HomeMy WebLinkAboutCC RESO 2012-137RESOLUTION NO. 2012 — 137
RESOLUTION OF THE CITY COUNCIL
OF THE CITY OF NATIONAL CITY ADOPTING
A BUDGET FOR THE 2012-2013 FISCAL YEAR
WHEREAS, the City Manager on May 22, 2012, submitted to the City Council a
Recommended Budget for the 2012-2013 fiscal year, and said budget has been discussed and
deliberated in public session.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of
National City that the budget for the fiscal year beginning July 1, 2012, with City expenditures
totaling $75,960,161 is hereby approved, adopted, and appropriated.
BE IT FURTHER RESOLVED that the fund appropriations set forth in the
Projected Expenditures column of Attachment "1" shall be the maximum expenditures
authorized for those funds. The City Manager is hereby authorized to make budgetary revisions
within and between budget line items within a fund.
BE IT FURTHER RESOLVED that the City Manager is hereby authorized to transfer
monies up to the maximum set forth in the Transfers column in Attachment "1".
BE IT FURTHER RESOLVED that the City Council does hereby authorize and
approve the number and classification of employees in the respective functions, departments,
and/or activities as set forth in the fiscal year 2012-2013 budget.
PASSED and ADOPTED this 19th day of June, 20 .
on Morrison, Mayor
ATTEST:
Mich.,,EJA)0„A,
el R. Dalla, Cit Clerk
OVED AS T ) FORM.
Ga
City Attorney
CITY OF NATIONAL CITY
BUDGET ANALYSIS BY FUND, ALL FUNDS
FISCAL YEAR 2012-2013
ATTACHMENT 1
Estimated Estimated
Fund Beg. Fund Bal. Estimated Projected Ending
Number Fund Title 71112012 Revenue Transfer In Transfer Out 1 Expenditures BaI.6130/2013
001 General Fund Undesignated Baler 7,059,792 7,002,376
General Fund - Committed for 1,671,257 1,671,257
General Fund - Assigned for 4,829,800 4,829,800
Total General Fund 13,560,849 39,349,728 120,612 2,049,631 37,478,125 13,503,433
104 Library Fund 168,102 629,964 1,142,777 1,772,741 168,102
105 Parks Maintenance Fund 152,189 706,853 411,818 1,121,671 149,189
108 Library Capital Outlay 976,012 104,231 217,000 863,243
109 Gas Taxes Fund 588,904 1,669,527 2,040,219 218,212
111 P.O.S.T Fund 48,100 48,100 0
115 Park & Rec Capital Outlay Fund 427,586 0 1,232 426,354
120 Plan Checking Revolving Fund 199,946 300,000 300,000 199,946
125 Sewer Service Fund 1,364,369 7,256,309 6,948,045 1,672,633
130 EMT-D Revolving Fund 154,886 302,794 339,735 117,945
131 Asset Forfeiture Fund 458,456 63,105 0 521,561
154 State Library Fund 100,191 0 5,500 94,691
159 General Plan Update Reserve 119,633 0 0 119,633
166 Nutrition Center 258,452 439,180 308,499 747,679 258,452
171 Library School District Contract 163,412 17,740 7,000 174,152
172 Trash Rate Stabilization Fund 379,757 144,500 112,613 411,644
189 Civic Center Refurbishing 1,756,754 17,867 100,000 1,674,621
190 30th Street Cleanup Fund - 1303 300,365 2,942 0 303,307
191 STOP Project 73,822 55,000 0 128,822
198 Property Evidence Seizure 11,182 0 11,182 0
200 30th Street Cleanup - 1304 756,239 7,408 0 763,647
201 NCJPFA Debt Service Fund 490,225 490,225 0
208 Supp. Law Enforcement Svcs Funi 95,405 0 0 95,405
