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HomeMy WebLinkAboutFY 2007-08 City of Bakersfield Proposed BudgetClTY OF BAKERSFIELD PROPOSED BUDGET MAYOR Harvey L. Hall ClTY COUNCILMEMBERS Irma Carson Susan M. Benham Ken Weir David R. Couch Harold W. Hanson Jacquie Sullivan Zack Scrivner Councilmember, Ward 1 Councilmember, Ward 2 Councilmember, Ward 3 Councilmember, Ward 4 Councilmember, Ward 5 Councilmember, Ward 6 Councilmember, Ward 7 Submitted by Alan Tandy City Manager re\Classes\.pdf\Persist ntHandler CITY OF BAKERSFIELD EXECUTIVE STAFF Alan Tandy Virginia Gennaro John W. Stinson Florn Core Ron Fraze Stan Grady Dianne Hoover Donna Kunz Bill Rector Raul Rojas Nelson Smith City Manager City Attorney Assistant City Manager Water Resources Manager Fire Chief Development Services Director Recreation and Parks Director Economic Development Director Police chief Public Works Director Finance Director TABLE OF CONTENTS INTRODUCTION Letter of Transmittal ............................................................................................... v Distinguished Budget Presentation Award .................................................. xxiv Organizational Chart ................................................................................... xxvi Employee Incentive Program ....................................................................... xxvii BUDGET SUMMARIES General Fund Overview .......................................................................... ....... 1 General Fund Budget Graphs ........................................................................... 2 Operating Fund Graphs .............................................................. ......................... 3 Operating Fund Distribution Graphs .................................................................... 4 Appropriations by Function All Funds Graph ...................... ................................. 5 Departmental Appropriations by Fund ................................................................ 6 General Fund . Appropriations by Department ................................................... 9 Financial Summaries .All Funds .......................................................................1 1 Estimated Balances .................... ...................................................................... 15 Interfund Transfers ............................................................................................. 16 Revenue Summary ............................................................................................. 19 Revenue Graphs .................................................................... ........................... 22 General Fund . Revenue by Source .................................................................. 25 Estimated Revenue by Fund ....................................... ............................... 27 LEGISLATIVE ........................................................................................................... 29 Mayor ................................... ....................................................................... 32 City Council ........................................................................................................ 32 TABLE OF CONTENTS CONTINUED EXECUTIVE ........................................................................................................... 37 City Manager ..................................... ................................................................4 0 City Clerk ............................................................................................................ 43 Human Resources ......................................................................................... 46 Risk Management ....................................................................... ....................... 50 Information Technology .................................................................................... 52 FIlNANClAL SERVICES ......................................... .............................................5 7 Administration ...................................................................................................6..0 Accounting and Reporting .................................................................................. 62 Treasury .............................................................................................. ..............6 4 Purchasing ..................................................................................................... 66 CITY AlTORNEY ................................................... ............................................... 69 Legal Counsel ................................................................................................ 75 POLICE SERVICES .................. ............................................................................ 79 Headquarters ................................................................................................. 83 Support Services ...........................................................................................8 5 Operations ........................ .. ............................................. ......................... 90 Investigations ................................................................................................... 94 FIRE SERVICES ...................................... .............................................................1 01 Administration ................................................................................................... 105 Fire Safety ........................................................................................................ 108 Fire Suppression ............................................................. ............................1. 10 PUBLIC WORKS ................................................................................................... 113 Administration ................................. ................................................................. 121 Thomas Roads Improvement Program (TRIP) ............................................. 123 Engineering ........................... .......................................................................... 125 General Services .............................................................................................. 129 Streets .............................................................................................................. 132 TABLE OF CONTENTS CONTINUED Equipment ........................................................................................................ 135 Wastewater ......................................... ............................................................ 138 Solid Waste ................................................................................................... 141 WATER RESOURCES ......................................................................................... 145 Agricultural Water ............................................................................ ................ 148 Domestic Water ................................................................................................ 151 RECREATION AND PARKS ......................................... ..................................... 153 Administration. .................................................................................................. 156 Parks ................................ ............................................................................... 158 Recreation ........................................................................................................ 161 DEVELOPMENT SERVICES .............................................................................. 165 Planning .................................................................................. ........................ 168 Building ............................................................................................................. 170 ECONOMIC AND COMMUNITY DEVELOPMENT ....................................... 173 Community Development ................................................................................. 178 Economic Development. ......................... ......................................................... 182 Non-Departmental ............................................................................................ 185 Specia! Revenue Funds ................................................................................... 187 Internal Service Funds .......................................................................... ........... 197 Fiduciary Funds ................................................................................................ 200 Capital Improvement Program Funds ................................ .............................. 202 Debt Service Funds .......................................................................................... 209 Schedule of Long-Term Debt Outstanding .................................................... 212 Sched~rleo f Long-Term Debt Maturities ........................................................ 213 TABLE OF CONTENTS CONTlhlUED ENTERPRISE FUNDS Enterprise Funds .............................................................................................. 215 REDEVELOPMENT Redevelopment Funds ................................................................................ 225 CAPITAL IMPROVEMENT PROGRAM (CIP) Letter of Transmittal .................................................... ..................................... 235 CIP Summary by Fund Graph ..........................................................................2 42 Key to Funding Codes ............................... ......................................................2 43 Graphs. ......................................................................................................2. 44 Comprehensive Summary of Projects ........................................................... 245 Appendices ...................................................................................................2 57 City Council Goals and Policies. ....................................................................... 258 Miscellaneous Statistics .............................................................. .................... 269 Graphs .........................................................................................................2. 70 Personnel Complement List .............................. ............................................2 71 Salary Schedule ...............................................................................................2 73 City Budget Process ......................................................................................... 288 Budget Calendar ......................................................................................... ... 288 Operating Budget Overview ........................................................................... 289 Basis of Accounting and Budgeting ................................................... .............. 290 Budgets and Budgetary Accounting ................................................................. 290 Investment Policy ........................................................... ............................. 292 Budget Amendment Process. ..........................................................................2 93 GLOSSARY Glossary .......................................... ............................................................. 295 BUDGET MESSAGE FROM CITY MANAGER B A K E R S F I E L D Alan Tandy City Manager May 9,2007 TO: HONORABLE MAYOR AND CITY FROM: ALAN TANDY, CITY MANAGER SUBJECT: FISCAL YEAR 2007-08 PROPOSED BUDGET /Introduction The City Manager's proposed budget for Fiscal Year 2007-08 follows. The budget environment for FY 2007-08 is significantly different that last year and reflects more normal revenue and expenditure conditions than the past two years when issues involving unprecedented growth dominated the budget. Even with a slow down in the development enviranment, however, the local economy remains good and there continues to be modest revenue growth consistent with the historic growth trends of the City. Therefore, this year's budget reflects generally positive conditions, and we are able to address many areas of Council priority and concern. This budget includes the continuation of a strong Capital Improvement Program to address the infrastructure rreeds of the community. The $193 million upgrade of Wastewater Treatment Plant No. 3 represents the largest single capital project ever undertaken by the City. The continuiation of the Thomas Roads lmprovement Program (TRIP), road maintenance efforts, new fire station construction, and new park construction also reflect the City's efforts aind commitment to provide needed infrastructure. These projects are consistent with high) priority Council goals and the product of years of planning. Most General Fund and development related revenues have returned to more normal growth levels. Because of this, the proposed budget reflects a more normal level of position requests and operating increases than in the past two years. The proposed budget includes an increase of forty-one positions compared to the one-hundred forty six (including mid-year additions) in the PI 2006-07 budget. Building permits activity has slowed down compared to last year. Requests for new residential refuse slewice and new residential sewer service have also returned to more normal levels. ------City of Bakersfield City Manager's Office 1501 Truxtun Avenue Bakersfield, California 93301 (661) 326-3751 Fax (661) 324-1850 Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 2 As a result of decreased construction activity, staff is recommending that six vacant positions in the Building Department related to development activity be eliminated. Some positive budget trends indicate that there are currently few threatls of State budget actions which might negatively impact City finances. Further, the passage of the recent State bond measures may provide additional road funding and a variety of grant opportunities for City transportation, housing, parks, water resources-related infrastructure improvements and capital projects. Staff is actively pursuing these fundin~go pportunities. The Thomas Roads Improvement Program (TRIP) projects will be continuing to progress. The City paid off the water bonds for the purchase of the Kern River water rights in December 2006, so water funds previously committed to debt service may be committed to other water related projects. We have been able to address a major portion of the City's long term office space needs with the purchase of the Borton Petrini and Conron Building. The relocation of departments to that facility has already begun and will continue over the next few years as leases expire and space becomes available. Departments have budgeted for costs associated with moves to the new facilities where applicable for this upcoming fiscal year. We have also included some capital funds to make the building more energy efficient and cost effective to operate. The extreme increase in construction costs that we have experie~nced during the construction boom seems to be slowing and, hopefully, bid prices will imp~rove. The proposed budget is intended to support the efforts of our employees to meet Council Goals by providing the staffing and other resources required to provide quality municipal services to our citizens. Codna With The Chanaina Pace Of Growth Even with the slow down in home construction, the City of Bakersfiield continues to experience a steady pace of growth, which has presented both challenges and opportunities. During the past year approximately ten square miles were! added. Several developers with large tracts of land have annexed or are in the processing of annexing their property into the City and have entered into development agreements with the City. Over the next few years these projects are likely to proceed with development. The proposed budget provides funds towards several key projects, including transportation, fire stations, parks and recreational facilities, wastewater treatment plant expansion, as well as various repair and renovation projects. