HomeMy WebLinkAbout2008-06-24 - RESOLUTIONS - FY 2008 2009 BUDGET (4)RESOLUTION NO. RDA 08-9
A RESOLUTION OF THE CITY OF SANTA CLARITA
REDEVELOPMENT AGENCY, ADOPTING THE ANNUAL BUDGET FOR
THE FISCAL YEAR 2008-2009, MAKING APPROPRIATIONS FOR THE
AMOUNT BUDGETED, AND ESTABLISHING POLICIES FOR THE
ADMINISTRATION OF THE ADOPTED ANNUAL BUDGET
WHEREAS, a proposed annual budget for the City of Santa Clarita Redevelopment
Agency for the fiscal year commencing on July 1, 2008, and ending on June 30, 2009, was
submitted by the Executive Director to the Redevelopment Agency and is on file with the
Agency Secretary, and
WHEREAS, appropriations made pursuant to the budget of the Agency are exempt from
provisions of Article XIIIB of the California Constitution where used for redevelopment
activities, and
WHEREAS, the Redevelopment Agency Board has held a Public Hearing on the
proposed budget on June 10, 2008.
NOW, THEREFORE, the City of Santa Clarita Redevelopment Agency does resolve as
follows:
SECTION 1. The budget, on file with the Agency Secretary and incorporated herein by
reference, inclusive of the adjustments attached hereto as Exhibit A, is hereby passed and
adopted as the Annual Budget for the City of Santa Clarita Redevelopment Agency for the fiscal
year commencing on July 1, 2008, and ending on June 30, 2009.
SECTION 2. There is hereby appropriated to each account the sum shown for such
account in the budget referenced herein above in Section 1. The appropriations provided for
herein constitute the maximum amounts authorized for obligation and expenditure to finance the
operations of the City of Santa Clarita Redevelopment Agency, and the Executive Director is
authorized and empowered to expend such appropriations for said purpose. Additional
appropriations shall be made only by official action of the Redevelopment Agency Board.
SECTION 3. The Executive Director may approve any unused appropriations at the end
of Fiscal Year 2007-08 for capital projects, special projects, and grant programs which shall be
carried forward and become part of the budget referenced herein above in Section 1.
SECTION 4. All purchase order commitments outstanding on June 30, 2008 are hereby
continued and will become a part of the budget referenced herein above in Section 1.
SECTION 5. The annual contracts detailed in Exhibit B are hereby approved and
authorized for the fiscal year commencing July 1, 2008 and ending June 30, 2009.
SECTION 6. The adopted budget for the fiscal year, commencing July 1, 2007 and
ending June 30, 2008, shall be amended to incorporate the budget adjustments detailed in Exhibit
C and the budget transfers detailed in Exhibit D.
SECTION 7. That the Agency hereby finds and determines:
(a) That the expenditures authorized by this budget and the appropriations pursuant
thereto are from tax allocation proceeds as , specified in Subdivision B of
Section 33670 of California Health & Safety Code or are proceeds of bonds which
are secured solely by such tax allocation proceeds; and
(b) That all of the expenditures and appropriations pursuant to the budget are for
redevelopment activities consistent with California Health & Safety Code
Section 33678 in that they are for carrying out the Newhall Redevelopment Project
in accordance with California Health & Safety Sections 33020 and 33021, and
primarily benefit the project area included in the above Redevelopment Project; and
(c) That none of the funds are to be used for the purposes of paying for employee or
contractual services for the City of Santa Clarita or any other local government
agency, except for such services which are directly related to redevelopment
activities as defined in California Health & Safety Code Sections 33020 and 33021
and the powers established in Community Redevelopment Law; and
(d) That all of the planning and administrative expenditures and appropriations pursuant
to the budget to be paid from the Low and Moderate Housing Fund for each
Redevelopment Project are consistent with California Health and Safety Code
Section 33334.3 in that they are necessary for the production, improvement, or
preservation of low- and moderate -income housing and are not disproportionate to
the amounts budgeted for the costs of production, improvement, or preservations of
that housing.
SECTION 8. The Secretary shall certify to the adoption of this Resolution.
PASSED, APPROVED AND ADOPTED this 24th day of June, 2008.
ATTEST:
SECRETARY
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STATE OF CALIFORNIA )
COUNTY OF LOS ANGELES ) ss.