211 Security & Alarm Regulation Fund (33,168) 6,000 0 (27,168)
212 Personnel Compensation Fund 712,616 0 125,000 125,000 712,616
241 National City Library State Grant 19,620 0 0 19,620
242 N. City Library Matching Fund 119,600 0 0 119,600
246 Wings Grant 92,893 979,698 1,072,591 0
253 Recreational Activities Fund 106,351 15,000 0 121,351
259 Library Bonds Debt Service Fund 847,845 398,889 398,889 847,845
277 NC Public Library Donations Fund 234,757 2,000 19,815 216,942
290 Police Department Grants (400,235) 349,540 209,266 (259,961)
296 Engineering Dept Grants (44,935) 0 0 (44,935)
301 Grant - C.D.B.G 866,002 847,141 18,861
307 Proposition "A" Fund 770,000 770,000 0
312 STP Local/Transnet Highway (524,882) 0 (524,882)
323 Safe Routes to Schools - 0 0 0
325 Development Impact Fees 1,342,511 36,000 0 1,378,511
326 Transportation Impact Fee Fund 175,488 7,135 0 182,623
343 State -Local Partnership 28,140 1,211 0 29,351
345 Traffic Congestion Relief (61,537) 0 61,537 0 0
346 Prop 1B 117,944 1,223 0 119,167
348 State Grant 356,102 4,960 0 361,062
502 Section 8 2,549,582 9,436,000 9,779,685 2,205,897
505 HOME Program 2,297,028 295,176 407,065 2,185,139
506 HUD Program Income 1,271,356 7,400 554,117 724,639
626 Facilities Maintenance Fund 344,588 2,519,173 2,525,173 338,588
627 Liability Insurance Fund 1,921,982 2,827,604 2,794,321 1,955,265
628 General Services Fund 120,612 0 120,612 0 0
629 Information Systems Maintenance 1,512,806 2,037,291 2,037,291 1,512,806
632 General Accounting Services 480,148 1,297,553 1,497,553 280,148
643 Motor Vehicle Svc Fund 1,798,384 1,171,187 575,342 1,181,187 1,213,042
644 Equipment Replacement Reserve 242,080 0 575,342 0 817,422
731 Construction & Demolition Debris 119,118 50,000 0 169,118
Total All Funds 37,813,305 74,684,515 2,745,585 2,745,585 75,960,161 36,537,659
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
001
001- 00000 TAXES:
3000 CURRENT YEAR -SECURED 2,758,397 2,710,280 2,463,276 2,710,280
3001 CURRENT YEAR -UNSECURED 68,296 75,000 148,990 75,000
3002 SUPPLEMENTAL ROLL 96,540 80,000 69,886 80,000
3003 PRIOR YEAR -SECURED & UNSECURED 4,322 0 2,795 0
3006 INTEREST, PENALTIES & DELINQ. 4,473 0 3,015 0
3007 MILE OF CARS SPEC. ASSESSMENT 0 0 113,348 0
3009 PROPERTY TAXES ALLOCATED (1,330,943) (1,328,037) (1,220,647) (1,328,037)
3010 SALES & USE TAXES 9,837,376 9,449,369 9,806,309 10,567,101
3011 PROPERTY TAX: IN LIEU OF SALES TAX 3,024,675 3,235,456 3,403,217 3,522,366
3012 PROPERTY TAX: IN LIEU OF VLF 4,927,932 4,872,739 4,931,254 4,931,260
3014 PROP 172-PUBLIC SAFETY SALES TAX 100,580 130,622 124,901 125,000
3015 DISTRICT TRANSACTION & USE TAX 8,769,294 8,499,000 9,052,000 9,410,000
3016 AB1290 PROPERTY TAX PASS THROUGI 269,674 289,983 200,000 200,000
3020 TRANSIENT LODGING TAX 838,255 733,091 777,734 750,000
3030 CABLE TV FRANCHISE 442,603 412,960 348,263 412,960
3031 ELECTRIC FRANCHISE 689,470 710,154 690,000 710,154
3032 GAS FRANCHISE 81,838 80,012 80,000 80,012
3033 REFUSE FRANCHISE 420,559 410,000 415,000 420,000
3040 BUSINESS LICENSE TAX 580,302 545,000 550,000 550,000
3041 RESIDENTIAL RENTAL FEE 164,822 150,500 150,000 150,000