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 3 Proposed New Positions FY 200748 The proposed FY 2007-08 budget includes a historically normal number of position additions. The net increase in the number of positions from FY 2006-07 to FY 2007-08, including the mid-year additions, will total forty-one. They include the following: Human Resources: One Clerk Typist. Information Technow: One GIs Analyst, one Network Systems Technician, and one Programmer Analyst. Citv Attorney: One Administrative Assistant 1/11 which was added mid-year in FY 2006-07. Police: Eight Police Sergeants and three Police Senrice Technicians. -Fire: Three existing Firefighter positions upgraded to three Engineer positions to staff the ladder truck at Station #7, the restoration of one Secretary for the Administration Division and one Clerk Typist for the Training Division. Public Works: Two Construction lnspectors and one Traffic Operations Technician in Engineering; one Facility Worker for Building Maintenance, two Maintenance Craftworkers for Plant Maintenance in General Services; one Fleet Mechanic and one Communications Technician in Equipment Maintenance; one Accountant for the pre-treatment program in Wastewater; and one Fleet Mechanic for the Woodwaste site and one Heavy Equipment Operator in Solid Waste Division for additional commercial refuse routes. Water: One Light Equipment Operator. Recreation and Pa&: One Park Services Coordinator, one Supervisor II, four Facility Workers, and four Laborers. Develo~rnenSt ervices: Deletion of five vacant Building lnspectors and one Residential Plan Checker for the Building Division; and replacement of one vacant Code Enforcement Officer position wH:h three new Assistant Code Enforcement Officers. This is a net reduction of four positions for the department. Items of Note Facilities Reserve -The Facilities Reserve is set aside for major renovations and repairs to City facilities and is, to some degree, a rainy day account. The balance for the Facilities Reserve at the end of FY 2006-07 (after the use of $9,500,000 towards the purchase of the Borton Petrini and Conron building.), will be $3,000,000. The proposed budget Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 4 increases that amount by $2,000,000 to $5,000,000 as a formal reservation of fund balance within the Capital Outlay fund. Continqencv -The proposed budget includes $250,000 in contingency funds for unforeseen events and expenditures. Retiree Medical -Funds have been reserved for future retiree medical liability ($7.9 million for all funds) under the new rules as part of the proposed budget. lncludled in this amount is approximately $2 million to pay the City share of retiree premiums far FY 07-08. The $5.9 million remaining will be set aside to reduce the unfunded liability. The remaining unfunded liability will be addressed over several future years based on actuarial information. Major Positive Efforts Several important community projects and Council priorities are planned to be accomplished in this budget. Many of these projects and programs alre to address the growth of our community. The proposed budget recognizes the return to more typical revenue levels and, consistent with prudent financial planning, continues to dedicate onetime revenues to one-time uses, including various capital projects. These highlights include: The $193 million upgrade of Wastewater Treatment Plant 3 which will begin construction this year. = Road repair and reconstruction efforts, with over $17.8 million designated for street resurfacing and reconstruction. Major transportation projects, such as the Thomas Roads Imprc~vemenPt rogram (TRIP), Westside Parkway, and bridge construction projects, will be done using Transportation Impact Fees, and State and Federal road funds. Other transportation related projects, including traffic signals and medians, are plannled using targeted funds. Staff is continuing its aggressive efforts to pursue additional transportation funding from the recently passed State transportation bonds. The construction of Fire Station 14 in Southwest Bakersfield at Mlountain Vista and Harris Road is included in the proposed budget utilizing funds that have been set aside over the past few years. The remaining balance from thostt funds previously set aside of about $300,000 and an additional $500,000 of new funds, for a total of $800,000, have been budgeted towards funding other future fire stations. Several large annexations have occurred during the past year and development agreements have been executed with major corporations, landowners and developers in those areas to facilitate master planned additions to Bakersfield which will provide for needed public infrastructure, services and recreational facilities. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 5 = Enhanced Code Enforcement efforts will continue with the addition of three Assistant Code Enforcement Officers. = The development of 65,000 square feet of commercial and 100 units of affordable housing on property located near Q Street, California Avenue and the Kern Island Canal with a special HUD Economic Development grant and a Federal low interest loan of $3,750,000. Construction of the Baker Street Mixed Use Project. The construction of Fire Station #5 should be completed this fiscal year. = The initial phases of construction to be completed on the Mill Creek project at Central Park. The construction of the 40 acre park and baseball facility in cooperation with the Southwest Baseball League at Jewetta and Stockdale Highway. = The Master IPlan for improvements to the Mesa Marin Sports complex is being prepared by a consultant. The design of the Sports Village project will begin. This project will provide a significant unique recreational facility to our community and will provide numerous playing fields and other amenities. We continue to experience a strong economy locally and the potential for longer-term future community growth. State Department of Finance figures for January 2006 show our City population has grown to 31 1,824. BUDGET HIGHLIGHTS The total proposed appropriations for FY 2007-08 for both operating and capital expenditures is $65!3,174,266, including $48,246,483 in interfund transfers. Total proposed appropriations in FY' 2007-08 for all City funds reflect an increase of about $137 million, or 26.3 percent more than FY 2006-07. About $134 million of the increase is in the Capital Improvement budget. The Operating Budget is proposed at $383,549,179 which reflects a $3,380,861 increase when compared to FY 2006-07. The proposed Capital lmprovement Budget is $275,625,087, which is an increase of $94.7 million compared to FY 2006-07. A major portion of this increase is due to the expansion of Wastewater Treatment Plant No. 3 budgeted for $193 million. The CIP includes funding for fire stations, significant Transportation Development Fee and Federally funded road Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 6 projects, and use of Community Development Block Grants and other special funding sources. The City's budget is organized by groups of funds. Each fund is considered a separate accounting entity with its own assets, liabilities, equity, revenue and expenses. The major fund groups and some divisions within the funds are described below, highlighting any significant changes over the prior year. General Fund Major revenue sources for the General Fund are real and personal property tax, sales and use tax, business licenses tax, utility franchise tax, licenses and pe~mits, State motor vehicle in-lieu tax, miscellaneous charges for services and interdepartmemtal charges. General Fund Revenues are projected at $1 89,777,800 (including $21,651,885 in beginning fund balance and transfers). This is an increase of about $13,878,400, or about 7.9% greater than the adopted budget revenues for the 2006-07 fiscal year. Items contributing to General Fund revenues include: $66.0 million in sales and use taxes, $63.4 million in property tax, and $37.7 million in other taxes and fees. Also, the above figures reflect the $1 9,443,000 of local sales tax revenue captured and repaid with property tax by the State (Sales Tax Triple Flip). Other General Fund revenues have remained stable. Charges folr services reflect decreases due to the slowdown in building and construction activity andl reduced services provided by the City with those user fees. Sales tax receipts in a very hot economy the past two years have normalized. As anticipated, the "spike" we experienced in the 2005-06 fiscal year hats gone. We are projected to meet the estimate of $63 million as adopted in the 2086-07 budget, which was based on the historic trend for sales taxes of about 7% (absent the revenue spike). Growth projections for 2007-08 are about 4.85% and are more conservative due to the slowdown in building activity. The growth factor is based on the most recent recent information available from the State Board of Equalization. Property taxes also reflect the impact of past development activity, and actual revenues are exceeding estimates for 2006-07. This is partially due to supplemenlal tax bills for new construction. Estimates for 2007-08 of about 8% growth reflect increased property values due to recent housing construction activity and are slightly higher than historic averages of about 7%. General Fund Expenditures are projected at $189,777,800. This is 7.9% greater than the P9 2006-07 adopted budget. In addition to ongoing operating expenses and personnel costs, $250,000 has been set aside for Council Contingency. These budget increases are primarily the resuit of the additional personnel noted above, and general inflationary cost increases, as well as expenditures being funded by grants and fees. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 7 Ca~itaIlm ~rovemenPt roaram (CIP) The CIP provides capital planning for the City of Bakersfield's infrastructure over a fiveyear planning period. Revenue sources identified within the CIP may be from grants, taxes, user fees, bond issues, transfers from other funds, or assessments. Many of these projects are possible because staff has been successful in obtaining grants and other specialized funds that would not ordinarily be available or used for ongoing operations. The proposed CIP budget for FY 2007-08 totals $275,625,087. An itemized listing of projects recommended for approval and projects included in the Five-Year Plan are presented in the CIP section of this document. A few major or significant projects, however, are discussed below. Project Highlights: Wastewater Treatment Plant No. 3 Expansion Project -As noted earlier, this $193 million is the largest single capital improvement budget undertaken by the City of Bakersfield. This amount is a "best estimate" at this time. The actual project costs will be determined when the project is awarded. The expansion and upgrade of Wastewater Treatment Plant No. 3 is in response to the plant having to meet stricter permitted effluent requirements in the year 2010 and the rapid development of residential and commercial properties on the west side of the city. This growth trend is anticipated to continue. The proposed expansioln and upgrade to Wastewater Treatment Plant No. 3 will double the treatment capacity from 16 million gallons per day to 32 million gallons per day and will result in a more sophisticated treatment plant, which will remove over 95% of the primary wastewater constituents. Based on current growth projections, the expanded plant will be able to serve the residents of Bakersfield for at least up to the year 2025. This project will be funded by proceeds from the sale of bonds. Wastewater Treatment Plant No. 3 Arterial Roads -Four miles of roads surround Wastewater Treatment Plant No. 3. Currently, these roads are only two lanes and the improvements will upgrade these roads to full width arterial standards. The need for safe ingresdegress for vehicles due to increased on-site activities from the expansion of Plant 3 and increased traffic due to encroaching development creates a need for these upgrades. This project is estimated at $16 million and will be funded by proceeds from the sale of bonds. Thomas Roads Improvement Program (TRIP) -Nearly $50 million of federal and local funding was budgeted for the Thomas Roads Improvement Program (TRIP) in FY 2006-07. It has taken longer than originally anticipated to obtain federal approval for these expenditures, so with the exception of one project that has an additional $1 million proposed for FY 2007-08, the funds budgeted for TRIP projects in 2006/07 are anticipated to be adequate for the work planned to occur in 2007-08. The $1 million multi-year project Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 8 proposed for 2007-08 will widen the existing State Route 178 Highway from Mesa Marin to Rancheria Road. Realignment on Auburn Street -Approximately $1.6 million of traffic impact fees are proposed for the realignment of Auburn Street west of Morning Drive. With the future State Route 178lMoming Drive Interchange, freeway ramps will be installed tolfrom Morning Drive. To meet Caltrans standards for separating local street intersections and freeway ramp intersections, the existing location of the Auburn StreetIMoming Drive intersection needs to be relocated which requires the realignment of Auburn Street. Westside Parkway -The proposed Capital lmprovement Budget for PI 2007-08 currently includes no additional funding for the Westside Parkway. Public Vllorks staff will be budgeting funds for the Westside Parkway pending the results of the State Transportation Improvement Program (STIP) Augmentation Program which is currently being reviewed by the California Transportation Commission (CTC). This additional STIP' funding is part of the Proposition 1 B bond funds approved by the State's voters last November. The CTC will be making final decisions/program approvals in early June. The City, through the Kern Council of Governments, has submitted a request to the CTC for the full amount needed to construct the Westside Parkway and has proposed scheduling these funds over the next several fiscal years. Currently, the construction dollars programmed i~nth e STIP by the CTC for this project are spread out over a number of fiscal years, and these programmed funds will only pay for about half of the project. Once the CTC decisions are finalized in early June, staff anticipates that budget modifications will be brought fonvard for consideration by the Council prior to the adoption of the final FY 2007-081 budget. Street Resurfacing and Reconstruction Projects -The N 2007-08 proposed CIP budget also continues Council's commitment to the street maintenance program. $7.9 million is proposed for next year's CIP to address citywide street maintenancelreconstn~ctionis sues. Of the amount budgeted, federal transportation funds of $3,685,503 are proposed, with the corresponding local match of $4717,497 coming from the City's share of state gasoline taxes as accounted for within the Gsis Tax Fund. The proposed budget also dedicates $3,080,000 of one-time Capital Outlay funds to the City's street maintenance program. In addition, the operating side of the proposed budget includes $10.0 million for street maintenance. Therefore, the combined CIP and operating FY 2007-08 budget for street maintenancelreconstruction totals close to $17.9 million. Bridge Construction Allen Road at Kern River -The Bridge Construction for Allen Road at Kern River project was budgeted at $8 million in FY 2005106. The FY 2006107 proposed CIP budget added an additional $3.0 million of funding to this project. The FY 2007-08 proposed CIP budget adds an additional $5.0 million of funding for construction of this project due to escalating construction costs. Staff has completed the environmental and preliminary design phase of this project. The final design and construction document phase will be completed in FY 2006/07. The project will be advertised for bids, and a construction contract awarded early in FY 2007-08. xii Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 9 Bridge Construction, Hosking Avenue at SR 99 -The FY 2007-08 proposed CIP budget includes $4 million for land acquisition to construct the new interchange. This project will construct a new bridge and install on and off ramps to SR 99 at Hosking Avenue. This project will be funded by developer fees collected through the traffic impact fee program. This is a multi-year project. Street Improvements along Panama Lane -This $1,350,000 project on Panama Lane at the Union Pacific Railroad Sunset Branch grade crossing includes widening the roadway to its ultimate width within the railroad right of way and additional street width to provide transitions both east and west of the intersection. This project also requires new railroad signal and rail improvements. Traffic Signal Coordination -Two projects (Traffic Monitoring Camera and Traffic Signal Interconnect) are proposed to be funded predominantly with federal Congestion Management Air Quality (CMAQ) funds. Both projects will improve signal timing, reduce traffic congestion, and reduce vehicle emissions. The $1 30,000 Traffic Monitoring Camera Project will add vidleo capability from two specific intersections to the Traffic Operations Center. The $896,000 Traffic Signal lnterconnect Project will expand the number of signals linked to the Traffic Operations Center. Wastewater Treatment Plant No. 2 Odor Control -lncreasing development of residential and commercial properties close to the wastewater treatment plant creates the need for installation of odor control at Plant 2 and to construct upgrades to the existing septagelgrease receiving station. Income from the septagelgrease receiving station is approximately $1 million dollars per year. This project is estimated at $6 million and will be funded by proceeds from the sale of bonds. Sewer Improvements on Brimhall Road between Rudd Road and Renfro Road -$1,370,000 is proposed for this project. The extension of this existing sewer line will provide sewer service to an area currently using dry sewers. Storm Drain improvements on Clara Court and Gwendolyn Street, North of Fairview Road -This $1,01!5,000 project will provide better drainage for this area. Fire Stations 1 Various Fire Department Projects -For several years, the City has been setting aside funding for future fire stations. This budget includes funding for construction of the next station that needs to be built, which is Fire Station 14 at Mt. Vista and Harris. A fire engine for this station will also be purchased from this accumulated funding. Other Fire Department projects for 2007-08 will be $90,000 for one emergency generator at Station 4 to make it self sufficient for an emergency or natural disaster; $1 10,000 for the plumbing overhaul of Station 9; and $37,000 for a more energy efficient ceiling at Fire Station 1. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 10 Public Safety Communication Improvements -$150,000 is proposed to convert one police radio channel to a digital format as required by the Federal Communications Commission. This will be a multi-year project to convert all channels to 1:he digital format. Water Wells -Three additional water wells estimated at $3 millior~ are proposed to increase production capacity due to continued steady growth within the City's Domestic Water System. Well Field Land Acquisition -$1,500,000 is proposed to acquire an approximate 10 acre parcel located in southwest Bakersfield to construct a series of water wells. The wells will be used for groundwater production and distribution to planned domes1:ic service areas in the southwestem portion of the City. Pump Station Upgrades -$400,000 is proposed for the first phase of a new program to add system storage to various water wells over the next several years to prepare for emergencies or power outages. Taxi Lane Construction at the Bakersfield Municipal Airport -This $1,370,000 project will construct taxi lanes, taxiway extension and apron areas to allow hangar development at the Airport. A large waiting list for additional hangers exists. This project will be funded predominantly by a Federal Aviation Administration grant. The FY 2007-08 proposed CIP budget includes a significant number of projects to be funded with one-time Capital Outlay funds, including the following: Sports Village -Proposed for next year is $1,500,000 for preliminary design services for the 120-acre Sports Village complex, to be located north of Taft Highway, west of Ashe Road, and east of Gosford Road. 40 Acre Park Site -Baseball -The City has entered into an agreement with Southwest Baseball for construction of the 40-acre baseball park site at Jewetta and Stockdale. The proposed budget includes $2,170,000 for construction and installation of a concession/restroom/storage building, sewer system, parking lot and and grading. Southwest Baseball is responsible for the construction, installation, and operation of the baseballrelated items at the new complex. Hockey Rink Structure -Due to significant increases in the cost of siteel and concrete, more recent estimates indicate the need to increase the project budget,. Proposed for FY 2007-08 is an additional $250,000 for the indoor hockey rink structurie to be located at Saunders Park. The hockey rink was donated to the City in 2004. These improvements will make the amenity usable to the public throughout the year. Mesa Marin Sports Complex -Due to an increase in the number of softball teams and leagues, Mesa Marin will be renovated to provide more field space. The CIP for FY 07-08 Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 11 includes $1,000,000 for design and construction of the four softball fields, restroom1concession building, and the westerly parking lot. Urban Forestry Slewices -Next year's proposed CIP budget includes $200,000 for contract tree services which will be used to prune large trees in excess of 50 feet, since the City does not helve the equipment and staff to handle tall trees. Replacement of City Phone System -This project set asides $4 million to replace the current City's phone system using modem technology. It has become increasingly difficult to obtain support alnd parts for the current system. There are also numerous other CIP projects within the Capital Outlay Fund proposed for next year involving various building maintenance and repair projects. Projects to be funded with Community Development Block Grants include the following: Mill Creek Linear Park -$300,000 in Community Development Block Grant funds will be used for the 21S' Street crossing for the northern section of the project, in addition to $1.7 million in Old Town Kern tax increment funds for the initial segment of the Central Park improvements. Lowell Park Restroom -This $350,000 project will remove and replace a 60 year old public restroom. The existing restroom will be replaced with an American with Disabilities Act (ADA) compliant, vandal resistant, and more efficient structure. Airport Improvements -The goal of this project is to commit $200,000 annually, over the next 5 years. to provide design and installation of landscaping and fencing around the perimeter of the Bakersfield Municipal Airport. Streetscape Improvements on 34* Street -This $300,000 project is Phase II for the design of streetscape and median island improvements on 34th street. lmprovements for this phase will be on 34th Street, from Chester Avenue to Q Street. This project supports the City Council Goal to construct a streetscape project on 34' Street from Chester Avenue to Union Avenue. Bethany Homeless Pedestrian Crossing -This $40,000 project consists of installation of a lighted crosswalk system at the existing crosswalk on East Truxtun Avenue at Williams Street. The crosswalk is adjacent to the Bethany Homeless Center Campus. Street lmprovements in HUD Eligible Areas of Wards 1 and 2 -This $409,048 project is to construct various street, curb and gutter improvements in HUD eligible areas. Lastly, the proposed CIP budget for FY 2007-08 includes several projects that will add or enhance the amenities within several of our City parks. Funding sources for these projects include both Capital Outlay funds and developer fees collected through the park Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 12 development fee program to construct parks. Additionally, the amount for reimbursement to developers who build required parks and are paid back over a number of years as development occurs has been budgeted. The FY 2007-08 proposed CIP budget provides a broad based benefit to our community and its citizens. The budget also allows the City to address infrastructure needs which have been impacted significantly by the growth in our community. DEPARTMENT HIGHLIGHTS In total, the FY 2007-08 proposed budget shows an increase of forty-seven positions (including one mid-year addition) and the elimination of six development related positions for a net increase of forty-one positions for various City departments flor all funding sources. Of these, thirty-one positions are funded with General Fund revt, s n ~ e ~ . Highlights of major department budget proposals and changes are listed below. Police. The Police Department Department is recommending eight Police Sergeant positions. The budget also includes the addition of three Police Service Technicians. The total operating budget for Police is $69,777,155, which is a 6.0% inc~reaseo ver FY 06-07. This increase reflects increased fleet costs and operating costs associated with the additional positions referenced above. Fire. The proposed Fire Department budget includes the upgrade 01f three Firefighter positions to Fire Engineers at Fire Station #7. These Firefighter p~sit~ionasre currently funded and will be upgraded to Engineer positions due to the purchase of a new tillered ladder truck. Additionally, there is the restoration of a Secretary position for the Administration division and the addition of a Clerk Typist position for the Training division for FY 2006-07. The total operating budget for Fire is $31,538,349, which is a 4.8% increase compared to FY 06-07. These increases are attributed to the additional person~nel noted above, increases in liability insurance, additional positions and JPA increases. Public Works. The PI 2007-08 proposed operating budget for the Public Works Department includes sixteen new positions, seven of which are within tlhe General Fund. The General Fund positions include one Traffic Operations Technician to handle the increased number of traffic signals in the city; two Construction Inspectors are needed for the significant capital construction occurring for CIP projects; one Facility Worker to maintain City facilities; two Maintenance Craftworkers for maintenanae of various City facilities; and one HVAC Technician to maintain heating and cooling equipment at various City facilities. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 13 The remaining nine proposed new positions are funded by Internal Service or Enterprise Funds. The Refuse Fund inctudes one Equipment Operator for commercial refuse, two Service Maintenance Workers for street sweeping and one Fleet Mechanic for equipment maintenance at the Woodwaste site. The Equipment Management Fund includes one Communications Technician to maintain the City's communicatisns equipment, and one Fleet Mechanic to maintain the City's fleet. New positions proposed for the Wastewater Fund include one Accountant to assist with the pre-treatment program and two Service Maintenance Workers for sewer maintenance assigned to the street maintenance section. These special revenue positions are in response to growth in service demands. Public Works continues its overall goal of maintaining acceptable service levels, with focus on Council priority items, such as street maintenance and graffiti removal throughout the community. The proposed FY 2007-08 operating budget includes approximately $1 0,010,072 for street maintenance. The proposed CIP budget includes $7,872,048 for street resurfacing/improvements. Therefore, the combined operating and CIP budget for street maintenance totals $1 7,882,120. The Thomas Roads Improvement Program (TRIP) Division of the Public Works Department has been working on the federally funded transportation projects the City is pursuing, including the Westside Parkway and other TRIP projects. This Division is now housed at 900 Truxtun Avenue and Division staff work alongside Parsons Transportation Group personnel, County of Kern Roads Department staff, and Caltrans staff in the management and delivery of these projects. The total operating budget for Public Works is $105,837,208, which is a 7.1% increase over FY 2006-07. The Public Works Department includes the following divisions: Administration, TRIP, Engineering, General Services, Streets, Equipment, Wastewater, and Solid Waste. Funding for the department comes from various sources including the General Fund, Development Services Fund, Gas Tax Fund, Transportation Development Fund, several Einteqprise Funds, Equipment Management Fund, and other special revenue funds. Recreation and Parks. The Recreation and Parks Department has experienced continued growth in the amount of park and landscape acreage they maintain. The proposed budget for FY 2007-08 focuses on addressing this growth in order to maintain the level of serviice and to meet the growing recreational needs for our City. The proposed budget includes requests for ten new positions, including one Park Services Coordinator, one Supervisor, four Facility Workers, and four Laborers for Maintenance Districts. The comprehensive master planning process has begun and will assist in further defining recreation priorities over the next five years. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 14 The Parks Division is requesting the new positions referenced above, In addition to corresponding equipment to meet the demands of maintaining an additio~nasl eventy acres of landscaping and parks that will be added to the parks maintenance sec2ion by the end of this year. The total operating budget for Recreation and Parks is $18,174,572, which is a 9.6% increase compared to FY 06-07. The increase reflects the restored positions and programs noted above. Rabobank Arena, Theater and Convention Center. Under the management of SMG, Rabobank Arena, Theater and Convention Center, and the Ice Sports Center again had successful years. The Bakersfield Condors made it to the playoffs, CSUB Men's and Women's Basketball, the Bakersfield Jam and the Bakersfield Blitz, all hosted season games in the Arena. Rabobank Theater will host several touring Broadway performances, this year featuring The Producers, Aida and Stomp. In addition, a broad variety of musical concerts and special events will continue to provide excellent entertainment options for the community in each facility. SMG also will be overseeing the booking of the Amphitheater at the Park at River Walk. Ice Sports Center continues to provide ia wide variety of programs and activities for the community. Development Services. The Development Services Department hais experienced a significant slow down in the levels of development activity over the past fiscal year. In response to the slow down in building activity the FY 2006-07 proposetl budget includes the elimination of five vacant Building Inspector positions and one Bu~ilding Technician position in the Building Division. Code Enforcement is requesting the elimination of a vacant Code Enforcement Officer position which is to be replaced with three Assistant Code Enforcement Officer positions. This will provide additional supjport to the Code Officers and training and development opportunities for new Code Officers. The total operating budget for Development Services is $10,597,697, which is a 0.6% increase compared to FY 06-07. This very slight increase reflects the slow down in construction and the associated decline in activity within the building (and development communities. Economic and Community Development. The General Fund portion d the budget continues to support operating and administrative costs for Economic Development and Redevelopment programs and activities. The budget reflects the full funding of a Principal Planner position who was on long term leave and is returning. The FY 2007-08 proposed budget includes $1,599,048 for CDBG funded Capital Improvement projects, including various streelt, curb, gutter and sidewalk improvements in HUD eligible areas. $65,000 in CDBG funds have been designated as a contribution to the Senior Center, in addition to $200,000 for Graffiti removal efforts. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 15 Redevelopment_: There continues lo be significant redevelopment activity in each of the three Redevelopment Project Areas, in addition to significant tax increment growth in both the Old Town Kern and Southeast Redevelopment Project Areas for FY 2007-08. The Redevelopment Budget for FY 2007-08 has been prepared in accordance with the goals and objectives of the Bakersfield Redevelopment Agency. Significant expenditures for the three project areas are highlighted below: Downtown Rede&!o~ment Proiect Area -there is $75,000 budgeted for a downtown lighting and banner replacement/maintenance program and $50,000 for professional services for dovvntamn development efforts. $200,080 is allocated from Downtown Low-Mod funds for The Parkview Cottages down payment program for home buyers not exceeding 1207'0 of median income. In addition, there is an appropriation of $205,493 to cover the existing debt obligation on the the Cal HFA Loan for the Parikview Cottages project. Old Town Kern Redevelo~menPt roiect Area -OTK -$1,400,000 is proposed for Capital Improvements for the 1 91h Street Crossing and the Central Park sections of the Mill Creek Linear Park Project. In addition, there is $50,000 budgeted for professional and consulting services for prevailing wage monitoring for the Baker Street Mixed Use Project and $500,000 for land acquisition for Mill Creek and related services. Included in the OTK low mod fund is am appropriation of $500,000 for down-payment assistance resewed for qualified buyers; not exceeding 80% of the median income for the Baker Street Affordable Housing Project. In addition, there are appropriations to cover existing debt obligations on the $1.0 million Section 108 loan and the $1.0 million Cal HFA Loan used for the Baker Street Project. Southeast Redevelopment Proiect Area -SEPA -$1 00,000 is budgeted for demolition and site clearance for redevelopment projects in Southeast Bakersfield and $2,650,000 for land acquisition and development related activities. Included within the Southeast low mod fund is the appropriation of a $3.0 million Cal HFA loan for the Residential Development Loan Program for the Creek View Villas, in addition to $500,000 for land acquisition activities for affordable housing development. Additional operating expenses include $100,000 for outside legal counsel and relocation setvices for activities associated with the Mill Creek South Mixed Use Development. In addition, there are appropriations to cover existing debt obligations on the $3.75 million Mill Creek and the $1.6 million Fire Station #5 Section 108 loa.ns in addition to the principal and interest payment on the $1 -75 million Cal HFA Loan Mayor. The total operating budget for the Mayor's Office is $160,711, which represents a 1.2% increase compared to FY 06-07. The budget reflects funding for Sister City activities and the Mayor's participation in special community events. City Council. The City Council budget shows a reduction of -2.4% which is due to a technical budget change that moved the costs associated with the annual financial audit to the non-departmental portion of the budget. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 16 Executive. The Executive Department proposed budget for FY 2007-08 includes requests for four new positions including one Clerk Typist for Human Resources, one GIs Analyst, one Network Systems Analysts, and one Programmer Analyst, for Information Technology. The total Executive Department operating budget for all funds (including Self Insurance and Equipment Funds) is $1 7,679,593, which represents a 2.7% increase over the current fiscal year. The increases in the total Executive DeparUment budget are attributed to new position requests within the Information Technology Division. City Attorney. The City Attorney's proposed budget includes changes to the staff compliment which added an Administrative Assistant 1/11 mid-year. The City Attorney's budget totals $3,277,241, which is a 6.3% increase compared to the current year. This increase is the result of the additional position notled above and the increase in cost for outside counsel and litigation fees for CEQA related law suits. Financial Setvices. The total operating budget for Financial Services is $3,412,245, which represents a 4.1 % increase compared to PI 06-07. The majority' of 1:he increase is associated with accounting associated with an increased number of assessment districts, and the transfer of operating costs for the parking garage from Economic Development to the Finance Department budget. Enterprise Funds Enterprise Funds account for business-like activities supported primarily by user charges, such as water and wastewater utilities, refuse, and airport. Water Resources. The proposed budget for FY 2007-08 includes a request for a new Light Equipment Operator in the Agricultural Water Division. Over the past 10 years, the City has experienced a 50% increase in its domestic water system due to community growth. The total operating budget for Water Resources is $1 8,484,537. Agricultural Water Fund. The operating budget for the Ag Water Division is $$4,468,964, which is a 3.7% increase compared to the current fiscal year. Domestic Water Fund. The operating budget for Domestic Water is $14,015,573, a 12.4% increase over the current year. The FY 2007-08 Dome!stic Water budget includes an increase for the quantity rate for City domestic water service customers. The current quantity rate is $0.74 per hundred cubic feet unit. 'The proposed rate will increase by $0.05 to $0.79 per unit on October I, 2007. A typical residential customer will see a total increase of $1.40 per month. These inc:rea!;es are due to Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 17 the cost of new water supply programs, increases in electricity, and the operations and maintenance contract. Refuse Fund. Staff is proposing a 3.2% increase in the 2007-08 refuse rates. The annual residential rate would increase from $169.08 to $174.48, which is a 45 cent per month increase. The increase is intended to cover the refuse haulers' annual CPI adjustment, which will be 3.2% lor fV 2007-08. The rate increase is also needed to cover operations and maintenance costs associated with refuse service and street sweeping. New position requests are summarized under the Public Works section of this transmittal. Wastewater Treatment Fund. Staff is recommending a 14.8% increase in residential sewer user rates, with the exception of a few special users that are having their rates phased in over several years to bring them into compliance with State requirements. Sewer user fees will increase from $135 per single family home to $155. The increase is due to increased personnel, electrical, and maintenance costs. Sewer connection fees will increase $300 per single-family household effective on July 1, 2007. The fee for each single-family household will go from $2,800 to $3,100. This increase will be year two of a five year phase-in period of a multi-year fee program. These additional funds will be applied toward the clebt service payments for the Plant 3 Expansion project. Internal Service Funds These funds account for services provided to City departments to support operations such as vehicles and communications equipment, computers, and liability, property and Workers' Compensation insurance. Equipment Management Fund. The Equipment Management Fund provides for funding of vehicles, telecotmrnunications equipment, computers, and copier equipment. Rates charged for equipment within the Equipment Management Fund are based on actual costs for depreciation, inqprovements and replacement, and are billed to departments on a monthly basis. This year the budget provides for $3.3 million in new equipment, including equipment associated with additional positions, and $8.1 million in replacement equipment where the useful life has been expended. During FY 2007-08 we are planning to replace 202 computers and 71 printers. Risk Management Fund. The Risk Management Fund provides a self funded program for generaf liability and workers' compensation insurance. Additionally, excess insurance is purchased as a member of the Authority for California Cities for Excess Liability (ACCEL). Swcial Revenue Funds Special Revenue Funds account for the proceeds of specific revenue sources that are restricted to expenditure for a specific purpose. Examples are Community Development Block Grant (CIDBG), Gas Tax, Federal Transportation Funds and the Transient Lodging Tax Fund. Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 18 HUD Entitlements: Community Development Block Grant & HOME Investment Partnership funds come from the Federal Government Department of Housing and Urban Development for the elimination of slum and blight, development of affordable housing and the creation of jobs. Our allocation of CDBG funds for FY 2007-08 is $3,403,927 and HOME lnvestment Partnership funds is $1,571,787. These entitlement amounts reflect a less than 1% increase in CDBG and less than 1% decrease in HOME for next year. These funds will primarily be spent on affordalble housing projects, graffiti1 removal efforts. In addition, CDBG Funds, in the amount of $1,599,048 are proposed for various Capital lmprovement Projects in HUD eligible areas of the city. The Lowell Park Restroom project is budgeted at $350,000. The Public Woks Department has budgeted $200,000 for Airport landscaping improvements; $300,000 for streetscape improvements on 34' Street; $40,000 for a pedestrian crossing near the Bethany Homeless Center; and $409,048 for street improvements in eligible areas. In addition, there is an allocation 01: $300,000 for Central Park Improvements to compliment the impending Mill Creek Line(ar Park Project. Transient Lodging Tax Fund was established in July 1998 to account for the general revenues provided by a 12% room tax (M.C. 3.40) and the operation and debt related to the Rabobank Arena. This includes the contract with SMG for p~ivatization of the operations of the facilities. Revenues from operation of the complex go i~ntoth is fund. This fund also includes debt service payments on the arena facility. The ope!rational costs and revenues for the Bakersfield Ice Sports Center are included in this funid. The proposed budget includes a contribution to the Convention and Visitors Bureau of 11% of Transient Lodging Tax funds, per their agreement with the City. Any available 'Transient Lodging Tax funds after taking into account the City's long term term commitments for Rabobank Arena, Ice Sports Center, CVB, etc. are transferred to the City's Capital lmprovement Program. Contributions -In accordance with Council policy for contributions to non-profit groups, staff is recommending funding for the Bakersfield Museum of Art in the amount of $27,500; Bakersfield Symphony in the amount of $55,000; and the Bakersfield Senior Center from Block Grant Funds in the amount of $65,000. These nominal changes from last years contributions reflect increased costs anticipated for these non-profit groulps. SUMMARY The proposed budget, while not as growth oriented as last year, still provides for additional positions and programs. This budget was prepared based upon what we know, as of now, and what we believe we can reasonably expect. Departments have ]done their best to provide a budget which will address some of the rapid growth we are experiencing and provide needed services to the public. Even though this budget provides for additional positions and programs, we will continue to be challenged to maintain service levels to meet community growth, public demands ancl expectations. Our employlees are committed to doing the best they can with the limited resources available. We will continue to explore xxii Honorable Mayor and City Council 2007-08 Proposed Budget -Letter of Transmittal May 9,2007 Page 19 ideas and efforts to cut costs, secure alternate sources of funding, and look for better and more efficient ways to provide services. ACKNOWLEDGMENTS As is the case every year, this document represents the compilation of many hours of work by many people! throughout the organization. My thanks to the department heads and their business managers, division managers and staff for submitting thorough and well-prepared budget proposals. Thanks also goes to an expanded budget team headed up by Assistant City Manager John W. Stinson, and also included Finance Director Nelson Smith, Public Works Operations Manager Brad Underwood, Engineer IV Arnold Ramming, Assistant to the Public Woks Director Georgina Lorenzi, Assistant Finance Director Sandra Jimenez, Management Assistant Rick Kirkwood and Clerk-Typist Michelle Muniz. Finally, my continued appreciation to the Mayor and City Council for your leadership and direction direction in the lbudget process and throughout the year. Government Finance Officers Association 203 North LaSalle Street, Suite 2700 Chicago, Illinois 6060 1 -1 2 10 31 2.977.9700 fax: 31 2.977.4806 December 6,2006 Mr. Alan Tandy City Manager City of Bakersfield 1 50 1 Truxtun Avenue Bakersfield, CA 93301 Dear Mr. Tandy: I am pleased to notify you that City of Bakersfield, California has received the Distinguished Budget Presentation Award for the current fiscal year from the Government Finance Officers Association (GFOA). This award is the highest form of recognition in governme~itabl udgeting and represents a significant achievement by your organization. When a Distinguished Budget Presentation Award is granted to an entity, a Certificate of Recognition for Budget Presentation is also presented to the individual or department designated as being primarily responsible for its having achieved the award. This has been presented to: City Manager's Office We hope you will arrange for a formal public presentation of the award, and that appropriate publicity will be given to this notable achievement. A press release is enclosed for your use. We appreciate your participation in GFOA's Budget Awards Program. Through your example, we hope that other entities will be encouraged to achieve excellence in budgeting. Sincerely, Stephen J. Gauthier, Director Technical Services Center Enclosure Washingon, DC Office 1301 Pennsylvania Avenue, N.W., Suite 309 Washington, DC 20004 202.393.8020 fax: 202.393.0780 w""frlJf&+. 0% GOVERNMENT FINANCE OFFICERS ASSOCIATION B udget Presen ta tion PRESENTED TO City of Bakersfield California For the Fiscal Year Beginning July 1,2006 Executive Director HIGH FIVE The High Five award is for immediate recognition of City employees for their quality of work, high levels of productivity, notable customer service, or an old-fashioned "Thank You." Over 375 employees received High Five awards in FY 2006-2007 WELL bONE! BRIGHT IDEAS The City of Baltersfield is fortunate to employ individuals who think beyond the box. Ifem ployees see something that needs to be achieved or improved, they are encouraged t o submit a Bright Idea. To the right are pictured a few of those individuals who did just that. THANK YOU! 005 Exceaence in Mion Awards I i Briaht Ideas From left to right -Front Row: Nora Brown (City Attorney's Office); Joe Catalan (Public Works -Subdivisions). Back Row; Kimmie Gearhart (Finance); and Michelle Mendenhall (Public Works -Subdivisions) Exln Mile -,-,.,.,at 1 I Top to bottom, left to right: Karen Bennett -Recipient of the Extra Mile Award (Police Department); Gilbert Alemao (Public Works); Vicki Avila (Recreation and Parks); Manuel Barraza (Public Works); Mary Ernst (Recreation and Parks); Gary Fenstermaker (Development Services); Roberta Gafford (City Manager's ... Divisions); Doug Greener (Fire Department); Terry Lyons (Fire Department); Kandi Mosqueda (Finance); Maribel Reyna (Economic/Community Development); Johnny Ramirez (Police Department); Rebecca Stokes (Police Department); and Heather Williams (Water Resources). EXCELLENCE IN ACTION An award is given to employees of the City of Bakersfield that exemplify the traits of excellent customer service, leadership by example, willingness to solve problems, and consistently high performance. Pictured are the winners of the prestigious award for 2006 GOO0 JOB! xxvii THIS PAGE INTENTIONALLY LEFT BLANK xxviii BUDGET SUMMARIES CITY OF BAKERSFIELD PROPOSED BUDGET 2007-08 GENERAL FUND -OVERVIEW -RESO URCES Sales Tax Property Tax Other Taxes Total Taxes Licenses and Permits Intergovernmental Revenue Charges for Services Fines and Forfiets Miscellaneous Revenues Total Other Revenues Total Revenues Beginning Balance Transfers In TOTAL RESOURCES -A-PP ROPRIATIONS Plolicca Fiire Total Public Safety Public Works Recreation and Parks Development Services Economic Development General Government Non-Clepartmental Total Operations Total Operations Contingencies Transff ers Out TOTAL APPROPRIATIONS CITY OF BAKERSFIELD FY 2007-08 GENERAL FUND BUDGET GENERAL FUND $1 89,777,800 Where it comes from ... Misc. and Other Beg. Balance & 6.67% r ~ r a n s f e r1s1 .41% Fines & Forfeits /0.26% Charges for Sales Tax 34.81 % Services 10.1 1 % Intergovernmental 1.75% Licenses & 1 Permits 1.56% Property Tax 33.43% Where it goes ... General Government Non-Departmental [ 6.50% 5.84% Transfers 6.66% Police 36.45% Services 5.58% Parks 9.56% -Public ~ o r k s i 12.33% CITY OF BAKERSFIELD FY 2007-08 OPERATING BUDGET ALL FUNDS $383,549,179 Where it comes from ... Debt Service Capital Project Funds Enterprise Funds 23.38% 7 Special Revenue \ I /Funds 6.90% Internal Service Districts ' ~edeveio~ment 2m38% Agency Funds 4.60% General Operating Funds 49.48% Where it goes ... Non-Departmental General & Transfers Government 20.95% EDICD & I f 6.47% Development Police Services 6.21% 18.19% Rabobanlc & Fire Recreation and 8.22% Parks I Water Resources 4.82% [public Works 27.59% CITY OF BAKERSFIELD FY 2007-08 Operating Fund Distribution All Funds Fiscal Transfers 12.58% General Fund Fiscal Transfers 6.66% Operating 21.56% Personnel Budget Summary Ooeratina Budqets City of Bakersfield Bakersfield Redevelop. Agency Total Operating Capital lmorovements City of Bakersfield Bakersfield Redevelop. Agency Total Capital Improvements Total Appropriations CITY OF BAKERSFIELD FY 2007-08 PROPOSED BUDGET Departmental Appropriations by Fund Rabobank & EDlCD and Non-General Public Water Recreation Development Departmental Government Police Fire Works Resources and Parks Services Includes Transfers Total City of Bakersfield O~eratinqB udqet Agriculture Water State Transportation Assessment Districts Aviation Fund Community Dev. Block Grant Domestic Water Equipment Management Gas Tax General Fund Home Program Municipal Improvement Debt Park Improvement Parking LotslStructures Public Financing Authority Refuse Collection Self Insurance Traffic Safety Transient Lodging Taxes Transportation Development TDF TRIP Local Match \vAvl rara4~r .