CITY OF SANTA CLARITA )
1, Sharon L. Dawson, MMC, Secretary of the City of Santa Clarita Redevelopment
Agency, do hereby certify that the foregoing Resolution was duly adopted by the Redevelopment
Agency of the City of Santa Clarita at a regular meeting thereof, held on the 24th day of
June, 2008, by the following vote:
AYES: AGENCY MEMBERS: Ender, Weste, Ferry, McLean, Kellar
NOES: AGENCY MEMBERS: None
ABSENT: AGENCY MEMBERS: None
3
SECRETARY
STATE OF CALIFORNIA )
COUNTY OF LOS ANGELES ) ss.
CITY OF SANTA CLARITA )
CERTIFICATION OF
REDEVELOPMENT AGENCY RESOLUTION
I, Sharon L. Dawson, Secretary of the City of Santa Clarita Redevelopment Agency, do hereby
certify that this is a true and correct copy of the original Resolution No. RDA 08-9, adopted by
the Redevelopment Agency of the City of Santa Clarita, California on June 24, 2008, which is
now on file in my office.
Witness my hand and seal of the Redevelopment Agency of the City of Santa Clarita, California,
this day of )20—.
Sharon L. Dawson, MMC I Secretary
By
Susan Caputo
Deputy Secretary
Revenue Adjustments
EXHIBIT A
CITY OF SANTA CLARITA
14600
Budget Adjustments (ALL FUNDS)
Description
Fiscal Year 2008-09
Revenue Adjustments
356
14600
Budget Adjustments
Description
238
4421 001
TDA Art 3 (Bikeways)
$ (23,211)
FY 2009 revenue allocation change
238
4572 001
Developer Fees
352,290
FY 2009 revenue allocation change
260
4422 001
Prop C
18,554
FY 2009 revenue allocation change
261
4423 001
Prop A
22,140
FY 2009 revenue allocation change
238-700
4711 000
Transfers In
(105,882)
Transfers in
Revenue Total
$ 263,891
Expenditure Adjustments Budget Adjustments Description
i-7
356
14600
5141 003
Stormwater Admin
$ 55,110
Addition to street sweeping contract
100
15000
5161 001
Parks Admin
50,000
Addition to Senior Center contract
550
19102
5301 002
CRA -Debt Service
1,114,374
Interest on RDA bonds
550
19102
5301 001
CRA -Debt Service
(903,408)
Correct RDA debt service budget
551
19107
5301 002
Low -Mod Debt Service
335,205
Interest on Low -Mod bonds
19500
5501 000
Transfers Out
(105,882)
Transfers Out
Expenditure Total
$ 545,399
i-7
EXHIBIT B
City of Santa Clarita
Contractual Agreements - Authorization Requests
FY 2008-2009
sues
Request to renew contract and
��Re q t •• e
x�Con�'r'act� �ou'
"'tio��°o
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„F.�• :,°
Vendor"r
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un #s;,;;
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Legislative Advocacy for
NU
CEMEX Opposition Efforts
CitV Mana er's Office
Administrative Services
Request to renew contract and
authorize staff to expend
1
Jamison and O'Sullivan
100,000
amount not to exceed $100,000
11000-5161 001
with Jamison and O'Sullivan for
Legislative Advocacy for
CEMEX Opposition Efforts
Request to renew contracts and
authorize staff to expend
Contract for multiple
2
Redgate Communications
150,000
amount not to exceed $150,000
13000-5161.002
with Redgate Communications
Districts
for CEMEX public relations
consultin
Request to renew and approve
Administrative Services
Exhibit B - Paae 1 of 4
1
11
1
Request to renew and authorize
staff to expend amount not to
1
Diehl, Evans & Company
65,000
exceed $65,000 contract for
12101-5161.002
annual audit of various financial
statements.
Request to renew and
authorize staff to expend
amount under the LA County
Contract for multiple
2
L A County (GSA)
155,028
General Services Agreement,
Landscaping Maintenance
authorize staff to expend an
Districts
amount for rodent control
services not to exceed $155,028
Request to renew and approve
increase to contract with Dell,
Inc and authorize staff to
3
Dell, Inc
175,000
expend an amount not to
12200-5111.008
exceed $175,000 for computer
and network hardware
purchases
Request to renew and approve
increase to contract with
Sungard Pentamation and
4
SunGard Pentamation
65,000
authorize staff to expend an
12200-5161 001
amount not to exceed $65,000
for licensing, maintenance and
application support
Request to renew contract for
two years and authorize staff to
Funds will be used by every
5
Sprint/Nextel Inc.