3042 PARATRANSIT FEES 1,800 4,000 0 0
SUBTOTAL 31,750,265 31,060,129 32,109,341 33,366,096
GENERAL FUND
001-00000 Use of Money and Property:
3300 INVESTMENT EARNINGS 270,307 369,900 324,831 318,827
3312 RENTAL 40,392 40,392 40,392 40,392
3314 RENTAL - LAND 282,515 266,372 265,402 265,400
3326 LEASE -OLD NATIONAL CITY LIBRARY 70,993 70,220 70,220 70,220
SUBTOTAL 664.207 746.884 700.845 694.839
001-0000 Inter -Governmental Revenue:
3400 STATE MOTOR VEHICLE IN LIEU 291,952 150,000 31,550 0
3420 STATE HOPTR 16,192 5,000 8,064 5,000
3455 CDC CONTRIBUTION 320,000 320,000 320,000 320,000
3452 MANDATED COST REIMBURSEMENT 27,975 10,000 25,841 10,000
3472 PORT OF SAN DIEGO Aquatic Center ProjE 0 0 830,000 0
SUBTOTAL 656,119 485,000 1,215,455 335,000
001-0000 Other:
3586 PHOTOCOPY SALES 155 50 155 50
3634 MISC. REVENUE 71,812 5,000 59,647 5,000
3636 REFUNDS & REIMBURSEMENTS 146,014 2,500 1,613 2,500
3654 ADM.COST FROM SUCCESSOR AGENCY 0 0 0 366,000
3999 TRANSFERS FROM OTHER FUNDS 1,742,375 1,186,082 1,144,125 120,612
SUBTOTAL 1,960,356 1,193,632 1,205,540 494,162
001-02000 City Clerk Revenues
3585 MISC. USER CHARGES 51 0 81 0
3634 MISC. REVENUE 3,182 500 1,041 500
SUBTOTAL 3,233 500 1,122 500
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
001-04045 FINANCE REVENUES
3101 ADMINISTRATIVE FEES
3146 PARKING DISTRICT PERMIT
3585 MISC. USER CHARGES
3141 GARAGE SALE PERMITS
3589 RETURNED CHECK CHARGES
SUBTOTAL
0 10,000 10,000 10,000
4,130 3,675 5,425 3,675
92 0 158 50
2,655 2,473 1,985 2,473
1,395 538 180 538
8,272 6,686 7,748 16,736
001-06027 PLANNING REVENUES
3143 HOME OCCUPATION PERMITS 3,740 3,300 2,970 2,200
3502 CONDITIONAL USE PERMIT 39,337 39,450 35,505 63,120
3504 INTERPRETATIONS/DETERMINATIONS 0 11,604 0 0
3506 PLANNED DEVELOPMENT PERMIT 40 5,918 0 0
3508 REQUEST INITIATE GP/SP CHANGE 0 0 75 0
3509 STREET VACATIONS 4,040 1,010 1,010 0
3510 TENTATIVE PARCEL MAP 3,250 6,500 1,625 6,500
3511 TENTATIVE SUBDIVISION MAP 4,970 4,970 2,485 9,940
3513 ZONE VARIANCE PERMIT 4,010 6,015 0 0
3514 DAY CARE CENTER 310 620 0 310
3521 COASTAL DEVELOPMENT PERMIT 0 2,485 2,485 2,485
3531 CERTIFICATE OF COMPLIANCE 0 672 0 0
3532 BANNERS/SIGNS - PROCESSING FEE 680 600 360 320
3581 ENVIRONMENTAL ASSESSMENT FORM 0 3,635 0 0
3584 SUBSTANTIAL CONFORMANCE 0 2,830 0 0
3585 MISC. USER CHARGES 7,067 0 69 0
3588 ZONING/REBUILD LETTER 451 750 1,013 750
3634 MISC. REVENUE 5,748 0 (1,269) 0
Subtotal 73,643 90,359 46,328 85,625
001-06028 BUILDING REVENUES
3101 ADMINISTRATIVE FEES 0 0 23,993 15,000
3120 BUILDING PERMITS 525,989 252,000 361,800 350,000
3144 HOUSE MOVING PERMITS 0 36,000 0 0
3204 ENFORCEMENT FINES & PENALTIES 0 0 68,159 50,000
3545 PLAN CHECKING FEE 354 0 55,266 60,000
3552 CONST. & DEMOLITION ADMIN FEE 0 7,670 6,549 5,000
3585 MISC. USER CHARGES 8,272 0 3,509 0
Subtotal 534,615 295,670 519,276 480,000
001-06029 ENGINEERING REVENUES
3125 SEWER PERMITS 0 0 391 0
3130 STREET & CURB PERMITS 8,510 4,455 2,970 4,000
3142 GRADING PERMITS 13,940 9,900 7,534 10,000
3144 HOUSE MOVING PERMITS 15,934 5,000 8,396 10,000
3146 PARKING DISTRICT PERMIT 0 3,000 560 550
