Supplies
Fund Title: General Fund Public WorksFund/Division Number: 101‐5070‐461 Building Maintenance
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: General Fund Public WorksFund/Division Number: 101‐5070‐461 Building Maintenance
3510 MEMBER. DUES/SUBSCRIPT 36$ 60$ 60$ 60$ 3520 TRAINING & TRAVEL 0 420 420 420
Total 49,759$ 67,130$ 63,230$ 63,230$
4040 SPECIAL FEES 2,122$ 2,870$ 2,870$ 2,870$ 4041 RENTS 2,531 3,520 0 0
Total 4,653$ 6,390$ 2,870$ 2,870$
TOTAL 166,784$ 192,757$ 191,048$ 191,048$
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Park Maintenance
Description of Division
To provide clean and safe parks and recreation facilities that enhance the visual appeal of neighborhoods and meet the recreational needs of Lathrop’s residents. This budget reflects the funds needed to maintain Valverde, Milestone, Libby and Skate Parks and street landscaping.
Accomplishments 2011/2012 Pursue CDBG Grant to replace play equipment at City parks to meet ADA requirements.
Assist with final design criteria for the new Lathrop Community Complex providing critical input to the needs of day to day maintenance for the proposed facility.
Accepted Valverde Park Amphitheatre Improvements, new shelter and picnic tables. Assist with plan check, inspections, contract oversight, and establish maintenance programs for Valverde Park. Repaired splashpad, fountain, playground, picnic table, and pathway photo cell and light bulbs at Valverde Park. Installed new trash receptacles. Repairs to Skate Park skatelite and drinking fountain. Armstrong park play surface repairs completed. Repainted basketball court 3 point lines. Serviced booster pump at Valverde Park and changed it to pump start for more efficiency. Maintained a safe, clean and efficient operation of landscaping at Cambridge and “N” Street and Valverde, Milestone, Libby
and Skate Parks. Continuous maintenance of the central landscape irrigation control with the Calsense Central Irrigation Control System at
Libby, Milestone, Armstrong Park, Thomsen Basin Park, Woodfield, Sangalang, Commons Park, Green Park, and River Park North.
Assisted Parks & Recreation with the set up and coordination of the following City events: Memorial Day Celebration, Veteran’s Day Celebration, Tree Lighting Ceremony, Volunteer Recognition Dinner, Skate Park Competitions, July 1st
Celebration, Lathrop Days Celebration, and the Holiday Parade. Beautification Day:
Playground fiber replaced to meet City play area requirements. Replanting at Community Center and compost refurbishment at Valverde park. Repainting Sangalang restrooms.
Public Works—Park Maintenance
Work Plan 2012/2013
Continue to manage contract for rodent control services for Valverde Park. Continue to manage contract for City park maintenance of 13 City parks. Continue to contract with County Community Corp. workers during the spring and summer to help maintain ponding
basins, right‐of‐way and landscaping. It is important to maintain City property in light of the increased weed abatement efforts.
Continue to maintain a safe, clean and efficient operation of landscaping at Cambridge and “N” Street and Valverde, Milestone, Libby and Skate Parks.
Secure restroom facilities each night in an effort to provide a safe and clean environment for public use.
Capital Requests
None
Significant Operating Changes
The work schedules for Park Maintenance staff were re‐organized to a four ten hour day (4/10) work schedule to improve customer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works—Park Maintenance
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Services Supervisor 0.30 0.30 0.30
Public Works Superintendent 0.02 0.02 0.02
Senior Maintenance Worker 0.30 0.30 0.30
Total Full Time Equivalents 0.62 0.62 0.62
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 20,857$ 28,348$ 36,840$ 36,840$ 1013 OVERTIME 219 1,200 600 6001014 VACATION/SICK LEAVE 4,952 0 0 01020 RETIRE‐PERS EMPLOYER 2,641 4,037 3,646 3,6461021 RETIRE‐PERS EMPLOYEE 1,816 2,558 1,673 1,6731040 HEALTH INSURANCE 8,571 9,550 9,468 9,4681042 LIFE INSURANCE 71 102 93 931044 WORKER'S COMP INSUR 4,436 7,487 5,952 5,9521046 FICA 372 550 573 5731047 SUI 266 269 269 2691049 SDI 124 267 225 225
Total 44,325$ 54,368$ 59,339$ 59,339$
2001 PROFESSIONAL SERVICES ‐$ 6,899$ ‐$ ‐$ 2004 PERSONNEL 734 2,000 4,500 4,5002016 CONTRACTS‐OTHER 1,830 2,500 2,500 2,5002018 ALARM SERVICE 581 2,800 2,800 2,8002027 STREET TREES & LANDSCAPE 3,799 10,200 10,200 10,2002032 PARK MAINTENANCE 33,299 36,400 36,400 36,4002060 ADVERTISING 0 100 100 1002067 EQUIPMENT RENTAL 0 1,600 1,600 1,6002070 AUTO/HEAVY EQUIP MAINT 1,721 2,000 2,500 2,5002075 OTHER MAINT. & REPAIR 1,014 1,840 1,840 1,840
Total 42,978$ 66,339$ 62,440$ 62,440$
3017 CUSTODIAL SUPPLIES 22$ ‐$ ‐$ ‐$ 3020 MATERIALS & SUPPLIES 1,109 2,000 2,000 2,0003021 BUILD MAINT MAT & SUP 854 1,500 1,500 1,5003024 AUTO/HEAVY EQUIP PART 117 400 400 4003026 OTHER‐MAINT. & REPAIR 4,461 9,500 10,000 10,0003030 CHEMICALS 440 500 600 6003033 GAS/DIESEL/OIL/LUBRICANTS 2,378 2,500 3,000 3,0003035 SHOP TOOLS 93 1,500 1,000 1,000
Personnel Services
Contract Services
Materials & Supplies
Fund Title: General Fund Public WorksFund/Division Number: 101‐5080‐461 Park & Landscape Maint.
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: General Fund Public WorksFund/Division Number: 101‐5080‐461 Park & Landscape Maint.
3040 UNIFORM/PROTECT CLOTH 348$ 500$ 500$ 500$ 3045 REFERENCE BOOKS 0 150 150 1503049 UTILITIES‐ GAS ELECTRIC 551 2,500 2,500 2,5003050 WATER 38,733 49,600 45,600 45,6003510 MEMBER. DUES/SUBSCRIPT 54 60 60 603520 TRAINING & TRAVEL 40 200 200 200
Total 49,200$ 70,910$ 67,510$ 67,510$
4040 SPECIAL FEES 1,163$ 4,400$ 4,400$ 4,400$ 4090 COMPENSATED ABSENCES 0 0 42 42
Total 1,163$ 4,400$ 4,442$ 4,442$
TOTAL 137,666$ 196,017$ 193,731$ 193,731$
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Streets
Description of Division
The Street Division activities include maintenance, repair, and cleaning of City streets and rights of way. Including the installation, repair and maintenance of street signs, street striping and pavement markings are also included in this budget. The Division provides maintenance of 81.4 centerline miles of City streets. This work includes patching, seal coating and overlay applications, monthly sweeping of all streets, curbs and gutters, installation and maintenance of traffic control devices including traffic signals, control signs and street name signs.
Accomplishments 2011/2012
Successfully working with Cal‐Trans and SJCOG to identify funding for the replacement of Manthey Road Bridge through the State bridge Replacement Program.
Striping rejuvenation in critical areas of school crossings and worn areas along heavily travelled roads Accepted public improvements, including:
Louise Avenue Rehabilitation and Widening Phase II Sidewalk Repairs Thomsen Road Improvements Golden Valley Parkway and Towne Centre Drive Improvements Citywide Pavement Maintenance
Implemented street name change on Stratford to Reverend Maurice Cotton and Lathrop Road to Spartan Way. Installed speed humps on Granite. Performed underground tracing of street lighting and other line circuits. Updated Pavement Management Program to prioritize streets for maintenance and repair. Implemented Traffic Calming Measures on Woodfield & Longbarn, Mckee & Homestead, Boulder & Marble, Jasper &
Sugar Pine and Crescent Park Circle. Performed pavement improvements on Cambridge, Fifth Street, Stratford, Seventh Street, Lathrop Road, Louise Avenue,
Nestle Way, Christopher Drive, Roth Road, D’Arcy Parkway, and McKinley Avenue. Repaired damaged, cracked and uneven concrete sidewalks throughout the eastern side of the City. Installed speed limit signs on Manthey Road and Lathrop Road.
Public Works—Streets
Accomplishments 2011/2012 (continued)
Replaced missing street signs and repaired damaged street signs. Preventative Maintenance for Heavy Equipment and vehicles. Maintained City streets and roadways with existing staff.
Graffiti Removal and weed abatement on city right‐of‐ways. Contract with Community Corp to maintain City property, right‐of‐way and landscaping in light of the increased weed
abatement efforts. Work Plan 2012/2013
Construct improvements at the Interstate 5/Lathrop Road Interchange. Complete the engineering and Land Acquisition for the Lathrop Road Westerly Grade Separation. Utilize community labor for right‐of‐way maintenance and trash removal through an agreement with the San Joaquin
County Sherriff Community Corps.
Continue the Sidewalk Repair Program to repair or remove and replace damaged, cracked and uneven concrete sidewalks as needed.
Continue the Citywide Traffic Calming Program. Continue to implement Pavement Maintenance program throughout the City prioritizing major arterials and collectors Initiate plan development for the replacement of Manthey Road Bridge Renewal of Striping in heavily worn areas
Capital Requests
Traffic Signal Electric Battery Back‐Ups $10,000
Significant Operating Changes
The work schedules for Street Maintenance staff were re‐organized to a four ten hour day (4/10) work schedule to improve customer service, staff productivity and reduce personnel cost.
Public Works—Streets
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Worker I/II 0.42 0.42 0.42
Public Works Superintendent 0.05 0.05 0.05
Senior Maintenance Worker 0.78 0.78 0.78
Utility Operator I/II/III 0.01 0.01 0.01
Total Full Time Equivalents 1.26 1.26 1.26
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 54,546$ 59,423$ 69,356$ 69,356$ 1013 OVERTIME 929 2,440 1,240 1,2401014 VACATION/SICK LEAVE 5,738 0 0 01015 STAND BY 49 50 0 01020 RETIRE‐PERS EMPLOYER 6,233 6,896 8,201 8,2011021 RETIRE‐PERS EMPLOYEE 4,285 4,374 3,151 3,1511040 HEALTH INSURANCE 19,195 20,141 15,580 15,5801042 LIFE INSURANCE 72 174 173 1731044 WORKER'S COMP INSUR 10,450 15,128 12,096 12,0961046 FICA 880 942 1,028 1,0281047 SUI 547 547 547 5471049 SDI 56 57 57 57
Total 102,980$ 110,172$ 111,429$ 111,429$
2001 PROFESSIONAL SERVICES ‐$ 7,000$ 7,000$ 7,000$ 2004 PERSONNEL 0 0 0 02016 CONTRACTS‐OTHER 18,716 20,000 20,000 20,0002018 ALARM SERVICE 468 600 900 9002029 STREET SWEEPING SERVICE 58,077 54,900 15,600 15,6002030 STREET STRIPING 180 1,359 40,000 40,0002031 SIGNAL MAINTENANCE 39,379 40,266 40,000 40,0002058 COMPUTER TECH SUPP. 0 1,500 1,500 1,5002060 ADVERTISING 200 100 100 1002065 PRINTING 17 100 100 1002067 EQUIPMENT RENTAL 0 500 500 5002069 OFFICE EQUIP & REPAIR 0 500 500 5002070 AUTO/HEAVY EQUIP MAINT 5,893 5,000 6,000 6,0002075 OTHER MAINT. & REPAIR 17,664 56,845 17,000 17,000
Total 140,594$ 188,670$ 149,200$ 149,200$
3010 OFFICE SUPPLIES 80$ 1,200$ 800$ 800$ 3017 CUSTODIAL SUPPLIES 69 200 200 2003020 MATERIALS & SUPPLIES 488 700 700 700
Personnel Services
Contract Services
Materials & Supplies
Fund Title: Streets Public WorksFund/Division Number: 208‐5010‐431 Streets
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: Streets Public WorksFund/Division Number: 208‐5010‐431 Streets
3024 AUTO/HEAVY EQUIP PART 1,405$ 1,200$ 1,600$ 1,600$ 3026 OTHER‐MAINT. & REPAIR 6,069 14,765 13,000 13,0003028 PATCHING MATERIALS 4,500 5,000 5,000 5,0003030 CHEMICALS 4,871 5,000 6,000 6,0003033 GAS/DIESEL/OIL/LUBRICANTS 5,783 5,600 5,600 5,6003035 SHOP TOOLS 1,365 700 1,000 1,0003037 MISCELLANEOUS EQUIP 1,689 0 0 03040 UNIFORM/PROTECT CLOTH 708 1,100 900 9003045 REFERENCE BOOKS 0 100 100 1003049 UTILITIES‐ GAS ELECTRIC 7,439 14,000 20,860 20,8603510 MEMBER. DUES/SUBSCRIPT 51 150 150 1503520 TRAINING & TRAVEL 0 870 870 870
Total 34,517$ 50,585$ 56,780$ 56,780$
4040 SPECIAL FEES 986$ 3,473$ 38,473$ 38,473$ 4090 COMPENSATED ABSENCES 0 0 105 105
Total 986$ 3,473$ 38,578$ 38,578$
5020 MACHINES & EQUIPMENT ‐$ 20,285$ 10,000$ 10,000$ Total ‐$ 20,285$ 10,000$ 10,000$
Internal ChargesINDIRECT COST 96,264$ 112,132$ 99,220$ 99,220$
Total 96,264$ 112,132$ 99,220$ 99,220$
TOTAL 375,341$ 485,317$ 465,207$ 465,207$
Capital Outlay
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Street Trees
Description of Division
The Street Trees & Landscaping Division provides for the planting and maintenance of street trees and for the development and maintenance of landscaping within the public right‐of‐way. The Division removes tree branches and brush that may pose a possible hazard to pedestrians and vehicular traffic. Spraying of street trees for insect infestation and pruning street trees as needed is also provided.
Accomplishments 2011/2012
Trees in various locations throughout the City were trimmed to promote health or removed if they posed a public safety hazard.
Work Plan 2012/2013
Continue to manage and trim City trees located within the public right‐of‐way and park trees with City staff and some contract tree trimming services.
Capital Requests
None
Significant Operating Changes
Future needs for repair and maintenance of intersection, installing street signs and street lights and tree spraying and pruning are demonstrating a need for a bucket truck. During Fiscal Year 2012/2013, Staff will be evaluating the cost effectiveness of purchasing one versus the continued use of various contractors. This cost would be split among several Public Works divisions.
Public Works—Street Trees
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Public Works Superintendent 0.05 0.05 0.05
Senior Maintenance Worker 0.04 0.04 0.04
Total Full Time Equivalents 0.09 0.09 0.09
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 6,640$ 6,995$ 7,760$ 7,760$ 1013 OVERTIME 15 80 40 401014 VACATION/SICK LEAVE 284 0 0 01020 RETIRE‐PERS EMPLOYER 712 771 920 9201021 RETIRE‐PERS EMPLOYEE 488 488 351 3511040 HEALTH INSURANCE 1,382 1,443 1,220 1,2201042 LIFE INSURANCE 8 19 19 191044 WORKER'S COMP INSUR 479 644 864 8641046 FICA 100 103 116 1161047 SUI 39 39 39 391049 SDI 56 57 57 57
Total 10,203$ 10,639$ 11,386$ 11,386$
2027 STREET TREES & LANDSCAPE 14,165$ 16,125$ 15,000$ 15,000$ Total 14,165$ 16,125$ 15,000$ 15,000$
4090 COMPENSATED ABSENCES ‐$ ‐$ 105$ 105$ Total ‐$ ‐$ 105$ 105$
5020 MACHINES & EQUIPMENT ‐$ ‐$ ‐$ ‐$ Total ‐$ ‐$ ‐$ ‐$
Internal ChargesINDIRECT COST 5,439$ 4,093$ 6,893$ 6,893$
Total 5,439$ 4,093$ 6,893$ 6,893$
TOTAL 29,807$ 30,857$ 33,384$ 33,384$
Personnel Services
Contract Services
Capital Outlay
Fixed Charges
Street TreesPublic WorksFund Title: Streets
Fund/Division Number: 208‐5011‐432
Public Works—Public Transit
Description of Division This Division provides a basic transportation system serving all age groups with emphasis on elderly and handicapped citizens. The purpose of the system is to increase the mobility of people by interfacing with neighboring transportation systems wherever possi‐ble. San Joaquin Regional Transit (SJRTD) has implemented a hopper service which provides faster service to destinations. Funds from this division are available for contract service to increase bus service if needed. The Division also provides for the mainte‐nance, repair, and upgrade of bus shelters. Accomplishments 2011/2012
Maintained and repaired vandalized bus shelters. Studied unmet transit needs, maintained communication and coordination with SJRTD. Utilized some LTF for street maintenance.
Work Plan 2012/2013 Continue to study local transit needs, maintaining communication and coordination with SJRTD.
Revise service as needed to match budget.
Continue to monitor and maintain bus shelters.
Pending Unmet Transit Needs Study in the Fall of 2012, program the remaining LTF. Capital Requests
None
Significant Operating Changes None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
2075 OTHER MAINT. & REPAIR ‐$ 3,000$ 3,000$ 3,000$ Total ‐$ 3,000$ 3,000$ 3,000$
2510 SPECIAL CONT/INTERGOV ‐$ 20,000$ 20,000$ 20,000$ Total ‐$ 20,000$ 20,000$ 20,000$
3026 OTHER‐MAINT. & REPAIR ‐$ 2,000$ 2,000$ 2,000$ Total ‐$ 2,000$ 2,000$ 2,000$
Internal ChargesINDIRECT COST ‐$ ‐$ ‐$ ‐$
Total ‐$ ‐$ ‐$ ‐$
TOTAL ‐$ 25,000$ 25,000$ 25,000$
Contract Services
Materials & Supplies
InterGov. Contract Services
Fund Title: Public Transit (LTF) Public WorksFund/Division Number: 212‐5013‐433 Transit
Public Works —RTIF Lathrop Local East
Description of Division
The City adopted the Regional Traffic Impact Fee (RTIF) fee on December 20, 2005. The RTIF was created to help fund regional traffic congestion improvements and related adverse impacts in the County of San Joaquin. San Joaquin Council of Governments (SJCOG) manages the RTIF program. SJCOG’s management costs called Third Party Costs, are paid from fees collected and are processed through this budget unit.
Accomplishments 2011/2012
Collected RTIF from new development projects.
Design and permit processing for Lathrop Road/I‐5 Interim Project.
Work Plan 2012/2013
Continue to collect RTIF from new development.
Construction of Lathrop Road/I‐5 Interim Project.
Design and construction of Lathrop Road Widening Project.
Design Harlan Road Improvements.
Significant Operating Changes
None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
4010 FIXED CHARGES 1,238$ 5,000$ 5,000$ 5,000$ Total 1,238$ 5,000$ 5,000$ 5,000$
TOTAL 1,238$ 5,000$ 5,000$ 5,000$
Fixed Charges
StreetsPublic WorksFund Title: RTIF‐LATHROP LOCAL (EAST)
Fund/Division Number: 234‐5010‐481
Public Works—RTIF San Joaquin County 10%
Description of Division The City adopted the Regional Traffic Impact Fee (RTIF) fee on December 20, 2005. The RTIF was created to help fund regional traffic congestion improvements and related adverse impacts in the County of San Joaquin. Ten percent (10%) of all RTIF funds collected are transferred to this fund for transfers to the San Joaquin County to mitigate impacts from City projects on County roads.
Accomplishments 2011/2012
None
Work Plan 2012/2013
None
Significant Operating Changes
None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
4040 SPECIAL FEES 28,364$ 24,833$ 24,692$ 24,692$ Total 28,364$ 24,833$ 24,692$ 24,692$
TOTAL 28,364$ 24,833$ 24,692$ 24,692$
Fixed Charges
StreetsPublic WorksFund Title: RTIF‐San Joaquin County 10%
Fund/Division Number: 235‐5010‐481
Public Works—RTIF Lathrop Local West
Description of Division
The City adopted the Regional Traffic Impact Fee (RTIF) fee on December 20, 2005. The RTIF was created to help fund regional traffic congestion improvements and related adverse impacts in the County of San Joaquin. San Joaquin Council of Governments (SJCOG) manages the RTIF program. SJCOG’s management costs called Third Party Costs are paid from this budget.
Accomplishments 2011/2012
Collected RTIF from new development projects.
Work Plan 2012/2013
Continue to collect RTIF from new development projects.
Significant Operating Changes
None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
4010 FIXED CHARGES 2,631$ 5,000$ 5,000$ 5,000$ Total 2,631$ 5,000$ 5,000$ 5,000$
5035 LAND ‐$ 349,676$ ‐$ ‐$ Total ‐$ 349,676$ ‐$ ‐$
Internal ChargesINDIRECT COST ‐$ ‐$ ‐$ ‐$ CAPITAL IMPROVEMENT PROJECT 5,000 0 0 0
Total 5,000$ ‐$ ‐$ ‐$
TOTAL 7,631$ 354,676$ 5,000$ 5,000$
Fund Title: RTIF‐Lathrop Local (West) Public WorksFund/Division Number: 236‐5010‐481 Streets
Capital Outlay
Fixed Charges
Public Works —RTIF SJCOG 15%
Description of Division The City adopted the Regional Traffic Impact Fee (RTIF) fee on December 20, 2005. The RTIF was created to help fund regional traffic congestion improvements and related adverse impacts in the County of San Joaquin. Fifteen percent (15%) of all RTIF funds collected are transferred to this fund to transfer to the San Joaquin Council of Governments to mitigate impacts of City projects on the regional transportation system.
Accomplishments 2011/2012
None
Work Plan 2012/2013
None
Significant Operating Changes
None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
4040 SPECIAL FEES 42,546$ 37,250$ 37,038$ 37,038$ Total 42,546$ 37,250$ 37,038$ 37,038$
TOTAL 42,546$ 37,250$ 37,038$ 37,038$
Fund Title: RTIF‐San Joaquin COG 15%Fund/Division Number: 237‐5010‐481 Streets
Public Works
Fixed Charges
Public Works—CLSP Services CFD 2006‐2 Description of Division
The Central Lathrop Specific Plan (CLSP) Services CFD fund was established to fund the activities related to providing public ser‐vices, public safety, and to maintain public infrastructure as necessary in the Central Lathrop Specific Plan area.
Accomplishments 2011/2012 Streetlight quarterly inspections and routine maintenance and repairs to maintain public safety. Coordinated with Odyssey Landscape services to maintain public improvements on Golden Valley Parkway. Provided police services to the Central Lathrop Specific Plan area. Preventative maintenance performed for the storm water pump. Contracted rodent control services for River Island Parkway and Lathrop Road.
Work Plan 2012/2013 Continue to provide police services to the Central Lathrop Specific Plan area. Maintain a safe, clean and efficient operation of the storm drain facilities, and street lights and traffic signals. Continue to provide streetlights and landscaping services on Golden Valley Parkway from River Islands Pkwy to Lathrop
Road and Lathrop Road , Manthey to Land Park.
Capital Requests None
Significant Operating Changes This CFD was partially removed from San Joaquin County’s alternative tax payment system (the Teeter Plan) beginning
in FY 2010/11. It is unknown when or if the district will be reinstated into the system. Until reinstatement, the City has curtailed maintenance and operations activities in an attempt to match expenditures with reduced revenues. Public safety funding was not affected by the Teeter Plan removal.
Public Works field staff work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve cus‐tomer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works—CLSP Services CFD 2006‐2
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Special Districts Manager 0.04 0.04 0.04
Total Full Time Equivalents 0.04 0.04 0.04
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 3,178$ 3,310$ 3,549$ 3,549$ 1013 OVERTIME 0 0 0 01020 RETIRE‐PERS EMPLOYER 326 351 421 4211021 RETIRE‐PERS EMPLOYEE 223 222 161 1611040 HEALTH INSURANCE 509 558 558 5581042 LIFE INSURANCE 9 9 9 91044 WORKER'S COMP INSUR 112 119 92 921046 FICA 50 50 59 591047 SUI 17 17 17 171049 SDI 39 41 40 40
Total 4,463$ 4,677$ 4,906$ 4,906$
2001 PROFESSIONAL SERVICES 5,770$ 5,150$ 5,196$ 5,196$ 2004 PERSONNEL 1,165 0 0 02016 CONTRACTS‐OTHER 6,312 9,430 11,230 11,2302027 STREET TREES & LANDSCAPE 448 4,800 4,800 4,8002070 AUTO/HEAVY EQUIP MAINT 0 1,000 1,000 1,0002075 OTHER MAINT. & REPAIR 7,315 30,175 11,000 11,000
Total 21,010$ 50,555$ 33,226$ 33,226$
2515 CENTRAL LATHROP‐POLICE 88,542$ 100,000$ 100,000$ 100,000$ 2530 LATHROP/MANTECA FIRE DEPARTMENT 139,858 139,400 106,400 106,400
228,400$ 239,400$ 206,400$ 206,400$
3024 AUTO/HEAVY EQUIP PART 274$ 500$ 500$ 500$ 3026 OTHER‐MAINT. & REPAIR 226 500 500 5003030 CHEMICALS 459 400 1,000 1,0003033 GAS/DIESEL/OIL/LUBRICANTS 4,995 4,000 5,000 5,0003049 UTILITIES‐ GAS ELECTRIC 856 17,700 19,200 19,2003050 WATER 3,231 6,000 6,000 6,000
Total 10,041$ 29,100$ 32,200$ 32,200$
Fund Title: CLSP Services CFD 2006‐2 Public WorksFund/Division Number: 239‐5066‐436 CLSP Services CFD 2006‐2
Personnel Services
Contract Services
InterGov. Contract Services
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: CLSP Services CFD 2006‐2 Public WorksFund/Division Number: 239‐5066‐436 CLSP Services CFD 2006‐2
4010 FIXED CHARGES 123$ 200$ 200$ 200$ 4040 SPECIAL FEES 203,204 5,686 5,700 5,7004090 COMPENSATED ABSENCES 0 0 202 202
Total 203,327$ 5,886$ 6,102$ 6,102$
Internal ChargesINDIRECT COST ‐$ 33,595$ 77,658$ 77,658$ CAPITAL REPLACEMENT 0 0 0 0
Total ‐$ 33,595$ 77,658$ 77,658$
TOTAL 467,241$ 363,213$ 360,492$ 360,492$
Fixed Charges
Public Works—Solid Waste AB939
Description of Division
The Solid Waste Management Division is responsible for the collection and disposal of industrial, commercial and residential solid waste. In addition, administering the City’s Source Reduction and Recycling (SRRE) Program, and providing technical assistance and outreach to increase awareness of waste reduction and recycling.
In 1989, Assembly Bill 939, Integrated Waste Management Act, was passed to establish a new direction for waste management and the decrease in landfill capacity. Following AB 939, came the creation of the CA Integrated Waste Management Board (CIWMB). The City of Lathrop is mandated to meet solid waste diversion goals of 50%, attend monthly planning committees hosted by SJ County Public Works Division, purchasing of recycled products and waste minimization.
Accomplishments 2011/2012
Staff has successfully achieved the following:
City secured a grant for Rubberized Asphalt through Cal‐Recycle to promote the use of recycled tires in road maintenance work.
Provided cost effective "bottle‐shaped" recycling containers to Mossdale Elementary, Lathrop Elementary and Lathrop High School designated to increase and promote recycling awareness.
The Division was awarded $5,000 AB 939 Grant, to implement and continue the beverage container recycling and liter reduction programs for the City of Lathrop.
Free electronics recycling collection event coordinated with Onsite Electronics Recycling for Lathrop residents and businesses to drop off their E‐Waste and Universal Waste.
Free mobile shredding service coordinated with Pacific Storage to provide Lathrop residents with secure personal information destruction.