=. .wr lartr= ~T,r -r,---L Dl-rcauntctu< rrailf Total Operating CITY OF BAKERSFIELD FY 2007-08 PROPOSED BUDGET Departmental Appropriations by Fund Rabobank B EDlCD and Non-General Public Water Recreation Development Departmental Government Police Fire Works Resources and Parks Services Includes Transfers Total City of Bakersfield Caoital lm~rovements Agriculture Water Aviation Captial Outlay Community Dev. Block Grant Domestic Water Gas Tax Federal Transportation 4 Park Improvement Refuse Collection Transportation Development TDF TRlP Local Match TRlP Wastewater Treatment Plant Total Capital Improvements Total City of Bakersfield CITY OF BAKERSFIELD FY 2007-08 PROPOSED BUDGET Departmental Appropriations by Fund Rabstrank & ED!CD and Non-General Public Water Recreation Development Departmental Government Police Fire Works Resources and Parks Sewices Includes Transfers Total Bakersfield Redevelopment Agency Operatinq Budqet Downtown Old Town Kern Pioneer Southeast Housing Downtown 00 Old Town Kern Pioneer Southeast Debt Service Total Operating CITY OF BAKERSFIELD FY 2007-08 PROPOSED BUDGET Departmental Appropriations by Fund Rabobank & EDICD and Non-General Public Water Recreation Development Departmental Government Police Fire Works Resources and Parks Services Includes Transfers Total Capital ImDrovements Old Town Kern Pioneer $1.400,000 $1,400.000 Total Capital Improvements $0 $0 $0 $1,400,000 $0 $0 $0 $0 $1.400.000 Total BRDA $0 $0 $0 $1,400,000 $0 $0 $8.782.650 $8,874,803 $19,057,453 CITY OF BAKERSFIELD FISCAL YEAR 2007-08 General Fund -Appropriations by Department Adopted Amended Proposed Actual Budget Budget Budget Programs 200546 2006-07 2006-07 2007-08 Mayor City Council TOTAL LEGISLATIVE City Manager City Clerk Human Resources Information Technology Risk Management TOTAL EXECUTIVE Administration Accounting and Reporting Treasury Purchasing TOTAL FINANCIAL SERVICES Legal Counsel TOTAL CITY ATTORNEY Administration Operations Investigations TOTAL POLICE SERVICES Administration Safety Services Fire Suppresion TOTAL FIRE SERVICES CITY OF BAKERSFIELD FISCAL YEAR 2007-08 General Fund -Appropriations by Department Adopted Amended Proposed Actual Budget Budget Budget Programs 200546 2006-07 2006-07 2007-08 Administration Engineering General Services Streets Equipment Wastewater Solid Waste TOTAL PUBLIC WORKS Recreation & Parks Administration Parks Recreation TOTAL RECREATION AND PARKS Planning Building TOTAL DEVELOPMENT SERVICES Community Development Economic Development TOTAL ECONOMlClCOMMUNlTY DEV. TOTAL BY DEPARTMENT Non-Departmental Debt Service Contingencies Transfers Out TOTAL GENERAL FUND CITY OF BAKERSFIELD Financial Summary -All Funds Fund Group Governmental Funds General Opemting Special Revenue Debt Servke Capital Project Pro~rietawF unds Enterprise Internal Senrice Fiduciaw Funds Improvement Districts Redevelopment Agency Totals Estimated Proposed Balance Estimated Transfers Budget Appropriations Balance 071Olm7 Revenues In Out Operating C.I.P. 06130108 CITY OF BAKERSFIELD Financial Summary -All Funds Fund Group Estimated Proposed Balance Estimated Transfers Budget Appropriations Balance 07ml107 Revenues In Out Operating C.I.P. 06130108 General Owratina Funds General $20,771,310 $168,125.915 5880.575 $12,635,512 $1 77.1 42.288 $0 $0 Cash Basis Resenre 10,000,000 10,000.000 Special Revenue Funds Community Development Home Investment Partnetship 1.719.331 1.824.324 1.794.324 1,749.331 Federal Transportation 170,215 4.899.249 4,899,249 170,215 Thomas Roads Improvement Program 885.300 885,300 State Transportation 283.800 283.800 Gas Tax 1,360,332 5,290,000 4.729.466 1,467.751 453.115 Traffic Safety (19,425) 1,500.000 880.575 600.000 Supplemental Law Enforcement 43.597 43,597 Transient Lodging Tax 1,936,181 15,643.451 5,229,000 10,750,232 1.600.400 Debt Service Fund Municipal Improvement Debt Publk Financing Authority (PFA) Debt 2,273.160 144.625 1,010.375 1. I5 4.640 2.273.520 Ca~itaPl roiect Funds Capital Outlay Recreation Facilities Park Improvements 3,422,859 6.41 5,430 2,843,430 6.859.039 135.820 Transportation Development (TDF) 4,373,248 15.600.000 5,895,000 365.746 13.71 1,000 1.502 TDF TRIP Local Match 19.018 128,705 5.895.000 1,279,834 114,700 4,648.189 Public Financing Authority (PFA) 349,833 1.014.982 1,010,375 14.250 340.190 Totals Fund Group Enterurise Funds Wastewater Treatment Sewer Connections Refuse Collection Landfill Closure Agricultural Water Domestic Water Offstreet Parking Internal Service Funds Equipment Management Improvement District Funds Assessment Districts Totals CITY OF BAKERSFIELD Financial Summary -All Funds Estimated Proposed Balance Estimated Transfers Budget Appropriations Balance 07101107 Revenues In Out Operating C.I.P. 06130108 CITY OF BAKERSFIELD Fund Group Redevelo~menAt qencv Funds Operating Downtown Old Town Kern-Pioneer Southeast Housing Downtown Old Town Kern-Pioneer Southeast Debt Sewice Downtown Old Town Kern-Pioneer Southeast Totals Financial Summary -All Funds 1 Estimated Proposed Balance Estimated Transfers Budget Appropriations Balance 07ml107 Revenues In Out Operating C.I.P. 06130108 CITY OF BAKERSFIELD Estimated Balances June 30,2008 Fund Title I Total Unreserved Reserved Comment Cash Basis Reserve Community Development Home Investment Partnership intermodal Surface Transportation Gas Tax Supplemental Law Enforcement Transient Lodging Tax PFA Debt Service Capital Outlay Recreatlon Facilities Fund Park Improvements Transportation Development TDF TRIP Local Match Publlc Flnanclng Authority Wastewater Treatment Sewer Connections Ref use Landfill Closure Agriculture Water Domestic Water Airpark Offstreet Parking Equipment Management Self Insurance Assessment Districts Redevelopment Operating: Downtown Old Town Kern-Pioneer Southeast Redevelopment Housing: Downtown Old Town Kern-Pioneer Southeast Redevelopment Debt-Downtown Southeast $0 $10,000,000 Cash required prior to Tax Turnover 344,539 1,749,331 170,215 453,115 43,597 200,400 48,520 437,828 10,699 135,820 1,502 4,648.189 340,190 (95,316,631) 432,540 3,087,241 1,400,000 Tax accruals 2,225,000 Debt Service 5,000,000 Facilities Reserve Accumulated Depreciation Reserve @06130106 Cart Replacement Reserves Landfill Cap Reserve Accumulated Depreciation Reserve @06130106 Accumulated Depreciation ReSe~e8 06130106 Accumulated Depreciation Reserve @06130i06 Accumulated Depreciation FkSe~e@06130106 Accumulated Depreciation Reserve @06130106 Reserve for Debt Service @06130106 81,880 Housing setaside 25,260 Housing setaside 47,123 Housing setaside 10,416 Debt Service 3 Debt Service Total CITY of BAKERSFIELD INTERFUND TRANSFERS Proposed Budget 2007-08 Fund Title Transfers In -Tr ansfers Out Capital Outlay Equipment General Fund Total Facility Replacement Reserve Equipment Transient Occupancy Tax Fund General $ 1 1,415,000 Transient Occupancy Tax 3,229,000 Capital Outlay Fund Total 14,644,000 C General 1,168,440 Development Services 52,072 Ref use 2,140,600 Agriculture Water 100,000 Domestic Water 80,000 Equipment Fund Total 3,541,112 D RDA -SEPA Housing RDA -SEPA Debt RDA -OTKP Housing RDA -OTKP Debt RDA -DTPA Housing RDA -DTPA Debt RDA Operating RDA -SEPA Housing RDA -OTKP Housing RDA -DTPA Housing RDA Housing RDA -SEPA Debt RDA -OTKP Debt RDA -DTPA Debt RDA Debt CITY of BAKERSFIELD INTERFUND TRANSFERS Proposed Budget 2007-08 Fund Title General Development Services Facility Replacement Reserve Traffic Safetyl1O.T.S. Transient Occupancy Tax Capital Outlay Agriculture Water Domestic Water Sewer Plant #:2 Sewer Plant # 3 Sewer Connections Ref use Equipment Subtotal CDBG Municipal Debt PFA Debt PFA Operating Transportation Development TDF TRIP Local Match RDA Operating RDA Housing RDA Debt TOTAL TRANSFERS Transfers In $ 880,575 2,000,000 Transfers Out THIS PAGE INTENTIONALLY LEFT BLANK REVENUES These revenues are the primary sources which make up General Fund and Transient Lodging Tax Fund Revenues. The first nine years of all charts beginning with Property Tax Revenues through Motor Vehicle-In-Lieu Revenues reflect actual data, the tenth year is projected data based on the latest information available at budget preparation time, and the final year is proposed. The CDBG and Home Funds chart reflects the actual entitlement approved by the Housing and Urban Development Department, but may not reflect the amount received by the City of Bakersfield within that fiscal year. Projected revenue assumptions are based on the last three years of trend data, current economic circumstances including impacts of the State budget crisis and other external factors. The key assumptions in the General Fund revenue forecast for fiscal year 2007-08 were: I). Property tax revenues will increase by 8.0% due to a rise in assessed valuation and general growth. 2). Sales tax revenue will increase by 4.85% as a result of anticipated growth in the retail base. 3). Transient Lodging Tax revenues will increase by 6.0% as a result of increased tourism and convention activity. 4). License and Permit revenue will decrease by 30. I % as a result of the slow down in local construction activity. 5). Motor Vehicle In-Lieu fees reflect a reduction due to a change by the State in how funds are distributed. However, vehicle fees overall are projected to increase by 6% over current year estimates. 6). The CDBG Entitlement will increase by less than 1.0% and HOME Entitlement will decrease less than 1.0% compared to the prior year. Property Tax Revenues -Property taxes are imposed on real property and tangible personal property located within the state. Property is assessed annually on January I by the County Assessor. The State Constitution limits the real property tax rate to one percent of the property's value, plus rates imposed to fund indebtedness approved by the voters. Cities, counties, school districts and special districts share the the revenues from the one percent property tax. The County generally allocates revenues to these agencies based on their average property tax revenue in the three years preceding 1978-79 and in each year thereafter according to the proportion of property tax revenues allocated to each agency in the previous year. When territory is incorporated into a new city, the City receives a share of the property tax revenues based on the costs of services assumed from other governmenls and the proportion of these costs which had been funded by the property tax. The use of property tax revenues is unrestricted. Sales Tax Revenues -The sales tax rate is generally 7.25 percent statewide. The City's sales tax revenue is realized from the 1.0 percent local government portion of the total rate and the .5 percent rate (% cent) increase approved by the voters in November 1993 for public safety. The local 1.0 percent is distributed based on "point of sale" while the 1/2 cent for public safety is distributed 95 percent to counties and 5 percent to cities. The one percent local sales tax revenue is distributed by the Board of Equalization. Cities receive payments on a quarterly basis, with monthly estimated "advance" payments and a subsequent "settlement" payment to cover the difference based on actual collections. The Yi cent sales tax is distributed monthly. The largest single classification contributing to sales tax revenues is the sale of automobiles. The uses for sales tax are unrestricted, but must be receivled into the City's General Fund. Charges for Service -A service charge is a fee imposed upon the user of a service provided by the City. Generally a service charge can ble levied when the service can be measured and sold in marketable units and the user can be identified. The rationale is that certain services are primarily for the benefit of individuals rather than the general public. Individuals benefiting from a service should pay for all or a part of the cost of that service. Fees charged are limited to the cost required to provide the service as prescribed by Article XlllS of the State Constitution. These fees are often determined by cities through a cost accounting analysis of the specific service. Service charges differ from license and permit fees in that the latter are designed to reimburse the City for costs related to the regulatory activities. Service charges, on the other hand, are imposed to support services to iindividuals. Some of the fees for service included in revenue are: * Maintenance district services -Reimbursements for costs operating and maintaining all public improvements which benefit a specific area. * Interdepartmental charges (Self-insurance and equipment maintenance) to account for the financing of goods and services provided by one department to another City department on a costreimbursement basis. + Arena charges -revenues received from the use of the Rabobank Arena. CDBG and HOME Funds -The Community Development Block Grant (CDBG) Funds and HOME Funds are federal funds from the Housing and Urban Development Department (HUD) and are provided to meet national objectives such as benefiting low-and moderate-income families, eliminate blight and/or address an immediate or urgent need in the community. VVhile CDBG and HOME have the same national objectives, they differ in focus. CDBG funds are more flexible and can be used for a variety of purposes includin!~c apital projects, economic development, assistance to non-profit groups and ho~using. HOME is designed primarily for housing related assistance for the elderly and low income. The City began receiving HOME entitlement funds in 1992-93, which accounts for the dramatic increase in revenue beginning in that fiscal year. Transient Occupancy Tax -The transient lodging tax is imposed for the privilege of occupying a room or rooms in a hotel, motel, or other lodging facility, unless such occupancy is for a period of 30 days or mor~e. The City of Bakersfield has a transient lodging tax rate of 12 percent, which was increased from 10 percent in the 1993-94 fiscal year. The use of revenues is unrestricted; however, some cities earmark these revenues for certain business activities, such as business development purposes, Convention Bureau, etc. License and Permit Revenue -The California Constitution gives cities the authority to charge license and permit fees as a means of recovering the cost of regulation. The fees which make up "License and Permits" include: * Building permits ~t Plumbing permits * Electrical permits * Mechanical permits + Street and curb permits + Other use permits, licenses The City requires that building permits be obtained to ensure that structures meet specific standards. The City requires various additional construction permits for activities such as the installation of electric, plumbing, and sewage facilities. The City charges a fee for issuing these permits in order to recover the costs incurred. Motor Vehicle-In-Lieu Revenues -The Vehicle License Fee (VLF) is a special license fee equivalent to two percent of the market value of motor vehicles and is imposed annually by the state in lieu of local property taxes. Originally motor vehicles mere counted in the local property tax assessment, but for ease of administration and conformity, the State now collects these fees through the inlieu tax. The revenues from the VLF are allocated to cities and counties. In 1998, the State began a series of reductions to the VLF which have ultimately resulted in a 67.5% reduction in the fee. These tax reductions would have resulted in significant local government losses. Instead, the legislature has replaced the reduced VLF revenues with property tax allocations on a dollar-fordollar basis. Thus, this VLF in lieu property tax revenue has provided cities and counties the same amount of revenue as under prior law. Revenues derived from the motor vehicle license fee are apportioned monthly and distributed near the 10th of each month. Section 11005(11005(a) specifies that 81.25% of the Base VLF revenues are to be divided equally between cities and counties and apportioned on the basis of population. The use of revenues received from the motor vehicle in-lieu tax is unrestricted. They are included in the General Fund to help support fire and police services, as well as quality of life services. CITY OF BAKERSFIELD Property Tax Revenues Fiscal Year Ending 1 Property Tax EHVLF ln-Lieu I I I * Includes VLF In-Lieu Property Tax Sales Tax Revenues $75,000,000 $66,055,500 I Fiscal Year Ending I I Budgeted Sales Tax I * Includes Sales Tax In-Lieu Related to Triple Flip CITY OF BAKERSFIELD Transient Lodging Tax $8,450,000 $9,000,000 $8,000,000 --+ --1 . ! . , _ 99 00 01 02 03 04 05 06 07 08 Fiscal Year Ending License and Permit Revenues $4,500,000 1 $2,968,900 99 00 01 02 03 04 05 06 07 08 Fiscal Year Ending CITY OF BAKERSFIELD Motor Vehicle-In-Lieu Revenues $1,975,000 99 00 01 02 03 04 05 06 07' 08 Fiscal Year Ending * Reflects VLF Reduction and $3.1 Million Capture by State in 2004-05 and 20015-06 Charges for Services $1 9,190,860 $22,000,000 $20,000,000 $18,000,000 $16,000,000 $14,000,000 ---0-$12,000,000 5 $1 0,000,000 $8,000,000 $6,000,000 $4,000,000 $2,000,000 99 00 01 02 03 04 05 06 07 08 Fiscal Year Ending CIN OF BAKERSFIELD General Fund -Revenue by Source Revenues Taxes: Sales and use tax: Sales and use tax Sales tax in lieu Sales tax accounting change TOTAL SALES AND USE TAX Property taxes: Current year secured Current year unsecured Property tax in lieu Delinquent taxes and penalties TOTAL PROPERTY TAXES Other Taxes: Utility franchise tax Business licenses tax Real property transfar tax Payments in-lieu of taxes TOTAL OTHER TAXES TOTAL TAXES Licenses and permits: Development permits Alarm pennits Storage tank permits Dog licenses Other licenses and pennits TOTAL LICENSES AND PERMITS Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 208607 2007-08 -(Continued Next Page) CITY OF BAKERSFIELD General Fund -Revenue by Source Revenues Intergovernmental revenue: State motor vehicle in lieu tax State VLF take back State Homeowners subvention Grants Other reimbursements TOTAL INTERGOVERNMENTAL REVENUE Charges for services: Maintenence district services Interdepartmental charges Development fees Flre Charges Police Charges Recreation fees Other Charges TOTAL CHARGES FOR SERVICES Fines and forfeits: Court fines and asset forfeitures Uisce!lanmtle revenue: Interest income Contributions Reimbursements Sale of property Other revenue TOTAL MISCELLANEOUS REVENUE TOTAL REVENUES Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 CITY OF BAKERSFIELD Estimated Revenue by Fund 2007-08 Fund Title General Community Development Licenses Inter-Charges Fines Other Taxes and and Governmental for and Miscellaneous Financing Assessments Permits Revenue Services Forfeits Revenue Sources Total Home Investment Partnership Intermodal (ISTEA) TRlP State Transportation Gas Tax Traffic Safety Transient Lodging Tax 8,450,000 Municipal Improvement Debt PFA Debt Service Capital Outlay Park Improvements 6,265,430 Transportation Development 15,050,000 TDF TRIP Local Match Public Financing Authority (PFA) Wastewater Treatment Sewer Connections Refuse Landfill Closure Agriculture Water Domestic Water Airpark Offstreet Parking Equipment Management Self Insurance Assessment Districts Redevelopment Operating: Downtown Old Town Kern-Pioneer Southeast Redevelopment Housing-Downtown Old Town Kern-Pioneer Southeast Redevelopment Debt-Downtown Totals THIS PAGE INTENTIONALLY LEFT BLANK LEGISLATIVE Legislative DEPARTMENT GOAL To serve as the legislative and policy making body of the City; enact ordinances, resolutions and orders necessary for governing the affairs of the City; and promote the economic, cultural and governmental well being of the City of Bakersfield. FY 2006-07 ACCOMPLISHMENTS 1. The City Council met with the County Board of Supervisors twice in open meetings to discuss areas of mutual interest and concern. 