3147 MISCELLANEOUS PERMITS 1,268 1,585 60 0
3160 UTILITY COMPANY PERMITS 26,410 50,000 26,410 26,000
3204 ENFORCEMENT FINES & PENALTIES 0 0 200 0
3528 SALE OF PLANS & SPECIFICATIONS 2,557 0 3,755 3,000
3547 STORM WATER MGT FEE (NPDES) 0 4,000 0 2,000
3557 TRAFFIC CONTROL PLAN/IMPACT STUD`, 0 0 5,250 7,875
3585 MISC. USER CHARGES 7,895 0 1,800 8,000
3634 MISC. REVENUES 8,743 4,000 3,786 301,000
3636 REFUND & REIMBURSEMENT 735,000
3647 20A CONVERSION REIMBURSEMENT 400,000
Subtotal 85,257 81,940 61,112 1,507,425
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
001-11000
3100
3200
3201
3203
3205
3220
3469
3533
3537
3548
3550
3551
3556
3558
3586
3634
3636
3467
3467
001-12124
3121
3122
3541
3542
3553
3561
001-12125
3202
3322
3544
3555
3556
3558
3636
3637
POLICE:
ANIMAL LICENSES
VEHICLE CODE FINES
PARKING CITATIONS
PARKING CITE ADMIN FEE
PARKING CITE SIGN -OFF FEE
OTHER FORFEITS & PENALTIES
OVERTIME REIMBURSEMENTS
BOOKING FEES
MISC. POLICE SERVICES
ANIMAL CONTROL REVENUES
VEHICLE IMPOUND FEES
ADMINISTRATIVE IMPOUND FEE
POLICE & FIRE SVCS - PORT OF SAN DIE
TOW/IMPOUND REFERRAL FEES
PHOTOCOPY SALES
MISC. REVENUE
11000-3636 REFUNDS & REIMBURSEMEN
SCHOOL DISTRICT CONTRACT REIMB-NE
SCHOOL DISTRICT CONTRACT REIMB-St
Subtotal
FIRE PREVENTION:
UNIFORM FIRE CODE PERMITS
STORAGE TANK PERMITS
PLAN REVIEW FIRE SYSTEMS
ABANDONED VEHICLE ABATEMENT
FIRE PERMIT REVIEW FEE
WEED ABATEMENT
FIRE OPERATIONS:
FALSE ALARM FINES
AMR LEASE - FIRE STATION
MISC. FIRE SERVICES
FIRE PROT SVCS-LOWER SWEETWATER
POLICE & FIRE SVCS - PORT OF SAN DIE(
LSWFPD EQUIP REPLACEMENT
REFUNDS & REIMBURSEMENTS
DONATIONS
Subtotal
001-14000 RISK MANAGEMENT:
3632 COMP INSURANCE REIMBURSEMENT
3633 INSURANCE -CDC
Subtotal
8,394 8,000
158,063 160,000
502,665 405,000
10,205 5,000
0 0
5,029 5,000
0 0
9,312 8,500
2,382 3,000
0 100
10,250 7,000
36,190 35,000
563,228 586,606
40,810 29,680
11,018 9,500
1,239 0
3,840 3,062
0 60,000
0 80,000
1,362,625 1,405,448
5,600
140,173
413,005
9,023
135
62,299
43,622
7,912
3,209
0
9,338
48,918
586,606
62,640
11,212
0
0
61,917
0
1,465,609
0 500 0
0 200 800
18,257 8,100 8,100
0 0 0
60,120 50,500 71,165
18,963- 0 4,052
35,851 20,000 39,044
55,424 57,320 60,395
60,861 35,000 110,420
705,192 210,000 349,371
194,425 202,494 151,870
0 80,000 75,920
108,228 40,000 0
0 0 0
1,238,358 704,114 871,137
26,928 25,000 36,155
0 0 0
26,928 25,000 36,155
8,000
160,000
405,000
5,000
0
5,000
40,000
8,500
3,000
0
11,000
65,000
586,606
122,520
9,500
0
0
61,917
80,000
1,571,043
500
200
8,100
0
60,000
0
20,000
57,320
35,000
260,000
202,494
75,000
40,000
0
758,614
25,000
0
25,000
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012 Adjstd
2011 Actuals Budget
2012
Projected 2013
Actuals Estimates
001-22000
3475
3630
3634
PUBLIC WORKS :
TONNAGE DIVERSION GRANT
ACCIDENT DAMAGES
MISC. REVENUE
001-22221 PUBLIC WORKS STREETS:
3634 MISC. REVENUE
001-22223 PUBLIC WORKS FACILITIES MAINT.
3313 RENTAL-KIMBALL
3315 RENTAL -OTHER CITY PROPERTY
3634 MISC. REVENUE
Subtotal
001-41000 RECREATION:
3317 RENTAL-LAS PALMAS GOLF COURSE
3572 MISC. RECREATION CHARGES
3637 DONATIONS
3637 M PORTILLO COMM CTR
Subtotal
001-42000 PARKS:
3590 STREET TREE FEES
Subtotal
001-45462 HOUSING AND GRANTS
3655 ASSET MANAGEMENT FEE
Subtotal
001-45464 NEIGHBORHOOD SRVCS
3585 MISC. USER CHARGES
Subtotal
104
104-00000
3009
3420
3634
3636
3999
GENERAL FUND TOTAL
LIBRARY FUND
General Operating Revenues
PROPERTY TAXES ALLOCATED
STATE HOPTR
MISC. REVENUE
REFUNDS & REIMBURSEMENTS
TRANSFERS FROM OTHER FUNDS
FUND TOTAL
105 PARKS MAINTENANCE FUND
3009 PROPERTY TAXES ALLOCATED
3420 STATE HOPTR
3999 TRANSFERS FROM OTHER FUNDS
FUND TOTAL
108 LIBRARY CAPITAL OUTLAY
3050 REAL PROPERTY TRANSFER TAX
3565 BOOK FINES
FUND TOTAL
34,847 25,000 23,078 25,000
140 0 0 0
389 0 8,982 0
726 0 1,852 0
1,099 2,400
2 0
900 500
38,103 27,900
85,608 82,000
12,965 5,000
3,060 0
500 0
102,133 87,000
65
65
0
0
6,868
6,868
38,511,047
614,682
6,234
18
3,311
819,208
1,443,453
716,261
7,264
456,012
1,179,537
62,026
56.890
118,916
0 2,400
30 0
1,013 500
34,955 27,900
79,762 82,000
5,547 5,000
0 0
0 0
85,309 87,000
400 0 400
400 0 400
0 0 20,000
0 0 20,000
0 13,641 0
0 13,641 0
36,210,662 38,373,573 39,470,340
623,364
6,600
0
0
754,558
1,384,522
704,673
2,180
406,977
1,113,830
77,760
26.471
104,231
563,743
4,657
0
0
1,131,837
1,700,237
656,904
5,427
610,466
1,272,797
71,646
48.938
120,584
623,364
6,600
0
0
1,142,777
1,772,741
704,673
2,180
411,818
1,118,671
77,760
26.471
104,231
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
109 GAS TAXES FUND
3300 INVESTMENT EARNINGS
3410 GAS TAX 2106
3411 GAS TAX 2107
3412 GAS TAX 2107.5
3413 GAS TAX 2105
3414 R&T 7360
FUND TOTAL
111 P.O.S.T. FUND
3461 P.O.S.T.
FUND TOTAL
613 5,000 (55) 8,210
201,303 228,603 213,251 210,967
396,990 447,467 442,021 442,373
0 7,500 7,500 7,500
297,712 336,242 311,566 308,244
509,936 706,614 672,501 692,233
1,406,554 1,731,426 1,646,784 1,669,527
24,892 48,100 20,585 48,100
24,892 48,100 20,585 48,100
115 PARK & REC CAPITAL OUTLAY FUND
3314 RENTAL -LAND 0 0 0 0
3470 COUNTY GRANTS 0 0 0 0
FUND TOTAL 0 0 0 0
120 PLAN CHECKING REVOLVING FUND
3500 ANNEXATION
3545 PLAN CHECKING FEE
FUND TOTAL
315,149 278,000
346,827 300,000
315,149 278,000 346,827 300,000
125 SEWER SERVICE FUND
3300 INVESTMENT EARNINGS 90,528 114,146 15,693 129,409
3316 RENTAL -SEWER 410 205 616 205
3563 SEWER SERVICE CHARGE 7,258,495 7,100,000 5,812,332 7,100,000
3564 SEWER TRANSPORTATION CHARGE 0 7,910 0 7,910
3610 SEWER CONNECTION FEES 486 10,000 0 10,000
3636 REFUNDS & REIMBURSEMENTS 9,483 0 6,925 0
3830 LOAN REPAYMENT 0 0 11,250 8,785
FUND TOTAL 7,359,402 7,232,261 5,846,816 7,256,309
130 EMT-D REVOLVING FUND
3034 FRANCHISE -AMR 315,289 296,857 291,036 302,794
3996 PENALTY - AMR 1,500 0 0 0
FUND TOTAL 316,789 296,857 291,036 302,794
131 ASSET FORFEITURE FUND
3300 INVESTMENT EARNINGS 2,923 4,963 0 4,546
3539 SEIZED ASSETS 64,753 185,480 58,559 58,559
FUND TOTAL 67,676 190,443 58,559 63,105
159 GENERAL PLAN UPDATE RESERVE
3900 Other Financing Sources
3999 TRANSFERS FROM OTHER FUNDS 666,667 0 0 0
FUND TOTAL 666,667 0 0 0
166 NUTRITION
3470 COUNTY GRANTS 323,005 337,904 270,978 324,180
3514 NUTRITION INCOME - CATERED MEALS 50,089 48,000 32,661 0
3515 NUTRITION - PROGRAM INCOME 100,404 96,000 110,414 103,000
3516 NCNP - NON -MEALS DONATIONS 500 0 0 0
3517 NUTRITION INCOME - DELIVERED MEALS 19,455 19,200 11,635 12,000
3636 REFUNDS & REIMBURSEMENTS 0 0 0 0
3999 TRANSFERS FROM OTHER FUNDS 336,260 269,349 269,349 308,499
FUND TOTAL 829,713 770,453 695,037 747,679
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