Reached an official waste diversion rate of 80% to maintain compliance with AB 939. Provided a Solid Waste Recycling Kiosk for questions and concerns for the City events listed below. The Kiosk included
free give‐a‐way bags for public outreach that included adult and child educational literature on recycling, composting, and conservation. Coordination with Allied Waste to provide free compost for Residents of the Community
National Night Out National Public Works Week MUSD Planet Party Day Love Lathrop—Beautification Day Carpenter Company Annual Employee Education Fair
Public Works—Solid Waste AB939
Work Plan 2012/2013
Senate Bill 1365, disposal of household Sharps waste, went into effect September 1, 2008. Further research of grants, funding, and implementation needs to be conducted by staff to assist residents with the cost of FDA approved containers and shipping.
Provide a list of San Joaquin County available recycling resources.
Use hands‐on exhibits at city events to educate the public on their essential role in the waste reduction effort.
Continue to organize and offer residents free e‐waste collection.
Continue to participate in City organized events and provide a Solid Waste Recycling Kiosk for outreach and education on natural resource conservation educational literature, composting, and recycling.
Complete the required certification hours towards the Resource Management Professional Certification with the California Resource and Recovery Association (CRRA).
Organize various complimentary events for Lathrop residents, such as: paper shredding, E‐waste recycling, and tire collection.
Fulfill application requirements for the FY 2011/2012 Department of Conservation Beverage Container Recycling and Liter Reduction Grant.
Staff will continue to participate in the San Joaquin County Integrated Waste Management Task Force to obtain additional information on specialized conservation topics (e.g. Go‐Green alternatives) for City of Lathrop residents.
Research and propose City Recycling Ordinances for City of Lathrop (e.g. Construction & Demolition Ordinance).
Capital Requests
None Significant Operating Changes None
Public Works—Solid Waste AB939
Staffing FY 2012/2013 (in alphabetical order) Staffing Summary
Position: 10/11 11/12 12/13
Solid Waste & Resource Conservation Coord. 0.50 0.50 0.50
Total Full Time Equivalents 0.50 0.50 0.50
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 18,565$ 5,104$ 25,171$ 25,171$ 1013 OVERTIME 0 250 250 2501014 VACATION/SICK LEAVE 2,814 0 0 01020 RETIRE‐PERS EMPLOYER 2,190 2,499 2,982 2,9821021 RETIRE‐PERS EMPLOYEE 1,508 1,586 1,145 1,1451040 HEALTH INSURANCE 4,825 6,369 7,229 7,2291042 LIFE INSURANCE 25 60 60 601044 WORKER'S COMP INSUR 354 480 375 3751046 FICA 281 330 369 3691047 SUI 217 217 217 217
Total 30,779$ 16,895$ 37,798$ 37,798$
2001 PROFESSIONAL SERVICES (12)$ 24,829$ 6,700$ 6,700$ 2004 PERSONNEL 0 0 0 02060 ADVERTISING 0 200 200 2002065 PRINTING 0 1,000 1,000 1,000
Total (12)$ 26,029$ 7,900$ 7,900$
3010 OFFICE SUPPLIES 218$ 500$ 500$ 500$ 3045 REFERENCE BOOKS 0 300 300 3003510 MEMBER. DUES/SUBSCRIPT 0 500 500 5003520 TRAINING & TRAVEL 0 1,600 1,600 1,600
Total 218$ 2,900$ 2,900$ 2,900$
Internal ChargesINDIRECT COST 99,966$ 63,435$ 13,216$ 13,216$
Total 99,966$ 63,435$ 13,216$ 13,216$
TOTAL 130,951$ 109,259$ 61,814$ 61,814$
Fund Title: Recycling AB 939Fund/Division Number: 240‐5040‐451
Personnel Services
Contract Services
Solid WastePublic Works
Materials & Supplies
Public Works—Crossroads Storm Drain City Zone 1A
Description of Division
The purpose of the Crossroads Storm Drain Division is to operate, maintain and improve the storm drain system in the Crossroads Commerce Center (CCC), formerly known for assessment district purposes as City Service Zone 1A. City Zone 1A includes approximately 4.5 miles of pipelines, ponds, pumps, pump station facilities and catch basins in such a manner that flooding of property and facilities will not occur. Approximately 295 acres of developed property drains into this system .
Accomplishments 2011/2012
Upgrade of SCADA firewall promoting security of City communication systems. GIS updated to include storm drain inlet, pipeline, pumping facility information. Operation and maintenance of Storm drain infrastructure with the CCC. Storm Drain flood preparations completed. On‐going implementation of NPDES Storm Water Management Plan through the following activities:
Storm Water Development Design Standards Plan that meets Attachment 4 of the general permit requirement. Informational storm water web page which includes the annual reports, literature, storm water development
standards, permits, and links to various resources. Storm Water Pollution Prevention Plan for the City’s operations and maintenance divisions. Participation in the MUSD Planet Earth Day Event to educate the public on Storm Drain maintenance. Annually, the City outreaches to the community about storm water through their utility bills, which is a
requirement of our Storm Water permit. Ongoing Illicit Dry‐Weather monthly reporting of all storm water outfalls to assure that non‐rain water does not
enter and pollutes the San Joaquin River. This reporting takes place during the months of April thru October. Ongoing operation and maintenance of storm drain infrastructure within the CCC. Most of the permitting requirements are now being met in‐house. Continued monitoring the pump storm levels in the Kearney Venture Storm Water Lift Station to coincide with actual rain
events. Submitted a Storm water Drainage Pipe Report to the RWQCB as per our Waste Discharge Requirements for the Crossroads Storm Drain Zone 1A.
Qualified SWPPP Developer (QSD Inspector)/Qualified SWPPP Practitioner (QSP) certified in compliance with the current State SWPPP permit.
Completed the storm water inspection certification for the Certified Erosion, Sediment and Storm Water Inspector (CESSWI) .
Reviewed and inspected Storm Water Pollution Prevention Plans (SWPPP).
Public Works—Crossroads Storm Drain City Zone 1A Accomplishments 2011/2012 (continued)
Provided preventative maintenance of heavy equipment, vehicles and pump stations. Cleaned Crossroads pump station basin of silt and debris. Leveled out basin for future extension. Replaced light at Crossroads Pump Station.
Work Plan 2012/2013
Additional improved acreage will be added as development within Crossroads continues. Continue implementation of NPDES Storm Water Management Plan.
The Regional Water Quality Control Board (RWQCB) issued a new Phase II permit in 2009 that requires revision of the current Storm Water Management Plan (SWMP) and submission to RWQCB for approval.
Public Awareness through information posted to the City Website, information booths at public events, sponsoring of “Got SWPPP” event for the development and construction community, distribution of educational materials to the 4th & 5th grades of local schools.
Enforcement of Illicit Discharge Plan. Construction Site Runoff Control Plan in conformance with the new General Construction Discharge Permit require‐
ments issued in Sept 2009. Maintenance of storm sewer system including cleaning of inlets and outlet inspection. Street Sweeping. Green Waste Program.
Update of City GIS mapping to include storm drain inlet, pipeline, pumping facility information. Continue operation and maintenance of Storm drain infrastructure with the CCC.
Capital Requests
None
Significant Operating Changes
Utility Operators work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer ser‐vice, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works—Crossroads Storm Drain City Zone 1A
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Worker I/II 0.13 0.13 0.13
Public Works Superintendent 0.075 0.075 0.075
Senior Maintenance Worker 0.02 0.02 0.02
Special Districts Manager 0.02 0.02 0.02
Utility Operator I/II/III 0.46 0.46 0.46
Total Full Time Equivalents 0.705 0.705 0.705
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 31,197$ 34,389$ 40,882$ 40,882$ 1013 OVERTIME 2,125 2,140 1,990 1,9901014 VACATION/SICK LEAVE 3,203 0 0 01015 STAND BY 1,605 1,782 1,794 1,7941020 RETIRE‐PERS EMPLOYER 3,521 3,954 4,725 4,7251021 RETIRE‐PERS EMPLOYEE 2,420 2,508 1,857 1,8571040 HEALTH INSURANCE 9,025 9,664 10,165 10,1651042 LIFE INSURANCE 43 98 96 961044 WORKER'S COMP INSUR 5,436 7,834 6,622 6,6221046 FICA 541 582 660 6601047 SUI 306 306 306 3061049 SDI 103 106 105 105
Total 59,525$ 63,363$ 69,202$ 69,202$
2001 PROFESSIONAL SERVICES 2,570$ 8,991$ 7,110$ 7,110$ 2016 CONTRACTS‐OTHER 3,783 3,800 2,146 2,1462018 ALARM SERVICE 468 500 710 7102058 COMPUTER TECH SUPP. 1,128 0 160 1602060 ADVERTISING 0 100 100 1002065 PRINTING 0 100 100 1002069 OFFICE EQUIP & REPAIR 0 100 100 1002070 AUTO/HEAVY EQUIP MAINT 1,771 2,400 2,600 2,6002072 COMMUNICATION EQUIP REPAIR 963 800 1,000 1,0002075 OTHER MAINT. & REPAIR 2,490 2,700 6,000 6,000
Total 13,173$ 19,491$ 20,026$ 20,026$
3010 OFFICE SUPPLIES 32$ 500$ 300$ 300$ 3017 CUSTODIAL SUPPLIES 0 100 100 1003020 MATERIALS & SUPPLIES 215 300 300 3003024 AUTO/HEAVY EQUIP PART 684 500 500 5003026 OTHER‐MAINT. & REPAIR 2,102 1,000 1,000 1,0003030 CHEMICALS 127 200 300 3003033 GAS/DIESEL/OIL/LUBRICANTS 3,982 5,500 7,200 7,200
Fund Title: Crossroads Storm Drain City Zone 1AFund/Division Number: 250‐5021‐435
Personnel Services
Contract Services
Crossroads Storm Drain Zone 1APublic Works
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: Crossroads Storm Drain City Zone 1AFund/Division Number: 250‐5021‐435 Crossroads Storm Drain Zone 1A
Public Works
3035 SHOP TOOLS 62$ 150$ 150$ 150$ 3037 MISCELLANEOUS EQUIP 0 0 0 03040 UNIFORM/PROTECT CLOTH 53 300 300 3003045 REFERENCE BOOKS 0 200 200 2003049 UTILITIES‐ GAS ELECTRIC 20,578 24,000 24,000 24,0003510 MEMBER. DUES/SUBSCRIPT 21 300 300 3003520 TRAINING & TRAVEL 12 400 400 400
Total 27,868$ 33,450$ 35,050$ 35,050$
4010 FIXED CHARGES 459$ 500$ 500$ 500$ 4040 SPECIAL FEES 5,126 5,200 5,200 5,2004041 RENTS 0 5,120 5,120 5,1204090 COMPENSATED ABSENCES 0 0 259 259
Total 5,585$ 10,820$ 11,079$ 11,079$
Internal ChargesINDIRECT COST 30,775$ 36,863$ 38,057$ 38,057$
Total 30,775$ 36,863$ 38,057$ 38,057$
TOTAL 136,926$ 163,987$ 173,414$ 173,414$
Materials & Supplies (CONTINUED)
Fixed Charges
Public Works—Storm Drain City Zone 1 Description of Division
The purpose of the Storm Drain Division is to operate, maintain and improve the storm drain system in the areas of the City not served by the City Zone 1A system in the Crossroads area. Operation and maintenance of this storm drainage system includes pipes, ponds, pumps, pump station facilities and catch basins in such a manner that flooding of property will not occur.
Accomplishments 2011/2012
Upgrade of SCADA firewall promoting security of City communication systems. GIS updated to include storm drain inlet, pipeline, pumping facility information. Operation and maintenance of Storm drain infrastructure with the CCC. Awarded storm drain repair contract to Conco to perform maintenance, repairs and upgrades to various storm drain
facilities and pump station citywide. On‐going implementation of NPDES Storm Water Management Plan through the following activities:
Storm Water Development Design Standards Plan that meets Attachment 4 of the general permit requirement. Informational storm water web page which includes the annual reports, literature, storm water development
standards, permits, and links to various resources. Implemented a Storm Water Pollution Prevention Plan for the City’s operations and maintenance divisions. Held a Development Standards Plan (DSP) workshop for City Planning, Community Development, and Public
Works staff. Participation in MUSD Planet Earth Day event to educate the public on storm drain maintenance. Annually, the City outreaches to the community about storm water through their utility bills, which is a
requirement of our storm water permit. Storm Water training videos (e.g. municipal daily activities, good housekeeping, etc.) were purchased, so that our
City Staff can be trained annually to meet a requirement of our permit. Ongoing Illicit Dry‐Weather monthly reporting of all storm water outfalls to assure that non‐rain water does not
enter and pollutes the San Joaquin River. This reporting takes place during the months of April thru October. Most of the permitting requirements are now being met in‐house. Monthly monitoring requirements for the Storm
Drain City Zone 1 are being prepared by Staff.
Public Works—Storm Drain City Zone 1
Accomplishments 2011/2012 (continued)
On‐going operation and maintenance of storm drain infrastructure within Zone 1. Preventative maintenance of heavy equipment, vehicles and pump stations. S6 sample station and aerator repaired. Repaired eye wash stations. Replaced Woodfield storm water pump. J Street wet well level transducer repaired. Replaced door frame at Milestone Storm Water Station. Repaired N Street Storm Pump Station. Installed check valves at Horizon Park. Completed certification for the Qualified SWPPP Developer (QSD Inspector)/Qualified SWPPP Practitioner (QSP). Completed the storm water inspection certification for the Certified Erosion, Sediment and Storm Water Inspector
(CESSWI) . Reviewed and inspected Storm Water Pollution Prevention Plans (SWPPP).
Work Plan 2012/2013
Continue implementation of NPDES Storm Water Management Plan.
The Regional Water Quality Control Board (RWQCB) issued a new Phase II permit in 2009 that requires revision of the current Storm Water Management Plan (SWMP) and submission to RWQCB for approval.
Public Awareness through information posted to the City Website, information booths at public events, sponsor‐ing of “Got SWPPP” event for the development and construction community, distribution of educational materials to the 4th & 5th grades of local schools.
Enforcement of Illicit discharge plan.
Public Works—Storm Drain City Zone 1
Work Plan 2012/2013 (continued)
Construction Site Runoff Control Plan in conformance with the new General Construction Discharge Permit require‐ments issued in Sept 2009.
Maintenance of storm sewer system including cleaning of inlets and outlet inspection. Street sweeping. Green Waste Program.
Continue to update of City GIS mapping to include storm drain inlet, pipeline, pumping facility information. Continue operation and maintenance of Storm Drain infrastructure with Zone 1.
Capital Requests
None Significant Operating Changes
Utility Operators work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer ser‐vice, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue. Create new specification for the classification of Utility Operator III position to reflect current state requirements for the
operations and maintenance of the new treatment facility.
Public Works—Storm Drain City Zone 1
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Worker I/II 0.25 0.25 0.25
Public Works Superintendent 0.075 0.075 0.075
Senior Maintenance Worker 0.02 0.02 0.02
Special Districts Manager 0.02 0.02 0.02
Utility Operator I/II/III 0.49 0.49 0.49
Total Full Time Equivalents 0.855 0.855 0.855
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 36,443$ 40,533$ 48,423$ 48,423$ 1013 OVERTIME 2,536 2,500 2,230 2,2301014 VACATION/SICK LEAVE 3,861 0 0 01015 STAND BY 1,782 1,932 1,932 1,9321020 RETIRE‐PERS EMPLOYER 4,137 4,678 5,619 5,6191021 RETIRE‐PERS EMPLOYEE 2,844 2,968 2,200 2,2001040 HEALTH INSURANCE 11,308 12,069 12,655 12,6551042 LIFE INSURANCE 51 117 115 1151044 WORKER'S COMP INSUR 6,709 9,691 8,062 8,0621046 FICA 632 685 775 7751047 SUI 371 371 371 3711049 SDI 103 106 105 105
Total 70,777$ 75,650$ 82,487$ 82,487$
2001 PROFESSIONAL SERVICES 4,170$ 11,391$ 9,010$ 9,010$ 2016 CONTRACTS‐OTHER 4,711 6,398 8,352 8,3522018 ALARM SERVICE 468 500 710 7102027 STREET TREES & LANDSCAPE 2,210 2,200 2,200 2,2002032 PARK MAINTENANCE 5,972 6,205 6,205 6,2052058 COMPUTER TECH SUPP. 1,128 0 250 2502060 ADVERTISING 0 50 50 502065 PRINTING 0 100 100 1002067 EQUIPMENT RENTAL 52 700 700 7002069 OFFICE EQUIP & REPAIR 0 100 100 1002070 AUTO/HEAVY EQUIP MAINT 923 1,400 1,600 1,6002072 COMMUNICATION EQUIP REPAIR 1,690 1,600 1,600 1,6002075 OTHER MAINT. & REPAIR 2,536 5,500 7,500 7,500
Total 23,860$ 36,144$ 38,377$ 38,377$
3010 OFFICE SUPPLIES 82$ 500$ 500$ 500$ 3017 CUSTODIAL SUPPLIES 0 200 200 2003020 MATERIALS & SUPPLIES 530 500 500 5003024 AUTO/HEAVY EQUIP PART 220 1,000 1,000 1,000
Personnel Services
Contract Services
Materials & Supplies
Storm Drain City Zone 1Public WorksFund Title: Storm Drain City Zone 1
Fund/Division Number: 251‐5020‐434
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Storm Drain City Zone 1Public WorksFund Title: Storm Drain City Zone 1
Fund/Division Number: 251‐5020‐434
3026 OTHER‐MAINT. & REPAIR 1,647$ 2,048$ 3,000$ 3,000$ 3030 CHEMICALS 645 800 1,200 1,2003033 GAS/DIESEL/OIL/LUBRICANTS 4,242 4,000 8,000 8,0003035 SHOP TOOLS 163 500 500 5003037 MISCELLANEOUS EQUIP 0 0 0 03040 UNIFORM/PROTECT CLOTH 137 600 450 4503045 REFERENCE BOOKS 0 100 100 1003049 UTILITIES‐ GAS ELECTRIC 19,978 23,000 23,678 23,6783050 WATER 7,113 6,650 6,650 6,6503510 MEMBER. DUES/SUBSCRIPT 23 300 300 3003520 TRAINING & TRAVEL 15 1,100 1,100 1,100
Total 34,795$ 41,298$ 47,178$ 47,178$
4010 FIXED CHARGES 2,389$ 2,400$ 2,400$ 2,400$ 4040 SPECIAL FEES 19,423 15,902 16,090 16,0904090 COMPENSATED ABSENCES 0 0 259 259
Total 21,812$ 18,302$ 18,749$ 18,749$
Internal ChargesINDIRECT COST 83,616$ 132,837$ 53,358$ 53,358$
Total 83,616$ 132,837$ 53,358$ 53,358$
TOTAL 234,860$ 304,231$ 240,149$ 240,149$
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Residential Street Lighting
Description of Division
The Residential Street Lighting Division provides street lighting maintenance for the City streets by contract with Pacific, Gas and Elec‐tric Company. The Residential Street Lighting District is bounded by Louise Avenue to the south, Interstate 5 to the west, Stonebridge Subdivision to the north and the City limits to the east. The Division provides for the installation, maintenance and operation of streetlights.
Accomplishments 2011/2012
Submitted for a State Energy Grant to replace existing street lights with LED thereby reducing maintenance costs. Repaired several street lights, replaced burnt out bulbs and replaced stolen copper wire. Streetlight quarterly inspections and routine maintenance and repairs to maintain public safety. Approximately 500 streetlights are operated and maintained.
Work Plan 2012/2013
Install new streetlights as new development occurs.
Continue to operate and maintain the existing streetlight system.
Continue to provide streetlight quarterly inspections and routine maintenance services to maintain public safety.
Contingent upon funding for the energy grant, initiate replacement of existing fixtures with LED energy efficient fixtures. Capital Requests
None Significant Operating Changes None
Public Works—Residential Street Lighting
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Public Works Superintendent 0.01 0.01 0.01
Special Districts Manager 0.02 0.02 0.02
Total Full Time Equivalents 0.03 0.03 0.03
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 2,560$ 2,675$ 2,883$ 2,883$ 1014 VACATION/SICK LEAVE 16 0 0 01020 RETIRE‐PERS EMPLOYER 264 286 342 3421021 RETIRE‐PERS EMPLOYEE 181 181 130 1301040 HEALTH INSURANCE 408 439 445 4451042 LIFE INSURANCE 6 7 7 71044 WORKER'S COMP INSUR 84 89 142 1421046 FICA 39 40 46 461047 SUI 13 13 13 131049 SDI 31 32 32 32
Total 3,602$ 3,762$ 4,040$ 4,040$
2001 PROFESSIONAL SERVICES 3,542$ 3,870$ 3,913$ 3,913$ 2060 ADVERTISING 0 100 60 602075 OTHER MAINT. & REPAIR 6,351 7,575 11,120 11,120
Total 9,893$ 11,545$ 15,093$ 15,093$
3049 UTILITIES‐ GAS ELECTRIC 103,613$ 101,600$ 80,000$ 80,000$ 3520 TRAINING & TRAVEL 0 0 0 0
Total 103,613$ 101,600$ 80,000$ 80,000$
4010 FIXED CHARGES 900$ 903$ 903$ 903$ 4090 COMPENSATED ABSENCES 0 0 122 122
Total 900$ 903$ 1,025$ 1,025$
Internal ChargesINDIRECT COST 24,365$ 20,430$ 21,387$ 21,387$ CAPITAL REPLACEMENT 0 0 0 0
Total 24,365$ 20,430$ 21,387$ 21,387$
TOTAL 142,373$ 138,240$ 121,545$ 121,545$
Personnel Services
Contract Services
Materials & Supplies
Fixed Charges
ResidentialPublic WorksFund Title: Residential Street Lighting
Fund/Division Number: 252‐5012‐422
Public Works—Industrial Street Lighting Description of Division
The purpose of the Industrial Street Lighting Division is to provide street lighting for City streets by contract with Pacific, Gas and Electric Company for electricity and under contract with Republic Electric for maintenance and repair of the streetlights. The Industrial Street Lighting District is bound by Louise Avenue to the north, Interstate 5 to the west, UPRR to the east for Zone A (Crossroads Commerce Center). Zone B is bounded by Louise Avenue to the north and McKinley Avenue to the west and Yosemite Avenue to the south. Zone C is bounded by Interstate 5 to the west, Roth Road to the north, the Stonebridge Development to the south and the UPRR to the east.
Accomplishments 2011/2012
Application for energy grant to replace existing street light fixtures with LED energy efficient fixtures allowing for reduced maintenance costs.
Provided quarterly inspection for streetlights and signal lights to maintain public safety. 220 Street Lights are maintained in the Industrial Lighting District.
Work Plan 2012/2013
Maintain streetlights and signal lights at an acceptable level.
Continue to provide streetlight quarterly inspection and routine maintenance services to maintain public safety. Perform maintenance and upgrades to the street lights in Crossroads.
Replace missing street light wire due to vandalism. Replace wire in areas of wire theft. Initiate Upgrades to LED energy efficient fixtures.
Contingent upon funding for the energy grant, complete replacement of existing fixtures with LED energy efficient fixtures.
Capital Requests
Street Light Replacement $5,000 Significant Operating Changes
None
Public Works—Industrial Street Lighting Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Public Works Superintendent 0.01 0.01 0.01
Special Districts Manager 0.02 0.02 0.02
Total Full Time Equivalents 0.03 0.03 0.03
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 2,560$ 2,675$ 2,883$ 2,883$ 1014 VACATION/SICK LEAVE 16 0 0 01020 RETIRE‐PERS EMPLOYER 264 286 342 3421021 RETIRE‐PERS EMPLOYEE 181 181 130 1301040 HEALTH INSURANCE 408 439 445 4451042 LIFE INSURANCE 6 7 7 71044 WORKER'S COMP INSUR 84 89 142 1421046 FICA 39 40 46 461047 SUI 13 13 13 131049 SDI 31 32 32 32
Total 3,602$ 3,762$ 4,040$ 4,040$
2001 PROFESSIONAL SERVICES 1,350$ 1,400$ 1,443$ 1,443$ 2060 ADVERTISING 0 100 100 1002075 OTHER MAINT. & REPAIR 1,800 11,036 11,700 11,700
Total 3,150$ 12,536$ 13,243$ 13,243$
3049 UTILITIES‐ GAS ELECTRIC 20,894$ 19,000$ 19,000$ 19,000$ Total 20,894$ 19,000$ 19,000$ 19,000$
4010 FIXED CHARGES 435$ 500$ 500$ 500$ 4090 COMPENSATED ABSENCES 0 0 122 122
Total 435$ 500$ 622$ 622$
5020 MACHINES & EQUIPMENT ‐$ 5,000$ 5,000$ 5,000$ Total ‐$ 5,000$ 5,000$ 5,000$
Internal ChargesINDIRECT COST 3,280$ 5,377$ 5,648$ 5,648$ CAPITAL REPLACEMENT 0 100,000 100,000 100,000
Total 3,280$ 105,377$ 105,648$ 105,648$
TOTAL 31,361$ 146,175$ 147,553$ 147,553$
Capital Outlay
Personnel Services
Contract Services
Materials & Supplies
Fixed Charges
Fund Title: Industrial Street Lighting Public WorksFund/Division Number: 252‐5014‐422 Industrial
Public Works—Woodfield Park Maintenance Description of Division
Woodfield Park is a five acre neighborhood park established in a storm drain pond and financed by assessments paid by the property owners residing in the Woodfield Landscape District. This budget insures that the park is kept clean, safe, and visually appealing. Maintenance services are provided by a combination of City personnel and contracted services.
Accomplishments 2011/2012 Storm water submersible pump replaced. Painted restroom and repaired sink. Completed repairs the eyewash station. Rodent control maintenance for Woodfield Park. New storm water submersible pump installed. Maintained a safe and clean park including the basketball court and restroom building. Continuous maintenance of the central landscape irrigation control with the Calsense Central Irrigation Control System
at Woodfield. Preventative maintenance of heavy equipment, vehicles and pump stations.
Work Plan 2012/2013 Open and close restrooms daily in an effort to prevent vandalism.
Continue operations to provide the community with a safe and clean recreational area.
Capital Requests
None
Significant Operating Changes
Public Works field staff work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works—Woodfield Park Maintenance
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Services Supervisor 0.02 0.02 0.02
Senior Maintenance Worker 0.03 0.03 0.03
Special Districts Manager 0.01 0.01 0.01
Total Full Time Equivalents 0.06 0.06 0.06
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 2,463$ 3,055$ 3,751$ 3,751$ 1012 PART‐TIME SALARIES 0 0 0 01013 OVERTIME 22 100 50 501014 VACATION/SICK LEAVE 417 0 0 01020 RETIRE‐PERS EMPLOYER 295 397 396 3961021 RETIRE‐PERS EMPLOYEE 202 252 170 1701040 HEALTH INSURANCE 823 902 914 9141042 LIFE INSURANCE 6 10 9 91044 WORKER'S COMP INSUR 405 649 503 5031046 FICA 42 55 59 591047 SUI 26 26 26 261049 SDI 16 27 24 24
Total 4,717$ 5,473$ 5,902$ 5,902$
2001 PROFESSIONAL SERVICES 1,787$ 2,060$ 1,712$ 1,712$ 2016 CONTRACTS‐OTHER 208 1,700 1,700 1,7002018 ALARM SERVICE 293 1,400 1,400 1,4002032 PARK MAINTENANCE 12,682 21,255 13,905 13,9052058 COMPUTER TECH SUPP. 0 0 0 02060 ADVERTISING 0 50 60 602070 AUTO/HEAVY EQUIP MAINT 497 400 700 7002075 OTHER MAINT. & REPAIR 605 9,000 9,000 9,000
Total 16,072$ 35,865$ 28,477$ 28,477$
3020 MATERIALS & SUPPLIES 279$ 400$ 650$ 650$ 3021 BUILD MAINT MAT & SUP 371 500 500 5003024 AUTO/HEAVY EQUIP PART 21 200 200 2003026 OTHER‐MAINT. & REPAIR 2,606 1,500 1,500 1,5003033 GAS/DIESEL/OIL/LUBRICANTS 399 400 500 5003035 SHOP TOOLS 10 200 200 2003040 UNIFORM/PROTECT CLOTH 55 150 150 1503045 REFERENCE BOOKS 0 50 50 503049 UTILITIES‐ GAS ELECTRIC 388 800 1,000 1,000
Personnel Services
Contract Services
Materials & Supplies
Woodfield Park Maint. DistrictPublic WorksFund Title: Woodfield Park Maintenance District
Fund/Division Number: 253‐5062‐436
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Woodfield Park Maint. DistrictPublic WorksFund Title: Woodfield Park Maintenance District
Fund/Division Number: 253‐5062‐436
3050 WATER 11,168$ 15,000$ 15,000$ 15,000$ 3510 MEMBER. DUES/SUBSCRIPT 7 50 50 503520 TRAINING & TRAVEL 10 50 50 50
Total 15,314$ 19,300$ 19,850$ 19,850$
4010 FIXED CHARGES 548$ 600$ 600$ 600$ 4040 SPECIAL FEES 717 900 950 9504090 COMPENSATED ABSENCES 0 0 51 51
Total 1,265$ 1,500$ 1,601$ 1,601$
5020 MACHINES & EQUIPMENT 12,200$ ‐$ ‐$ ‐$ Total 12,200$ ‐$ ‐$ ‐$
Internal ChargesINDIRECT COST 18,741$ 16,403$ 12,425$ 12,425$ CAPITAL REPLACEMENT 0 0 0 0
Total 18,741$ 16,403$ 12,425$ 12,425$
TOTAL 68,309$ 78,541$ 68,255$ 68,255$
Capital Outlay
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works‐Stonebridge Park & Street Landscaping
Description of Division
The purpose of this division is to provide for the maintenance of the Stonebridge Landscaping District. Included in the district is Stone‐bridge Park, a 10‐acre neighborhood park with a restroom building, a basketball court and approximately 512,000 square feet of street landscaping in public rights of way. The objective is to provide clean, safe, and visually satisfying street and park facilities.