2. Continued recognitions of the public for special efforts they have accomplished for the betterment of the community. 3. Appointed citizens to City boards and commissions. 4. Worked toward equitable representation and resource allocations relative to the Kern Council of Governments. LEGISLATIVE DIVISIONS: Mayor City Council Total SOURCE OF FUNDS: General Fund Total FULL TIME EMPLOYEES: Mayor City Council Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 I01 1 -Mayor 1051 -City Council DIVISION GOAL Enhance the City's transportation network; provide quality public safety services; continue positive development trends for downtown; plan for growth an~dd evelopment; maintain and upgrade the City's infrastructure; ensure efficient use of fiscal resources; attract and foster a qualified work force; improve city government comnnunications with its citizens; strengthen and diversify the City's economic base; support positive intergovernmental relations; and promote community pride. Formulate City policies which reflect the needs and priorities of ithe community. Establish and promote efforts to enhance community pride and improved communications between government and its citizens. FY 2006-07 ACCOMPLISHMENTS 1. Increased funding for additional personnel and equipment to enhance the delivery of City services. 2. Prepared and took action on issues in a timely manner at regi~larlys cheduled and special Council meetings. 3. Provided Council direction to staff through through Council committees. 4. Adopted the City's annual Operating and Capital Improvements Program budgets prior to June 30. 5. Served in a ceremonial capacity for City events and away from home as a City representative. 6. Appointed citizens to represent the community on various boards and commissions. 7. Served as spokesperson for City affairs with all segments of the media. 8. Strengthened the City's position in local and state legislative arenas through representation at League of California Cities meetings, and at state, regional, and local public hearings. 1011 AND 1051 -Mayor and City Council continued FY 2007-08 ACTION PLAN 1. Prepare and take action on issues in a timely manner at regularly scheduled and special City Council meetings. 2. Provide Council direction to staff through Council committees. 3. Adopt the Annual Operating and Capital lmprovement Program budgets by June 30. 4. Serve in a ceremonial capacity for City events as a City representative. 5. Appoint citizens to represent the community on various boards and commissions. 6. Serve as spokespersons for City affairs with all segments of the media. 7. Meet with the County Board of Supervisors to discuss and consider proposals for joint efforts on issues of interest and concern to the area residents of Bakersfield and Kern County. 8. Work toward equitable representation and resource allocations relative to the State of California. 9. Communicate with State and local government officials on equitable resource allocations on important budget and other issues such as transportation, including high speed rail. 10. Represent the City of Bakersfield on the Local Agency Formation Commission and Kern Council of Governments. SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed Approved City budgets (Operating, Capital lmprovement Program and Bakersfield Redevelopment Agency) by June 30 1 1 1 Council Meetings Held 26 27 27 Proclamations Issued 107 102 105 MAYOR EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 CITY COUNCIL EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 THIS PAGE INTENTIONALLY LEFT BLANK EXECUTIVE Executive To provide professional leadership in the management of the City and execution of City Council policies; to provide effective municipal services through the coordination and direction of all City activities, finances and personnel; to act as liaison between the City and other governmental agencies, citizens, business and community groups and the media; and to provide administrative support to the City Council and City departments in matters relating to maintenance of City Council records, elections and personnel. FY 2006-07 ACCOMPLISHMENTS Staffed Council and Council-appointed committees. Streamlined the General Plan Amendment process for City Council meetings. Reviewed, analyzed and made recommendations regarding existing or pending state and federal legislation. Continued to monitor the effects of State and local economic conditions upon the CiUy and developed a process to meet existing and potential impacts upon the City's budget and related ability to provide services. Met with large developers to negotiate agreements to provide for orderly growth and provide a financing mechanism to pay for facilities and services, such as police and fire. Worked on the proposed sale of the City farmland, including completing the Request for Proposals (RFP) process. Qualified and received the GFOA (Government Finance Officers Association) Distinguished Budget Presentation Award for the City's Fiscal Year 2006-07 Final Budget. FY 2007-08 SIGNIFICANT BUDGET CHANGES The City Manager's Office will continue working on various development projects and overseeing major capital efforts of the City. Additionally, annexation of isllands and other annexations requested by property owners will be overseen by the Manager's Office. The City Manager's Office will coordinate efforts by Departments to secure grant funding for Transportation, Parks, Economic Development, and other available areas from the recent infrastructure bonds passed by the State. EXECUTIVE DIVISIONS: City Manager City.Clerk Human Resources Risk Management lnformation Technology Total SOURCE OF FUNDS: General Fund Equipment Fund Self Insurance Fund Total FULL TIME EMPLOYEES: City Manager City Clerk Human Resources Risk Management lnformation Technology Total Adopted Amended Actual Budget Budget 2005-06 2-07 -20 06-07 Proposed Budget 2007-08 1331 -City Manager DIVISIONAL GOAL Participate in intergovernmental activities to represent the City's interest and influence policy and legislation; provide public information services for the connmunity and City staff; assist Council in formulating long-term community policies and strategies; and administer and prepare all budget procedures and documents. Maintain a sound fiscal position for the City through preparation of and recommendations to the City's Operating and Capital Improvement Program budgets; and continual monitolring of financial conditions throughout the year. Provide legislative and policy assistance to the City Council and staff; develop and enhance administrative policy; and perform special assignments. 1. Prepared and distributed the proposed and annual operating budgets for fiscal year 2006-07. 2. Coordinated efforts to ensure equitable distribution to the City of Bakersfield of road funds from state and federal revenues. Congressman William Thomas obtained $630 million Federal road monies for the City. The City Manager's Office with the Public Works Department through meetings with CalTrans and Kern COG secured local matching funds of $157 million, for an overall total of $787 million. 3. Staffed the following Council Committees: Budget and Finance; Community Services; Intergovernmental Relations; Legislative and Litigation; Personnel; Planning and Development, and the Safe Neighborhood and Community Relations Committee. 4. Administered contracts for convention services with the Greiater Bakersfield Convention and Visitors Bureau and cable franchises. 5. As the local governing body, processed applications to determine public convenience or necessity for liquor licenses. 6. Directed the activities of the Employee Incentive Committee in th'e administration of the Employee Incentive Plan, which is a program to recognize City employees for excellent service in their work performance. 7. Received GFOA (Government Finance Officers Association) Distinguished Budget Presentation Award for the City's FY 2006-07 adopted budget. 1331 -City Manager continued FY 2007-08 ACTION PLAN 1. Prepare and distribute the proposed and annual operating budgets for fiscal year 2007-08. 2. Oversee the coordination of the road and freeway funds made possible by the Thomas Roads Improvement Program (TRIP) funding, including attending weekly meetings. 3. Continue to work with the Local Agency Formation Commission on processing annexations. 4. Staff City Council Committees: Budget and Finance; Community Services; Legislative and Litigation; Personnel; Planning and Development; and Safe Neighborhoods and Community Relations. 5. Review, analyze, and coordinate efforts to seek support for legislation beneficial to Bakersfield on issues of federal, state and local concern. 6. Administer contracts for services with the Greater Bakersfield Convention and Visitors Bureau and cable franchises. 7. As the local governing body, process applications to determine public convenience or necessity for liquor licenses. 8. Qualify the fiscal year 2007-08 adopted budget budget for the GFOA (Government Finance Officers Association) Distinguished Budget Presentation Award. 9. Prepare the weekly General lnformation packets for the Mayor and City Council. 10. Review and prepare agenda materials for City Council meetings. SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed Annexation Growth -Population (annual) 6 38 6 Annexation Growth -Square Miles (annual) 1.83 9.9 6.60 General Information Memoranda 52 52 52 Agenda Highlights Memoranda 26 27 27 Staffed Council Committee Meetings 28 39 39 CITY MANAGER EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 -2007-08 1341 -City Clerk DIVISION GOAL Maintain a complete and accurate record of City Council proceedings; preserve official City records; conduct municipal elections; provide administrative assistance to the City Council and Bakersfield Redevelopment Agency and provide prompt and courteous service to citizens' requests for assistance. FY 2006-07 ACCOMPLISHMENTS 1. Conducted November 2006 General Municipal Election for Wards 1, 3, 4 & 7. 2. Conducted Teen Government Day 2006. 3. Conducted 99 Public Hearings. 4. Conducted 10 Administrative Appeal Hearings. 5. Prepared Administrative Records for Court regarding the Rosedale Ranch Project and the Hillside Ordinance. 6. Through the City's webpage, made documents available to the public including, minutes, resolutions, ordinances and agenda materials within 24 hours of execution. 7. Administered the provisions of the Maddy Act and monitored term expirations of 21 Council Boards, Commissions and Committees. 8. Maintained Ibi-monthly updates of the Municipal Code on-line, providing up-todate information to citizens and City departments of adopted ordinances. 9. Administered the provisions of the Political Reform Act; conducted the bi-annual review and revised the Conflict of Interest Code; processed 68 FPPC campaign statement filings and 290 Statement of Economic Interest filings. 10. In conjunction with City Attorney, initiated record-keeping for State mandated ethics training (AB1234). 11. Initiated the ForTheRecord recording system which records City Council and Committees meetings, allows for note taking during the recording, and timestamps the minutes for linking to the audio. 1341 -City Clerk continued FY 2007-08 ACTION PLAN 1. Conduct Teen Government Day 2007. 2. Conduct June 2008 Primary Municipal Election for the Office of Mayor. 3. Recommend and implement Laserfiche Agenda Management System for processing a paperless agenda. 4. Administer the provisions of the Maddy Act, solicit applications for Council Boards, Commissions and Committees, and forward reports to Council for appointment. 5. Update and expand the Boards and Commissions information booklet. 6. Prepare Council agenda and distribute agenda packets by 5::00 p.m. on the Friday prior to a Council meeting. 7. Respond to subpoenas and requests for public records according to the requirements of the California Public Records Act and within the legal deadline of 10 days, 100 percent of the time. 8. Administer the provisions of the Political Reform Act, and manage the 2007108 Statements of Economic Interests and Campaign Statements. 9. Prepare and distribute Bakersfield Redevelopment Agency agenda packets by 5:00 p.m. on Wednesday prior to the Monday meeting. 10. Provide prompt and courteous service to all citizens' requests for iassistance. FY 05-06 FY 06-07 FY 07-08 Actual Proiectc~d Proposed Prepare and Post Council Agenda 26 27 27 Council and Mayoral Elections 0 1 1 City Ordinances Adopted 86 120 1 32 City Resolutions Adopted 327 350 370 Contracts & Agreements 1,007 1,552 1 750 Deeds 180 302 325 CITY CLERK EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 Human Resources The Mission of Human Resources is to contribute to the City of Bakersfield's success in meeting the needs of the citizens of Bakersfield by providing customer-flocused Human Resources expertise that is value added. FY 2006-07 ACCOMPLISHMENTS 1. Provided customer-focused Human Resources expertise which included but not limited to the following: Talent Acquisition & Management Organizational Development & Training Benefits Services & Counsel Performance Management Labor Relations Employee Relations Discipline Counsel Employment Legislation and Regulations Counsel General HR Counsel Succession Planning Compensation & Classification Counsel Managing Diversity 2. Established Strategic HR Plan which resulted in development of HIR Mission, Vision, Critical Drivers, Team Behaviors and Goals. 3. Supported departments and divisions in filling a total of 383 vacancies (223 new hires and 160 promotions) between July 1, 2006 and June 30, 2007. 4. Established HR Project Teams to identify and make process improvements in recruitment, employment selection and employee on-boarding by end of 2"d Quarter 2007. 5. Investigated and responded to employment complaints, harassme~nat llegations and related issues. 6. Recruited, processed and hired approximately 400 temporary employees. 7. Continued to expand and update benefit information on the City's intranet and internet sites so that employees can access benefits information rebmotely. Human Resources continued FY 2007-08 ACTION PLAN 1. The HR Team will have established and implemented tactical and strategic plans to transition the HR Team to High Performance Team. a) By end of April, 1,2007, define a High Performance Team b) By end of June 1, 2007, develop and implement transition plan and timeline c) Continuously provide value-added customers focused products and serviices 2. .. The HR Team will identify current and future resource needs and define how to utilize current resources more effectively. a) By end of July 31,2007, identify critical resources needed and prioritize for acquisition. b) By end of October 1, 2007, identify effectiveness/eMiciency gaps with current resources and implement action plans to close the gaps. c) Continuously identify work processes and take actions to improve. 3. The HR Team will communicate continuously and effectively across the organization. a) By August 31,2007, develop and implement communication plan. 4. The HR Team will continuously learn and develop ourselves and provide value-addeid learning opportunities to help the organization succeed. a) By August 1,2007, identify training needs of HR team and Organization b) By end of June 1, 2008, develop and implement Training Plan Strategy aligned with HR strategy and organizational needs. c) Continuously educate our customers on HR roles, responsibilities, services, benefits and value. d) By June 2008, embed a culture of continuous learning across the organization. 