171 LIBRARY SCHOOL DISTRICT CNTRCT
3467 SCHOOL DISTRICT CONTRACT REIMB
FUND TOTAL
17,740 17,740 17,740 17,740
17,740 17,740 17,740 17,740
172 TRASH RATE STABILIZATION FUND
3462 SALES TAX REIMBURSEMENT 9,263 0 13,895- 0
3642 RATE STABILIZATION RECEIPTS 141,987 144,500 144,333 144,500
FUND TOTAL 151,250 144,500 144,333 144,500
189 CIVIC CENTER REFURBISHING
3300 INVESTMENT EARNINGS 19,885 17,867 17,867 17,867
FUND TOTAL 19,885 17,867 17,867 17,867
190 30TH STREET CLEANUP FUND - 1303
3300 INVESTMENT EARNINGS 1,699 1,500 23- 2,942
FUND TOTAL 1,699 1,500 0 2,942
191 STOP PROJECT
3550 VEHICLE IMPOUND FEES 68,407 55,000 68,909 55,000
FUND TOTAL 68,407 55,000 68,909 55,000
198 PROPERTY EVIDENCE SEIZURE
3600 Other 0 0 0 0
FUND TOTAL
0 0 0 0
200 30TH STREET CLEANUP FUND - 1304
3300 INVESTMENT EARNINGS 4,279 2,000 (58) 7,408
FUND TOTAL 4,279 2,000 (58) 7,408
201 NCJPFA DEBT SERVICE FUND
3300 INVESTMENT EARNINGS 9 0 0 0
3456 POLICE FACILITY LEASE 332,504 487,450 487,450 490,225
FUND TOTAL 332,513 487,450 487,450 490,225
208 SUPP.LAW ENFORCEMENT SVCS FUND (SLESF)
3463 OTHER STATE GRANTS 100,000
FUND TOTAL 100,000
0
0
0 0
0 0
211 SECURITY AND ALARM REGULATION FUND
3161 SECURITY ALARM PERMITS 4,450 4,000 5,010 4,000
3202 FALSE ALARM FINES 2,156 2,000 1,650 2,000
FUND TOTAL 6,606 6,000 6,660 6,000
212 PERSONNEL COMPENSATION FUND
3700 INTERNAL SERVICE CHARGES 356,900 356,900 178,452 0
3999 TRANSFERS FROM OTHER FUNDS 1,993,986 0 0 125,000
FUND TOTAL 2,350,886 356,900 178,452 125,000
241 NATIONAL CITY LIBRARY STATE GRANT
3300 INVESTMENT EARNINGS 111 169 (2) 0
3463 OTHER STATE GRANTS 0 0 0 0
FUND TOTAL 111 169 (2) 0
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
246 WINGS GRANT
3463 OTHER STATE GRANTS
FUND TOTAL
253 RECREATIONAL ACTIVITIES FUND
3598 MISC RECREATION REVENUE
FUND TOTAL
699,239 979,698 1,173,719 979,698
699,239 979,698 1,173,719 979,698
29,118 15,000 14,854 15,000
29,118 15,000 14,854 15,000
259 LIBRARY BONDS DEBT SERVICE FUND
3008 SPECIAL ASSESSMENT -GO BONDS 438,825 399,500 399,667 398,889
FUND TOTAL 438,825 399,500 399,667 398,889
277 NC PUBLIC LIBRARY DONATIONS FUND
3637 DONATIONS 5,239 2,000 3,600 2,000
FUND TOTAL 5,239 2,000 3,600 2,000
290 POLICE DEPT GRANTS
290-11615 BORDER VIOLENCE PROJECT
3498 FEDERAL GRANT -BORDER VIOLENCE PR 132,839 0 92,794 0
290-11619 AVOID DUI GRANT AL0939
3463 OTHER STATE GRANTS -AVOID DUI GRAN 15,618 15,000 9,394 0
290-11622 2010 HOPE GRANT
3498 OTHER FEDERAL GRANTS 0 95,000 0 0
290-11623 2010-2011 JUDGE GRANT
3498 OTHER FEDERAL GRANTS -JUDGE 47,135 48,434 0 47,120
290-11624 2010 OPERATION STONEGARDEN GRANT
3498 OTHER FEDERAL GRANTS-STONEGARDE 87,147 81,444 119,396 0
290-11625 CVPD DUI PROSECUTION GRANT#AL1189
3463 OTHER STATE GRANTS-CVPD DUI PROSE 7,532 0 25,617 0
290-11626 RATT GRANT
3470 COUNTY GRANTS-RATT GRANT 39,481 92,000 0 80,000
290-11627 2011 CHILDREN EXPOSED TO DOMESTIC VIOLEN
3498 OTHER FEDERAL GRANTS-2011 CEDV 22,075 0 198,024 0
290-11630 2012 OTS SOBRIETY CHECKPOINT SC12279
3463 OTHER STATE GRANTS-2012 SC12279 0 36,800 0 36,800
290-11631 2012 - OTS GRANT #20319
3463 OTHER STATE GRANTS - OTS GRANT #20 0 103,429 0 103,429
290-11632 2012 - HIDTA GRANT 0 82,191 82,191 82,191
FUND TOTAL 351,827 554,298 527,416 349,540
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
296 ENGINEERING DEPT GRANTS
296-06000 General Operating Revenues
3498 OTHER FEDERAL GRANTS-CPPW SAFE R 152 0 6,363 0
296-06512 TDA/TRANSNET BPNSP GRANT