Accomplishments 2011/2012
Competed repairs to picnic table, play structure, and restroom repairs to the shingles, stucco and lighting. Slate Street repairs completed. Tree replaced on Stonebridge across from Joseph Widmer Elementary School. Hosted annual “Hot Rod” event. Beautification Day
Playground fiber replaced to meet City play area requirements Graffiti removal
Maintained park, restroom building and basketball court in a safe and visually appealing manner. Maintained a safe, clean operation of the street landscaping. Continue to maintain central landscape irrigation control with the Calsense Central Irrigation Control System at Sangalang. Preventative maintenance of heavy equipment, vehicles and pump stations. Coordinated Odyssey Landscape for Park and Street Landscape Maintenance services.
Public Works‐Stonebridge Park & Street Landscaping
Work Plan 2012/2013
Maintain a safe, clean and efficient operation of Stonebridge Park, new shade structure and restroom building.
Provide any needed repairs in a timely manner.
Open and close restroom building daily.
Maintain a safe, clean operation of the street landscaping.
Continue to manage Sangalang Park Landscape Maintenance contract.
Beautification Day Repainting of Restroom Interior Refurbishment of fibar in play areas
Capital Requests
None Significant Operating Changes
Public Works field staff work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve cus‐tomer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works‐Stonebridge Park & Street Landscaping
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Public Works Superintendent 0.01 0.01 0.01
Senior Maintenance Worker 0.02 0.02 0.02
Special Districts Manager 0.02 0.02 0.02
Total Full Time Equivalents 0.05 0.05 0.05
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 3,452$ 3,623$ 3,993$ 3,993$ 1013 OVERTIME 8 40 20 201014 VACATION/SICK LEAVE 118 0 0 01020 RETIRE‐PERS EMPLOYER 367 396 473 4731021 RETIRE‐PERS EMPLOYEE 251 251 181 1811040 HEALTH INSURANCE 715 760 640 6401041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 7 10 10 101044 WORKER'S COMP INSUR 254 337 334 3341046 FICA 54 55 62 621047 SUI 22 22 22 221049 SDI 31 32 32 32
Total 5,279$ 5,526$ 5,767$ 5,767$
2001 PROFESSIONAL SERVICES 1,926$ 2,600$ 2,683$ 2,683$ 2016 CONTRACTS‐OTHER 357 500 400 4002018 ALARM SERVICE 0 0 0 02027 STREET TREES & LANDSCAPE 46,406 60,000 60,000 60,0002032 PARK MAINTENANCE 10,661 11,100 16,473 16,4732060 ADVERTISING 0 100 100 1002065 PRINTING 0 100 100 1002067 EQUIPMENT RENTAL 0 200 200 2002070 AUTO/HEAVY EQUIP MAINT 719 1,000 1,200 1,2002075 OTHER MAINT. & REPAIR 0 1,000 1,000 1,000
Total 60,069$ 76,600$ 82,156$ 82,156$
3017 CUSTODIAL SUPPLIES 197$ 400$ 350$ 350$ 3020 MATERIALS & SUPPLIES 243 500 500 5003021 BUILD MAINT MAT & SUP 270 300 500 5003024 AUTO/HEAVY EQUIP PART 46 400 400 4003026 OTHER‐MAINT. & REPAIR 1,536 2,500 2,500 2,5003033 GAS/DIESEL/OIL/LUBRICANTS 930 1,800 1,600 1,6003035 SHOP TOOLS 0 500 500 500
Personnel Services
Contract Services
Materials & Supplies
Stonebridge Landscape DistrictPublic WorksFund Title: Stonebridge Park St. Landscape District
Fund/Division Number: 255‐5060‐436
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Stonebridge Landscape DistrictPublic WorksFund Title: Stonebridge Park St. Landscape District
Fund/Division Number: 255‐5060‐436
3040 UNIFORM/PROTECT CLOTH 77$ 300$ 250$ 250$ 3045 REFERENCE BOOKS 0 50 50 503049 UTILITIES‐ GAS ELECTRIC 2,096 2,650 2,650 2,6503050 WATER 42,489 65,100 65,100 65,1003510 MEMBER. DUES/SUBSCRIPT 32 50 50 503520 TRAINING & TRAVEL 30 120 120 120
Total 47,946$ 74,670$ 74,570$ 74,570$
4010 FIXED CHARGES 2,311$ 2,400$ 2,400$ 2,400$ 4040 SPECIAL FEES 1,755 2,460 2,460 2,4604090 COMPENSATED ABSENCES 0 0 122 122
Total 4,066$ 4,860$ 4,982$ 4,982$
Internal ChargesINDIRECT COST 56,378$ 33,645$ 25,622$ 25,622$
Total 56,378$ 33,645$ 25,622$ 25,622$
TOTAL 173,738$ 195,301$ 193,097$ 193,097$
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Stonebridge Drainage & Lighting
Description of Division
The purpose of the Stonebridge Drainage and Lighting District is to operate and maintain storm drainage and street lighting within the Stonebridge Subdivision.
Accomplishments 2011/2012
Submittal for energy grant to replace existing street lights with energy efficient LED fixtures that will reduce mainte‐nance costs.
Upgrade of SCADA firewall promoting security of City communication systems. GIS updated to include storm drain inlet, pipeline, pumping facility information. Storm Drain Station repairs to SS plug, rebuilt pump, level transducer. Booster Pump repairs completed. Installed new ARV and level transducer. Quarterly inspections of streetlight and repairs to maintain public safety. Maintained 203 street lighting facilities and storm drainage facilities. Ongoing implementation of NPDES Storm Water Management Plan. Most of the permitting requirements are now being met in‐house. Preventative maintenance of heavy equipment, vehicles and pump stations. Coordinated with Odyssey Landscape for Park Landscape Maintenance Services. Provided routine weed abatement. Operation and maintenance of storm drain infrastructure. Qualified SWPPP Developer (QSD Inspector)/Qualified SWPPP Practitioner (QSP) certified in compliance with the current
State SWPPP permit. Completed the storm water inspection certification for the Certified Erosion, Sediment and Storm Water Inspector
(CESSWI). Reviewed and inspected Storm Water Pollution Prevention Plans (SWPPP).
Public Works—Stonebridge Drainage & Lighting
Work Plan 2012/2013
Maintain street lighting facilities and various storm drainage facilities within the District.
Contingent upon funding for the energy grant, initiate replacement of existing fixtures with LED energy efficient fixtures. Capital Requests
None Significant Operating Changes
A portion of the cost for Sangalang Park maintenance is budgeted in this division in support of the storm drain function of the facility. Responsibility for the maintenance of the undeveloped storm drain facilities (weed abatement) will remain in the Streets Division. Water and power costs have been adjusted based on FY 2011/12 actual costs.
Public Works field staff work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve cus‐tomer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue. Create new specification for the classification of Utility Operator III position to reflect current state requirements for the
operations and maintenance of the new treatment facility.
Public Works—Stonebridge Drainage & Lighting
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Services Supervisor 0.20 0.20 0.20
Maintenance Worker I/II 0.40 0.40 0.40
Public Works Superintendent 0.01 0.01 0.01
Senior Maintenance Worker 0.19 0.19 0.19
Special Districts Manager 0.02 0.02 0.02
Utility Operator I/II/III 0.23 0.23 0.23
Total Full Time Equivalents 1.05 1.05 1.05
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 37,691$ 45,671$ 56,730$ 56,730$ 1013 OVERTIME 1,876 2,500 1,710 1,7101014 VACATION/SICK LEAVE 5,887 0 0 01015 STAND BY 1,072 981 828 8281020 RETIRE‐PERS EMPLOYER 4,477 5,821 6,157 6,1571021 RETIRE‐PERS EMPLOYEE 3,079 3,692 2,578 2,5781040 HEALTH INSURANCE 14,654 15,963 16,349 16,3491041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 72 147 139 1391044 WORKER'S COMP INSUR 8,273 12,717 9,934 9,9341046 FICA 662 820 885 8851047 SUI 454 456 456 4561049 SDI 98 195 167 167
Total 78,295$ 88,963$ 95,933$ 95,933$
2001 PROFESSIONAL SERVICES 3,013$ 16,669$ 8,568$ 8,568$ 2016 CONTRACTS‐OTHER 625 1,200 1,100 1,1002018 ALARM SERVICE 468 500 710 7102032 PARK MAINTENANCE 10,667 11,060 5,187 5,1872058 COMPUTER TECH SUPP. 1,128 0 200 2002060 ADVERTISING 0 100 100 1002065 PRINTING 0 100 100 1002067 EQUIPMENT RENTAL 0 200 200 2002069 OFFICE EQUIP & REPAIR 0 300 300 3002070 AUTO/HEAVY EQUIP MAINT 1,405 2,000 1,600 1,6002072 COMMUNICATION EQUIP REPAIR 736 1,000 1,100 1,1002075 OTHER MAINT. & REPAIR 13,808 11,188 12,560 12,560
Total 31,850$ 44,317$ 31,725$ 31,725$
3010 OFFICE SUPPLIES 41$ 400$ 400$ 400$ 3017 CUSTODIAL SUPPLIES 0 300 300 3003020 MATERIALS & SUPPLIES 120 400 400 4003024 AUTO/HEAVY EQUIP PART 196 300 300 300
Personnel Services
Contract Services
Materials & Supplies
Stonebridge Drainage & Lighting DistPublic WorksFund Title: Stonebridge Drainage & Lighting District
Fund/Division Number: 256‐5061‐436
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Stonebridge Drainage & Lighting DistPublic WorksFund Title: Stonebridge Drainage & Lighting District
Fund/Division Number: 256‐5061‐436
3026 OTHER‐MAINT. & REPAIR 636$ 400$ 1,000$ 1,000$ 3030 CHEMICALS 177 300 400 4003033 GAS/DIESEL/OIL/LUBRICANTS 1,021 1,900 2,700 2,7003035 SHOP TOOLS 33 200 200 2003037 MISCELLANEOUS EQUIP 0 0 0 03040 UNIFORM/PROTECT CLOTH 69 300 200 2003045 REFERENCE BOOKS 0 200 200 2003049 UTILITIES‐ GAS ELECTRIC 9,372 36,000 42,700 42,7003050 WATER 1,523 1,800 1,800 1,8003510 MEMBER. DUES/SUBSCRIPT 16 300 300 3003520 TRAINING & TRAVEL 3 145 145 145
Total 13,207$ 42,945$ 51,045$ 51,045$
4010 FIXED CHARGES 2,311$ 2,400$ 2,400$ 2,400$ 4040 SPECIAL FEES 685 1,400 1,400 1,4004090 COMPENSATED ABSENCES 0 0 122 122
Total 2,996$ 3,800$ 3,922$ 3,922$
Internal ChargesINDIRECT COST 35,423$ 37,607$ 49,250$ 49,250$
Total 35,423$ 37,607$ 49,250$ 49,250$
TOTAL 161,771$ 217,632$ 231,875$ 231,875$
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Mossdale Services CFD 2004‐1
Description of Division The purpose of this division is to operate and maintain the system for: storm drain facilities, parks, street landscaping, signal lighting, street lighting, police and animal services within the Mossdale area of the City.
Accomplishments 2011/2012 Replacement planting along main thoroughfares. Upgrade to the SCADA Firewall improving protection to the radio communication system for maintenance of facilities. GIS updated to include storm drain inlet, pipeline, pumping facility information. Preventative maintenance of heavy equipment, vehicles, M Stations and pump stations. Operation and maintenance of storm drain infrastructure. M Station repairs and confined space entry.
M2 electrical panel repaired M3 level transducer replaced
Contracted rodent control services for Park West. Playground and picnic table repairs completed at Park West and Crescent Park. Beautification Day
Playground fiber replaced to meet City play area requirements Graffiti removal
Installed stop signs at Crescent Park Circle and McKee and Homestead. Completed design phase of Cricket Pitch. Performed pavement/striping maintenance along McKee and Brookhurst. Quarterly streetlight inspections, maintenance and repairs required to maintain public safety. Knock down repairs due to vehicular accidents. Provided animal control staffing at an effective level for the area. Continued implementation of the NPDES Storm Water Management Plan. Most of the permitting requirements are now being met in‐house. Qualified SWPPP Developer (QSD Inspector)/Qualified SWPPP Practitioner (QSP) certified in compliance with the current
State SWPPP permit. Completed the storm water inspection certification for the Certified Erosion, Sediment and Storm Water Inspector
(CESSWI).
Public Works—Mossdale Services CFD 2004‐1 Accomplishments 2011/2012 (continued)
Coordinated with Odyssey landscape to provide park and street landscaping services. Reviewed and inspected Storm Water Pollution Prevention Plans (SWPPP). Maintained safe and clean parks. Continuous maintenance of the central landscape irrigation control with the Calsense Central Irrigation Control
System. Irrigation repairs to street landscaping and park landscaping irrigation systems. Ongoing weed abatement. Monthly street sweeping.
Work Plan 2012/2013
Maintain a safe, clean and efficient operation of the storm drain facilities, parks, and street landscaping. Continue to provide quarterly streetlight inspections, maintenance and repairs required to maintain public safety. Continue to maintain safe and clean parks. Continue preventative maintenance of heavy equipment, vehicles, M Stations and pump stations. Continue to provide weed abatement services. Continue to provide street sweeping services. Complete construction of Cricket Pitch once RD‐17 levee improvements are completed. Pavement/striping maintenance along Towne Centre Drive.
Continuous maintenance of the central landscape irrigation control with the Calsense Central Irrigation Control System.
Irrigation repairs to street landscaping and park landscaping irrigation systems. Ongoing weed abatement. Monthly street sweeping.
Public Works—Mossdale Services CFD 2004‐1
Capital Requests
None
Significant Operating Changes
Landscape and Lighting District costs increasing due to the acceptance of new street landscaping areas and commercial frontage improvements. Power and water costs have been increased accordingly.
Public Works field staff work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue. Create new specification for the classification of Utility Operator III position to reflect current state requirements for
the operations and maintenance of the new treatment facility. Coordinated with Odyssey landscape to provide park and street landscaping services. Maintained safe and clean parks. Continuous maintenance of the central landscape irrigation control with the Calsense Central Irrigation Control
System. Irrigation repairs to street landscaping and park landscaping irrigation systems. Ongoing weed abatement. Monthly street sweeping.
Public Works—Mossdale Services CFD 2004‐1
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Animal Services Officer 1.00 1.00 1.00
Maintenance Services Supervisor 0.15 0.15 0.15
Maintenance Worker I/II 0.20 0.20 0.20
Public Works Superintendent 0.05 0.05 0.05
Senior Maintenance Worker 0.22 0.22 0.22
Special Districts Manager 0.09 0.09 0.09
Utility Operator I/II/III 0.40 0.40 0.40
Total Full Time Equivalents 2.11 2.11 2.11
San Joaquin County Position: 10/11 11/12 12/13
Deputy Sheriff for Patrol 5.00 5.00 5.00
Total San Joaquin County Positions 5.00 5.00 5.00
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 89,095$ 97,360$ 115,492$ 115,492$ 1013 OVERTIME 2,986 3,740 3,170 3,1701014 VACATION/SICK LEAVE 7,757 0 0 01015 STAND BY 10,459 11,520 11,610 11,6101020 RETIRE‐PERS EMPLOYER 9,974 11,519 13,240 13,2401021 RETIRE‐PERS EMPLOYEE 6,857 7,307 5,248 5,2481040 HEALTH INSURANCE 26,458 28,804 31,049 31,0491042 LIFE INSURANCE 135 283 277 2771044 WORKER'S COMP INSUR 15,308 21,304 16,879 16,8791046 FICA 1,589 1,754 1,938 1,9381047 SUI 914 916 916 9161049 SDI 195 271 249 249
Total 171,727$ 184,778$ 200,068$ 200,068$
2001 PROFESSIONAL SERVICES 6,767$ 21,337$ 16,126$ 16,126$ 2016 CONTRACTS‐OTHER 7,896 7,600 8,910 8,9102025 BUILD & GROUND MAINT 0 0 0 02027 STREET TREES & LANDSCAPE 0 10,688 110,996 110,9962029 STREET SWEEPING SERVICE 27,894 12,550 11,000 11,0002032 PARK MAINTENANCE 53,405 115,788 118,088 118,0882058 COMPUTER TECH SUPP. 1,411 960 1,260 1,2602060 ADVERTISING 69 100 100 1002065 PRINTING 0 200 200 2002067 EQUIPMENT RENTAL 0 200 200 2002069 OFFICE EQUIP & REPAIR 0 200 200 2002070 AUTO/HEAVY EQUIP MAINT 7,245 5,800 7,400 7,4002072 COMMUNICATION EQUIP REPAIR 1,690 2,000 2,150 2,1502075 OTHER MAINT. & REPAIR 13,470 12,813 13,700 13,700
Total 119,847$ 190,236$ 290,330$ 290,330$
2512 ANIMAL SHELTER/INTERGOVT 12,645$ 14,574$ 14,574$ 14,574$ 2514 MOSSDALE LANDING‐POLICE 853,716 913,676 958,676 958,676
Total 866,361$ 928,250$ 973,250$ 973,250$
Personnel Services
Contract Services
InterGov. Contract Services
Mossdale Services CFD 2004‐1Public WorksFund Title: Mossdale Services CFD 2004‐1
Fund/Division Number: 257‐5063‐436
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Mossdale Services CFD 2004‐1Public WorksFund Title: Mossdale Services CFD 2004‐1
Fund/Division Number: 257‐5063‐436
3010 OFFICE SUPPLIES 17$ 200$ 200$ 200$ 3017 CUSTODIAL SUPPLIES 109 100 1,100 1,1003020 MATERIALS & SUPPLIES 2,337 1,420 800 8003024 AUTO/HEAVY EQUIP PART 718 1,232 1,250 1,2503026 OTHER‐MAINT. & REPAIR 3,948 4,000 5,800 5,8003030 CHEMICALS 197 300 400 4003033 GAS/DIESEL/OIL/LUBRICANTS 6,107 4,900 8,500 8,5003035 SHOP TOOLS 296 300 300 3003037 MISCELLANEOUS EQUIP 37 0 0 03040 UNIFORM/PROTECT CLOTH 1,114 3,800 3,100 3,1003045 REFERENCE BOOKS 40 400 400 4003049 UTILITIES‐ GAS ELECTRIC 28,314 45,500 49,277 49,2773050 WATER 278 82,640 98,640 98,6403510 MEMBER. DUES/SUBSCRIPT 64 500 500 5003520 TRAINING & TRAVEL 590 1,150 1,750 1,750
Total 44,166$ 146,442$ 172,017$ 172,017$
4010 FIXED CHARGES 6,189$ 6,200$ 6,200$ 6,200$ 4040 SPECIAL FEES 7,731 8,800 8,700 8,7004090 COMPENSATED ABSENCES 0 0 560 560
Total 13,920$ 15,000$ 15,460$ 15,460$
Internal ChargesINDIRECT COST 369,134$ 246,125$ 241,332$ 241,332$ CAPITAL REPLACEMENT 5,000 23,001 37,422 37,422CAPITAL PROJECT 0 90,000 90,000 90,000
Total 374,134$ 359,126$ 368,754$ 368,754$
TOTAL 1,590,155$ 1,823,832$ 2,019,879$ 2,019,879$
Materials & Supplies
Fixed Charges
Public Works‐Mossdale Landscape & Lighting District
Description of Division
The purpose of this division is to maintain street lights, landscaping, park sites, and street trees within the district.
Accomplishments 2011/2012 Upgrade of SCADA firewall promoting security of City communication systems. Irrigation repairs completed on Barbara Terry and Mckee. Trees were trimmed to promote health or removed if they posed a public safety hazard. Reviewed plans for construction and provided inspections. Quarterly streetlight inspections, maintenance and repairs required to maintain public safety. Street light knock down repairs due to vehicular accidents. Replaced missing and damaged street light cast iron split bases. Coordinated with Odyssey Landscape to provide street landscaping maintenance services. Maintained safe and clean parks. Continuous maintenance of the central landscape irrigation control with the Calsense Central Irrigation Control System. Preventative maintenance of heavy equipment and vehicles.
Work Plan 2012/2013 Maintain a safe, clean and efficient operation of street lights and street trees. Continue to provide quarterly streetlight inspections, maintenance and repairs required to maintain public safety. Continue to manage street landscape maintenance contract.
Continue to manage street sweeping contract.
Capital Requests
None
Significant Operating Changes
Public Works field staff work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve cus‐tomer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works‐Mossdale Landscape & Lighting District
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Services Supervisor 0.05 0.05 0.05
Maintenance Worker I/II 0.05 0.05 0.05
Public Works Superintendent 0.05 0.05 0.05
Senior Maintenance Worker 0.07 0.07 0.07
Special Districts Manager 0.06 0.06 0.06
Total Full Time Equivalents 0.28 0.28 0.28
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 14,773$ 17,411$ 20,138$ 20,138$ 1013 OVERTIME 64 340 170 1701014 VACATION/SICK LEAVE 1,415 0 0 01020 RETIRE‐PERS EMPLOYER 1,668 2,061 2,266 2,2661021 RETIRE‐PERS EMPLOYEE 1,145 1,305 913 9131040 HEALTH INSURANCE 3,969 4,299 4,215 4,2151041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 31 52 50 501044 WORKER'S COMP INSUR 1,632 2,431 2,250 2,2501046 FICA 240 282 313 3131047 SUI 121 122 122 1221049 SDI 131 159 151 151
Total 25,189$ 28,462$ 30,588$ 30,588$
2001 PROFESSIONAL SERVICES 40,686$ 24,860$ 5,709$ 5,709$ 2016 CONTRACTS‐OTHER 763 3,450 4,000 4,0002027 STREET TREES & LANDSCAPE 100,798 131,508 30,000 30,0002032 PARK MAINTENANCE 31,378 0 0 02060 ADVERTISING 0 200 200 2002065 PRINTING 0 200 200 2002067 EQUIPMENT RENTAL 0 200 200 2002069 OFFICE EQUIP & REPAIR 0 300 300 3002070 AUTO/HEAVY EQUIP MAINT 285 500 600 6002072 COMMUNICATION EQUIP REPAIR 0 100 100 1002075 OTHER MAINT. & REPAIR 5,796 71,289 74,876 74,876
Total 179,706$ 232,607$ 116,185$ 116,185$
3010 OFFICE SUPPLIES ‐$ 300$ 300$ 300$ 3017 CUSTODIAL SUPPLIES 100 100 100 1003020 MATERIALS & SUPPLIES 32 100 100 1003024 AUTO/HEAVY EQUIP PART 12 100 100 1003026 OTHER‐MAINT. & REPAIR 306 500 500 5003030 CHEMICALS 49 100 150 150
Personnel Services
Contract Services
Materials & Supplies
Mossdale L & L DistrictPublic WorksFund Title: Mossdale Landscape & Lighting District
Fund/Division Number: 258‐5064‐436
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Mossdale L & L DistrictPublic WorksFund Title: Mossdale Landscape & Lighting District
Fund/Division Number: 258‐5064‐436
3033 GAS/DIESEL/OIL/LUBRICANTS 635$ 600$ 800$ 800$ 3035 SHOP TOOLS 10 100 100 1003040 UNIFORM/PROTECT CLOTH 63 200 200 2003045 REFERENCE BOOKS 0 100 100 1003049 UTILITIES‐ GAS ELECTRIC 75,564 64,000 64,000 64,0003050 WATER 143,559 84,060 84,060 84,0603510 MEMBER. DUES/SUBSCRIPT 13 100 100 1003520 TRAINING & TRAVEL 0 135 135 135
Total 220,343$ 150,495$ 150,745$ 150,745$
4010 FIXED CHARGES 4,329$ 4,500$ 4,500$ 4,500$ 4040 SPECIAL FEES 0 500 500 5004090 COMPENSATED ABSENCES 0 0 409 409
Total 4,329$ 5,000$ 5,409$ 5,409$
Internal ChargesINDIRECT COST 27,823$ 100,249$ 77,658$ 77,658$ CAPITAL REPLACEMENT 5,000 5,000 5,000 5,000
Total 32,823$ 105,249$ 82,658$ 82,658$
TOTAL 462,390$ 521,813$ 385,585$ 385,585$
Fixed Charges
Materials & Supplies (CONTINUED)
Public Works—Historical CFD 2005‐1
Description of Division
The purpose of this division is to operate, maintain and improve the system for the storm drain facilities, parks, and street landscaping within the Historical Community Facilities District. Specifically, the District includes the Richmond American Homes Developments on “O” Street and Thompson Street and the Florsheim Homes on Warren Avenue. This division is designed to annex all new residential and commercial in‐fill developments east of Interstate 5 and function as the primary funding source for the services and systems mentioned above.
Accomplishments 2011/2012 Replaced door frame at Milestone Storm Water Station. Repaired N Street Storm Pump Station. Installed check valves at Horizon Park. Replaced trash receptacle and completed playground repairs at Armstrong Park. Maintained the street landscaping, storm drain facilities, and parks in the district to an acceptable standard. Maintained the central landscape irrigation control with the Calsense Central Irrigation Control System at Armstrong
Park. Coordinated with Odyssey to provide landscape services along O Street, Thomsen Street, Warren Avenue, and
Armstrong Park.
Work Plan 2012/2013
Maintain a safe, clean and efficient operation of the storm drain facilities, parks, and street landscaping. Annex commercial properties located along Harlan Road as CFD 2005‐1, Tax Zone 3 .