130,000
expend an amount not to
division within the
exceed $130,000 for
organization
telecommunication services
Exhibit B - Paae 1 of 4
1
11
1
1
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EXHIBIT B
City of Santa Clarita
Contractual Agreements - Authorization Requests
FY 2008-2009
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Committee on Aging (Senior
200,000
Handyworker Program, which
13312-5161.001
Center)
Request to renew contract and
Funds will be used by every
authorize staff to expend an
6
AT&T
200,000
amount not to exceed $200,000
division within the
for telecommunication services
organization
Los Angeles County Animal
Request to approve increase to
2
Care and Control
80,000
contract with DM Geographics
13200-5161.001
and authorize staff to expend an
amount not to exceed $85,000
12002-5161.001 (Accounts
7
DM Geographics
85,000
for GIS related support to
in Public Works & Planning)
various operational departments
to support projects such as One
Valley, One Vision
3
Lawrence R Moss &
120,000
Request to renew contract and
13100-5161.001
Associates
authorize staff to expend
8
Office Depot
75,000
amount not to exceed $75,000
12002-5101.003
for city-wide office supplies
Request to renew contract and
9
United States Postal Service
110,000
authorize staff expend
12003-5101.005
��
gpTOTA�,�b,r K.4k,
40.OQ00
amount not to exceed $110,000
'^
for general postage service.
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l'GO�1AL: - ;f� ,� ��
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Community Development
Exhibit B - Page 2 of 4
Request to renew and authorize
staff to expend amount not to
Santa Clarita Valley
exceed $200,000 for
1
Committee on Aging (Senior
200,000
Handyworker Program, which
13312-5161.001
Center)
provides minor home repair
services to low- and moderate -
income residents
Request to renew and authorize
Los Angeles County Animal
staff to expend amount not to
2
Care and Control
80,000
exceed $80,000 for services to
13200-5161.001
enforce animal regulations and
house stray animals
Request to renew and authorize
staff to expend amount not to
exceed $120,000 for Lawrence
R Moss and Associates, a
3
Lawrence R Moss &
120,000
Landscape Architectual firm,
13100-5161.001
Associates
which provides landscape plan
review and landscape
inspection consultation services
for the Community Development
Department
��
gpTOTA�,�b,r K.4k,
40.OQ00
`> vim`,,
'^
Exhibit B - Page 2 of 4
EXHIBIT B
City of Santa Clarita
Contractual Agreements - Authorization Requests
FY 2008-2009
Parks, Recreation & Community Services
Request to renew and authorize
9_..4
6
130,182
staff to expend amount not to
exceed $130,182.00 for
15202-5161.001
-
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Vendor:,.ontract�Amou
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n ry
escrintion o e/�uest:���
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.:Account #s...�=�'
m
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Bell Building Maintenance
156,138
staff to expend amount not to
exceed $156,138 for janitorial
15203-5161.001
Parks, Recreation & Community Services
Public Works
Request to renew and authorize
1
Bell Building Maintenance
130,182
staff to expend amount not to
exceed $130,182.00 for
15202-5161.001
1
LA County Public Works
125,000
janitorial services at SCSC
14100-5161 001
Request to renew and authorize
2
Bell Building Maintenance
156,138
staff to expend amount not to
exceed $156,138 for janitorial
15203-5161.001
services at various city parks
14602-5161 001 ($16,000)
4
Curbside, Inc
60,000
Request to renew and authorize
and 14600-5161 001
3
Linda Burrows
75,000
staff to expend amount not to
exceed $75,000 for graphic
15400-5161.002
design services
Request to renew and authorize
staff to expend amount not to
14501-5161 001 ($64,450),
6
Honeywell
124,850
exceed $102,520. This contract
14509-5161.001 ($4,900),
is for bus services for day
14500-5161 001 ($19,500),
camps, community services and
12401-5161 001 ($36,000)
excursions The bid was
combined to cover all three
5113-5161.002
4
Global Transportation
102,520
areas and the breakdown is as
15300-5161.002
follows (approximation) Day
15105-5161 002
Camp $72,150 plus 10% fuel
charge= $79,365, Community
Services. $16,150 plus 10%
fuel charge = $17,765,
Excursions $4,900 plus 10%
fuel charge = $5,390
Public Works
Exhibit B - Paae 3 of 4
1
1
1
Request to renew and authorize
staff to expend amount not to
1
LA County Public Works
125,000
exceed $125,000 for the
14100-5161 001
performance of industrial waste
inspections
Request to renew and expend
14602-5161 001 ($16,000)
4
Curbside, Inc
60,000
amount not to exceed $60,000
and 14600-5161 001
for door to door household
($44,000)
hazardous waste pick up
Request to renew and authorize
staff to expend amount not to
14501-5161 001 ($64,450),
6
Honeywell
124,850
exceed $124,850 for HVAC
14509-5161.001 ($4,900),
maintenance at City Hall, the
14500-5161 001 ($19,500),
Transit Maintenance Facility,
12401-5161 001 ($36,000)
and the Metrolink Stations
Exhibit B - Paae 3 of 4
1
1
1
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EXHIBIT B
City of Santa Clarita
Contractual Agreements - Authorization Requests
FY 2008-2009
Q.V
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K'w0"
. ..