3463 OTHER STATE GRANTS-TDA/TRANSNET E 37,674 0 0 0
296-21510 RUBBERIZED ASPHALT CONCRETE GRANT-CIWMB
3463 OTHER STATE GRANTS 0 0 0 0
296-22511 US DOE GRANT# DE-SC0002029
3498 OTHER FEDERAL GRANTS -DOE DE-SC00(
FUND TOTAL
23,137
60,963
0 146,830 0
0 153,193 0
301 GRANT-C.D.B.G.
3480 REVENUE SHARING 0 0 0 0
3498 OTHER FEDERAL GRANTS 1,644,864 1,463,226 169,232 866,002
FUND TOTAL 1,644,864 1,463,226 169,232 866,002
307 PROPOSITION A" FUND
3300 INVESTMENT EARNINGS 3,447 10,765 0 0
3466 TRANSACTIONS & USE TAX 0 687,000 1,216,500 770,000
FUND TOTAL 3,447 697,765 1,216,500 770,000
312 STP LOCAL/TRANSNET HIGHWAY
3498 OTHER FEDERAL GRANTS
FUND TOTAL
323 SAFE ROUTES TO SCHOOL
3463 OTHER STATE GRANTS -SAFE ROUTES T(
FUND TOTAL
325 DEVELOPMENT IMPACT FEES
179,843
179,843
61,335
61,335
0 0 0
0 0 0
0 0 0
0 0 0
325-11000 Police Revenues
3624 DEV. IMPACT FEES -POLICE 25,025 21,000 67,293 21,000
325-12125 Fire Operations Revenues
3623 Dev Impact Fees- Fire/EMS 13,464 8,000 26,603 8,000
325-31000 Library Revenues
3622 Dev Impact Fees- Library 14,860 2,000 3,096 2,000
325-42000 Parks Revenues
3621 Dev Impact Fees- Parks and Rec 6,363 205,000 15,444 5,000
FUND TOTAL 59,712 236,000 112,436 36,000
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
326 TRANSPORTATION IMPACT FEE FUND
326-00000 General Operating Revenues
3162 TDIF REVENUE - SF RESIDENTIAL 39,699 18,000 2,183 4,135
3163 TDIF REVENUE - MF RESIDENTIAL 0 3.000 131.883 3.000
3300 00000-3300 INVESTMENT EARNINGS 3,269 0 0 0
FUND TOTAL 42,968 21,000 134,066 7,135
343 STATE -LOCAL PARTNERSHIP
343-00000 General Operating Revenues
3300 INVESTMENT EARNINGS 700 500 0 1,211
FUND TOTAL 700 500 0 1,211
345 TRAFFIC CONGESTION RELIEF
345-00000 General Operating Revenues
3999 TRANSFER FROM OTHER FUNDS 0 0 0 61,537
FUND TOTAL 0 0 0 61,537
346 PROP 1B FUND
346-00000 General Operating Revenues
3300 INVESTMENT EARNINGS 640 0 0 1,223
3463 OTHER STATE GRANTS 86,677 0 0 0
FUND TOTAL 87,317 0 0 1,223
348 STATE GRANT
348-00000 General Operating Revenues
3300 INVESTMENT EARNINGS 2,055 0 0 4,960
3463 OTHER STATE GRANTS 0 0 0 0
3999 TRANSFERS FROM OTHER FUNDS 0 0 0 0
FUND TOTAL 2,055 0 0 4,960
502 SECTION 8 FUND
502-45462 SECTION 8 REVENUE
3600 OTHER REVENUE - PORTABILITY 80% 1,148 0 1,274 0
3614 HUD REVENUE -HOUSING ASSISTANCE PI 8,583,579 8,280,000 7,896,918 8,520,000
3615 HUD REVENUE-AMINISTRATIVE FEES 998,728 900,000 869,391 900,000
3616 FRAUD RECOVERY -HAP 8,357 8,000 34,977 8,000
3617 FRAUD RECOVERY --ADMINISTRATIVE FEI 8,357 8,000 34,977 8,000
3618 OTHER REVENUE -PORTABILITY ADMIN 17,867 0 15,574 0
3619 OTHER REVENUE-FSS FORFEITURE 0 0 0 0
3634 MISC. REVENUE 0 0 600 0
3999 TRANSFERS FROM OTHER FUNDS 0 0 0 0
FUND TOTAL 9,618,036 9,196,000 8,853,711 9,436,000
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
505 HOME FUND
505-00000 General Operating Revenues
3300 INVESTMENT EARNINGS
3321 HILP PAYMTS. INTEREST
3498 OTHER FEDERAL GRANTS
FUND TOTAL
506 HOME LOAN PROGRAM FUND
13,795 0 1,515 0
33,497 35,983 0 0
1,155,914 588,081 657,417 295,176
1,203,206 624,064 658,932 295,176
506-00000 General Operating Revenues
3300 INVESTMENT EARNINGS 7,013 2,500 209 0
3321 HILP PAYMTS. INTEREST 3,208 4,700 1,215 0
3589 RETURNED CHECK CHARGES 0 0 0 0
3634 MISC. REVENUE 202,583 0 0 7,400
3636 REFUNDS & REIMBURSEMENTS 0 0 0 0
FUND TOTAL 212,804 7,200 1,424 7,400
522 LOW/MODERATE HOUSING FUND
522-00000 General Operating Revenues
3011 TAX INCREMENT REVENUE 2,767,741 2,909,034 1,728,812 0