Capital Requests
None
Significant Operating Changes
Public Works field staff work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works—Historical CFD 2005‐1
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Maintenance Services Supervisor 0.01 0.01 0.01
Special Districts Manager 0.01 0.01 0.01
Total Full Time Equivalents 0.02 0.02 0.02
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 1,017$ 1,231$ 1,486$ 1,486$ 1013 OVERTIME 0 20 10 101014 VACATION/SICK LEAVE 75 0 0 01020 RETIRE‐PERS EMPLOYER 111 160 152 1521021 RETIRE‐PERS EMPLOYEE 76 101 67 671040 HEALTH INSURANCE 248 300 279 2791041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 3 4 4 41044 WORKER'S COMP INSUR 89 154 119 1191046 FICA 17 22 24 241047 SUI 9 9 9 91049 SDI 13 18 17 17
Total 1,658$ 2,019$ 2,167$ 2,167$
2001 PROFESSIONAL SERVICES 3,258$ 3,830$ 3,632$ 3,632$ 2027 STREET TREES & LANDSCAPE 1,349 1,940 1,940 1,9402032 PARK MAINTENANCE 2,964 3,355 3,355 3,3552070 AUTO/HEAVY EQUIP MAINT 0 0 0 02075 OTHER MAINT. & REPAIR 0 300 300 300
Total 7,571$ 9,425$ 9,227$ 9,227$
2530 MANTECA/LATHROP FIRE DEPARTMENT ‐$ 6,000$ 1,500$ 1,500$ ‐$ 6,000$ 1,500$ 1,500$
3020 MATERIALS & SUPPLIES ‐$ 200$ 200$ 200$ 3026 OTHER‐MAINT. & REPAIR 125 400 400 4003049 UTILITIES‐ GAS ELECTRIC 217 300 300 3003050 WATER 6,084 7,600 7,600 7,6003510 MEMBER. DUES/SUBSCRIPT 0 0 0 03520 TRAINING & TRAVEL 10 50 50 50
Total 6,436$ 8,550$ 8,550$ 8,550$
Personnel Services
Contract Services
InterGov. Contract Services
Materials & Supplies
Historic Maintenance CFD 05‐1Public WorksFund Title: Historical Maintenance CFD 2005‐1
Fund/Division Number: 263‐5065‐436
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Historic Maintenance CFD 05‐1Public WorksFund Title: Historical Maintenance CFD 2005‐1
Fund/Division Number: 263‐5065‐436
4010 FIXED CHARGES 215$ 300$ 300$ 300$ 4040 SPECIAL FEES 507 3,455 3,585 3,5854090 COMPENSATED ABSENCES 0 0 51 51
Total 722$ 3,755$ 3,936$ 3,936$
Internal ChargesINDIRECT COST 5,624$ 9,721$ 4,531$ 4,531$
Total 5,624$ 9,721$ 4,531$ 4,531$
TOTAL 22,011$ 39,470$ 29,911$ 29,911$
Fixed Charges
Public Works—Mossdale Village CFD 2003‐1
Description of Division
This fund is set up to account for the repayment of CFD 2003‐1’s share of the debt service for revenue bonds issued on July 16, 2003. The Bond proceeds will be used to fund the City’s share of a water project allotment within the South County Surface Water Supply Project, under an agreement with the South San Joaquin Irrigation District. Bond proceeds will also be used for the develop‐ment and improvement of a water well, water facilities and appurtenances to provide potable water for the City’s Water System. Most of the properties included in CFD 2003‐1 (Mossdale Village) have been subdivided into single family dwelling unit parcels and are all subject to the Special Taxes.
Accomplishments 2011/2012
None Work Plan 2012/2013
None Capital Requests
None
Significant Operating Changes None
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
2001 PROFESSIONAL SERVICES 17,312$ 20,000$ 30,060$ 30,060$ Total 17,312$ 20,000$ 30,060$ 30,060$
4010 FIXED CHARGES 4,980$ 5,000$ 5,500$ 5,500$ Total 4,980$ 5,000$ 5,500$ 5,500$
Internal ChargesINDIRECT COST 579$ 1,213$ 1,386$ 1,386$ DEBT SERVICE PAYMENT 562 846,002 618,818 620,978 620,978CAPITAL PROJECTS 0 1,034,502 1,481,077 1,481,077
Total 846,581$ 1,654,533$ 2,103,441$ 2,103,441$
TOTAL 868,873$ 1,679,533$ 2,139,001$ 2,139,001$
Contract Services
Fixed Charges
WaterPublic WorksFund Title: Mossdale Village CFD 2003‐1
Fund/Division Number: 541‐5050‐501
Public Works—Water
Description of Division
The purpose of the Water Division is to provide safe, reliable drinking water to the City’s water utility customers. The Water Division operates, maintains and improves the water supply and distribution system. The City’s water system includes five active well treatment facilities, four water storage and associated booster pump stations, approximately 50 miles of distribution piping and 210 backflow prevention devices. The system is operated under a Water Supply Permit administered by the California Department of Public Health.
Accomplishments 2011/2012
Completed construction of the Louise Avenue Water Treatment Facility, Corp Yard Facility, and Emergency Response Command Center. Ribbon cutting was held on March 27, 2012.
Worked with CDPH to develop and implement flushing program for Well 21 and bring well online. Rehabilitation of Well 6. Provided safe, reliable drinking water to utility customers. Operated and maintained the City’s potable water supply and distribution system. Compliance with the City’s Water Supply Permit, and state and federal drinking water regulations included completion
of tasks for: water quality monitoring and reporting, cross connection control testing, CDPH annual inspection and response, preparation and distribution of the annual consumer confidence report.
Provided high quality customer service, including response to customer inquiries about drinking water quality, and the water system.
Coordinated operations and surface water deliveries with the SSJID. Contracted with the H2O Group to provide operation and maintenance services for start‐up and the initial years of the
Louise Avenue Water Treatment Facility. Continued Urban Water Management Plan program implementation. Contracts administered for water tank maintenance, water quality testing, and other services related to operations and
maintenance of the potable water system.
Public Works—Water Accomplishments 2011/2012 (continued)
Accepted public improvements, including: Water Supply Wells Arsenic Reduction Facilities Pipelines SCADA Radio Antenna Tower Construction Well 21 flushing Pipeline Improvements
Coordinated with Odyssey Landscape to provide landscape maintenance services for booster 3 & 4. Continued to update City Auto‐CAD and GIS water utility maps for new development and existing water infrastructure. Coordinated with Bay Alarm Security Services to provide security services at all sites. Preventative maintenance of heavy equipment, vehicles, Booster Stations and City Wells.
Metering pump and chlorine injection pump installed at Well 10 Repaired chlorine line and installed valve at Well 6 Sample station and aerator repairs Replaced chlorinators in wells Replaced chlorine injector pump for water disinfection Pressure transducers for the chlorine lines
Annual Meter Change Out Program—150 Orion meters changed out. Replaced Orion reader with Trimble reader. Fire hydrant repairs at McKinley, Christopher Way, and Woodfield. Waterline repairs on Mingo. Disinfection of the potable water system. Initiated the Urban Water Management Plan Update and Water Master Plan Update Completion of the City wide Water model, assessment of the system for fire stress and adequate storage as well as
outage planning.
Public Works—Water
Work Plan 2012/2013 Work towards training of operators to the T3 level with the goal of ultimately taking over responsibility of the new
LAWTF Review of system wide operation to improve efficiency of operations, reducing energy and operations costs Continue to provide safe, reliable drinking water to utility customers. Continue operation and maintenance of the City’s drinking water supply and distribution system. Continue tasks relating to compliance with the City’s Water Supply Permit, and state and federal drinking water
regulations. Continue to provide high quality customer service, including response to customer inquiries about drinking water
quality, and the water system. Continue contract administration for water tank maintenance, water quality testing, and other services related to
operations and maintenance of the potable water system. Continue coordination of operations and surface water deliveries to the City with the SSJID. Continue progress with the Water Supply Wells Arsenic Reduction (PW 05‐07) project. Perform hydraulic model update and analysis to identify existing system deficiencies and potential impacts to system
from the arsenic reduction project. Continue working with Municipal Resource Group and Water Coalition members to resolve Well 21 Post‐Construction
(PW 08‐09) funding issues. Continue Utility Map Update to update City Auto‐CAD and GIS water utility maps for new development and existing
water infrastructure. Continue to work with water utility customers for calibration and/or replacement of water meters. Update of the City's Urban Water Management Plan based on the results of the Water Supply Study and 2010 UWMP
Update Guidelines and continue program implementation of the 2005 UWMP.
Capital Requests None
Public Works—Water
Significant Operating Changes Utility Operators work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer
service, staff productivity and reduce personnel cost. Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue. Create new specification for the classification of Utility Operator III position to reflect current state requirements for the
operations and maintenance of the new treatment facility. Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Accounting Specialist I/II/Technician 1.80 1.80 1.80
Maintenance Worker I/II 0.15 0.15 0.15
Meter Reader I/II 1.00 1.00 1.00
Public Works Superintendent 0.15 0.15 0.15
Special Districts Manager 0.08 0.08 0.08
Utility Operator I/II/III 1.27 1.27 1.27
Total Full Time Equivalents 4.45 4.45 4.45
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
1011 REGULAR SALARIES 192,610$ 211,714$ 241,755$ 241,755$ 1013 OVERTIME 6,498 7,920 6,770 6,7701014 VACATION/SICK LEAVE 19,927 0 0 01015 STAND BY 5,364 4,890 4,462 4,4621020 RETIRE‐PERS EMPLOYER 21,803 23,776 28,137 28,1371021 RETIRE‐PERS EMPLOYEE 14,987 15,085 10,987 10,9871040 HEALTH INSURANCE 58,063 59,399 62,563 62,5631041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 248 575 567 5671044 WORKER'S COMP INSUR 22,085 32,371 26,206 26,2061046 FICA 3,005 3,317 3,704 3,7041047 SUI 1,931 1,931 1,931 1,9311049 SDI 245 252 250 250
Total 346,766$ 361,230$ 387,332$ 387,332$
2001 PROFESSIONAL SERVICES 58,121$ 126,550$ 135,600$ 135,600$ 2004 PERSONNEL 0 50,000 252,500 252,5002016 CONTRACTS‐OTHER 88,791 132,000 117,570 117,5702018 ALARM SERVICE 35,372 43,360 43,810 43,8102027 STREET TREES & LANDSCAPE 1,298 1,700 1,700 1,7002058 COMPUTER TECH SUPP. 19,575 26,285 6,525 6,5252060 ADVERTISING 0 1,000 1,000 1,0002065 PRINTING 0 5,000 0 02067 EQUIPMENT RENTAL 521 847 850 8502069 OFFICE EQUIP & REPAIR 0 1,800 2,000 2,0002070 AUTO/HEAVY EQUIP MAINT 7,234 6,500 7,500 7,5002072 COMMUNICATION EQUIP REPAIR 10,387 11,000 14,700 14,7002075 OTHER MAINT. & REPAIR 42,642 38,400 40,100 40,100
Total 263,941$ 444,442$ 623,855$ 623,855$
3010 OFFICE SUPPLIES 625$ 2,100$ 2,100$ 2,100$ 3017 CUSTODIAL SUPPLIES 114 300 300 3003020 MATERIALS & SUPPLIES 1,378 1,300 1,300 1,300
Personnel Services
Contract Services
Materials & Supplies
Fund Title: Water Public WorksFund/Division Number: 562‐5050‐501 Water
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
Fund Title: Water Public WorksFund/Division Number: 562‐5050‐501 Water
3024 AUTO/HEAVY EQUIP PART 356$ 500$ 500$ 500$ 3026 OTHER‐MAINT. & REPAIR 27,015 46,048 46,000 46,0003028 PATCHING MATERIALS 0 1,100 1,100 1,1003030 CHEMICALS 15,878 40,000 58,000 58,0003033 GAS/DIESEL/OIL/LUBRICANTS 10,498 12,000 12,000 12,0003035 SHOP TOOLS 956 1,500 1,500 1,5003037 MISCELLANEOUS EQUIP 25,218 79,636 34,700 34,7003040 UNIFORM/PROTECT CLOTH 924 2,100 2,100 2,1003045 REFERENCE BOOKS 140 200 200 2003049 UTILITIES‐ GAS ELECTRIC 210,633 266,000 342,500 342,5003050 WATER 0 0 0 03510 MEMBER. DUES/SUBSCRIPT 1,274 1,000 1,000 1,0003520 TRAINING & TRAVEL 2,468 1,972 6,300 6,300
Total 297,477$ 455,756$ 509,600$ 509,600$
4012 SCSWSP O&M COSTS 1,605,625$ 1,983,637$ 1,983,637$ 1,983,637$ 4040 SPECIAL FEES 16,799 41,937 42,387 42,3874080 BAD DEBT 16,630 16,873 17,000 17,0004090 COMPENSATED ABSENCES 0 0 720 720
Total 1,639,054$ 2,042,447$ 2,043,744$ 2,043,744$
5010 OFFICE EQUIPMENT ‐$ 24,000$ ‐$ ‐$ 5020 MACHINES & EQUIPMENT 0 9,100 0 0
Total ‐$ 33,100$ ‐$ ‐$
7001 DEPRECIATION 1,049,476$ ‐$ ‐$ ‐$ 7003 CAPITAL REPLACEMENT 51308 0 0 0
Total 1,100,784$ ‐$ ‐$ ‐$
8001 PRINCIPAL ‐$ 930,000$ 1,278,768$ 1,278,768$ 8002 INTEREST 2,181,275 2,216,171 2,170,699 2,170,699
Total 2,181,275$ 3,146,171$ 3,449,467$ 3,449,467$
Capital Outlay
Debt Service
Fixed Charges
Depreciation/Amortization
Materials & Supplies (CONTINUED)
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
Fund Title: Water Public WorksFund/Division Number: 562‐5050‐501 Water
Internal ChargesINDIRECT COST 933,667$ 850,654$ 882,243$ 882,243$ CAPITAL IMPROVEMENT PROJECTS 68,249 623,356 687,129 687,129TRANSFER TO SRF FUND 0 600,000 597,575 597,575CAPITAL REPLACEMENT 640,498 304,592 324,509 324,509
Total 1,642,414$ 2,378,602$ 2,491,456$ 2,491,456$
TOTAL 7,471,711$ 8,861,748$ 9,505,454$ 9,505,454$
Public Works—MWQCF Wastewater Collection System
Description of Division
The purpose of this division is to operate, maintain and improve the collection system for the transmission of the City’s wastewater to the Manteca Water Quality Control Facility (MWQCF) for treatment and disposal. The MWQCF provides wastewater treatment for the majority of areas east of I‐5 in Lathrop, excluding the Crossroads Commerce Center area. The MWQCF wastewater collection system consists of gravity sewers, sewer force mains, manholes and four sewer pump stations.
Accomplishments 2011/2012 Accepted public improvements, including:
SCADA Radio Antenna Tower Construction McKinley Avenue Sanitary Sewer Main and Pump Station Improvements
Completion of design for the McKinley Sewer Project and initiation of construction. Continued implementation of the City’s Sewer System Management Plan as related to the MWQCF wastewater collection
system. Initiated construction of the new Yosemite Force Main and remedial work on the existing force main to MWQCF. Oversaw preparation of the Operations and Maintenance Plan for the new force main system to MWQCF. Performed TV assessment of aged back lot sewers through Historic Lathrop Area Preventative Maintenance for Heavy Equipment, vehicles, and Pump Stations:
J Street pump replaced. Easy Court pump replaced. S‐6 pumps repaired. Vac‐Con, Boom Truck, and Generator Serviced. Submersible Pump Serviced.
Cogen’s Industrial Wastewater Discharge Agreement renewal. Administered Veolia Water IPP Contract renewal and management of the IPP and FOGS program. GIS updated to include sewer facility information. Initiation of Asset Management program. Replaced stolen grates and valve box lids. Sewer repairs completed on Avon, Cabridge, Mingo and O Street. Revised Wastewater Treatment Capacity Policy.
Public Works—MWQCF Wastewater Collection System
Accomplishments 2011/2012 (continued)
Provided safe, reliable sewer service to utility customers. Operated and maintained the MWQCF wastewater collection system. Coordination with the City of Manteca regarding MWQCF operations and regulatory permit compliance. Customer service, including response to customer inquires and sewer blockages and/or overflows. Managed allocation, reallocation and/or transfer of Interceptor System Units (ISUs). Coordinated with Bay Alarm security services to provide security services for all pump station sites. Backflow insulation blankets installed.
Work Plan 2012/2013
Continue to provided safe, reliable sewer service to utility customers. Continue operation and maintenance of the MWQCF wastewater collection system. Continue coordination with the City of Manteca regarding MWQCF operations and regulatory permit compliance. Continue to provide customer service, including response to customer inquires and sewer blockages and/or overflows. Complete Yosemite Bypass and SSFM Break Nov Response (WW 12‐03) Continue implementation of Sanitary Sewer Management Plan. Continue implementation of actions needed under CIP WW 07‐15 for City’s response to Notice of Violation issued by
State Water Resources Control Board (SWRCB) for SSFM break that occurred in June 2004. Continue capital improvement programming to determine if MWQCF wastewater collection system can be extended to
serve proposed development and existing businesses in the Roth Road area. Continue management allocation, reallocation and/or transfer of Interceptor System Units (ISUs). Continue Utility Map Update to update City Auto‐CAD and GIS wastewater utility maps for new development and
existing wastewater infrastructure. Develop a remediation plan for repairing and replacing age4d sewer lines in Historic Lathrop Develop an annual Sewer Assessment Plan to assess health of the collection lines Work with Manteca to modify Sanitary Sewer Ordinance to address differing constituent levels
Capital Request
None
Public Works—MWQCF Wastewater Collection System
Significant Operating Changes Utility Operators work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer
service, staff productivity and reduce personnel cost. Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue. Create new specification for the classification of Utility Operator III position to reflect current state requirements for
the operations and maintenance of the new treatment facility.
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Accounting Specialist I/II/Technician 0.60 0.60 0.60
Maintenance Worker I/II 0.30 0.30 0.30
Public Works Superintendent 0.16 0.16 0.16
Senior Maintenance Worker 0.02 0.02 0.02
Utility Operator I/II/III 0.83 0.83 0.83
Total Full Time Equivalents 1.91 1.91 1.91
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 84,943$ 93,924$ 106,956$ 106,956$ 1013 OVERTIME 4,117 4,140 3,820 3,8201014 VACATION/SICK LEAVE 8,384 0 0 01015 STAND BY 3,135 3,371 2,668 2,6681020 RETIRE‐PERS EMPLOYER 9,513 10,588 12,249 12,2491021 RETIRE‐PERS EMPLOYEE 6,539 6,715 4,859 4,8591040 HEALTH INSURANCE 26,052 27,353 29,587 29,5871041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 108 261 254 2541044 WORKER'S COMP INSUR 10,828 15,288 13,026 13,0261046 FICA 1,368 1,505 1,662 1,6621047 SUI 829 829 829 8291049 SDI 178 181 181 181
Total 155,994$ 164,155$ 176,091$ 176,091$
2001 PROFESSIONAL SERVICES 24,746$ 54,527$ 75,450$ 75,450$ 2016 CONTRACTS‐OTHER 1,881 8,255 9,500 9,5002018 ALARM SERVICE 468 500 800 8002027 STREET TREES & LANDSCAPE 773 1,100 1,100 1,1002058 COMPUTER TECH SUPP. 846 800 950 9502065 PRINTING 0 400 400 4002067 EQUIPMENT RENTAL 52 700 700 7002069 OFFICE EQUIP & REPAIR 0 500 500 5002070 AUTO/HEAVY EQUIP MAINT 3,886 5,000 5,000 5,0002072 COMMUNICATION EQUIP REPAIR 3,774 4,000 5,125 5,1252075 OTHER MAINT. & REPAIR 87,200 25,200 28,700 28,700
Total 123,626$ 100,982$ 128,225$ 128,225$
2513 SEWER SERVICES/INTERGOVT 1,235,337$ 1,500,000$ 1,338,195$ 1,338,195$ Total 1,235,337$ 1,500,000$ 1,338,195$ 1,338,195$
3010 OFFICE SUPPLIES 89$ 1,500$ 1,000$ 1,000$ 3017 CUSTODIAL SUPPLIES 0 350 350 350
WastewaterPublic Works
Personnel Services
Contract Services
InterGov. Contract Services
Materials & Supplies
Fund Title: MWQCF Collection SystemFund/Division Number: 601‐5030‐452
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
WastewaterPublic WorksFund Title: MWQCF Collection System
Fund/Division Number: 601‐5030‐452
3020 MATERIALS & SUPPLIES 568 1,000 1,000 1,0003024 AUTO/HEAVY EQUIP PART 513 600 600 6003026 OTHER‐MAINT. & REPAIR 6,893 8,700 8,700 8,7003028 PATCHING MATERIALS 0 850 1,400 1,4003030 CHEMICALS 513 1,100 1,100 1,1003033 GAS/DIESEL/OIL/LUBRICANTS 3,958 8,000 8,000 8,0003035 SHOP TOOLS 29 800 1,000 1,0003040 UNIFORM/PROTECT CLOTH 590 1,300 1,300 1,3003045 REFERENCE BOOKS 0 200 200 2003049 UTILITIES‐ GAS ELECTRIC 25,824 31,600 39,600 39,6003050 WATER 1,653 2,000 2,000 2,0003510 MEMBER. DUES/SUBSCRIPT 1,262 600 600 6003520 TRAINING & TRAVEL 18 950 950 950
Total 41,910$ 59,550$ 67,800$ 67,800$
4040 SPECIAL FEES 2,074$ 4,200$ 4,550$ 4,550$ 4080 BAD DEBT 12,299 30,000 15,000 15,0004090 COMPENSATED ABSENCES 0 0 337 337
Total 14,373$ 34,200$ 19,887$ 19,887$
5010 OFFICE EQUIPMENT ‐$ 24,000$ ‐$ ‐$ 5020 MACHINES & EQUIPMENT 0 15,745 0 0
Total ‐$ 39,745$ ‐$ ‐$
7001 DEPRECIATION 536,709$ ‐$ ‐$ ‐$ Total 536,709$ ‐$ ‐$ ‐$
Internal ChargesINDIRECT COST 530,312$ 515,158$ 577,718$ 577,718$ CAPITAL IMPROVEMENT PROJECTS 0 0 59,164 59,164CAPITAL REPLACEMENT 339,115 346,728 390,854 390,854
Total 869,427$ 861,886$ 1,027,736$ 1,027,736$
TOTAL 2,977,376$ 2,760,518$ 2,757,934$ 2,757,934$
Capital Outlay
Depreciation/Amortization
Materials & Supplies (CONTINUED)
Fixed Charges
Public Works‐Crossroads Recycling Plant #1‐Treatment
Description of Division
The purpose of this division is to provide services for operation and maintenance of the wastewater treatment plant serving the Crossroads Commerce Center area. The Crossroads wastewater treatment facility is operated under a contract with Veolia Water North America (VWNA). The plant operations are regulated under a Waste Discharge Requirements order administered by the State Regional Water Quality Control Board.
Accomplishments 2011/2012
Initiated processing with RWQCB for revision of permit for waste discharge. Provided services for operations, maintenance and regulatory permit compliance for the wastewater treatment plant
serving the Crossroads Commerce Center. Provided services to manage contracts for operations and maintenance, water quality testing and groundwater
monitoring associated with the Crossroads wastewater treatment plant. Continued coordination with Stantec for the preparation of waste discharge for the Crossroads Treatment Plant
Expansion. Coordinated with J & J Farm Services to dispose of recycled water at LA2 and LA3 . Completed pond repairs
HDPE Liner and patch polypropylene. Pond Cleaning
Installed new alfalfa gates and gate guards. Administered Veolia Water IPP Contract renewal and management of the IPP. Awarded EKI Contract services for SWISS/Hormel Wastewater permit compliance discharge.
Public Works‐Crossroads Recycling Plant #1‐Treatment
Work Plan 2012/2013
Continue project management for the Crossroads Wastewater Treatment Plant Improvements (WW 11‐06) to proc‐ess with RWQCB for revised WDR permit allowing plant expansion.
Continue to provide services for operations, maintenance and regulatory permit compliance for the wastewater treat‐ment plant serving the Crossroads Commerce Center.
Continue to provide services to manage contracts for wastewater treatment plant operations and maintenance, water quality testing and groundwater monitoring associated with the Crossroads wastewater treatment plant.
Begin program to monitor and establish baseline wastewater constituents in the plant influent. Continue to assist local and new businesses within Crossroads for development and/or expansion.
Capital Requests
None Significant Operating Changes
Utility Operators work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer
service, staff productivity and reduce personnel cost. Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue.
Public Works‐Crossroads Recycling Plant #1‐Treatment
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Public Works Superintendent 0.05 0.05 0.05
Total Full Time Equivalents 0.05 0.05 0.05
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 4,857$ 5,098$ 5,540$ 5,540$ 1013 OVERTIME 0 0 0 01014 VACATION/SICK LEAVE 278 0 0 01015 STAND BY 0 0 0 01020 RETIRE‐PERS EMPLOYER 507 550 656 6561021 RETIRE‐PERS EMPLOYEE 347 348 251 2511040 HEALTH INSURANCE 450 802 830 8301041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 6 13 13 131044 WORKER'S COMP INSUR 162 149 480 4801046 FICA 71 73 83 831047 SUI 22 22 22 221049 SDI 56 57 57 57
Total 6,756$ 7,112$ 7,932$ 7,932$
2001 PROFESSIONAL SERVICES 487,436$ 543,079$ 568,365$ 568,365$ 2060 ADVERTISING 0 0 0 0
Total 487,436$ 543,079$ 568,365$ 568,365$
3026 OTHER‐MAINT. & REPAIR 92$ 100$ 100$ 100$ 3040 UNIFORM/PROTECT CLOTH 18 50 50 503049 UTILITIES‐ GAS ELECTRIC 49,557 61,600 59,000 59,0003520 TRAINING & TRAVEL 0 0 0 0
Total 49,667$ 61,750$ 59,150$ 59,150$
4040 SPECIAL FEES 11,128$ 17,175$ 17,275$ 17,275$ 4090 COMPENSATED ABSENCES 0 0 105 105
Total 11,128$ 17,175$ 17,380$ 17,380$
7001 DEPRECIATION 1,084$ ‐$ ‐$ ‐$ Total 1,084$ ‐$ ‐$ ‐$
Personnel Services
Contract Services
Materials & Supplies
Xroad‐Treatment PlantPublic Works
Fixed Charges
Depreciation/Amortization
Fund Title: Xroad Recycling Plant #1‐SchreiberFund/Division Number: 605‐5031‐452
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Xroad‐Treatment PlantPublic WorksFund Title: Xroad Recycling Plant #1‐Schreiber
Fund/Division Number: 605‐5031‐452
Internal ChargesINDIRECT COST 118,976$ 146,207$ 145,107$ 145,107$ CAPITAL REPLACEMENT 166,102$ 163,268$ 168,088$ 168,088$
Total 285,078$ 309,475$ 313,195$ 313,195$
TOTAL 841,149$ 938,591$ 966,022$ 966,022$
Public Works‐Crossroads Recycling Plant #1‐Collection
Description of Division
This division provides services for operation and maintenance, and regulatory permit compliance for the wastewater collection system, recycled water storage ponds and recycled water land application areas serving the Crossroads Commerce Center.
Accomplishments 2011/2012
Completed preparation of the City’s Sewer System Management Plan (SSMP) and began program implementation as related to the Crossroads wastewater collection system.
Maintenance and repair of Land Application Area 2 and preparation of Land Application Area 3 to process recycled water efficiently.
Preventative Maintenance for Heavy Equipment, vehicles, and Pump Stations. Gate valves replaced at LA2 and LA3.
Worked with consultants and significant industrial users in an effort to reduce their hydraulic flows and wastewater constituents to levels specified by permit or by City ordinance and thereby increase sewer capacity and reduce operating costs at the wastewater treatment plant.
Contracted services with Stantec to provide consulting services for the Crossroads Wastewater Expansion Feasibility Study.
Contracted consulting services with EKI for SWISS/Hormel Wastewater permit compliance discharge. Provided services for operation and maintenance, and regulatory permit compliance for the wastewater collection
system, recycled water storage ponds and recycled water land application areas serving the Crossroads Commerce Center.
Provided services for management of contracts for operation and maintenance, and regulatory permit compliance for the wastewater collection system, recycled water storage ponds and recycled water land application areas serving the Crossroads Commerce Center.
Administered Veolia Water IPP Contract renewal and management of the IPP. Worked with Veolia to perform asset management assessment and 5 year budget to ensure plant health. Management of IPP and FOGS program including review of monthly reporting systems. Coordinated with J&J Farming Services to dispose of recycled water at LA2 and LA3.
Public Works‐Crossroads Recycling Plant #1‐Collection
Work Plan 2012/2013 Continue to provide services for operation and maintenance, and regulatory permit compliance for the wastewater col‐
lection system, recycled water storage ponds and recycled water land application areas serving the Crossroads Com‐merce Center.
Continue to provide services for the management of contracts for operations and maintenance and recycled water farm‐ing associated with the Crossroads wastewater collection system.
Continue working with consultants and significant industrial users to reduce their hydraulic flows and wastewater con‐stituents to levels specified by permit or by City ordinance and thereby increase sewer capacity and reduce operating costs at the wastewater treatment plant.
Continue program implementation of the City’s Sewer System Management Plan (SSMP) as related to the Crossroads wastewater collection system.