V6
Cofitrabt,
qques
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c,o,L!nV S-
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Al um
Request to renew and authorize
14501-5161.001
staff to expend amount not to
($114,860), 14500-
exceed $256,880 for janitorial
7
Lee's Maintenance
256,880
services for City Hall, the Transit
5161 001 ($43,640); 14509-
5161.001 ($54,000), 12401-
Maintenance Facility, and the
5161 001 ($44,380)
Metrolink Stations.
Request to renew and authorize
Funds will be used for
staff to expend amount not to
8
Padilla & Associates
105,000
exceed $105,000 for labor
multiple Capital
Improvement Projects
compliance services on multiple
Capital Improvement Projects.
Citywide.
Request to renew and authorize
staff to expend amount not to
Funds will be used for
9
Kim Flynn
140,000
exceed $140,000 for labor
multiple Capital
Improvement Projects
compliance services on multiple
Capital Improvement Projects
citywide.
Request to renew and authorize
staff to expend amount not to
Funds will be used for
exceed $166,000 for
multiple Capital
10
Aquatic Consulting
166,000
environmental consulting
Improvement Projects
services for multiple Capital
citywide
Improvement Projects.
Request to renew and authorize
staff to expend amount not to
Funds will be used for
exceed $75,000 for material
multiple Capital
11
BTC Labs
75,000
testing and inspection for
Improvement Projects
multiple Capital Improvement
citywide.
Projects
Request to renew and authorize
staff to expend amount not to
Funds will be used for
12
Pinnacle Land Surveying
67,000
exceed $67,000 for survey
multiple Capital
services for multiple Capital
Improvement Projects
Improvement Projects I
citywide
Exhibit B - Facie 4 of 4
EXHIBIT C
CITY OF SANTA CLARITA
Budget Adjustments (ALL FUNDS)
Fiscal Year 2007-2008
Revenue Adjustments
12000
5161 001
Budget Adjustments
Description
100
4531 021
Fees to Expedite-Dev Srvc
$ 48,538
Expedited plan check revenue
230
4411 005
Prop 1B local streets & roads
2,849,466
Prop 1B revenue
238
4421.001
TDA Art 3 (Bikeways)
252,203
Increase TDA Art 3 revenue
390
4721 002
Other Financing Sources
29,860,000
RDA housing bond
391
4721.002
Other Financing Sources
8,850,000
Low -mod housing bond
600
4721.002
Other Financing Sources
15,525,000
Open space bond
Revenue Total
$ 57,385,207
Expenditure Adiustments Budget Adjustments Description
100
12000
5161 001
Administrative Services $
31,100
Appropriate for use tax sharing costs
308
12005
5161 002
Library Facilities
38,000
Appropriate for facility impact study
700
12400
5161.002
Transit
63,119
Correct FY 07-08 budget
203
13316
5161 001
Child and Family Ctr Exp
50,000
Correct FY 07-08 budget
100
14100
5161 020
Development Services
27,181
Expedited plan check expenditures
230
14504
5211 004
Street Maintenance
45,000
Correct FY 07-08 budget
390
13400
5301.006
Redevelopment Agency
160,665
RDA bond discount
390
13400
5301 005
Redevelopment Agency
956,336
RDA bond issuance cost
550
19102
5301 003
CRA -Debt Service
896,538
Debt service reserve
391
13401
5301.006
Low -mod housing
5,241
RDA bond discount
391
13401
5301 005
Low -mod housing
432,136
RDA bond issuance cost
551
19107
5301 003
Low -mod housing Debt Service
268,878
Debt service reserve
500
19106
5301 003
PFA 2007 Series OSPD
232,037
Debt service reserve
600
12594
5301 006
PFA -Open Space
60,926
OSPD bond discount
600
12594
5301 005
PFA -Open Space
232,037
OSPD bond issuance cost
Expenditure
Total
$