3300 INVESTMENT EARNINGS 53,998 2,091 6,713 0
3321 FTHB PAYMTS. INTEREST 87,419 55,532 0 0
3634 MISCELLANEOUS REVENUE 2,409 0 0 0
3636 REFUNDS & REIMBURSEMENTS 30,565 0 0 0
3999 TRANSFERS FROM OTHER FUNDS 0 0 0 0
FUND TOTAL 2,942,132 2,966,657 1,735,525 0
524 2011 TAB FUND - CAPITAL IMPROVEMENT
524-00000 General Operating Revenues
3300 INVESTMENT EARNINGS 7,168 0 21,216 0
3900 00000-3900 Other Financing Sources
3991 00000-3991 BOND PROCEEDS 39,660,000 0
FUND TOTAL 39,660,000 0
525 2011 TAB FUND - HOUSING
0
0
0
0
525-00000 General Operating Revenues
3300 INVESTMENT EARNINGS 0 0 0 0
FUND TOTAL 0 0 0 0
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
626 FACILITIES MAINT FUND
626-00000 General Operating Revenues
3300 INVESTMENT EARNINGS 221 0 0 0
3634 MISC. REVENUE 137 0 263 0
3636 REFUNDS & REIMBURSEMENTS 0 0 0 0
3700 INTERNAL SERVICE CHARGES 1,853,015 2,730,168 1,365,084 2,519,173
3999 TRANSFERS FROM OTHER FUNDS 4,210 0 0 0
FUND TOTAL 1,857,583 2,730,168 1,365,347 2,519,173
627 LIABILITY INS. FUND
627-00000 General Operating Revenues
3636 REFUNDS & REIMBURSEMENTS 114,871 0 23,823 0
3700 INTERNAL SERVICE CHARGES 1,485,228 1,459,579 758,292 1,383,992
14000-3700 INTERNAL SERVICE CHARGES 1,451,841 1,408,287 1,394,765 1,443,612
FUND TOTAL 3,051,940 2,867,866 2,176,880 2,827,604
628 GENERAL SERVICES FUND
628-00000 General Operating Revenues
3700 INTERNAL SERVICE CHARGES 254,972 0 0 0
FUND TOTAL 254,972 0 0 0
629 INFORMATION SYSTEMS MAINTENANCE
629-00000 General Operating Revenues
3455 CDC CONTRIBUTION 0 0 0 0
3700 INTERNAL SERVICE CHARGES 1,209,750 1,463,951 741,726 2,037,291
FUND TOTAL 1,209,750 1,463,951 741,726 2,037,291
632 GENERAL ACCOUNTING SERVICES
632-00000 General Operating Revenues
3636 REFUNDS & REIMBURSEMENTS 0 0 0 0
3700 INTERNAL SERVICE CHARGES 889,875 1,144,847 547,860 1,297,553
FUND TOTAL 889,875 1,144,847 547,860 1,297,553
643 MOTOR VEHICLE SVC FUND
643-00000 General Operating Revenues
3636 REFUNDS & REIMBURSEMENTS 0 0 0 0
3700 INTERNAL SERVICE CHARGES 1,853,015 1,350,030 684,603 1,171,187
3999 TRANSFERS FROM OTHER FUNDS 0 0 0 0
FUND TOTAL 1,853,015 1,350,030 684,603 1,171,187
644 EQUIPMENT REPLACEMENT RESERVE
644-00000 General Operating Revenues
3999 TRANSFER FROM OTHER FUNDS 0 0 0 575,342
FUND TOTAL 0 0 0 575,342
Account
Number
CITY OF NATIONAL CITY
ESTIMATED FINANCING SOURCES SUMMARY BY FUND AND SOURCE
FISCAL YEAR 2012-2013
Account Title
2012
2012 Adjstd Projected 2013
2011 Actuals Budget Actuals Estimates
731 CONSTRUCTION AND DEMOLITION DEBRIS
731-00000 General Operating Revenues
06028-3552 CONST. & DEMOLITION ADMIN FEE 10,738 0 6,008 5,000
06028-3815 CONST. & DEMOLITION FORFEITED DEPC 10,065 0 69,369 45,000
FUND TOTAL 20,803 0 75,377 50,000
GRAND TOTAL 121,734,739 77,169,681 72,040,254 77,430,100
Passed and adopted by the Council of the City of National City, California, on June 19,
2012 by the following vote, to -wit:
Ayes: Councilmembers Morrison, Natividad, Rios, Sotelo-Solis, Zarate.
Nays: None.
Absent: None.
Abstain: None.
AUTHENTICATED BY: RON MORRISON
Mayor of the City of National City, California
City Clerk of the City of National City, California
By:
Deputy
I HEREBY CERTIFY that the above and foregoing is a full, true and correct copy of
RESOLUTION NO. 2012-137 the City of National City, California, passed and adopted
by the Council of said City on June 19, 2012.
City Clerk of the City of National City, California
By:
Deputy