Capital Requests
None
Significant Operating Changes Utility Operators work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer
service, staff productivity and reduce personnel cost. Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue. Create new specification for the classification of Utility Operator III position to reflect current state requirements for the
operations and maintenance of the new treatment facility.
Public Works‐Crossroads Recycling Plant #1‐Collection
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Accounting Specialist I/II/Technician 0.30 0.30 0.30
Maintenance Worker I/II 0.10 0.10 0.10
Public Works Superintendent 0.05 0.05 0.05
Senior Maintenance Worker 0.02 0.02 0.02
Utility Operator I/II/III 0.16 0.16 0.16
Total Full Time Equivalents 0.63 0.63 0.63
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 28,384$ 31,877$ 35,888$ 35,888$ 1013 OVERTIME 922 970 850 8501014 VACATION/SICK LEAVE 2,957 0 0 01015 STAND BY 712 654 506 5061020 RETIRE‐PERS EMPLOYER 3,203 3,547 4,168 4,1681021 RETIRE‐PERS EMPLOYEE 2,201 2,249 1,630 1,6301040 HEALTH INSURANCE 9,707 9,555 10,049 10,0491041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 36 87 86 861044 WORKER'S COMP INSUR 2,680 3,903 3,393 3,3931046 FICA 437 490 545 5451047 SUI 273 273 273 2731049 SDI 56 57 57 57
Total 51,568$ 53,662$ 57,445$ 57,445$
2001 PROFESSIONAL SERVICES 15,182$ 23,988$ 25,350$ 25,350$ 2016 CONTRACTS‐OTHER 3,802 5,800 3,900 3,9002058 COMPUTER TECH SUPP. 846 0 150 1502069 OFFICE EQUIP & REPAIR 0 100 100 1002070 AUTO/HEAVY EQUIP MAINT 2,193 1,400 1,650 1,6502072 COMMUNICATION EQUIP REPAIR 0 0 0 02075 OTHER MAINT. & REPAIR 27,142 16,900 16,200 16,200
Total 49,165$ 48,188$ 47,350$ 47,350$
3017 CUSTODIAL SUPPLIES ‐$ 150$ 150$ 150$ 3024 AUTO/HEAVY EQUIP PART 368 600 600 6003026 OTHER‐MAINT. & REPAIR 20 100 150 1503033 GAS/DIESEL/OIL/LUBRICANTS 1,233 1,127 2,000 2,0003035 SHOP TOOLS 0 50 50 503040 UNIFORM/PROTECT CLOTH 93 300 300 3003510 MEMBER. DUES/SUBSCRIPT 15 200 200 2003520 TRAINING & TRAVEL 2 300 300 300
Total 1,731$ 2,827$ 3,750$ 3,750$
Personnel Services
Contract Services
Materials & Supplies
Xroad Collection System M&OPublic WorksFund Title: Xroad Recycling Plant #1‐Schreiber
Fund/Division Number: 605‐5032‐452
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Xroad Collection System M&OPublic WorksFund Title: Xroad Recycling Plant #1‐Schreiber
Fund/Division Number: 605‐5032‐452
4040 SPECIAL FEES 9,458$ 10,873$ 11,000$ 11,000$ 4090 COMPENSATED ABSENCES 0 0 105 105
Total 9,458$ 10,873$ 11,105$ 11,105$
TOTAL 111,922$ 115,550$ 119,650$ 119,650$
Fixed Charges
Public Works—MBR #1 Waste Recycling Plant Description of Division
This division provides wastewater collection, treatment and disposal of treated effluent for the Mossdale and River Islands development areas at the WRP‐1(MBR) wastewater treatment facility and associated wastewater collection and recycled water systems. The treated water is pumped to recycled water storage basins or agricultural land application sites located in the Mossdale and River Islands development areas. The WRP‐1(MBR) facility is operated under a design‐build‐operate contract with Veolia Water North America (VWNA). The wastewater collection system consists of gravity sewer pipelines, sewer force mains, and the Mossdale sewer pump station. The recycled water system consists of recycled water distribution pipelines, five recycled water basins, three recycled water pump stations, and numerous urban and agricultural land application areas.
Accomplishments 2011/2012
Provided services for operations, maintenance and regulatory permit compliance for the WRP‐1 (MBR) wastewater treatment plant and associated wastewater collection and recycled water systems.
Provided ongoing management of contracts for operations and maintenance of the WRP‐1 (MBR) wastewater treatment plant, wastewater collection system and recycled water systems.
Continued appealing to the RWQCB for a reduction in groundwater monitoring to reduce groundwater monitoring costs. Continued implementation of the City’s Sewer System Management Plan (SSMP) as related to the WRP‐1 (MBR) collection
system. Continued to monitor and establish baseline wastewater constituents in plant influent. Administered Veolia Water IPP Contract renewal and management of the IPP. Worked with Veolia to perform asset management assessment and 5 year budget to ensure plant health. Management of IPP and FOGS program including review of monthly reporting systems. Upgrade of SCADA firewall promoting security of City communication systems. Pond fencing, sample stations and aerator repairs. Stewart Road recycled waterline repair. Meter replaced at River Islands LA28 and reclaimed force main repaired. Preventative Maintenance for Heavy Equipment, Vehicles and Pump Stations. Replaced 3 valves at LA2 and LA3.
Public Works—MBR #1 Waste Recycling Plant
Work Plan 2012/2013
Continue developing capital projects for plant expansion to promote future community development. Continue to provide services for operations, maintenance and regulatory permit compliance for the WRP‐1 (MBR)
wastewater treatment plant and associated wastewater collection and recycled water systems. Continue to provide ongoing management of contracts for operations and maintenance of the WRP‐1 (MBR) wastewater
treatment plant, wastewater collection system and recycled water systems. Continue program implementation of the City’s Sewer System Management Plan (SSMP) as related to the WRP‐1 (MBR)
collection system.
Capital Requests
None
Significant Operating Changes To date, recycled water has only been applied to the land application area northeast of Towne Centre Drive and Golden
Valley Parkway. This parcel is proposed for commercial development, so recycled water farming operations will be relocated to the River Islands agricultural land application areas.
Utility Operators work schedules were re‐organized to a four ten hour day (4/10) work schedule to improve customer service, staff productivity and reduce personnel cost.
Public Works field staff has moved to the new Corporation Yard facility located at 2112 Louise Avenue. Create new specification for the classification of Utility Operator III position to reflect current state requirements for the
operations and maintenance of the new treatment facility.
Public Works—MBR #1 Waste Recycling Plant
Staffing FY 2012/2013 (in alphabetical order)
Staffing Summary
Position: 10/11 11/12 12/13
Accounting Specialist I/II/Technician 0.30 0.30 0.30
Public Works Superintendent 0.16 0.16 0.16
Senior Maintenance Worker 0.02 0.02 0.02
Special Districts Manager 0.05 0.05 0.05
Utility Operator I/II/III 1.15 1.15 1.15
Total Full Time Equivalents 1.68 1.68 1.68
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
1011 REGULAR SALARIES 77,963$ 83,297$ 96,437$ 96,437$ 1013 OVERTIME 5,059 4,730 4,710 4,7101014 VACATION/SICK LEAVE 7,454 0 0 01015 STAND BY 3,923 2,520 4,600 4,6001020 RETIRE‐PERS EMPLOYER 8,697 9,448 11,172 11,1721021 RETIRE‐PERS EMPLOYEE 5,976 5,992 4,380 4,3801040 HEALTH INSURANCE 20,657 22,001 23,058 23,0581041 DENTAL INSURANCE 0 0 0 01042 LIFE INSURANCE 102 231 228 2281044 WORKER'S COMP INSUR 10,705 15,396 13,108 13,1081046 FICA 1,308 1,355 1,562 1,5621047 SUI 729 729 729 7291049 SDI 227 233 231 231
Total 142,800$ 145,932$ 160,215$ 160,215$
2001 PROFESSIONAL SERVICES 587,481$ 916,234$ 954,213$ 954,213$ 2016 CONTRACTS‐OTHER 10,079 19,681 16,281 16,2812027 STREET TREES & LANDSCAPE 5,412 6,000 6,000 6,0002058 COMPUTER TECH SUPP. 12,419 800 2,500 2,5002065 PRINTING 0 500 500 5002070 AUTO/HEAVY EQUIP MAINT 2,049 2,300 3,000 3,0002072 COMMUNICATION EQUIP REPAIR 4,510 5,000 7,000 7,0002075 OTHER MAINT. & REPAIR 71 10,000 20,200 20,200
Total 622,021$ 960,515$ 1,009,694$ 1,009,694$
3010 OFFICE SUPPLIES 44$ 255$ 300$ 300$ 3024 AUTO/HEAVY EQUIP PART 146 500 500 5003026 OTHER‐MAINT. & REPAIR 1,266 5,000 5,000 5,0003033 GAS/DIESEL/OIL/LUBRICANTS 4,584 5,000 5,000 5,0003035 SHOP TOOLS 0 1,045 1,200 1,2003040 UNIFORM/PROTECT CLOTH 234 1,000 750 7503045 REFERENCE BOOKS 0 300 300 3003049 UTILITIES‐ GAS ELECTRIC 201,256 205,000 250,000 250,000
Fund Title: MBR#1 Waste Recycling Plant Public WorksFund/Division Number: 608‐5034‐452 MBR#1 Waste Recycling Plant
Personnel Services
Contract Services
Materials & Supplies
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED ADOPTED
Fund Title: MBR#1 Waste Recycling Plant Public WorksFund/Division Number: 608‐5034‐452 MBR#1 Waste Recycling Plant
3510 MEMBER. DUES/SUBSCRIPT 68$ 700$ 700$ 700$ 3520 TRAINING & TRAVEL 25 1,500 1,500 1,500
Total 207,623$ 220,300$ 265,250$ 265,250$
4010 FIXED CHARGES 1,647$ 3,737$ 3,737$ 3,737$ 4040 SPECIAL FEES 46,222 112,640 98,800 98,8004080 BAD DEBT 4,262 20,000 20,000 20,0004090 COMPENSATED ABSENCES 0 0 590 590
Total 52,131$ 136,377$ 123,127$ 123,127$
7001 DEPRECIATION 27,177$ ‐$ ‐$ ‐$ Total 27,177$ ‐$ ‐$ ‐$
Internal ChargesINDIRECT COST 359,028$ 357,442$ 308,387$ 308,387$ CAPITAL REPLACEMENT 280,531 0 0 0
Total 639,559$ 357,442$ 308,387$ 308,387$
TOTAL 1,691,311$ 1,820,566$ 1,866,673$ 1,866,673$
Fixed Charges
Depreciation/Amortization
Materials & Supplies (CONTINUED)
Developer Projects—Gateway Business Park
Description of Developer Project
This proposed project, located in the City’s Sphere of Influence, is south of the existing city limits adjoining McKinley Avenue and bisected by State Route 120. The proposed specific plan will include office, retail and industrial use on 213.5 acres. On January 23, 2012 the City Council approved the 213.5 acre project annexation and pre‐annexation agreement. Staff and project development team have completed the application submittal requirements for San Joaquin LAFCO processing. The project is scheduled to be considered by LAFCO at their April 20th meeting.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $15,000
General Fund Salaries — $20,000
Specialized Legal Services $15,000
Billable Staff Time for work on Project $20,000
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 39,523$ 30,000$ 15,000$ 15,000$ 2090 GENERAL FUND SALARY CHARGE 12,926 20,000 20,000 20,000
Total 52,449$ 50,000$ 35,000$ 35,000$
TOTAL 52,449$ 50,000$ 35,000$ 35,000$
Developer ProjectsGateway Business Park
Gateway Business Park282‐8999‐471
Fund Title:Fund/Division Number:
Contract Services
Developer Projects—Watt (Lathrop Marketplace II)
Description of Developer Project
Lathrop Marketplace II consists of a 51 acre commercial property located at the northeast corner of Golden Valley Parkway and River Islands Parkway. Total building area, when the shopping center is completed, will be approximately 702,835 square feet consisting of nine (9) buildings. The completion of Golden Valley Parkway for commercial access to this property is currently in progress. Although, there is no commercial development activity at this time, interest does appear to be picking up.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $5,000
General Fund Salaries — $2,500
Capital/Projects — $6,294
Specialized Legal Services $5,000
Billable Staff Time for work on Project $2,500
Annual SSJID Fixed O & M $6,294
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 512$ 5,000$ 5,000$ 5,000$ 2090 GENERAL FUND SALARY CHARGE (527) 2,500 2,500 2,500
Total (15)$ 7,500$ 7,500$ 7,500$
TOTAL (15)$ 7,500$ 7,500$ 7,500$
Fund Title:Fund/Division Number:
Contract Services
Developer ProjectsWatt (Lathrop Marketplace II)
Watt (Lathrop Marketplace II)283‐8999‐471
Developer Projects—South Lathrop Richland
Description of Developer Project
This proposed project, located in the City’s Sphere of Influence, is south of the existing city limits adjoining McKinley Boulevard and bisected by State Route 120. The proposed specific plan will include office, retail and industrial use on 320 acres. This project has been dropped by the developer and is no longer being processed.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $2,500
General Fund Salaries — $2,500
Professional Services $2,500
General Fund Salaries $2,500
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES ‐$ ‐$ 2,500$ 2,500$ 2090 GENERAL FUND SALARY CHARGE 310 0 2,500 2,500
Total 310$ ‐$ 5,000$ 5,000$
TOTAL 310$ ‐$ 5,000$ 5,000$
Developer ProjectsSouth Lathrop Richland
South Lathrop Richland286‐8999‐471
Fund Title:Fund/Division Number:
Contract Services
Developer Projects—Crossroads Richland
Description of Developer Project
Located on a site south of Louise Avenue between Howland and Harlan Roads, Crossroads is an industrial/commercial area comprised of 450 acres of industrial property, zoned Limited Industrial (IL) and 48 acres of Highway Commercial (HC) zoned land. The commercial area contains the 138,000 square foot Lathrop Business Park. Adjoining the Lathrop Business Park are several restaurants and a hotel. The Industrial area includes several leading manufacturing and distribution facilities. A 517,300 s.f. speculation industrial warehouse/distribution building on a 29 acres site at the south end of Harlan Rd. received planning approval, but no Building Permit has been submitted to date.
Swiss and In‐n‐Out are both looking to expand their operations. The City , Richland Planned Communities, and business owners are exploring options for a sewer plant expansion to promote growth.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $5,000
General Fund Salaries — $2,500
Capital/Projects — $1,338,550
Specialized Legal Services $5,000
Billable Staff Time for work on Project $2,500
Water CFF Credit Reimbursements $98,735
Sewer CFF Credit Reimbursements $473,025
Storm Drain CFF Credit Reimbursements $300,748
Transportation CFF Credit Reimbursements $466,042
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 380$ 5,000$ 5,000$ 5,000$ 2090 GENERAL FUND SALARY CHARGE 811 5,000 2,500 2,500
Total 1,191$ 10,000$ 7,500$ 7,500$
5041 CAPACITY REIMBURSEMENT 4,776$ 25,000$ 1,338,550$ 1,338,550$ Total 4,776$ 25,000$ 1,338,550$ 1,338,550$
TOTAL 5,967$ 35,000$ 1,346,050$ 1,346,050$
Fund Title:Fund/Division Number:
Contract Services
Developer ProjectsCrossroads Richland
Crossroads Richland288‐8999‐471
Capital Outlay
Developer Projects—Pacific Union Homes
Description of Developer Project
The project is being developed as a mixed‐use master planned development located on the west side of Interstate 5, east of the San Joaquin River, north and south of River Islands Boulevard. The site consists of approximately 316 acres within the Mossdale Village portion of the West Lathrop Specific Plan area. The property is located within the Mossdale Landing Urban Design Concept. The project land uses include 929 low‐density lots, 179 medium density lots, one K‐8 elementary school site, a 20‐acre community park, four neighborhood parks, bike trails and bike paths, the River Linear Park, and a fire station site. Most of the vacant padded subdivision lots have been repurchased by major developers this past year, and construction of new model complexes have been completed and multiple phases have begun.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $0
General Fund Salaries — 0
Capital/Projects — 0
Maintenance & Repair $0
Annual SSJID Fixed O & M 0
Billable Staff Time for work on Project $10,000
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 234$ 3,000$ ‐$ ‐$ 2090 GENERAL FUND SALARY CHARGE 580 1,000 10,000 10,000
Total 814$ 4,000$ 10,000$ 10,000$
TOTAL 814$ 4,000$ 10,000$ 10,000$
Developer ProjectsPacific Union Homes
Pacific Union Homes290‐8999‐471
Fund Title:Fund/Division Number:
Contract Services
Developer Projects—River Islands
Description of Developer Project
The River Islands at Lathrop project will be developed as a mixed‐use residential/commercial development on 4,995 acres on Stewart Tract, west of Interstate 5 and the San Joaquin River. The project includes, among other uses, 11,000 residential units, an approximately 325‐acre employment center; a 45‐acre town center; schools, various single‐boat and multi‐boat docks; two golf courses; more than 260 acres of parkland; more than 600 acres of lakes, waterways, and canals; over 600 acres of open space; and necessary public facilities and infrastructure to support the project. A current tentative map of 4,284 units in Phase 1 of the plan is approved. The developer anticipates starting residential and commercial development in 2013. For 2012, the developer is constructing the first two schools and Bradshaw Crossing Bridge.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $55,000 Debt Service — $159,622
General Fund Salaries — $346,583
Capital/Projects — $3,195,262
Billable Staff Time for work on Project $20,000
Billable Police Services $326,583
2000 COP Water Bond Payment (32.69%) $159,622 Final Map
iGATE Contribution
$50,000
$5,000
Bradshaw Crossing
Manthey Rd Bridge Rehabilitation
$2,339,120
$100,000
Pond E $6,900
MBR #1—Wastewater Standby Charge $164,014
Annual SSJID Fixed O & M $585,228
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 25,800$ 50,000$ 55,000$ 55,000$ 2090 GENERAL FUND SALARY CHARGE 11,650 15,000 20,000 20,0002091 POLICE SERVICES 289,867 320,500 326,583 326,5832093 PLAN CHECK 21,700 0 0 0
Total 349,017$ 385,500$ 401,583$ 401,583$
8001 PRINCIPAL 60,477$ 63,746$ 81,398$ 81,398$ 8002 INTEREST 128,585 125,017 78,224 78,224
Total 189,062$ 188,763$ 159,622$ 159,622$
TOTAL 538,079$ 574,263$ 561,205$ 561,205$
Developer ProjectsRiver Islands
River Islands295‐8999‐471
Debt Service
Fund Title:Fund/Division Number:
Contract Services
Developer Projects—TCN Properties
Description of Developer Project
The Mossdale Landing project site is located within the Mossdale Village area of the West Lathrop Specific Plan, bordered on the west by the San Joaquin River and on the south by the southern boundary of the Mossdale Landing Urban Design Concept. The proposed project is approximately 137 acres and consists of 241 low‐density lots, 151 medium density lots, one K‐8 elementary school site, a village commercial area that will contain 122 high‐density residential units as well as retail, a service commercial area, bike trails and bike paths, and a portion of the River Linear Park open space area. The Mossdale Landing South project is a proposed project by TCN Properties consisting of approximately 104 acres within the Mossdale Village area of the West Lathrop Specific Plan (WLSP). The project site is located west of Interstate 5 and south of the Mossdale Landing and Mossdale Landing East projects. Most of the vacant padded subdivision lots have been repurchased by major developers this past year, and construction of new model complexes have been completed and multiple phases have begun. No commercial development activity is currently occurring, although interest does appear to be picking up.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $20,000
General Fund Salaries — $10,000
Capital/Projects — $18,990
Specialized Legal Services $10,000
Professional Services $10,000
Annual SSJID Fixed O & M $18,990
Billable Staff Time for work on Project $10,000
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 1,701$ 20,000$ 20,000$ 20,000$ 2090 GENERAL FUND SALARY CHARGE 4,971 20,000 10,000 10,000
Total 6,672$ 40,000$ 30,000$ 30,000$
TOTAL 6,672$ 40,000$ 30,000$ 30,000$
Developer ProjectsTCN Properties
TCN Properties297‐8999‐471
Fund Title:Fund/Division Number:
Contract Services
Developer Projects—Watt (Lathrop Marketplace I)
Description of Developer Project
The Watt‐McKee property is a portion of the Mossdale Landing East Project. Watt‐McKee controls the 27 acres of Highway Commercial property located at the southwest corner of Louise Avenue and I‐5. Lathrop Market Place is anchored by Target and plans for an additional anchor and several freestanding commercial and retail businesses totaling 300,000 square feet are approved. No commercial development activity is currently occurring, although Watt is actively pursuing development opportunities.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $5,000
General Fund Salaries — $4,000
Capital/Projects — $4,065
Specialized Legal Services $5,000
Annual SSJID Fixed O & M $4,065
Billable Staff Time for work on Project $4,000
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 3,103$ 5,000$ 5,000$ 5,000$ 2090 GENERAL FUND SALARY CHARGE (304) 4,000 4,000 4,000
Total 2,799$ 9,000$ 9,000$ 9,000$
TOTAL 2,799$ 9,000$ 9,000$ 9,000$
Fund Title:Fund/Division Number:
Contract Services
Developer ProjectsWatt (Lathrop Marketplace I)
Watt (Lathrop Marketplace I)298‐8999‐471
Developer Projects—Central Lathrop Specific Plan (CLSP)
Description of Developer Project
The project consists of approximately 1,525 acres located north of Mossdale Village on the west side of I‐5. Richland Communities annexed the property into the City of Lathrop in 2005. The project land uses include 468 acres of low‐density residential, 305 acres of medium density residential, and 49 acres of high density residential. Other uses include extensive commercial development, a High School site for Lathrop, K‐8 schools, community and neighborhood parks, a site for a future civic center, levees and open space. A tentative map is approved for 1,040 single‐family lots within 10 villages. No current development activity is occurring within Richland Communities (Land Park) project.
Lathrop Road opened in Fiscal Year 2008‐09. Golden Valley Parkway opened to through traffic in May 2010 from River Islands Parkway to Lathrop Road. The City qualified for $1 million in Federal Stimulus for the Golden Valley Parkway Improvements including Landscape and Lighting. City generated opportunity to open 150 acres of commercial development including Market Place II. The streetlight and landscaping will be completed by early fall 2010.
Description of Developer Project Funds
This fund accounts for revenue and expenditure activities related to the development project.