5. The HR Team will have developed and implemented the HR Strategic Plan. a) By August 31,2007, develop and execute HR Strategic Plan in alignment with olrganizational goals and objectives. 6. The HR Team will position the City of Bakersfield to become the employer of first choice. a) By July 31 , 2007, define employer of first choice b) By August 31, 2007, establish and implement recruitment and retention strategy c) By December 31,2007, develop and execute strategy to transition City of Bakersfield to Employer of first choice. Human Resources continued SERVICE LEVEL INDICATORS RECRUITMENT Regular Full-Time Vacancies Filled Temporary Vacancies Filled Regular Full-Time Positions Posted Regular Full-Time Applications Received Online Hardcopy RETENTION Turn-over Rate Total Terminations o Voluntary Resignations o Retirements o Involuntary Terminations BENEFIT SERVICES & SUPPORT Employee Benefit Changes Processed Retiree Benefit Changes Processed Service Awards Processed Number of FMLA Leaves Processed FY 06-07 FY 06-07 FY 07-08 Actual Proiected Proposed HUMAN RESOURCES Adopted Amended Proposed Actual Budget Budget Budget EXPENDITURES: 2005-06 2006-07 2006-07 2007-08 Personnel Operatin-g capital $0 $9,344 $9; 344 $0 Total $1,123,139 $1,496,303 $1,496,303 $1,573,508 SOURCE OF FUNDS: General Fund Total $1,123,139 $1,496,303 $1,496,303 $1,573,508 1361 -Risk Management DIVISION GOAL Protect the assets of the City from potential loss by purchasing insurance, self-insuring or transferring the risk of loss to others; promote safety and well being for City employees by designing training and educational programs to reduce injuries; respond to all claims filed against the City and limit amount of loss through effective claims management. FY 2006-2007 ACCOMPLISHMENTS 1. Participated in the resolution of several major lawsuits and clilims against the City, working with the City Attorneys Office, outside counsel and iadjustors. 2. Created a Medical Provider Network, designed to control medical costs in workers' compensation. Obtained approval for the Medical Provider Network from the California Division of Workers' Compensation. 3. Initiated monthly safety training courses and certifications, in order to enhance loss prevention. 4. Trained and licensed, nearly 200 City employees, as forklift operators. 5. Negotiated the contract for a new third party administrator for administration of liability claims. 6. Developed and presented a workers' compensation training program for department supervisors. 7. Issued RFP for Utilization Review and Nurse Case Management services. FY 2007-2008 ACTION PLAN 1. Continue to develop skills of division's Administrative Assistant, to prepare her to fill in for Risk Manager, as needed. 2. Prepare for RFP on workers' compensation third party administration and bill review services. 3. Continue to work toward achieving a "paperless" claims processi~ige nvironment. 4. Continue to train new employees within the Risk Management Division. 5, Investigate feasibility of contracting with a rental car company to supplement/replace City pool cars to reduce potential City liability. 50 RISK MANAGEMENT EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: Self Insurance Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 -20 06-07 2807-08 1371 -lnformation Technology DIVISION GOAL Aid all City departments in the delivery of services and products by provid~ingd evelopment, administration, installation and maintenance of information technologies; represent the City in dealings with outside agencies regarding information technology issues; and ensure a reliable, secure, and responsive centrally managed, computing environment to meet the continuing needs of City departments. FY 2006-07 ACCOMPLISHMENTS Installed two new Computer Storage Area Networks; one for the Police Department and one for other City Departments. Installed wireless access for Mobile Data Computers (MDC's). 78 Laserfiche Volumes added. Upgraded Groupwise Software. Integrated Laserfiche Software with HTE System for Code Enforcernent and Building Division. Deployed the TRIP server supporting the Primavera application. Upgraded the Police Department Records Management System. Integration of Geographic Information System (GIs) with HTE System using the Looking Glass Suite of products. Upgraded all GIs applications to the newest version of ESRl products. Increased GIs and GPS usage in Recreation and Parks, Fire and Public Works. Major HTE Geographic land file clean up. Better automation of large GIs projects and tasks including fire funcl calculation and road maintenance. Added over 5000 additional lots to the GIs system and updated related information such as street centerlines, address points, and boundary information. Replace Police Department Firewall. Install a monitoring system for network and server Uninterrupted Power Supply. Moved call tracking and Inventory to HTE from the unsupported Support Magic software. Replaced computers, printers and large plotters in departments as required by the 1371 -Information Technology continued replacement policy. 18. Relocated Thomas Roads Project, EDCD and Fire Prevention computers. 19. Generated illcome to the City's general fund by disposing of outdated computer equipment through our Internet Broker. 20. Improved security of computer equipment storage areas. FY 2007-08 ACTION PLAN 1. Integrate GIS and Laserfiche Systems. 2. Create a GIS Policy and Procedures manual. 3. Complete GIs routing application for increased driving efficiency, staff time savings, and fuel savings. 4. Create custom task based web GIs application to increase staff efficiency. 5. Eliminate back log of Coordinate Geometry projects and reduce the time taking to enter new tracts and parcel maps form 3-4 months down to 1-2 months. 6. Upgrade 15 computer servers. 7. Add approximately 50 Laserfiche volumes. 8. Install and Implement Wireless computer access in City Buildings (conference rooms). 9. Upgrade computer network equipment at .Fire Stations. 10. Upgrade existing Nortel Computer routers for Fire training. 1 1. Run Fiber Optic cable to Fire Station 1 to improve bandwidth. 12. Replace Fiber Optic cable to Development Services building. 13. Add additional Fiber lines to County Information Technology Services. 14. Upgrade equipment to improve internet connectivity. 1371 -Information Technology continued SERVICE LEVEL INDICATORS lnstall replacement computers lnstall replacement printers lnstall replacement Mobil Data Computers lnstall new computers lnstall new printers lnstall new Mobile Data Computers Number of help desk calls processed FY 05-06 Actual FY 06-07 FY 07-08 Proieclted Proposed INFORMATION TECHNOLOGY Adopted Amended Proposed Actual Budget Budget Budget EXPENDITURES: 2005-06 2006-07 2006-07 2007-08 Personnel Operating Capital Total $5,680,161 $5,640,383 $-5,75 0.383 $6,086.11 0 SOURCE OF FUNDIS: General Fund $2,766,813 $3,677,036 $3,787,036 $3,907,713 Equipment Fund $2,913,348 $1,963,347 $1,963,347 $2,178,397 Total $5,680,161 $5,640,383 $5,750,383 $6,086,110 THIS PAGE INTENTIONALLY LEFT BLANK FINANCIAL SERVICES Financial Services FY 2007-2008 Organizational Chart Finance Director I PProperty Agents I Assistant Finance Director I Treasurer Accounting Supervisors I Purchasing Officer , ( H S I Treasury Supervisor p z i i z -f l f l H Financial Investigators Accounting Clerks Accounting Clerk IAccounting Clerks Financial Services DEPARTMENT G0AL.S To provide support to the City Council and City departments in matters relating to revenue generation, budgetary accounting and reporting, investments, business licenses and permits, purchasing and real property management. FY 2006-07 ACCOMPLISHMENTS 1. Issued $5,070,000 special assessment district bonds (one issue). 2. Processed 20,104 Business License renewals in a timely manner,, 3. Processed approximately 7,300 purchase orders. 4. Implemented new reporting requirements in the Comprehensive Annual Financial Report (CAFR) and established an irrevocable trust fund and plan for future retiree medical costs regarding Other Post Employment Benefits (retiree medical subsidy) in accordance with Governmental Accounting Standards Board (GASB) Statement 43 and 45. FY 2007-08 ACTION PLAN 1. Secure Revenue Bond proceeds for projects as directed. 2. Issue special district bonds as directed by the City Council. 3. Acquire/Dispose of real property in a timely manner. 4. Continue multiyear document imaging program to address long-term document storage issues as they relate to storage space needs. FY 2087-08 SIGNIFICANT BUDGET CHANGES 1. Increase budget to cover actual cost of accepting payments viia credit cards. Current monthly charges are about $6,00O/month. (Increasing budget from 36,000 to 72,000; a $36,000 increase) DIVISIONS: Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 Administration $534,346 $723,531 $723,531 $788,707 Accounting $1,000,928 $1,165,817 $1,149,317 $1,227,480 Treasury $636,341 $793,159 $793,159 $842,973 Purchasing $473,438 $594,671 $61 1,171 $553,085 Total SOURCE OF FUNDS: General Fund TDF TRIP Local Match PFA -Operating Fund Capital Outlay Fund Offstreet Parking Funcl Equipment Management Fund Assessment Districts Total FULL 'TIME EMPLOYEES: Administration Accounting Treasury Purchasing Total 1991 -Administration DIVISION GOAL Provide for effective and efficient management of the City's fiscal resources through leadership and direction of staff resources; provide support to the City in matters relating to real estate and the purchase, sale and leasing of City-owned real property; and administer the protective provisions of CiUy indentures. FY 2006-07 ACCOMPLISHMENTS 1. Established an irrevocable trust fund and plan for future retirele medical costs regarding Other Post Employment Benefits (retiree medical subsidy) in accordance with Governmental Accounting Standards Board (GASB) Statement 43 and 45. 2. Acquired properties for the Westside Parkway Project. 3. Acquired properties for the Old Fairfax/l78 Interchange. 4. Acquired property to address space needs issue. FY 2007-08 ACTION PLAN 1. AcquireIDispose of real property in a timely manner. 2. Secure revenue bond proceeds for projects as directed. SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 07-08 Actual Projected Proposed Property Acquisitions 35 100 50 Property Disposals 3 2 5 ADMINISTRATION EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund TDF TRIP Local Match PFA -Operating Fund Assessment Districts Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 1992 -Accounting and Reporting DIVISION GOAL Provide for the accurate and timely accounting and reporting of all fiscal transactions for the City and related agencies. Monitor special assessment district financing for investment compliance and timely bond calls by September of each year. Process biweekly payroll checks, weekly vendor payments and accounts receivable billings as scheduled. FY 2006-07 ACCOMPLISHMENTS 1. .Issued the June 30, 2006 Comprehensive Annual Financial R~!port (CAFR) in December 2006. 2. Processed all debt service payments when due. 3. Issued $5,070,000 in Assessment Bonds. (one issue) 4. Implemented new reporting requirements in the Comprehensive Annual Financial Report (CAFR) regarding Other Post Employment Benefits (retiree medical subsidy) in accordance with Governmental Accounting Standards Board (GASB) Statement 43 and 45. FY 2007-08 ACTION PLAN 1. Prepare a Comprehensive Annual Financial Report for the fiscal year ending June 3oth, in conformance with generally accepted accounting principles by December 31" in order to qualify for special recognition programs at the National level. 2. Process all required debt service payments by due date. 3. Issue assessment bonds as directed by Council. SERVICE LEVEL INDICATORS FY 05-06 FY 06-(117 FY 07-08 Actual Proiectczd Proposed Assessment District Parcels 23,065 26,24!9 27,450 Payroll Checks 40,046 42,9614 45,165 Accounts Payable Invoices 63,121 66,28iB 70,125 Accounts Receivable Statements 124,275 132,550 140,150 EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Capital Outlay Fund Total ACCOUNTING AND REPORTING Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 -200 6-07 2007-08 1994 -Treasury DIVISION GOAL Provide centralized cashiering, check distribution and investment of idle funds. Administer and enforce the provisions of the Municipal Code relating to business licenses, transient occupancy tax and business regulatory permits. FY 2006-07 ACCOMPLISHMENTS 1. Implemented process to accept utility billing credit card payments through the City's website (Click-to-Gov) and updated the Treasury web site to include a process for identifying stale dated monies due and instructions om how to collect. 2. Completed the automation of the City's parking garage at 1 8a~nd Eye streets and assumed the responsibility of the day to day operations. lrnplemented new parking software to process access cards for customers and new processes for assuring that the garage is in good working condition. 3. Processed 20,104 Business License renewals. FY 2007-08 ACTION PLAN 1. Receipt all payments by the end of each day. 2. Provide an investment policy to the City Council by December IS'. 3. lssue Business Licenses within seven (7) days of application. 4. lssue permits within Municipal Code time limits not to exceed 30 (days. 5. lssue dog licenses within seven (7) days of receipt of payment OF license fee and required information regarding vaccinations. SERVICE LEVEL INDICATORS Business Licenses FY 05-06 FY 06-107 FY 07-08 Actual Proiec1:ed Proposed Alarm Permits 7,376 7,5010 8,000 Development Permit Payments 18,866 15,667 17,000 Cash Receipt Transactions 155,533 1 60,84:3 165,000 Dog Licenses 7,597 7,600 7,600 TREASURY EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Off street Parking Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 1995 -Purchasing DIVISION GOAL Administer the provisions of the City Charter and Municipal Code relating to the procurement of materials and services at the best value to the requesting department. FY 2006-07 ACCOMPLISHMENTS 1. Implemented Planet Bids Online Vendor and Bid Management System. 2. Processed approximately 7,300 purchase orders (90% within three working days of receipt of requisition). 3. Increased outreach to small and minority businesses regarding purchasing and contracting opportunities by participating in small busines!; development conferences. FY 2007-08 ACTION PLAN 1. Review Purchasing lntranet and Internet Sites. Recommend and make changes as necessary. 2. Review Procurement Policy and Procedures to insure full legal compliance. 3. Revise Policies and Procedures Manual. 4. Continue to improvelrevise annual contract bidding and processin!g procedures. 5. Continue to outreach to small and disadvantaged business enterprises. 6. Continue to provide in-service training to departments. SERVICE SERVICE LEVEL INDICATORS Annual Contracts Actual Proiect~id Proposed Purchase Orders 7,559 7,278 7,300 PURCHASING Adopted Amended Proposed EXPENDITURES: Actual Budget Budget Budget 2005-06 2006-07 -200 6-07 2007-08 Personnel Operating Capital Total SOURCE OF FUNDS: General Fund $280,993 $324,671 $341 ,I 71 $343,085 Equipment Management Fund $1 92,445 $270,000 $270,000 $21 0,000 Total $473,438 $594,671 $61 1.1 71 $553,085 THIS PAGE INTENTIONALLY LEFT BLANK CITY ATTORNEY City Attorney DEPARTMENT GOAL To represent, support and provide legal advice to the Mayor and City Council, department heads and staff members of the various City departments; to aggressively defend our'client in litigation; to initiate litigation at the direction of the City Council; to render timely legal advice to City boards, commissions and committees; to research and provide information on legal issues; to prepare legal documents, including ordinances, resolutions and contracts; and to review and prepare amendments to the City Charter and Bakersfield Municipal Code to maintain consistency with current state and federal laws. Litigation: 1. Implementation of the "Community Prosecution" program to address "quality of life" crimes. After the success of the pilot program, the City Attorney's office hired three associates to handle a variety of misdemeanors-both from the Penal Code and the Bakersfield Municipal Code. In the 2006 calendar year, 51 1 violations were disposed of through this program. For a breakdown of the specific violations and Ward detail, please see attached chart. 2. Disposition of fourteen (14) state litigation matters, with no settlement monies being paid on seven (7) and four (4) under $25,000. Disposition of five (5) federal litigation matters, with no settlement monies being spent on four (4). For more detail on the types of cases and their results, please see attached chart. 3. Monitored twelve (1 2) eminent domain cases with outside counsel and resolved five (5) without going to trial. 