3,499,194
Capital Projects Budget Adjustments Description
233
B0002233
5161 001
05-06 Comm Median Project $
500,000
Correct FY 07-08 budget
260
B0002260
5161 001
05.06 Comm Median Project
(500,000)
Correct FY 07-08 budget
390
B2008390
5161 001
Streetscape M -Plan Improv
200,876
Correct FY 07-08 budget
601
E0202601
5003 001
Emergency Response
4,103
I-5 Tunnel fire emergency response expenditures
601
E0202601
5111 001
Emergency Response
2,348
1-5 Tunnel fire emergency response expenditures
601
E0202601
5121 003
Emergency Response
4,536
I-5 Tunnel fire emergency response expenditures
601
E0203601
5003 001
Buckweed Fire
13,965
Buckweed fire emergency expenditures
601
E0203601
5111 001
Buckweed Fire
126,327
Buckweed fire emergency expenditures
601
E0203601
5121 003
Buckweed Fire
4,595
Buckweed fire emergency expenditures
261
F0003261
5161.001
Transit Maintenance Facility
190,000
Correct FY 07-08 budget
303
10004303
5161 001
Intelligent Mgt Traveler
500,000
Correct FY 07-08 budget
306
I0004306
5161 001
Intelligent Mgt Traveler
(500,000)
Correct FY 07-08 budget
390
52016390
5161 001
Downtown Newhall Restnpe
54,468
Correct FY 07-08 budget
390
52044390
5161 001
Street Sign Change
43,399
Correct FY 07-08 budget
Capital
Improvement Projects Total
$
644,617
1
i
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1
EXHIBIT D
CITY OF SANTA CLARITA
Budget Transfers (ALL FUNDS)
Fiscal Year 2007-2008
Dept
Fund
Division
Acct
Account/Pitle
Budget Transfer
Description
AS
359
12590
5001 000
Personnel Cost
$
(121,015)
Transfer to correct account
AS
359
12593
5001 000
Personnel Cost
$
121,015
Transfer to correct account
AS
357
12501-29
5161 000
Reserve Project Exp
$
(25,000)
Transfer to correct account
AS
357
12500
5002 001
Temporary Employees
$
25,000
Transfer to correct account
CD
390
13400
5001 001
Regular Employees
$
(48,200)
Salary Savings
CD
390
13400
5201004
Land
$
(16,800)
Transfer savings
CD
390
13400
5161 002
Professional Services
$
65,000
Professional Services
CMO
100
11303
5001 001
Regular Employees
$
(20,000)
Salary Savings
CMO
100
11500
5161 005
Promotion & Publicity
$
20,000
On-line store
PW
100
14000
5161 002
Professional Services
$
(950)
Transfer to correct account
PW
100
14502
5161 002
Professional Services
$
(3,848)
Transfer to correct account
PW
100
14000
5201004
Land
$
4,798
Transfer to correct account
PRCS
100
15203
5131 001
Electric Utility
$
(10,000)
Electric utility
PRCS
100
15203
5131 002
Gas Utility
$
(15,000)
Gas utility
PRCS
100
15205
5131 001
Electric Utility
$
(15,000)
Electric utility
PRCS
100
15400
5161 002
Professional Services
$
40,000
Graphic services for multiple events
PRCS
100
15309
5111 001
Special Supplies
$
(3,000)
Transfer to correct account
PRCS
100
15307
5161 002
Professional Services
$
(4,780)
Transfer to correct account
PRCS
100
15307
5201002
Equipment
$
7,780
Transfer to correct account
PRCS
100
15400
5001.001
Regular Employees
$
(26,000)
Salary Savings
PRCS
100
15400
5161 002
Professional Services
$
26,000
Coverage for personnel vacancies in Arts & Events
PRCS
100
15204
5161 001
Contractual Services
$
(7,000)
Contractual Services
PRCS
100
15204
5201 002
Equipment
$
7,000
Transfer to correct account
PRCS
259
15303
5002 001
Temporary Employees
$
(5,000)
Salary Savings
PRCS
259
15303
5161 002
Professional Services
$
5,000
Professional Services
ND
19500
5501 000
Transfers Out
$
(19,982,686)
Transfers Out
ND
100-723
4711 000
Transfers In
$
19,982,686
Transfers In