Professional Services — $5,000
General Fund Salaries — $15,000
Capital/Projects — $360,788
Debt Service — $1,220,654
Specialized Legal Services $5,000
Pond E $5,520
Annual SSJID Fixed O & M $355,268
2003 COP Bond Payment (94% of Future) $1,220,654
Billable Staff Time for work on Project $15,000
Budget For Fiscal Year 2012‐2013Department:Division:
2012‐20132011‐2012 2012‐2013 CITY
2010‐2011 AMENDED CITY MGR COUNCILACTUAL BUDGET RECOMMENDED APPROVED
2001 PROFESSIONAL SERVICES 325$ 10,000$ 5,000$ 5,000$ 2090 GENERAL FUND SALARY CHARGE 1,074 15,000 15,000 15,000
Total 1,399$ 25,000$ 20,000$ 20,000$
TOTAL 1,399$ 25,000$ 20,000$ 20,000$
Developer ProjectsCLSP
CLSP299‐8999‐471
Fund Title:Fund/Division Number:
Contract Services
Capital Improvement ProgramFiscal Year 2012‐13 through 2016‐17
Prior & Current Year Actuals
Carry Forward FY 12‐13
New Funding Request FY 12‐13
Planned FY 2013‐14
Planned FY 2014‐15
PlannedFY 2015‐16
Planned FY 2016‐17
Total Project Needs
GG 04‐01 Lathrop Communtiy Complex 427,999$ 2,500,000$ 5,000,000$ ‐$ ‐$ ‐$ 6,000,000$ 13,927,999$ GG 08‐05 Animal Shelter ‐$ ‐$ ‐$ ‐$ ‐$ ‐$ 5,055,000$ 5,055,000$ GG 10‐17 Retaining Wall and Landscaping
at Towne Centre Dr & Village Ave (Tract 3410) ‐$ 300,000$ ‐$ ‐$ ‐$ ‐$ ‐$ 300,000$ GG 11‐09 Financial Management System ‐$ 305,000$ 180,000$ ‐$ ‐$ ‐$ ‐$ 485,000$ GG 12‐10 Land Acquisition for City General Government Facilities ‐$ 400,000$ ‐$ ‐$ ‐$ ‐$ ‐$ 400,000$ GG 12‐11 Sales Tax Enhancement 37,500$ 167,500$ ‐$ ‐$ ‐$ ‐$ ‐$ 205,000$ GG 12‐14 Alternative Power for City Infrastructure ‐$ 25,000$ ‐$ 2,500,000$ ‐$ ‐$ ‐$ 2,525,000$ GG 12‐16 ADA Transition Plan ‐$ 35,000$ ‐$ ‐$ ‐$ ‐$ ‐$ 35,000$ GG 12‐17 SCADA System Modifications ‐$ 52,730$ ‐$ ‐$ ‐$ ‐$ ‐$ 52,730$
GG 13‐03 Public Works Design and Construction Standards Update ‐$ ‐$ 15,000$ ‐$ ‐$ ‐$ ‐$ 15,000$ GG 13‐06 Capital Facility Fee Study Update ‐$ ‐$ 70,000$ ‐$ ‐$ ‐$ ‐$ 70,000$
465,499$ 3,785,230$ 5,265,000$ 2,500,000$ ‐$ ‐$ 11,055,000$ 23,070,729$
PK 03‐03 Community Center Expansion 522,162$ 1,551,721$ 70,000$ ‐$ ‐$ ‐$ 3,648,075$ 5,791,958$ PK 09‐05 Lathrop Skate Park Improvements 19,964$ 12,541$ ‐$ ‐$ ‐$ ‐$ ‐$ 32,505$ PK 10‐06 Central Control Irrigation Sys Expansion & Upgrades 31,500$ ‐$ ‐$ 40,000$ 21,100$ 18,900$ ‐$ 111,500$ PK 12‐12 Cricket Pitch Construction 1,450$ 20,550$ ‐$ ‐$ ‐$ ‐$ ‐$ 22,000$ PK 12‐13 Mossdale Linear Park Construction for Tract 3073 and
Tract 3438 ‐$ 210,000$ ‐$ ‐$ ‐$ ‐$ ‐$ 210,000$ 575,076$ 1,794,812$ 70,000$ 40,000$ 21,100$ 18,900$ 3,648,075$ 6,167,963$ Parks & Recreation Subtotal:
Project Description
Parks & Recreation Improvements
General Government and Public Safety Subtotal:
General Government and Public Safety
St t I tPS 97‐02 Lathrop Road Westerly Grade Separation 400,136$ 3,032,000$ ‐$ ‐$ 10,855,000$ 4,559,000$ ‐$ 18,846,136$ PS 02‐04 East Lathrop Pedestrian Bikeway 2,365$ 64,217$ ‐$ ‐$ ‐$ ‐$ ‐$ 66,582$ PS 02‐24 Lathrop Road Widening Rehab 34,912$ 2,083,622$ 601,342$ ‐$ ‐$ ‐$ ‐$ 2,719,876$ PS 06‐06 Louise Avenue and I‐5 Improvements 1,852,010$ 125,187$ ‐$ ‐$ ‐$ ‐$ 25,200,000$ 27,177,197$ PS 06‐16 Lathrop Road and I‐5 Improvements 143,975$ ‐$ ‐$ ‐$ ‐$ ‐$ 37,695,272$ 37,839,247$ PS 09‐04 River Islands Parkway & Bradshaw Crossing Bridge 1,037,827$ 2,462,173$ ‐$ ‐$ ‐$ ‐$ ‐$ 3,500,000$ PS 09‐08 Traffic Calming Measures 35,446$ 5,243$ ‐$ ‐$ ‐$ ‐$ ‐$ 40,689$ PS 10‐28 Lathrop Road & I‐5 Interim Improvements 118,400$ 1,421,788$ ‐$ ‐$ ‐$ ‐$ ‐$ 1,540,188$ PS 11‐01 City‐wide Road Maintenance & Repair Program 799,268$ 1,366,536$ 400,000$ 400,000$ 400,000$ 400,000$ 400,000$ 4,165,804$ PS 11‐02 Louise Ave & I‐5 Interim Improvements 284,606$ 1,594,214$ ‐$ ‐$ ‐$ ‐$ ‐$ 1,878,820$ PS 11‐10 Roth Road/I‐5 Interchange Improvements 13,851$ 2,229$ ‐$ ‐$ ‐$ ‐$ 2,500,000$ 2,516,080$ PS 11‐11 GVP ‐ Towne Centre Drive Intersection Improvements 381,657$ 93,953$ ‐$ ‐$ ‐$ ‐$ ‐$ 475,610$ PS 12‐04 Manthey Road Bridge Rehabilitation ‐$ ‐$ 350,000$ 400,000$ 290,000$ 11,000,000$ ‐$ 12,040,000$ PS 12‐05 Mossdale Arterial and Collector Slurry Seal & Pavement
Repair Program 79,263$ 10,737$ 90,000$ ‐$ ‐$ ‐$ ‐$ 180,000$ PS 12‐06 City of Lathrop Bridge Maintenance and Deck Treatment ‐$ ‐$ ‐$ 200,000$ 200,000$ ‐$ ‐$ 400,000$ PS 12‐09 Sidewalk Repair Program 61,040$ 17,537$ 11,700$ ‐$ ‐$ ‐$ ‐$ 90,277$ PS 12‐15 Harlan Road Improvements ‐$ 254,461$ ‐$ ‐$ ‐$ ‐$ ‐$ 254,461$ PS 12‐18 Sidewalk Repair Program ‐$ 100,000$ ‐$ ‐$ ‐$ ‐$ ‐$ 100,000$
5,244,756$ 12,633,897$ 1,453,042$ 1,000,000$ 11,745,000$ 15,959,000$ 65,795,272$ 113,830,967$ Street Subtotal:
Street Improvements
Capital Improvement ProgramFiscal Year 2012‐13 through 2016‐17
Prior & Current Year Actuals
Carry Forward FY 12‐13
New Funding Request FY 12‐13
Planned FY 2013‐14
Planned FY 2014‐15
PlannedFY 2015‐16
Planned FY 2016‐17
Total Project NeedsProject Description
PW 05‐07 Water Supply Wells Arsenic Reduction 11,505,170$ 2,265,071$ ‐$ ‐$ ‐$ ‐$ ‐$ 13,770,241$ PW 08‐09 Well 21 Post Construction 130,342$ 1,721,152$ 446,575$ ‐$ ‐$ ‐$ ‐$ 2,298,069$ PW 10‐10 Water Master Plan Update ‐$ 150,000$ ‐$ ‐$ ‐$ ‐$ ‐$ 150,000$ PW 11‐05 SCADA Radio Antenna Tower & Equipment Relocation 131,153$ 12,847$ ‐$ ‐$ ‐$ ‐$ ‐$ 144,000$ PW 12‐08 Citywide Water System Repairs 1,440$ 98,560$ 10,000$ 10,000$ 10,000$ 10,000$ 10,000$ 150,000$ PW 13‐04 Booster Pump Station Upgrades ‐$ ‐$ 20,000$ ‐$ ‐$ ‐$ ‐$ 20,000$
11,768,105$ 4,247,630$ 476,575$ 10,000$ 10,000$ 10,000$ 10,000$ 16,532,310$
SD 08‐07 Shilling Storm Water Pump Station & Force Main ‐$ 282,000$ ‐$ ‐$ ‐$ ‐$ 1,350,000$ 1,632,000$ SD 12‐02 City Storm Drain Improvements 3,000$ 60,000$ ‐$ ‐$ ‐$ ‐$ ‐$ 63,000$
3,000$ 342,000$ ‐$ ‐$ ‐$ ‐$ 1,350,000$ 1,695,000$
WW 04‐12 McKinley Corridor Sanitary Sewer 1,541,636$ 385,840$ ‐$ ‐$ ‐$ ‐$ ‐$ 1,927,476$ WW 10‐15 WRP‐1 MBR Expansion Improvements 57,378$ 17,622$ 250,000$ 500,000$ 2,750,000$ ‐$ ‐$ 3,575,000$ WW 11‐06 Crossroads Wastewater Treatment Plant Improvements 60,016$ 504,176$ ‐$ 5,900,000$ ‐$ ‐$ ‐$ 6,464,192$ WW 12‐03 Yosemite Bypass and SSFM Break NOV Response 111,421$ 944,482$ ‐$ ‐$ ‐$ ‐$ ‐$ 1,055,903$ WW 12‐07 Sewer Plant Upgrades and Maintenance ‐$ 60,000$ 60,000$ ‐$ ‐$ ‐$ ‐$ 120,000$ WW 13‐02 East Side Wastewater Collection System ‐$ ‐$ 25,000$ 40,000$ 235,000$ ‐$ 1,200,000$ 1,500,000$
1,770,451$ 1,912,120$ 335,000$ 6,440,000$ 2,985,000$ ‐$ 1,200,000$ 14,642,571$
Wastewater Improvements
Wastewater Subtotal:
Drainage Subtotal:
Drainage Improvements
Water Subtotal:
Water Improvements
19,826,887$ 24,715,689$ 7,599,617$ 9,990,000$ 14,761,100$ 15,987,900$ 83,058,347$ 175,939,540$
PW 10‐09 Urban Water Master Plan Update 11,696$ 94,553$ 44,247$ 46,463$ 48,789$ 85,447$ 53,799$ 384,994$ SD 11‐07 Storm Water Management Plan ‐$ ‐$ 21,060$ 21,060$ 21,060$ 21,060$ 21,060$ 105,300$ WW 11‐08 Sewer System Management Plan ‐$ ‐$ 56,666$ 56,666$ 56,666$ 56,666$ 56,666$ 283,330$
11,696$ 94,553$ 121,973$ 124,189$ 126,515$ 163,173$ 131,525$ 773,624$ Regulatory Permitting Requirements Total:
Regulatory Compliance Programs
Grand Total CIP:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - General GovernmentPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
7 Current Projects 22,985,729 465,499 3,785,230 5,180,000 2,500,000 11,055,000
1 New Projects 85,000 85,000
8 Totals 23,070,729 465,499 3,785,230 5,265,000 2,500,000 - - 11,055,000
by Funding Sources
General Fund
F101-General
GG11-09 371,673 305,000 66,673
GG12-11 205,000 37,500 167,500
576,673 37,500 472,500 66,673 - - - -
Enterprise Funds
F560-Water Cap Repl
GG12-14 12,500 12,500
12,500 - 12,500 - - - - -
F562-Water
GG11-09 56,663 56,663
GG13-03 5,000 5,000
61,663 - - 61,663 - - - -
F601-Sewer
GG11-09 56,664 56,664
GG13-03 2,500 2,500
59,164 - - 59,164 - - - -
F606-Capital Replacement
GG12-14 12,500 12,500
12,500 - 12,500 - - - - -
F607-WRP#1 Capital Replacement
GG12-17 17,172 17,172
17,172 - 17,172 - - - - -
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - General GovernmentPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
by Funding Sources Continued
Enterprise Funds
F608-Capital Replacement
GG13-03 2,500 2,500
2,500 - - 2,500 - - - -
F611-WRP #1 MBR Capital Replacement
GG12-17 8,118 8,118
8,118 - 8,118 - - - - -
Special Revenue Funds
F203 Gas Tax
GG13-03 5,000 5,000
5,000 - - 5,000 - - - -
F214-TDA Interest Earned
GG12-16 35,000 35,000
35,000 - 35,000 - - - - -
F216-State Grant Prop 84
GG04-01 5,000,000 5,000,000
5,000,000 - - 5,000,000 - - - -
F226-Culture & Leisure
GG04-01 8,927,999 427,999 2,500,000 6,000,000
GG12-10 200,000 200,000
9,127,999 427,999 2,700,000 - - - - 6,000,000
F227-City Services
GG08-05 5,055,000 5,055,000
GG12-10 200,000 200,000
5,255,000 - 200,000 - - - - 5,055,000
F229-Administration
GG13-06 70,000 70,000
70,000 - - 70,000 - - - -
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - General GovernmentPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
by Funding Sources Continued
Special Revenue Funds
F249-Crossroads Storm Drain
GG12-17 1,614 1,614
1,614 - 1,614 - - - - -
F251-Storm Drain
GG12-17 12,913 12,913
12,913 - 12,913 - - - - -
F253-Woodfield Landscape
GG12-17 1,614 1,614
1,614 - 1,614 - - - - -
F256-Stonebridge D&L
GG12-17 1,614 1,614
1,614 - 1,614 - - - - -
F259-Mossdale CFD Cap Repl
GG12-17 9,685 9,685
9,685 - 9,685 - - - - -
F271-Developer Contribution
GG10-17 300,000 300,000
300,000 - 300,000 - - - - -
To be determined
GG12-14 2,500,000 2,500,000
2,500,000 - - - 2,500,000 - - -
23,070,729 465,499 3,785,230 5,265,000 2,500,000 - - 11,055,000
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Total:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - Parks and RecreationPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
5 Current Projects 6,167,963 575,076 1,794,812 70,000 40,000 21,100 18,900 3,648,075
- New Projects
5 Totals 6,167,963 575,076 1,794,812 70,000 40,000 21,100 18,900 3,648,075
by Funding Sources
General Fund
F101 General
PK03-03 1,731,431 13,500 1,717,931
PK09-05 19,964 19,964
PK10-06 18,900 18,900
1,770,295 19,964 13,500 - - - 18,900 1,717,931
Special Revenue Funds
F215-Federal Grant
PK03-03 61,954 61,954
61,954 - 61,954 - - - - -
F226-CFF Culture & Leis
PK03-03 3,076,347 522,162 1,463,922 - 1,090,263
PK10-06 31,500 31,500
PK12-12 22,000 1,450 20,550
PK12-13 210,000 210,000
3,339,847 555,112 1,694,472 - - - - 1,090,263
F341-Park-In-Lieu
PK03-03 907,226 12,345 55,000 839,881
907,226 - 12,345 55,000 - - - 839,881
F265-CDBG Fund
PK03-03 15,000 15,000
PK09-05 12,541 12,541
27,541 - 12,541 15,000 - - - -
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - Parks and RecreationPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
by Funding Sources Continued
Special Districts
F255-Stonebridge Landscape
PK10-06 36,100 15,000 21,100
36,100 - - - 15,000 21,100 - -
F258-Mossdale Landscape & Lighting
PK10-06 25,000 25,000
25,000 - - - 25,000 - - -
6,167,963 575,076 1,794,812 70,000 40,000 21,100 18,900 3,648,075
Subtotal:
Total:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARYGroup - Street Improvements
Prior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
16 Current Projects 113,830,967 5,244,756 12,633,897 1,453,042 1,000,000 11,745,000 15,959,000 65,795,272
0 New Projects
16 Totals 113,830,967 5,244,756 12,633,897 1,453,042 1,000,000 11,745,000 15,959,000 65,795,272
by Funding Sources
Special Revenue Funds
F203 Gas Tax
PS02-24 601,342 601,342
PS11-01 2,278,050 231,561 446,489 400,000 400,000 400,000 400,000
PS11-02 38,255 38,255
2,917,647 269,816 446,489 601,342 400,000 400,000 400,000 400,000
F208 - Streets
PS11-01 38,641 38,641
38,641 - 38,641 - - - - -
F211-Measure K
PS97-02 10,855,000 10,855,000
PS02-04 64,217 64,217
PS06-06 3,000,000 3,000,000
PS06-16 2,950,000 2,950,000
16,869,217 - 64,217 - - 10,855,000 - 5,950,000
F213-State Rubber Cip Seal Grant
PS11-01 37,689 37,689
37,689 - 37,689 - - - - -
F214-TDA Funds
PS97-02 200,000 200,000
PS02-04 2,365 2,365
PS09-08 40,689 35,446 5,243
PS11-01 1,529,608 479,608 650,000 400,000
PS11-11 25,610 25,610
PS12-09 90,278 61,040 17,538 11,700
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARYGroup - Street Improvements
Prior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
1,888,550 778,459 698,391 411,700 - - - -
by Funding Sources Continued
F215-Federal
PS10-28 1,121,788 1,121,788
PS11-02 645,975 645,975
PS12-04 10,750,000 250,000 250,000 250,000 10,000,000
12,517,763 - 1,767,763 250,000 250,000 250,000 10,000,000 -
F216-STIP
PS97-02 3,232,000 200,000 3,032,000
PS11-01 47,677 47,677
3,279,677 200,000 3,079,677 - - - - -
F218-Xroads Street Improvements
PS11-01 153,655 88,099 65,556
153,655 88,099 65,556 - - - - -
F223-CFF-Regional Trans
PS97-02 136 136
PS02-24 1,007,564 1,007,564
PS10-28 113,400 113,400
1,121,100 113,536 1,007,564 - - - - -
F225-CFF Local Trans
PS02-24 1,110,970 34,912 1,076,058
PS11-01 80,484 80,484
PS11-02 1,054,590 106,351 948,239
PS12-15 47,195 47,195 -
2,293,239 141,263 2,151,976 - - - - -
F228-CFF Storm Drain
PS12-15 174,266 174,266
174,266 - 174,266 - - - - -
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARYGroup - Street Improvements
Prior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
by Funding Sources Continued
F232- CFF W/C Lathrop Trans
PS06-06 23,954,489 1,629,302 125,187 22,200,000
PS11-02 140,000 140,000
PS11-10 16,080 13,851 2,229
24,110,569 1,783,153 127,416 - - - - 22,200,000
F603- Sewer CFF
PS12-15 33,000 33,000
33,000 - 33,000 - - - - -
F233- WLSP Regional Trans
PS06-16 34,774,668 29,396 34,745,272
34,774,668 29,396 - - - - - 34,745,272
F236- Lathrop Local RTIF
PS10-28 5,000 5,000
5,000 5,000 - - - - - -
F252-Industrial Lighting
PS12-18 100,000 100,000
100,000 - 100,000 - - - - -
F257-Mossdale CFD
PS12-05 180,000 79,263 10,737 90,000
180,000 79,263 10,737 90,000 - - - -
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARYGroup - Street Improvements
Prior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
Other Sources
F271-Developer Contribution
PS06-06 222,708 222,708
PS06-16 114,579 114,579
PS09-04 3,500,000 1,037,827 2,462,173
PS10-28 300,000 300,000
PS11-11 450,000 381,657 68,343
PS12-04 1,290,000 100,000 150,000 40,000 1,000,000
5,877,287 1,756,771 2,830,516 100,000 150,000 40,000 1,000,000 -
Railroad
PS97-02 1,000,000 1,000,000
1,000,000 - - - - - 1,000,000 -
To be determined
PS97-02 3,559,000 3,559,000
PS11-10 2,500,000 2,500,000
PS12-06 400,000 200,000 200,000
6,459,000 - - - 200,000 200,000 3,559,000 2,500,000
113,830,967 5,244,756 12,633,897 1,453,042 1,000,000 11,745,000 15,959,000 65,795,272
Subtotal:
Subtotal:
Subtotal:
Total:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group PW - Water ImprovementsPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
5 Current Projects 16,897,304 11,779,801 4,342,183 500,822 56,463 58,789 95,447 63,799
1 New Projects 20,000 - - 20,000
6 Totals 16,917,304 11,779,801 4,342,183 520,822 56,463 58,789 95,447 63,799
by Funding Sources
Enterprise Funds
F560-Water Cap Repl
PW05-07 717,387 717,387
PW10-10 150,000 150,000
PW11-05 70,000 57,153 12,847
PW12-08 150,000 1,440 98,560 10,000 10,000 10,000 10,000 10,000
PW13-04 20,000 20,000
1,107,387 58,593 978,794 30,000 10,000 10,000 10,000 10,000
F561-Water Expansion
PW05-07 2,673,456 1,862,121 811,335
PW08-09 171,041 65,610 105,431
PW11-05 74,000 74,000
2,918,497 2,001,731 916,766 - - - - -
F562-WaterPW05-07 150,000 150,000 PW10-09 384,994 11,696 94,553 44,247 46,463 48,789 85,447 53,799
534,994 161,696 94,553 44,247 46,463 48,789 85,447 53,799
CFD 2003-1
F541 - CFD 2003-01
PW08-09 1,531,471 50,394 1,034,502 446,575
1,531,471 50,394 1,034,502 446,575 - - - -
Other Sources
F565 (SRF Loan)
PW05-07 9,529,000 8,792,651 736,349
9,529,000 8,792,651 736,349 - - - - -
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group PW - Water ImprovementsPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
by Funding Sources Continued
F227- City Services
PW05-07 700,398 700,398
700,398 700,398 - - - - - -
F271-Developer Contribution
PW08-09 14,338 14,338
14,338 14,338 - - - - - -
Project Buy In Fund 562 & 541
PW08-09 474,925 581,219
581,219 - 581,219 - - - - -
16,917,304 11,779,801 4,342,183 520,822 56,463 58,789 95,447 63,799
Subtotal:
Subtotal:
Total:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - Drainage ImprovementsPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
2 Current Projects 1,695,000 3,000 342,000 1,350,000
0 New Projects
2 Totals 1,695,000 3,000 342,000 - - - - 1,350,000
by Funding Sources
Special Revenue Funds
F234-CFF Regional Trans
SD08-07 1,500,000 150,000 1,350,000
1,500,000 - 150,000 - - - - 1,350,000
F251-Storm Drain Assessment
SD12-02 60,000 60,000
60,000 - 60,000 - - - - -
F256-Stonebridge Drainage & Lighting
SD12-02 3,000 3,000
3,000 3,000 - - - - - -
F271-Developer Contribution
SD08-07 132,000 132,000
132,000 - 132,000 - - - - -
1,695,000 3,000 342,000 - - - - 1,350,000
Subtotal:
Subtotal:
Total:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - Wastewater ImprovementsPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
5 Current Projects 13,142,571 1,711,880 1,970,691 310,000 6,400,000 2,750,000
1 New Projects 1,500,000 25,000 40,000 235,000 1,200,000
6 Totals 14,642,571 1,770,451 1,912,120 335,000 6,440,000 2,985,000 - 1,200,000
by Funding Sources
Enterprise Funds
F603-Connection Fees
WW04-12 1,410,201 1,119,150 291,051
WW12-03 990,030 111,421 878,609
2,400,231 1,230,571 1,169,660 - - - - -
F605-Crossroads
WW11-06 9,192 9,192
9,192 9,192 - - - - - -
F606-Capital Replacement
WW12-03 65,873 65,873
WW13-02 1,500,000 25,000 40,000 235,000 1,200,000
1,565,873 - 65,873 25,000 40,000 235,000 - 1,200,000
F607-Crossroads Capital Replacement
WW11-06 22,116 22,116
WW12-07 60,000 30,000 30,000
82,116 22,116 30,000 30,000 - - - -
F611-WW Capital Replacement
WW10-15 325,000 57,378 17,622 250,000
WW12-07 60,000 30,000 30,000
385,000 57,378 47,622 30,000 - 250,000 - -
Subtotal:
Subtotal:
Subtotal:
Subtotal:
Subtotal:
CITY OF LATHROP
CAPITAL IMPROVEMENT PROGRAM
FIVE YEAR PLAN FY 12-13 THROUGH FY 16-17
CIP SUMMARY
Group - Wastewater ImprovementsPrior & Carry New Funding
Total Est. Current Year Forward Request Planned Planned Planned Planned
by Project Type Cost Actuals FY 12-13 FY 12-13 FY 13-14 FY 14-15 FY 15-16 FY 16-17
by Funding Sources Continued
F610-MWQCF
WW04-12 517,275 422,486 94,789
517,275 422,486 94,789 - - - - -
F271-Developer Contribution
WW10-15 3,250,000 250,000 500,000 2,500,000
WW11-06 6,432,884 28,708 504,176 5,900,000
9,682,884 28,708 504,176 250,000 6,400,000 2,500,000 - -
14,642,571 1,770,451 1,912,120 335,000 6,440,000 2,985,000 - 1,200,000
Subtotal:
Subtotal:
Total:
Street Improvements,
$1,453,042 , 19%
Drainage Improvements,
$- , 0%
CIP by Project Category FY 2012-2013 New Funding Request
Water Improvements,
$520,822 , 7%
Wastewater Improvements,
$335,000 , 4%
Parks & Recreation
Improvements,
$70,000 , 1%
General Government & Public
Safety, $5,265,000 , 69%
Wastewater Improvements,
Parks & Recreation
Improvements,
$6,167,963 , 3%
General Government &
Public Safety,
$23,070,729 , 13%
Drainage Improvements,
$1,695,000 , 1%
CIP by Project Category 5-Year Funding Program FYs 2013-2017
Street Improvements,
$113,830,967 , 65%Water Improvements,
$16,917,304 , 10%
Wastewater Improvements,
$14,642,571 , 8%
Capital Improvement Program Fiscal Year 2012-13 Through 2016-17
$30,000,000
$40,000,000
$50,000,000
$60,000,000
$70,000,000
$80,000,000
$90,000,000
Do
llar
Am
ou
nt
CIP by Year and Category
Drainage Improvements
General Government & Public Safety
Parks & Recreation Improvements
Wastewater Improvements
Water Improvements
$-
$10,000,000
$20,000,000
2012-13 2013-14 2014-15 2015-16 2016-17
Fiscal Years
Water Improvements
Street Improvements
GG 08-05
Contact Number: 209-941-7241
Project Description:
Justification:
Capital Improvement Project Plan
Department Responsible:Animal Services
Project Number:GG 08-05
Project Name:Animal Shelter
Animal Shelter
CFF fees have been and are currently being collected under Municipal Services for an Animal Shelter.
GG 08-05
Contact Number: 209-941-7241
Capital Improvement Project Plan
Department Responsible:Animal Services
Project Number:GG 08-05
Project Name:Animal Shelter
Critical Date-----
Prior & Current Year Actuals
Carry Forward FY 2012/13
2012/13 Recommended
2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - 5,055,000 5,055,000 -$ -$ -$ -$ -$ -$ 5,055,000$ 5,055,000$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - 956,000 956,000 - - - - - - 566,000 566,000 - - - - - - 685,000 685,000 - - - - - - 2,848,000 2,848,000 - - - - - - - - -$ -$ -$ -$ -$ -$ 5,055,000$ 5,055,000$
-$ -$ -$ -$ -$ -$ 5,055,000$ 5,055,000$
DescriptionsAppraisal, negotiations & grading of sitePrepare Plans and SpecificationsCouncil approves plans and authorize bidding the projectCouncil awards the contract and construction beginsThe building is constructed and ready to occupy
Miscellaneous
Total Expenditures:
Total City Services Fund (227):
City Services Fund (227)Total Revenues:
City Services Fund (227)Project ManagementDesign and Engineering Land Acquisition
Source of Funds
Construction
Project Components & Estimated Timeline
Design PhaseBid ProcessConstruction PhaseCompletion
ComponentsAcquisition & Preparation
PS 06-16
Contact Number:209-941-7430
Project Description:
Justification:
Project Number:PS 06-16
This project completes the overall interchange improvements at Lathrop Road and Interstate 5. Improvements include relocating and widening northbound and southbound ramps, signal improvements, and retaining wall construction to allow two through lanes and two turn lanes in each direction on Lathrop Road under Interstate 5.
This project will provide relief for existing congestion and will accommodate traffic for near future development within the local interchange area.
Capital Improvement Project Plan
Department Responsible:Public Works / Ryan Bouley
Project Name:Lathrop Road & I-5 Improvements
PS 06-16
Contact Number:209-941-7430
Project Number:PS 06-16
Capital Improvement Project Plan
Department Responsible:Public Works / Ryan Bouley
Project Name:Lathrop Road & I-5 Improvements
Critical DateSummer
2016-2017
Prior & Current Year Actuals
Carry Forward FY 2012/13
2012/13 Recommended
2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - 2,950,000 2,950,000 CFF - WLSP Regional Trans Fund (233) 29,396 - - - - - 34,745,272 34,774,668 Developer Project - Richland Fund (271) 114,579 - - - - - - 114,579
143,975$ -$ -$ -$ -$ -$ 37,695,272$ 37,839,247$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - -
Measure K Renewal Fund (211)
Project Components & Estimated Timeline
Design and Engineering
Measure K Renewal Fund (211)
Total Revenues:
DescriptionsComponents
Begin Preliminary Engineering
Land Acquisition
Source of Funds
Project Management
- - - - - - - - - - - - - - 2,950,000 2,950,000 - - - - - - - - -$ -$ -$ -$ -$ -$ 2,950,000$ 2,950,000$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - 3,060,000 3,060,000 - - - - - - 3,900,000 3,900,000 - - - - - - 27,785,272 27,785,272
29,396 - - - - - - 29,396 29,396$ -$ -$ -$ -$ -$ 34,745,272$ 34,774,668$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - 114,579 - - - - - - 114,579
- - - - - - - - - - - - - - - -
- - - - - - - 114,579$ -$ -$ -$ -$ -$ -$ 114,579$
143,975$ -$ -$ -$ -$ -$ 37,695,272$ 37,839,247$
Miscellaneous
MiscellaneousTotal Developer Project - Richland Fund (271)
Developer Project - Richland (271)Project ManagementDesign and Engineering Land Acquisition
Total Expenditures:
Total CFF - WLSP Regional Trans Fund (233):
Total Measure K Renewal Fund (211):
CFF - WLSP Regional Trans Fund (233)
Miscellaneous
Construction
Construction
Project ManagementDesign and Engineering Land Acquisition
Land AcquisitionConstruction
PS 12-06
Contact Number:209-941-7430
Project Description:
Justification:
Capital Improvement Project Plan
Department Responsible:Public Works / Ryan Bouley
Project Name:Project Number:PS 12-06 City of Lathrop Bridge Maintenance and Deck Treatment
This project completes ongoing annual maintenance of the bridges within the City of Lathrop, including the Lathrop Road Easterly Grade Separation, Manthey Road Pedestrian Bridge over the San Joaquin River, and the Manthey Road bridges over Paradise Cut.
The bridges in the City of Lathrop require ongoing maintenance to ensure that they meet State requirements for safety. These bridges currently require repairs to bring them up to acceptable levels. Additionally, ongoing maintenance is required to keep them in conformance.
PS 12-06
Contact Number:209-941-7430
Capital Improvement Project Plan
Department Responsible:Public Works / Ryan Bouley
Project Name:Project Number:PS 12-06 City of Lathrop Bridge Maintenance and Deck Treatment
Critical DateSpring 2011
Summer 2011
Prior & Current Year Actuals
Carry Forward FY 2012/13
2012/13 Recommended
2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - 200,000 200,000 - - 400,000 -$ -$ -$ 200,000$ 200,000$ -$ -$ 400,000$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - 30,000 30,000 - - 60,000 - - - - - - - - - - - 170,000 170,000 - - 340,000
- - - - - - - -$ -$ -$ 200,000$ 200,000$ -$ -$ 400,000$
-$ -$ -$ 200,000$ 200,000$ -$ -$ 400,000$
ComponentsPreliminary AssessmentPS&E
Total Revenues:
Source of FundsUnfunded
Determine what work is necessary and develop maintenance programCreate Plans and Specifications for initial maintenance items
Descriptions
Project Components & Estimated Timeline
Total Expenditures:
Total Unfunded ( )
ConstructionMiscellaneous
Unfunded Project ManagementDesign and Engineering Land Acquisition
PW 10-09
Contact Number:209-941-7430
Project Description:
Justification:
The Urban Water Management Planning Act requires urban water suppliers to prepare an Urban Water Management Plan (UWMP) to describe and evaluate sources of water supply, efficient uses of water, demand management measures, implementation strategy and schedule, and other relevant information and programs. The UWMP may be used as the basis for SB 610/SB 221 Water Supply Assessments and Written Verification of Water Supply reports required for approval of large new development projects. The UWMP needs to be updated every five years on years ending in 0 and 5. The 2005 UWMP includes 14 Demand Management Measures (DMMs) or water conservation programs that are to be implemented in accordance with the California Urban Water Conservation Council Memorandum of Understanding per AB 1420 requirements to receive the SRF funding for the Arsenic Reduction project. DMMs include maintenance of a water system map (GIS), maintenance of an asset management program, conservation education, and system maintenance and monitoring.
Development and implementation of the UWMP is required for compliance with UWMP Act to ensure the appropriate level of reliability in its water service sufficient to meet the needs of its various categories of customers during normal, dry, and multiple dry years. Also required by AB 1420 to meet the loan terms and conditions for SRF funding of Arsenic Reduction project, and to meet future water demands through water conservation measures identified in the Water Supply Study.
Regulatory Compliance Program
Department Responsible:Public Works / Greg Gibson
Project Number:PW 10-09
Project Name:Urban Water Management Plan
PW 10-09
Contact Number:209-941-7430
Regulatory Compliance Program
Department Responsible:Public Works / Greg Gibson
Project Number:PW 10-09
Project Name:Urban Water Management Plan
Critical DateJune-11June-12June-13June-14
Prior & Current Year Actuals
Carry Forward FY 2012/13
2012/13 Recommended
2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
11,696 94,553 44,247 46,463 48,789 85,447 53,799 384,994 11,696$ 94,553$ 44,247$ 46,463$ 48,789$ 85,447$ 53,799$ 384,994$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - 11,571 94,553 - - - - - 106,124
- - - - - - - - - - - - - - - - 125 44,247 46,463 48,789 85,447 53,799 278,870
11,696$ 94,553$ 44,247$ 46,463$ 48,789$ 85,447$ 53,799$ 384,994$
11,696$ 94,553$ 44,247$ 46,463$ 48,789$ 85,447$ 53,799$ 384,994$
Implementation of DMMsImplementation of DMMsImplementation of DMMsImplementation of DMMs
Total Expenditures:
Total Revenues:
Water Fund (562)Project ManagementDesign and Engineering Land AcquisitionConstructionMiscellaneous
Total Water Fund (562):
Project Components & Estimated Timeline
Descriptions
Water Fund (562)Source of Funds
ComponentsUWMP 2010/ImplementationUWMP ImplementationUWMP ImplementationUWMP Implementation
SD 11-07
Contact Number:209-941-7430
Project Description:
Justification:
The Storm Water Management Plan consists of Best Management Practices (BMPs) under six Minimum Control Measures that is required for coverage under the National Pollutant Discharge Elimination System (NPDES) Phase II General Permit for storm water discharges from Small Municipal Separate Storm Sewer Systems (Small MS4s).
Urban runoff is a leading cause of pollution throughout the State. Development and implementation of the UWMP is required for compliance with the NPDES Small MS4 Phase II General Permit for storm water discharges to protect water quality and control urban runoff.
Regulatory Compliance Program
Department Responsible:Public Works / Ryan Bouley
Project Number:SD 11-07
Project Name:Storm Water Management Plan
SD 11-07
Contact Number:209-941-7430
Regulatory Compliance Program
Department Responsible:Public Works / Ryan Bouley
Project Number:SD 11-07
Project Name:Storm Water Management Plan
Critical DateJune-10June-11June-12June-13June-14
Prior & Current Year Actuals
Carry Forward FY 2012/13
2012/13 Recommended
2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - 5,400 5,400 5,400 5,400 5,400 27,000 Storm Drain Fund (251) - - 5,360 5,360 5,360 5,360 5,360 26,800 Stonebridge Drainage & Lighting Fund (256) - - 5,000 5,000 5,000 5,000 5,000 25,000
- - 5,300 5,300 5,300 5,300 5,300 26,500 -$ -$ 21,060$ 21,060$ 21,060$ 21,060$ 21,060$ 105,300$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - - - - 5,400 5,400 5,400 5,400 5,400 27,000 -$ -$ 5,400$ 5,400$ 5,400$ 5,400$ 5,400$ 27,000$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - - - - 5,360 5,360 5,360 5,360 5,360 26,800 -$ -$ 5,360$ 5,360$ 5,360$ 5,360$ 5,360$ 26,800$
Total Crossroads Storm Drain Fund (250):
Implementation UpdateMiscellaneous
Total Storm Drain Fund (251):
SWMP Implementation
SWMP Implementation
Crossroads Storm Drain Fund (250)
Implementation of BMPsImplementation of BMPsImplementation of BMPs
Total Revenues:
Crossroads Storm Drain Fund (250)Project ManagementImplementation
SWMP Implementation
Project Management
Project Components & Estimated Timeline
Storm Drain Fund (251)
UpdateMiscellaneous
Descriptions
Mossdale CFD Fund (257)
Source of Funds
ComponentsSWMP ImplementationSWMP Implementation
Implementation of BMPsImplementation of BMPs
SD 11-07
Contact Number:209-941-7430
Regulatory Compliance Program
Department Responsible:Public Works / Ryan Bouley
Project Number:SD 11-07
Project Name:Storm Water Management Plan
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - - - - 5,000 5,000 5,000 5,000 5,000 25,000 -$ -$ 5,000$ 5,000$ 5,000$ 5,000$ 5,000$ 25,000$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - - - - 5,300 5,300 5,300 5,300 5,300 26,500 -$ -$ 5,300$ 5,300$ 5,300$ 5,300$ 5,300$ 26,500$
-$ -$ 21,060$ 21,060$ 21,060$ 21,060$ 21,060$ 105,300$
Project ManagementImplementation
MiscellaneousTotal Mossdale CFD Fund (257):
Total Expenditures:
MiscellaneousTotal Stonebridge D & L Fund (256):
Mossdale CFD Fund (257)
Update
Project ManagementStonebridge Drainage & Lighting Fund (256)
Implementation Update
WW 11-08
Contact Number:209-941-7430
Project Description:
Justification:
WW 11-08 Project Name:Sewer System Management Plan
Regulatory Compliance Program
Department Responsible:Public Works / Greg Gibson
Project Number:
The City of Lathrop, along with all public entities that own or operate sanitary sewer systems in the State of California, is required by the State Water Resources Control Board (SWRCB) Order No. 2006-0003 to develop and implement a Sewer System Management Plan (SSMP). The SSMP consists of eleven elements that are prescribed by the State Order. The City of Lathrop prepared and adopted a SSMP in 2009. A comprehensive update of the SSMP is required every 5 years.
Development and implementation of the SSMP is required by the State Water Resources Control Board (SWRCB) under Order No. 2006-003-DWQ to reduce sewer system overflows and protect the public health and the environment.
WW 11-08
Contact Number:209-941-7430
WW 11-08 Project Name:Sewer System Management Plan
Regulatory Compliance Program
Department Responsible:Public Works / Greg Gibson
Project Number:
Critical DateJune-10June-11June-12June-13June-14
Prior & Current Year Actuals
Carry Forward FY 2012/13
2012/13 Recommended
2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - 3,333 3,333 3,333 3,333 3,333 16,665 - - 3,333 3,333 3,333 3,333 3,333 16,665 - - 50,000 50,000 50,000 50,000 50,000 250,000 -$ -$ 56,666$ 56,666$ 56,666$ 56,666$ 56,666$ 283,330$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - - - - 3,333 3,333 3,333 3,333 3,333 16,665 -$ -$ 3,333$ 3,333$ 3,333$ 3,333$ 3,333$ 16,665$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - - - - 3,333 3,333 3,333 3,333 3,333 16,665 -$ -$ 3,333$ 3,333$ 3,333$ 3,333$ 3,333$ 16,665$
Use of Funds Prior & Current
Year ActualsCarry Forward
FY 2012/132012/13
Recommended2013/14 Planned
2014/15 Planned
2015/16 Planned
2016/17 Planned
Total Allocations
- - - - - - - - - - - - - - - - - - - - - - - - - - 50,000 50,000 50,000 50,000 50,000 250,000 -$ -$ 50,000$ 50,000$ 50,000$ 50,000$ 50,000$ 250,000$
-$ -$ 56,666$ 56,666$ 56,666$ 56,666$ 56,666$ 283,330$
Total MWQCF Collection System Fund (601):
MiscellaneousTotal MBR#1 WRP Fund (608):
Total Expenditures:
MBR#1 WRP Fund (608)Project ManagementImplementation Update
SSMP ImplementationSSMP update and implementation
Implementation UpdateMiscellaneous
MWQCF Collection System Fund (601)Project ManagementImplementation UpdateMiscellaneous
MWQCF Collection System Fund (601)
Crossroads Collection System Fund (605)Project Management
Total Revenues:
SSMP ImplementationSSMP ImplementationSSMP Implementation
Implementation of SSMP ElementsImplementation of SSMP ElementsImplementation of SSMP ElementsImplementation of SSMP ElementsSSMP Update and Implementation of SSMP Elements
MBR#1 WRP Fund (608)
Total Crossroads Collection System Fund (605):
Components
Project Components & Estimated Timeline
Descriptions
Crossroads Collection System Fund (605)
Source of Funds
Budget for Fiscal Year 2012‐2013
General Fund 101Finance
Beginning Balance 12/13 50,018$ 12/13 Reserves 012/13 Expenses (50,018)
Ending Balance 12/13 ‐$
Information Systems Beginning Balance 12/13 16,655$
12/13 Reserves 012/13 Expenses (16,655)
Ending Balance 12/13 ‐$
Building Beginning Balance 12/13 22,201$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 22,201$
Code ComplianceBeginning Balance 12/13 8,906$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 8,906$
Community CenterBeginning Balance 12/13 12,158$
12/13 Reserves 012/13 Expenses (12,158)
Ending Balance 12/13 ‐$
EQUIPMENT REPLACEMENT RESERVE BALANCES BY DEPARTMENT
Budget for Fiscal Year 2012‐2013EQUIPMENT REPLACEMENT RESERVE BALANCES BY DEPARTMENT
General Fund 101 (CONTINUED)Senior Center
Beginning Balance 12/13 4,185$ 12/13 Reserves 012/13 Expenses (4,185)
Ending Balance 12/13 ‐$
Police Administration Beginning Balance 12/13 103,583$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 103,583$
Animal ServicesBeginning Balance 12/13 52,145$
12/13 Reserves 012/13 Expenses (52,145)
Ending Balance 12/13 ‐$
Public Works Administration Beginning Balance 12/13 59,171$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 59,171$
City Hall Beginning Balance 12/13 13,116$
12/13 Reserves 012/13 Expenses (13,116)
Ending Balance 12/13 ‐$
Budget for Fiscal Year 2012‐2013EQUIPMENT REPLACEMENT RESERVE BALANCES BY DEPARTMENT
General Fund 101 (CONTINUED)Building Maintenance
Beginning Balance 12/13 5,224$ 12/13 Reserves 012/13 Expenses (5,224)
Ending Balance 12/13 ‐$
Park MaintenanceBeginning Balance 12/13 54,835$
12/13 Reserves 012/13 Expenses (16,660)
Ending Balance 12/13 38,175$
Total General FundBeginning Balance 12/13 402,197$
12/13 Reserves 012/13 Expenses (170,161)
Ending Balance 12/13 232,036$
Traffic Safety 207Beginning Balance 12/13 28,223$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 28,223$
Streets 208Beginning Balance 12/13 21,028$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 21,028$
Budget for Fiscal Year 2012‐2013EQUIPMENT REPLACEMENT RESERVE BALANCES BY DEPARTMENT
Crossroads Storm Drain 250Beginning Balance 12/13 7,535$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 7,535$
Storm Drain 251Beginning Balance 12/13 17,541$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 17,541$
Stonebridge Landscape District 255Beginning Balance 12/13 5,061$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 5,061$
Stonebridge Drainage/Lighting District 256Beginning Balance 12/13 70,244$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 70,244$
Mossdale CFD Maintenance 257Beginning Balance 12/13 6,407$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 6,407$
Budget for Fiscal Year 2012‐2013EQUIPMENT REPLACEMENT RESERVE BALANCES BY DEPARTMENT
Mossdale Landscape & Lighting District 258Beginning Balance 12/13 36$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 36$
Water 562Beginning Balance 12/13 96,636$
12/13 Reserves 012/13 Expenses (56,663)
Ending Balance 12/13 39,973$
Sewer 601Beginning Balance 12/13 115,755$
12/13 Reserves 012/13 Expenses (56,664)
Ending Balance 12/13 59,091$
Sewer West I‐5 608Beginning Balance 12/13 30,419$
12/13 Reserves 012/13 Expenses 0
Ending Balance 12/13 30,419$
Grand TotalBeginning Balance 12/13 801,082$
12/13 Reserves 012/13 Expenses (283,488)
Ending Balance 12/13 517,594$
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
General Fund 101Operating Transfers InCity Services 227 626,250 626,250 626,250Administration CFF 229 50,000 55,000 0Scholarship Fund 270 7,500 7,500 7,500Historic CFD 263 0 0 1,500Total Operating Transfers In 683,750 688,750 635,250
Operating Transfers OutPublic Nuisance 209 0 (3,384) (25,000)Subsidy Xroad Storm Drain 250 0 0 (8,795)General Benefit Steet Lights 252 (15,857) (16,193) (16,672)Subsidy Residential Steet Lights 252 (40,421) (25,629) (7,905)Subsidy Woodfield Park 253 (32,775) (11,323) 0General Benefit Stonebridge Landscaping 255 (2,873) (3,017) (3,168)General Benefit Stonebridge Drain/Lighting 256 (2,873) (3,017) (3,168)General CIP 301 (25,000) (318,500) (66,673)Streets CIP 331 (3,000) (500) 0Total Operating Transfers Out (122,799) (381,563) (131,381)
Gas Tax Fund 203Operating Transfers OutStreets Fund 208 (205,000) (200,000) (200,000)Streets & Roads CIP Fund 331 (113,383) 0 (606,342)Total Operating Transfers Out (318,383) (200,000) (806,342)
Streets Fund 208Operating Transfers InGas Tax 2105 Fund 203 205,000 200,000 200,000Measure "K" Fund 211 205,000 200,000 200,000Total Operating Transfers In 410,000 400,000 400,000
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Public Nuisance 209Operating Transfers InGeneral Fund 101 0 3,384 25,000
Measure "K" Fund 211Operating Transfers OutStreets Fund 208 (205,000) (200,000) (200,000)Streets & Roads CIP Funds 331 (54,217) (54,217) 0Total Operating Transfers Out (259,217) (254,217) (200,000)
State/Recycling and Recovery Grant Fund 213Operating Transfers OutStreets & Roads CIP Fund 331 0 0 (37,689)Total Operating Transfers Out (810,285) 0 (37,689)
LTF ‐ Streets & Roads Fund 214Operating Transfers OutStreets & Roads CIP Fund 331 (810,285) (1,184,199) (1,145,090)Storm Drain CIP Fund 391 0 0 0Total Operating Transfers Out (810,285) (1,184,199) (1,145,090)
Federal Grant 215Operating Transfers OutGeneral CIP Fund 301 0 (128,120) (61,954)Streets & Roads CIP Fund 331 (3,327,412) (1,476,213) (2,017,763)
STIP Augmentation 216Operating Transfers OutGeneral CIP Fund 301 0 0 (5,000,000)Streets & Roads CIP Fund 331 (3,999,697) (3,609,280) (3,079,677)
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Regional Traffic Mitigation Fund 223Operating Transfers OutStreets & Roads CIP Fund 331 0 (386,100) 0
Traffic Mitigation Fund 225Operating Transfers OutStreets & Roads CIP Fund 331 0 (1,393,000) 0
Culture & Leisure 226Operating Transfers OutGeneral CIP Fund 301 (174,083) (200,000) 0
City Services 227Operating Transfers OutGeneral Fund 101 (626,250) (626,250) (626,250)General CIP Fund 301 (40,000) (200,000) 0Water Improvement CIP Fund 569 0 0 0Total Operating Transfers Out (666,250) (826,250) (626,250)
Storm Drain CFF 228Operating Transfers OutStorm Drain CIP Fund 391 0 (174,266) 0
Administration CFF 229Operating Transfers OutGeneral Fund 101 (50,000) (55,000) 0General CIP Fund 301 0 0 (70,000)
Xroad Storm Drain Cap Replace 249Operating Transfers InXroad Storm Drain 250 6,570 0 0
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Xroad Storm Drain 250Operating Transfers InGeneral Benefit 101 & Subsidy 0 0 8,795
Operating Transfers OutXroad Storm Drain Cap Replace 249 (6,570) 0 0Total Operating Transfers Out (6,570) 0 0
Street Lights 252Operating Transfers InGeneral Benefit 101 & Subsidy 56,278 41,822 24,577
Operating Transfers OutStreets & Roads CIP Fund 331 0 0 (100,000)
Woodfield Park 253Operating Transfers InSubsidy General Fund 101 32,775 11,323 0
Stonebridge Landscaping 255Operating Transfers InGeneral Benefit 101 2,873 3,017 3,168
Stonebridge Drainage/Lighting 256Operating Transfers InGeneral Benefit 101 2,873 3,017 3,168
Mossdale CFD 257Operating Transfers OutMossdale CFD Cap Replace 259 (5,000) (23,001) (37,422)Streets & Roads CIP Fund 331 0 (90,000) (90,000)Total Operating Transfers Out (5,000) (113,001) (127,422)
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Mossdale Landscape & Lighting 258Operating Transfers OutMossdale L & L Cap. Replace 261 (5,000) (5,000) (5,000)
Mossdale CFD Capital Replace 259Operating Transfers InMossdale CFD 257 5,000 23,001 37,422
Mossdale L & L Cap. Replace 261Operating Transfers InMossdale Landscape & Lighting 258 5,000 5,000 5,000
Historical CFD 2005‐1 263Operating Transfers OutGeneral Fund 101 0 0 (1,500)
CDBG 265Operating Transfers OutGeneral CIP Fund 301 0 (12,748) (27,541)
Standby District 266Operating Transfers OutMBR Recycled Plant Fund 608 (800,000) (800,000) (571,579)
Scholarship Fund 270Operating Transfers OutGeneral Fund 101 (7,500) (7,500) (7,500)
Developer Projects Fund 271Operating Transfers OutStreets & Roads CIP Fund 331 (90,792) (3,764,031) (2,739,120)
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Developer Projects Fund 271 (CONTINUED)Storm Drain CIP Fund 391 (132,000) 0 0WasteWater CIP Fund 609 (886,000) (950,000) (560,440)Total Operating Transfers Out (1,108,792) (4,714,031) (3,299,560)
General CIP Fund 301Operating Transfers InGeneral Fund 101 25,000 318,500 66,673Gas Tax Fund 203 0 0 5,000LTF‐Streets & Roads Fund 214 0 0 35,000Federal Grant Fund 215 168,783 128,120 61,954STIP Augmentation Fund 216 0 0 5,000,000Culture & Leisure Fund 226 174,083 200,000 0City Services Fund 227 40,000 200,000 0Administration CFF Fund 229 0 0 70,000CDBG Fund 265 0 12,748 27,541Park‐In‐Lieu Fund 341 126,783 0 55,000Water Fund 562 0 0 61,663Wastewater Fund 601 0 0 59,164Recycled Water Fund 608 0 0 2,500Total Operating Transfers In 534,649 859,368 5,444,495
Streets & Roads CIP Fund 331Operating Transfers InGeneral Fund 101 3,000 500 0Gas Tax 2105 Fund 203 113,383 0 601,342Measure "K" Fund 211 54,217 54,217 0State/Recycling and Recovery Fund 213 0 0 37,689LTF‐Streets & Roads Fund 214 810,285 1,184,199 1,110,090Federal Grant Fund 215 3,158,629 1,476,213 2,017,763STIP Augmentation Fund 216 3,999,697 3,609,280 3,079,677
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Streets & Roads CIP Fund 331 (CONTINUED)Regional Traffic Impact Fund 223 0 386,100 0Traffic Mitigation Fund 225 0 1,393,000 0Industrial Lighting Dist. Fund 252 0 0 100,000Mossdale CFD 04‐1 Fund 257 0 90,000 90,000Developer Projects Fund 271 90,792 3,764,031 2,739,120Total Operating Transfers In 8,230,003 11,957,540 9,775,681
Park‐In‐Lieu Fees 341Operating Transfers OutStreets & Roads CIP Fund 331 (126,783) 0 (55,000)
Storm Drain CIP 391Operating Transfers InStorm Drain CFF Fund 228 0 174,266 0Developer Projects Fund 271 132,000 0 0Total Operating Transfers In 132,000 174,266 0
Surface Water Supply CSLP 540Operating Transfers OutWater Fund 562 (1,219,440) (1,219,114) (1,220,654)
Mossdale Village CFD 2003‐1 541Operating Transfers OutWater Fund 562 (616,018) (618,818) (620,978)Water CIP Fund 569 (675,526) (1,034,502) (1,481,077)Total Operating Transfers Out (1,291,544) (1,653,320) (2,102,055)
Water System Capital Replacement 560Operating Transfers InWater Fund 562 640,498 304,592 324,509
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Water System Capital Replacement 560 (CONTINUED)Operating Transfers OutWater Fund 562 0 0 (83,170)Water CIP Fund 569 (74,000) (250,000) (30,000)
Water Fund 562Operating Transfers InSurface Water Supply CSLP Fund 540 1,219,440 1,219,114 1,220,654Mossdale CFD 2003‐1 Fund 541 616,018 618,818 620,978Water Capital Replacement Fund 560 0 0 83,170Total Operating Transfers In 1,835,458 1,837,932 1,924,802
Operating Transfers OutGeneral CIP Fund 301 0 0 (61,663)Water System Capital Replacement Fund 560 (640,498) (304,592) (324,509)SRF Loan Fund 565 0 (600,000) (597,575)Water CIP Fund 569 (9,119,274) (623,356) (625,466)Total Operating Transfers Out (9,759,772) (1,527,948) (1,609,213)
SRF Loan 565Operating Transfers InWater Fund 562 0 600,000 597,575
Operating Transfers OutWastewater CIP Fund 609 0 (6,954,107) (736,349)
Water CIP Fund 569Operating Transfers InMossdale Village CFD 2003‐1 Fund 541 675,526 1,034,502 1,481,077Water Capital Replacement Fund 560 74,000 250,000 30,000Water Fund 562 9,119,274 623,356 625,466SRF Loan Fund 565 0 6,954,107 736,349Total Operating Transfers In 9,868,800 8,861,965 2,872,892
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Wastewater Fund 601Operating Transfers OutGeneral CIP Fund 301 0 0 (59,164)Wastewater Capital Replacement Fund 606 (339,115) (346,728) (390,854)
Wastewater Connection Fees 603Operating Transfers OutWastewater CIP Fund 609 0 (786,449) 0
Water Recycling Plant #1 605Operating Transfers OutWater Recycle Plant #1 Cap Replace Fund 607 (156,910) (163,268) (168,088)
Wastewater Capital Replacement 606Operating Transfers InWastewater Fund 601 339,115 346,728 390,854
Operating Transfers OutWastewater CIP Fund 609 0 0 (25,000)
Water Recycling Plant #1 Cap Replace 607Operating Transfers InWater Recycling Plant #1 Fund 605 156,910 163,268 168,088
Operating Transfers OutWastewater CIP Fund 609 0 (30,000) (30,000)
WW Recycled Water 608Operating Transfers InStandby District Fund 266 800,000 800,000 571,579
Operating Transfers OutGeneral CIP Fund 301 0 0 (2,500)Recycled Water Capital Replacement Fund 611 (280,531) 0 0
Budget for Fiscal Year 2012‐2013
BUDGETED BUDGETED BUDGETEDFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
INTERFUND TRANSACTIONS ‐ OPERATING TRANSFERS
Wastewater CIP Fund 609Operating Transfers InDeveloper Projects Fund 271 886,000 950,000 560,440Wastewater Connection Fees Fund 603 0 786,449 0Wastewater Capital Replacement Fund 606 0 0 25,000Xroad Capital Replacement Fund 607 0 30,000 30,000Wastewater CIP Fund 610 129,500 0 0MBR Capital Replacement Fund 611 0 30,000 30,000Total Operating Transfers In 1,015,500 1,796,449 645,440
Wastewater CIP Fund 610Operating Transfers OutWastewater CIP Fund 609 (129,500) 0 0
Recycled Water Capital Replacement 611Operating Transfers InRecycled Water Fund 608 280,531 0 0
Operating Transfers OutRecycled Water Fund 608 0 (30,000) (30,000)
NET OPERATING TRANSFERS ‐ ‐ ‐
Budget for Fiscal Year 2012‐2013
BUDGET BUDGET BUDGETFY 2010‐2011 FY 2011‐2012 FY 2012‐2013
General 101 2,892,696 2,628,133 2,660,689Gas Tax 2105 203 (661) (937) (786)Traffic Safety 207 (5,292) (4,996) (4,710)Streets 208 (101,703) (77,584) (106,113)Public Nuisance 209 (3,529) (3,434) (1,106)Asset Forfeiture 210 (94) 0 0Measure "K" 211 (3,443) (3,519) (236)Transit 212 0 0 0LTF ‐ Streets & Roads 214 (1,004) (1,157) (804)Federal Grant 215 0 0 0Stip Augmentation 216 (46) 0 0Xroad Maintenance 217 0 0 0Xroad Street Improvements 218 (134) (159) 0Universal Hiring Grant 219 0 0 (3,389)Auto Theft 220 0 0 0CA Law Enforcement 221 (1,121) 0 0State "COPS" 222 (1,607) 0 0Historic Lathrop Loan 224 (187) (221) (193)Administration C.F.F. 229 (142) (15) (55)CLSP 2006‐2 239 (70,238) (33,595) (77,658)Recycling AB 939 240 (99,966) (63,435) (13,216)Crossroads Storm Drain Cap Replace 249 0 0 0Crossroads Storm Drain 250 (24,205) (36,863) (38,057)Storm Drain 251 (83,616) (59,924) (53,358)Street Lighting 252 (27,645) (25,807) (27,035)Woodfield 253 (18,741) (14,789) (12,425)Stonebridge Landscaping 255 (56,378) (33,645) (25,622)Stonebridge Drainage & Lighting 256 (35,423) (32,993) (49,250)Mossdale CFD 257 (369,134) (246,125) (241,332)Mossdale Landscape/Lighting 258 (27,823) (100,249) (77,658)Mossdale CFD Capital Replace 259 0 0 0
FUND NAME
INTERFUND TRANSACTIONS ‐ INDIRECT COST REIMBURSEMENTS
Budget for Fiscal Year 2012‐2013
BUDGET BUDGET BUDGETFY 2010‐2011 FY 2011‐2012 FY 2012‐2013FUND NAME
INTERFUND TRANSACTIONS ‐ INDIRECT COST REIMBURSEMENTS
Mossdale Drain/Light Cap Replace 261 0 0 0Historical Lathrop CFD 263 (5,624) (3,721) (3,031)Standy District 2005‐1 266 (434) (674) (37)Developer Projects 271 (691) (587) (710)General Government CIP 301 0 0 0Park & Lieu Fees 341 (1,045) (906) (710)Federal EPA Grant 353 (56) 0 0Storm Drain CIP 391 (403) (221) (247)Future Surface Water Supply 540 (185) (1,310) 0Mossdale Village CFD 2003‐1 541 (579) (1,213) (1,386)Water System Capital Replacement 560 (947) (1,303) (1,705)Water Connection Fees 561 (1,654) (938) (178)Water 562 (933,667) (850,654) (882,243)Surface Water Supply CFF 564 (168) (207) (183)Water CIP 569 (2,572) (2,552) (2,322)Wastewater 601 (530,312) (515,158) (577,718)Wastewater Connection Fees 603 (759) (670) (596)Water Recycling Plant #1 605 (118,976) (146,207) (145,107)Wastewater Capital Replacement 606 (1,389) (1,903) (1,971)Water Recycling Plant #1 Cap Repl 607 (101) (162) (287)WW Recycled Water 608 (359,028) (357,442) (305,887)Wastewater CIP 609 (1,264) (1,748) (1,974)WWTP Expansion 610 (248) (292) (470)Recycled Water Cap Replacement 611 (462) (818) (924)WRP#2 CIP 623 0 0 0NET REIMBURSEMENT TRANSACTIONS 0 0 0
All of the City's General Government programs are initially accounted and budgeted for in the General Fund. However, these support service programs also benefit the City's special revenue and agency funds, and accordingly, transfers are made from these funds to reimburse the General Fund for these services. These transfers are based on a Cost Allocation Plan prepared for this purpose which distributes these shared costs in a uniform consistent manner in with generally accepted accounting principles. Copies of the most current Cost Allocation Plan are available for review in the Finance Department.
Resolution No. 12-3409 Page 1 of 1
RESOLUTION NO. 12-3409
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF LATHROP ADOPTING THE WOODFIELD LANDSCAPE MAINTENANCE DISTRICT BUDGET FOR FISCAL YEAR 2012-2013
WHEREAS, the City Council of the City of Lathrop has duly considered the financial needs of the City of Lathrop for fiscal year 2012-13; and
WHEREAS, the City Council has caused a budget to be prepared which incorporates the Woodfield Landscape Maintenance District budget with anticipated expenditures of $68,255 and estimated revenues of $54,764; and
WHEREAS, the budget document and itemized details are filed with the City Clerk of the City of Lathrop; and
WHEREAS, the Woodfield Landscape Maintenance District budget was removed from the overall budget for
separate consideration due to a potential conflict of interest of two Council members; NOW, THEREFORE, BE IT RESOLVED that the City Council does hereby adopt the City of Lathrop 2012-13
Woodfield Landscape Maintenance District budget. PASSED AND ADOPTED, this 11th day of June, 2012 by the following vote:
Resolution No. 12-3410 Page 1 of 2
RESOLUTION NO. 12-3410
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF LATHROP ADOPTING THE BUDGET FOR FISCAL YEAR 2012-2013, ESTABLISHING THE NUMBER OF POSITIONS IN THE VARIOUS DEPARTMENTS OF THE CITY AND ALSO ADOPTING THE FINAL GANN LIMIT FOR FISCAL YEAR BEGINNING JULY 1, 2012 AND
ENDING JUNE 30, 2013
WHEREAS, the City Council of the City of Lathrop has duly considered the financial needs of the City of Lathrop for fiscal year 2012-13; and
WHEREAS, the City Council has caused a budget to be prepared which incorporates those General Fund anticipated expenditures, which total $13,207,962 and estimated revenues which total $12,835,168;and
WHEREAS, the City Council has caused a budget to be prepared which incorporates those Special Funds
anticipated expenditures, which total $23,891,175 and estimated revenues which total $24,525,053;and WHEREAS, the City Council has caused a budget to be prepared which incorporates those Capital
Improvement Program anticipated expenditures, which total $25,399,938 and estimated revenues which total $15,220,176;and
WHEREAS, the City Council has caused a budget to be prepared which incorporates those Enterprise Funds
anticipated expenditures, which total $26,774,497 and estimated revenues which total $21,294,404; and WHEREAS, the City Council has caused a budget to be prepared which establishes the total number of
Authorized Regular Positions by Department (Exhibit “A”) which includes 92.61 funded positions and 53.61 unfunded positions for a total full-time equivalent count of 146.22; and
WHEREAS, the budget document and itemized details are filed with the City Clerk of the City of Lathrop; and
WHEREAS, Under California Law, the City of Lathrop annually calculates the Final Gann Appropriation Limit;
and
WHEREAS, the Final Gann Limit has been calculated for fiscal year 2012-2013 to be $91,800,534 (see Exhibit “B”); and
Resolution No. 12-3410 Page 2 of 2
WHEREAS, the Certification of Assessment and Special Assessment Charge Agreement are required by San Joaquin County and are to be signed by the City each year (see Exhibit “C”); and
WHEREAS, the above appropriations are approved as the budget for fiscal year 2012-2013 and the City Manager is hereby authorized to transfer appropriations within the department budgets provided no change is made in the amount provided for any one department;
WHEREAS, due to a potential conflict of interest of two Council members Woodfield was considered
separately by council prior to its resolution; NOW, THEREFORE, BE IT RESOLVED City Council does hereby exclude the previously approved Woodfield
Landscape Maintenance District Budget and adopts the remaining City of Lathrop 2012-13 budget and approves the thereon listed appropriations and general fund subsidy; and
NOW, THEREFORE, BE IT FURTHER RESOLVED that the City Council does hereby approve the authorized
regular positions by department as listed in the budget and approves the Final Gann Limit for 2012-13 as identified above.
PASSED AND ADOPTED, this 11th day of June, 2012 by the following vote:
CITY OF LATHROPPROPOSITION 4 APPROPRIATION GANN LIMIT CALCULATIONS
1992‐93 GANN LIMIT ........................................................................ 7,844,766 1993‐94 GANN LIMIT ........................................................................ 8,510,002 1994‐95 GANN LIMIT ........................................................................ 11,278,9521995‐96 GANN LIMIT ........................................................................ 12,215,0151996‐97 GANN LIMIT ........................................................................ 13,253,2911997‐98 GANN LIMIT ........................................................................ 14,010,0541998‐99 GANN LIMIT ........................................................................ 17,745,1341999‐00 GANN LIMIT ........................................................................ 22,910,7432000‐01 GANN LIMIT ........................................................................ 30,292,1492001‐02 GANN LIMIT ........................................................................ 34,068,6712002‐03 GANN LIMIT ........................................................................ 41,338,9252003‐04 GANN LIMIT ........................................................................ 46,340,9352004‐05 GANN LIMIT ........................................................................ 49,037,9772005‐06 GANN LIMIT ........................................................................ 51,774,2962006‐07 GANN LIMIT ........................................................................ 61,109,2022007‐08 GANN LIMIT ........................................................................ 71,980,5292008‐09 GANN LIMIT ........................................................................ 80,085,5372009‐10 GANN LIMIT 82,111,7012010‐11 GANN LIMIT 81,627,2422011‐12 GANN LIMIT 87,006,4772012‐13 GANN LIMIT 91,800,534
2012‐13 CALCULATION
The City will use the percentage change in per capita income to
.........................................................................
.........................................................................
Per Capita Income Change: 3.77%
.........................................................................
.........................................................................
Adjust by the Above Factors:
Population 1.0167 x Per Capita 1.0377=1.0551
$87,006,477 x 1.0551 = $91,800,534
If you have any questions, contact Cari James in the Finance Department.
calculate the Final Gann Limit.
ADJUST FOR CHANGE IN POPULATION Based on California Department of Finance Information
Increase 1.67%
Adjust for Change in California Per Capita Income
EXHIBIT "B"
DA Certification of Assessment
CERTIFICATION OF ASSESSMENT The City of Lathrop (the “City”) hereby certifies that the special assessment(s), fee(s) or charge(s) listed below to be placed on the 2012-2013 Secured Property Tax bill by the City meets the requirements of Proposition 218 that added Articles XIIIC and XIIID to the California State Constitution. The City agrees to defend, indemnify and hold harmless the County of San Joaquin, the Board of Supervisors, the Auditor-Controller, its officers and employees, from litigation over whether the requirements of Proposition 218 were met with respect to such assessment(s), fee(s), or charge(s).
2012-2013 Special Assessments and/or Fixed Charges
District Name SJ County Tax Code A.D. 1 Sanitary Sewer District 65461
Zone 1 Storm Drain 72500
Industrial LMD 81940
Residential LMD 81960
Zone 1A Storm Drain 81980
EXHIBIT "C"
DA Certification of Assessment
District Name SJ County Tax Code Woodfield LLMD 93-1 82380
Crossroads A.D. Series 2001A 82400
Louise Ave A.D. Series 1993 82420
Stonebridge Drain & Light 82440
Stonebridge Landscape 82460
Mossdale LLMD 82465
Standby Charge District No. 2005-01 82470
N Harlan 99-1 82480
Mossdale A.D. Series 2003 82482
Mossdale A.D. Series 2005 82483
Lathrop - CFD 2003-1 82484
Lathrop - CFD 2003-2 82486
Lathrop - CFD 2004-1 82488
CFD No. 2005-1 82490
CFD No. 2006-1 82492
CFD No. 2006-2 82493
CFD No. 2006-2 (PUBLIC SAFETY) 82494
CFD No. 2005-1 Annexation 1, Zone 2 82495
Lathrop DLQ Code Compliance 82496
EXHIBIT "C"
DA Fee Agreement
SAN JOAQUIN COUNTY SPECIAL ASSESSMENT CHARGE AGREEMENT WITH
CITY OF LATHROP DATE: June 12, 2012 PARTIES: COUNTY: COUNTY OF SAN JOAQUIN Auditor-Controller
44 North San Joaquin Street Suite 550
Stockton, CA 95202 AGENCY: City of Lathrop 390 Towne Centre Drive Lathrop, CA 95330 AGREEMENT: The County and the City of Lathrop (the “City”) agree as follows: Pursuant to Government Code Section 29304, the City agrees to pay the County one percent (1%) of the assessment amount levied or three dollars ($3.00) per each assessment on a parcel, whichever is less, for the collection of special assessments or special assessment taxes. IN WITNESS WHEREOF the parties have executed this agreement the year and date first written above.
EXHIBIT "C"
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
BUDGET PROCESS
Budget Basis of Accounting The City’s budget is prepared on a modified accrual basis of accounting for all funds, including proprietary funds. Capital outlays and debt service principal payments are budgeted as expenditures. Debt proceeds, capital grants, inter‐fund transfers and inter‐fund loans are budgeted as revenues. For accounting purposes, however, these transactions are reported at year‐end on the full accrual basis of accounting in proprietary funds in the City’s Comprehensive Annual Financial Report (CAFR). Upon approval of the City Manager, encumbrances may be carried forward to the next fiscal year. Appropriations are adopted for the general, special revenue and capital project funds. Annually appropriations are adopted separately for each project as shown in the Capital Improvement Program (CIP) schedules. Funding sources are shown on the schedules as well. Budget Level of Control The budget level of control is at the detail expenditure level. Once the budget is adopted, the City Council by affirmative vote of a majority of the Council, upon the recommendation of the City Manager, may by resolution make additional or supplementary appropriations from unexpended and unencumbered funds set aside in the reserves in the City budget. The City Manager is authorized to approve transfers of appropriations between expenditure accounts in the operating budget within the same department and within the same fund. Budget Process The annual City budget process is as follows: The City Council approves the budget calendar November Departments estimate revenues and expenditures for FY 2012‐2013 through June 30th January
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
BUDGET PROCESS
Indirect Cost Plan January City Manager reviews Non‐218 Assessment District Budgets January Finance prepares beginning estimated fund balances February Departments prepare Capital Improvement Program With funding sources February City Council adopts Landscape and Lighting Non‐218 Assessment District Resolution of Intent February City Manager reviews Capital Improvement February Departments prepare estimated revenues March City Council reviews Capital Improvement Program March Departments prepare estimated appropriations April
REFERENCE MATERIALS City of Lathrop Preliminary Budget FY 2012‐2013
BUDGET PROCESS
City Council holds public hearing for Non‐218 Assessment Districts April Parks & Recreation Commission reviews Recreation budget April Planning Commission reviews Capital Improvement Program for conformity with General Plan April Preliminary Budget Delivered to City Council May City Council reviews Preliminary Budget and Capital Improvement Program June City Council adopts Final Budget June City Council adopts Final Gann Limit June
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS General Fund 101 The general fund accounts for the financial resources not required to be accounted for in another fund. This fund consists primarily of general government type activities. SPECIAL REVENUE FUNDS Special revenue funds account for the financial activity of specific revenues that are legally restricted to expenditure for particular purposes. Gas Tax Fund 203 To account for revenues apportioned to the City under the Streets and Highway Code, Sections 2105, 2106, 2107, and 2107.5 of the State of California, which are legally restricted for the acquisition, construction, improvement and maintenance of public streets. Traffic Safety Fund 207 To account for the fines and forfeitures received under Section 1463 of the Penal Code, which are restricted for the use of official traffic control devices and for some street construction purposes. Local Street Fund 208 To account for revenues and expenditures for the City’s street division. Public Nuisance Fund 209 To account for revenues and expenditures for code compliance activities.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Asset Forfeiture Fund 210 To account for revenues obtained from the sale of forfeited property in drug related cases. These funds can only be used by the police department for police‐related equipment. Measure “K” Fund 211 To account for revenues generated from a ½ cent sales tax for local street repairs. These funds are restricted for maintenance and construction on street‐related projects. Public Transit Fund 212 To account for local transportation funds received for transit purposes from San Joaquin County Council of Governments. Streets & Roads Local Transportation Funds 214 To account for the local transportation funds received for street and road purposes from the San Joaquin County Council of Governments. Federal Grant Fund 215 To account for federal grant revenues and expenditures. STIP Augmentation Fund 216 To account for revenues and expenditures for transportation projects included in the State Transportation Improvement Program. Universal Hiring Grant Fund 219 To account for the State of California Office of Traffic Safety “Selective Traffic Enforcement Program (STEP)” Grant.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Auto Theft Fund 220 To account for the revenues and expenditures for the auto theft fund. These funds can only be used for the purpose of deterring, investigating or prosecuting vehicle theft crimes. State COPS Fund 222 To account for California State Supplemental Law Enforcement Services Fund (SLESF) grants. Funds received in fiscal year 2012‐13 must be spent by June 30, 2013. Regional Traffic Impact Fund 223 To account for the financial resources collected from regional traffic impact capital facility fees. Historic Lathrop Loan Program (HLLP) Fund 224 To account for loan activity for the Historic Lathrop Loan Program. Traffic Mitigation Fund 225 To account for the financial resources collected from traffic mitigation capital facility fees. Culture & Leisure Fund 226 To account for the financial resources associated with the capital facility fees for the Library, Cultural Center, Park Improvements to Community Center and Neighborhood Parks.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS City Service Fund 227 To account for the financial resources associated with the capital facility fees for City Hall, Corporate Yard, Animal Services Facility and the Police Station. Storm Drain Capital Facility Fee Fund 228 To account for capital facility fees collected from storm drains. Administration Fund 229 To account for a percentage of all capital facility fees collected for the staff to manage/administer capital facility fees. Environmental Mitigation CFF Fund 231 To account for capital facility fees collected for the brush rabbit habitat mitigation. W / C Lathrop Transportation CFF Fund 232 To account for capital facility fees collected for local and regional road and freeway projects in West Central Lathrop. WLSP Regional Transportation CFF Fund 233 To account for capital facility fees collected for regional road and freeway projects in the West Lathrop Specific Plan area. Regional Transportation Impact Fee (RTIF) Funds 234‐237 To account for capital facility fees collected for regional projects in San Joaquin County. A portion of the fees collected are payable to San Joaquin County & San Joaquin County of Governments.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Central Lathrop Specific Plan (CLSP) Services CFD Fund 239 To account for revenues and expenditures associated with the CLSP Community Facilities District 2006‐2. AB939 Recycling Fund 240 To account for the financial resources associated with the preparation, implementation and administration of the City’s Integrated Solid Waste Management Plan in accordance with AB939. Crossroads Storm Drain Capital Replacement Fund 249 To account for revenues and expenditures related to capital replacement expenditures within the Crossroads Subdivision. Crossroads Storm Drain Fund 250 To account for revenues and expenditures related to the maintenance and operations of the storm drains and improvements within the Crossroads Subdivision. Storm Drain Benefit Assessment District Fund 251 To account for revenues and expenditures associated with the maintenance and operations of storm drains for residential, commercial and industrial areas within Historic Lathrop. Street Light Fund 252 To account for revenues and expenditures associated with the maintenance and operations of street lighting for residential, commercial and industrial areas within Historic Lathrop.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Woodfield Landscape Maintenance Fund 253 To account for revenues and expenditures associated with specific park maintenance and operations within the Woodfield Landscape District. Stonebridge Landscape Maintenance Fund 255 To account for revenues and expenditures associated with specific park maintenance and operations within the Stonebridge Landscape District. Stonebridge Drainage and Lighting Fund 256 To account for revenues and expenditures associated with the storm drainage and lighting activities within the Stonebridge District. Mossdale CFD Fund 257 To account for revenues and expenditures associated with the Mossdale Community Facilities District 04‐1. Mossdale Landscape and Lighting District Fund 258 To account for revenues and expenditures associated with the lighting and landscaping activities within the Mossdale District. Mossdale CFD Capital Replacement Fund 259 To account for revenues and expenditures related to capital replacement expenditures within the Mossdale Community Facilities District 04‐1. Mossdale Landscape & Lighting Capital Replacement Fund 261 To account for revenues and expenditures related to capital replacement expenditures within the Mossdale Landscape & Lighting District.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Historic Lathrop CFD Fund 263 To account for revenues and expenditures associated with the Historic Lathrop Community Facilities District 2005‐1. Community Development Block Grant (CDBG) Fund 265 To account for the annual federal grant that provides for development of a viable urban community. Mossdale Standby 2005‐1 Fund 266 To account for standby charges related to the Operation and Maintenance of the Wastewater Recycling Plant‐1 MBR. Scholarship Fund 270 To account for the revenues provided by businesses/organizations to provide assistance with tuition of qualified parks and recreation participants. DEVELOPER PROJECT FUNDS Developer project funds account for revenues and expenditures related to capital projects funded by developers. Developer Project Fund 271 To account for the deposits held for multiple developers in accordance with agreements with the City. Gateway Business Park Fund 282 To account for the deposits held for South Lathrop LLC Gateway Business Park in accordance with agreements with the City.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Watt / Lathrop Marketplace II Fund 283 To account for the deposits held for Watt / Lathrop Marketplace II in accordance with agreements with the City. KB Homes Fund 284 To account for the deposits held for KB Homes in accordance with agreements with the City. South Lathrop Richland Fund 286 To account for the deposits held for South Lathrop Richland in accordance with agreements with the City. Crossroads Richland Fund 288 To account for the deposits held for Crossroads Richland in accordance with agreements with the City. Pacific Union Homes Fund 290 To account for the deposits held for Pacific Union Homes in accordance with agreements with the City. Pulte Homes Fund 293 To account for the deposits held for Pulte Homes in accordance with agreements with the City. Farmworld Fund 294 To account for the deposits held for Farmworld in accordance with agreements with the City.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS River Islands Fund 295 To account for the deposits held for River Islands in accordance with agreements with the City. TCN Properties Fund 297 To account for the deposits held for TCN Properties in accordance with agreements with the City. Watt / Lathrop Marketplace I (Mossdale) Fund 298 To account for the deposits held for Watt / Lathrop Marketplace I (Mossdale) in accordance with agreements with the City. Richland Communities‐CLSP Fund 299 To account for the deposits held for Richland Communities in accordance with agreements with the City. CAPITAL PROJECT FUNDS Capital project funds account for the financial resources to be used for the acquisition or construction of major facilities other than those financed by proprietary funds. General Fund 301 To account for the expenditure of funds for projects funded from the General Fund. Streets and Roads Fund 331 To account for capital project expenditures related to streets and roads occurring over more than one Fiscal Year. There is more than one fund used to fund this account.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Park In‐Lieu Fund 341 To account for revenues and expenditures that can legally be made under the Quimby Act. The revenue is collected from residential developers to offset the impact on parks and can only be used for new park development. Storm Drain Fund 391 To account for capital project expenditures related to storm drain improvements occurring over more than one Fiscal Year. ENTERPRISE FUNDS Enterprise funds account for the financial activity related to services provided to those living within the city limit. The primary source of revenue is collections for the services provided. Surface Water Supply – CLSP Fund 540 To account for capital facility fees collected for Central Lathrop’s share of the debt service payment for the 2003 COPs. Mossdale Village CFD 2003‐1 Fund 541 To account for the Community Facilities District share of the debt service payment for the 2003 COPs Water System Capital Replacement Fund 560 To account for revenues and expenditures for capital replacement improvements to the water system. Water Connection Fee Fund 561 To account for capital facility fee revenues and expenditures related to the expansion of the water system.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Water Fund 562 To account for the activities associated with the production and distribution of potable water by the City to its’ residents and businesses. Surface Water Supply CFF Fund 564 To account for capital facility fee revenue and expenditures related to the surface water projects. State Revolving Fund 565 To account for the loan that the safe drinking water state revolving fund approved. Water Capital Improvement Program Fund 569 To account for capital project expenditures related to water system improvements occurring over more than one fiscal year. MRWQCF Collection System Fund 601 To account for the activities associated with operating and maintaining the City’s wastewater collection system, and the treatment and disposal of wastewater at the Manteca Regional Water Quality Control Facility. Wastewater Connection Fee Fund 603 To account for capital facility fee revenues and expenditures related to the expansion of the wastewater system. Crossroads Recycling Plant Fund 605 To account for the activities associated with operating and maintaining the City’s wastewater collection system, and the treatment and disposal of wastewater at the Water Recycling Plant #1 Schreiber.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
FUND DESCRIPTIONS Wastewater System Capital Fund 606 To account for revenues and expenditures for capital replacement improvements to the wastewater facilities related to the MRWQCF. Crossroads Recycling Plant #1 Capital Replacement Fund 607 To account for revenues and expenditures for capital replacement improvements to the wastewater facilities related to the Water Recyling Plant #1 Schreiber. MBR #1 – Wastewater Recycling Plant Fund 608 To account for the activities associated with operating and maintaining the City’s wastewater collection system, and the treatment and disposal of wastewater at the Water Recycling Plant #1 – MBR. Wastewater Capital Improvement Projects Fund 609 To account for capital project expenditures related to wastewater system improvements occurring over more than one fiscal year. Phase III Manteca RWQCF Expansion Fund 610 To account for proceeds received from the issuance of bonds for the installation of a sewer collection system in the City for Phase III Capacity from the City of Manteca Regional Water Quality Control Facility. Wastewater Recycling Plant #1‐MBR Capital Replacement Fund 611 To account for revenues and expenditures for capital replacement improvements to the wastewater facilities related to the Water Recycling Plant #1‐MBR.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
BUDGET GLOSSARY
Adopted Budget ‐ The official budget as approved by the City Council at the beginning of each fiscal year (July 1). Adoption ‐ Formal action by the City Council that set the spending limits for the fiscal year. Amended Budget ‐ The official budget as adopted and as amended by the legislative body through the course of a fiscal year. Appropriation ‐ A legal authorization granted by the City Council to make expenditures and to incur obligations for specific purposes. An appropriation is usually limited in amount and as to the time when it may be expended. Assessments ‐ Levies that pay for improvements directly benefiting the property owners. Audit – An examination of the City’s financial records by an independent auditing firm of Certified Public Accountants. The auditors render an opinion whether the financial statements fairly represent the City’s financial position as of the end of the fiscal year. In conjunction with their audit, the independent auditor issues a Management Letter stating the adequacy of the City’s internal controls as well as recommending improvements to the City’s financial management practices. Basis of Accounting ‐ A term used to refer to the timing of recognition of revenues, expenditures and related assets and liabilities in the financial statements. Beginning/Ending Fund Balance – Financial resources available to finance appropriations. Budget ‐ A financial plan listing proposed operational expenditures and revenue estimates for a specified time period. The budget is proposed until it has been approved and adopted by the City Council. Lathrop’s budget encompasses one fiscal year. Budget Message ‐ A message from the City Manager to the City Council. The message provides an overview of the budget and contains recommendations by the City Manager.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
BUDGET GLOSSARY
Budgetary Control ‐ The level at which expenditures and revenues are controlled in the budget. The City Council adopts a budget at the detail line item level. The City Manager is authorized to approve transfers of appropriations between expenditure accounts in the operating budget within the same department and within the same fund. Other changes require City Council approval. Capital Expenditures ‐ A budget category that budgets all equipment having a unit cost of $3,000 or more. Capital Improvement Plan (CIP) – A plan to provide for the maintenance or replacement of existing public facilities and assets and for the construction or acquisition of new ones. The plan sets forth each project as well as resources available to finance the project. Examples include road grade separations, master plan update, and water and wastewater line replacements. Capital Lease ‐ An agreement that conveys the right to use property, plant or equipment, usually for a stated period of time. Debt Service ‐ The payment of principal and interest on borrowed funds such as bonds, notes or loans. Department ‐ An organizational unit comprised of divisions or programs. This basic organizational unit of government is functionally unique in its delivery of services. Division ‐ An organizational component of a department. Encumbrance – Commitments related to unperformed (executed) contracts for goods or services which are a legal obligation. An encumbrance reserves a portion of fund balance. Enterprise Fund ‐ An accounting entity that is financed and operated in a manner similar to private business enterprises where the intent of the governing body is that the cost of providing goods and services to the general public on a continuing basis is financed or recovered primarily through user charges. The City’s enterprise funds include Water and Sewer. Expenditures – The outflow of funds paid or to be paid for an asset or goods and services obtained regardless of when actually paid. Fiscal Year – The beginning and ending period for recording financial transactions. Lathrop’s budget year begins on July 1 and ends on June 30.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
BUDGET GLOSSARY
Fixed Assets – Assets such as land, buildings, equipment, and improvements having a useful life in excess of one year and a cost in excess of $3,000. Full Time Equivalent Position (FTE) ‐ A part‐time position converted to the decimal equivalent of a full‐time position based on 2,080 hours per year. For example, a person working 20 hours per week would be equivalent to 0.5 of a full‐time position. Fund ‐ An accounting entity that records all financial transactions for specific activities or government functions. The six generic fund types are: General, Special Revenue, Capital Project, Enterprise, Internal Service, Trust and Agency. Fund Balance ‐ The amount of financial resources available for use. Generally Accepted Financial Procedures (GAAP) ‐ Uniform minimum standards and guidelines for financial accounting and reporting. General Fund ‐ The primary fund of the City used to account for all revenues and expenditures related to municipal services and maintenance. General Fund resources can be used for any legitimate governmental purpose with the exception of subvention or grant revenues restricted for specific purposes. General Obligation Bond ‐ A bond requiring a 2/3 vote of the registered voters and backed by the full faith, credit and taxing power of the municipality. This type of bond is generally repaid from taxes and other general revenues. Grant ‐ A contribution by a government or other organization to support a specific purpose, activity or facility. Infrastructure ‐ Facilities upon which the continuance and growth of a community depend such as roads, water and wastewater treatment plants and distribution lines, and public buildings. Inter‐fund Transfers ‐ Payments from one fund to another fund, primarily for work or services provided. The receiving fund must spend the transferred money in a way that complies with any restrictions placed on the money when it was originally received by the paying fund.
REFERENCE MATERIALS City of Lathrop Adopted Budget FY 2012‐2013
BUDGET GLOSSARY
Internal Service Fund – A fund used to account for the goods and services provided to other departments or agencies of a government on a cost‐reimbursement basis. Intergovernmental Revenue ‐ Revenue collected by one government and distributed to another level of government(s). Municipal Code ‐ A collection of City Council approved ordinances currently in effect. The Code defines City policy with respect to areas such as planning, building codes, zoning, water, wastewater, public protection, licensing, fees, and other City measures. Operating Budget – The portion of the budget that pertains to daily operations providing basic governmental services. Operating Expenditures ‐ Expenditures for materials, supplies and services that are ordinarily consumed within a fiscal year. Ordinance ‐ A formal legislative enactment by the City Council that has the full force and effect of law within City boundaries unless pre‐empted by a higher form of law, such as State statute or constitutional provision. An ordinance has a higher legal standing than a resolution. Personnel ‐ A budget category used to account for employee compensation including wages, salaries and fringe benefits, such as health, life and disability insurance, retirement and car allowance. Property Tax ‐ An “ad valorem” tax on real property, based upon the value of the property. Reimbursement – A repayment of expenditure through a billing, contract or agreement with a third party. Reserve ‐ An account used to indicate that a portion of a fund’s balance is legally restricted for a specific purpose and is, therefore, not available for general appropriation. Resolution ‐ A special order of the City Council having a lower legal standing than an ordinance. Resources ‐ Total amounts available for appropriation including estimated revenues, fund transfers and beginning fund balances.
REFERENCE MATERIALS City of Lathrop Preliminary Budget FY 2012‐2013
BUDGET GLOSSARY
Revenues ‐ Amounts received by the City from taxes, fees, permits, licenses, interest, or from other governments during the fiscal year. Revenue Bond ‐ A bond usually issued to construct a project that will produce revenues pledged for the payment of related principal and interest. Special Revenue Fund ‐ A fund used to account for specific revenues that are legally restricted in use to expenditures for specific purposes. Subventions – Revenues collected by the State (or other level of government) paid to the City based on a formula. The major subventions received by the City from the State of California include motor vehicle‐in‐lieu and gasoline taxes. Taxes – Compulsory charges levied by a government for the purpose of financing services performed for the common benefit. This term does not include specific charges made against persons or property for current or permanent benefits such as special assessments. Neither does the term include charges for services rendered only to those paying for such services. User Charges – The payment of a fee for direct receipt of a public service by the party benefiting from the service.