4. Successfully handled several matters in-house such as the defense of the City in several CEQA lawsuits, successfully defended a Writ to the Fifth Appellate and to the California Supreme Court District concerning a Pitchess motion. 5. Assisted Code Enforcement with the abatement of at least five (5) dangerous buildings and the closure of an illegal half-way house, and assisted in obtaining over thirty (30) abatement warrants. Municipal: 1. Drafted and finalized several ordinances, including one to protect open space and provide slope protection (Hillside Ordinance), an ordinance that implemented the letter grading of food establishments, a code requirement to provide new posting regulations for land use matters and noticing to mineral right holders, an ordinance which will allow the City to redeem bonds in advance of their maturity City Attorney Municipal continued without redemption premiums, and various amendments to Bakersfield Municipal Code relating to parks permits. 2. Drafted various resolutions, including support for various pieces of state and federal legislation concerning water service to low income households, gang abatement, access to CJlS for city attorneys, and resolutions establishing new thoroughfare districts and one for an Agriculture Preserve. 3. Drafted and reviewed numerous agreements for City departments and divisions; in particular, the development agreement for the V\lesZ Ming Project, the new trash hauler agreement, various contracts concerning TRIP, software purchase agreements for IT, extension of the Arena contracts to 2013, an agreement with SMG to manage Brighthouse Amphitheater, a license/construction agreement with Southwest Baseball, and a consulting agreement with RCL for analysis of potential quiet zones. 4. Prepare the Administrative Records for the Oxy v. Rssedale Ranch and DKS v. City of Bakersfield CEQA cases. 5. Reviewed and drafted a legal opinion in connection with the $1.6 million dollar section 108 loan for Fire Station Five. 6. Worked with the Police Department to recover $13,000 owed by an auction company. 7. Represented the Police Department in over 140 Pitchess cases, various motions to quash, subpoenas, and oppositions to release of juvenile records. 8. Continued to speak at public seminars for the Bakersfield Police Department Crime-Free Multi-Housing Program, at training seminars for Recreation and Parks, and coordinate a city-wide contract class for City employees and AB1234 class for city officials. 1. There is a salary increase ($61,000) to reflect the recruitment of an Administrative Assistant for the City Attorney's Office in order to further expand the types of support staff required for an efficient legal office. 2. Success of outside counsel in litigation continues to reduce the overall number of litigation cases against the City. 3. The negotiation of two-year contracts for outside counsel, and in particular, securing that all federal cases be handled at a flat rate, will provide continued stability in knowing what legal fees will be incurred and in securing a solid defense team through July 2008. FY 2007-08 Significant Budget Changes continued 4. The creation of a separate line item in the budget for CEQA and developer initiated eminent domain actions will allow for a more accurate accounting of legal expenses associated with non-tort litigation. FY 2007-08 ACTION PLAN 1. Continue to update Council regarding issues of concern. 2. Continue to provide City Departments with municipal service. 3. Continue aggressive approach with litigation matters. 4. Continue with the Community Prosecution Program to address "quality of life issues" and perhaps expand its application. SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 0748 Actual Projected Proposed Litiqation Indicators: Total Municipal Cases Filed and Served 19 Number of Municipal Outsourced cases 19 Number of Municipal Cases Handled In-House 0 Municipal Cases Dismissed (No Funds Expended) 7 Total Federal Cases Filed and Served 3 Number of Federal Outsourced cases 3 Number of Federal Cases handled In-House 0 Federal Cases Dismissed (No Funds Expended) 3 Cases filed on behalf of City (including eminent domain) Litiqation Cases Resolved: Total Cases Settled (Funds Expended) (not including eminent domain) Trial Judgments in Favor of the City Trial Judgments Against the City Service Level Indicators continued Municipal Indicators: Ordinances Resolutions Agreements Administrative Hearings CITY AlTORNEY DIVISIONS: Legal Counsel Total SOURCE OF FUNDS: General Fund Self-Insurance Fund Total FULL TIME EMPLOYEES: Legal Counsel Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 LEGAL COUNSEL EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS\: General Fund Self-Insurance Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 FISCAL YEAR 2006 -2007 SETTLED/CLOSE8DC ASES State Cases = 14 Federal Cases = 5 ---1 Total 1 86 1 210 1 36 ) 3 * 1 17 r57 (84 ( 5221 Grand Total 522 POLICE SERVICES I o v m m a 1 ~ ~ u o w n v LVMS I Y V ~ L ~ O DEPARTMENT GOAL To provide for the safety and welfare of the citizens of Bakersfield through maintenance of effective law enforcement systems, including: Crime Prevention, Patrol, Traffic Enforcement, Criminal Investigations, Vice and Narcotics Enforcement and Community Relations. 1. The Department continues to be an integral member of the Council recognized Safe Neighborhoods Committee, which through collaborative efforts with City Council members, City Staff and community members works to find solutions and innovative means to combat gang violence in our community. Participation and leadership on this committee will be an ongoing effort to impact this scourge in our society. 2. Department staff members have attended several interactive Community Meetings hosted by southeast Bakersfield faith based organizations. These meetings provide a venue where community members meet and communicate with various representatives of the Law Enforcement and the Justice Systems. Agencies represented have included members of the Police Department, Sheriff's Department, District Attorney's Office, Probation De!partment, High School District Police and the Federal Bureau of Investigation. 'These meetings have improved communication between these agencies and members of the southeast Bakersfield community, and are helping build bridges and improving trust between these groups. 3. The Police Department has been an active participant in joint City-County efforts to develop cohesive and comprehensive strategies to combat the gang problem in the City of Bakersfield and the County of Kern. These efforts include suppression, prevention and intervention components and provide a multifaceted approach to impacting gangs and reducing violence caused by these groups. 4. The Department continues to make downtown safety and security a priority, with ongoing efforts to work collaboratively with Council members, City Staff, business owners and the Downtown Business Association. The focus is to find and implement methods and strategies to improve the safety and security of those who visit and patronize downtown, with an added benefit of improving the business environment in the downtown area. Recently the Department hosted a training workshop for bar employees and security personnel where these individuals and businesses received valuable information from our staff and State Police Services continued Alcohol Beverage and Control personnel. We are confident these sessions will improve the working relationship and communication between our Department and downtown businesses. 5. The Police Department continues its efforts to increase the community's involvement in the Neighborhood Watch program as a Crime Prevention tool. During 2006, the Department developed new marketing strategies to expand our Neighborhood Watch program and held 106 Neighborhood Watch meetings. We worked with our community members to form 147 new Neighborhood Watch groups. 6. The Department has begun to develop and plan for the implementation of technological interoperability and data sharing with other Law Enforcement and Justice System partners throughout the County of Kern. When operational, this technology will provide for the exchange of valuable information with other agencies, as well as enhanced communication ability in the event of emergencies or disasters. 7. The Department developed evacuation plans plans and distributed brochures and information to the public due to concern over flooding potential in the event of failure of the Lake lsabella Dam. These planning efforts are designed to mitigate the potential impact of a flood or other natural or man made disaster that might necessitate evacuating large numbers of people from the metropolitan Bakersfield area. 8. The Department has continued its efforts to impact the issue of graffiti in our community. Using community education and volunteer efforts, cooperative involvement between Public Works Graffiti abatement crews and aggressive enforcement, we have made significant strides in reducing the number of offenses and the speed in which the graffiti is removed. During 2006, the Police Department made 256 arrests for graffiti vandalism and our Graffiti Habitual Offender Suppression Team (GHOST) cleared 861 graffiti cases. GHOST received 19 Secret Witness tips from the community, made 27 educational presentations and conducted 16 anti-graffiti surveillances. Utilizing the recently added Community Relations Specialist position, we are continuing to develop and implement an educational prevention program targeting school age children. 9. The Department continues its efforts to seek out and obtain supplemental funding sources to carry out our mission and to improve safety in our community. In the past year we have been awarded nearly three quarters of a million dollars in grants that we will utilize to enhance our service delivery. POLICE SERVICES Adopted Amended Proposed Actual Budget Budget Budget DIVISIONS: 2005-06 2006-07 2006-07 2007-08 Administration $14,311 ,I 54 $1 5,519,959 $1 5,756,664 $17,121,902 Operations $33,781,839 $38,241,439 $39,348,121 $40,020,517 Investigations $1 1,623,109 $1 2,095,178 $12,385,926 $1 2,634,736 Total $59,716.10 2 $65,856,576 $67.490.711 $69,777,155 SOURCE OF FUNDS: General Fund $58,971,430 $65,231,576 $66,258,787 $69,177,155 Supp Law Enforcement $0 $0 $606,924 $0 Traffic Safety Fund $744,672 $625,000 $625,000 -$600,000 Total $59.71 6,102 $65,856,576 $67,490,711 $69,777.1 55 FULL TIME EMPLOYEES: Administrative Svcs. Operations 1 nvestigations Total 201 1 -Headquarters Provide direct assistance and support to the Chief of Police; investigation of personnel complaints; investigate Government Code claims for damages against the Police Department; provide investigative assistance to the City Attorney's Office; disseminate information to the media and relate information developed through public inquiries; continue to implement recommendations outlined in the Unitecl States Department of Justice letter regarding the investigation of the Bakersfield Police Department, dated April 12, 2004. FY 2006-07 ACCOMPLISHMENTS 1. lnvestigated 42 citizen complaints. 2. Investigated 22 internal affairs investigations. 3. Responded to 15 citizen inquiries. 4. Processed 150 permits to conduct business within the City of Bakersfield. 5. Provided assistance to the City Attorney's Office in response to 114 Pitchess Motions. 6. Provided investigative assistance on 53 claims against the City of Bakersfield. 7. Conducted one officer-involved shooting investigation and one critical incident investigation. 8. The Public Relations position has maintained a quarterly on-line magazine, "BPD Insider," for public viewing; a monthly internal newsletter, The Blue Review," for all current and retired employees; and has assembled several presentations for command staff to assist in sharing information about the department. 9. In August 2006, the Department participated in a series of articles with the Bakersfield Californian entitled, "Becoming a Cop." This project followed several police cadets from the first day of the academy through graduation. 10. In December 2006, the Department developed a partnership with La Campesina Radio Network. Spanish speaking police officers and personnel will be participating in a live radio show once a month to address law enforcement issues within the Hispanic community. This will begin in the spring of 2007. 201 1 -Headquarters continued FY 2006-07 ACTION PLAN 1. Receive, investigate, and process all personnel complaints, and strive to complete them as mandated. 2. -Receive, investigate, process and monitor all investigative requests from the City Attorney's Office to ensure they are completed in a timely manner. 3. Complete all personnel complaint investigations within 60 days of their reception. 4. Complete all investigative services requested by the City Attorney's Office and Risk Management within five days. 5. Continue to implement United States Department of Justice recommendations. SERVICE LEVEL INDICATORS FY 04-05 FY 05-06 FY 06-07 Actual Actual Actual (to 3/1/07) Citizens Complaints Internal Affairs lnvestigations Citizens Inquiries Pitchess Motions Claims Permits Audits 0. I .S. lnvestigations Critical Incident lnvestigations 201 1 -Support Services DIVISION GOAL Provide administrative support necessary for effective operation of the various Department units: provide mandated and additional training to all employees of the Department: provide 24-hour emergency and non-emergency telephone answering and radio dispatching of calls; disseminate information crucial to the effective enforcement of law; develop and update Department policy and procedures; conduct efficient record management practices; and provide crime prevention programs to the community, local schools and business; receive and process calls for police services in the most expeditious manner possible, to aid in the protection of life and property. FY 2006 -2007 ACCOMPLISHMENTS 1. In cooperation with Bakersfield College, the Planning, Research and Training section provided one POST certified Basic Police Officer Academy which graduated 28 Police Officers. 2. Maintained an improved priority one average "receipt to dispatch" time of two minutes 44 seconds even though these calls for service increased 5% over the 2005 total. 3. Training staff coordinated and presented over 20 professional training courses for officers and civilian employees. 4. The new 5.1 1 police officer uniform was researched by Training Section and later fully implemented. 5. The Bakersfield Firearms Training Facility revitalization project was started which included the Tactical Shoot House, remodeling of the restroom facilities and remodeling of the office. 6. The Bakersfield Police Department Reserve Unit accomplished the following in 2005: Donated 8400 hours of service working various volunteer assignments Worked 800 hours of paid assignments 7. The Police Activities League (PAL) added a new baseball field and had 125 participants in its inaugural season. 8. The PAL center implemented a new soccer program with 350 soccer players. 9. In conjunction with PAL, the 14 week Junior Police Academy was administered by School Resource Officers. 201 1 -Support Services continued The Communications Center increased the number of primary dispatch radio channels from one to two. The Communication Center Implemented Phase II cellular 91 1 services to our agency with four cellular providers. 362 bikes were transferred to Pleasant Valley State Prison to be refurbished and donated to PAL for distribution. Additionally, 57 bikes were donated to Bike Bakersfield. A narcotic and firearm destruction project was completed resulting in over 600 firearms and over 200 pounds of narcotics destroyed. The Transcribing Unit was given the responsibility for the telephonic queue which provided faster response to citizens. The transcribing Unit completed 493 telephonic reports during 2006. Revised the complaint package process eliminating the need for court officers to track reports and arrest cards. Records Request Unit improved the process for citizens to report violation of court order and harassing calls by eliminating the mail request. Those individuals are contacted by phone and their reports are comple!ted in 1-2 days rather than 1-2 weeks. Received favorable ratings in two separate DOJ site audits conducted in 2006 and were commended for our efficient records management, accuracy, and NClC compliance. Improved efficiency of data entry by implementing single point of entry for vehicles and development of tow letter template. A total of 461 Crime Prevention Programs were conducted for approximately 6200 local residents. 106 new neighborhood programs were held with 1,668 people attending. 147 new Neighborhood Watch groups were formed in Bakersfield in 2006. As part of graffiti abatement, prevention and education efforts, an additional Community Relations Specialist was added to the Crime Prevention Unit's team. Three comprehensive handouts were developed for the new Domestic Violence Awareness Program. Twenty-four programs were presented for 777 people during 2006. 201 1 -Support Services continued 23. An Identity Theft Prevention public service announcement was developed in cooperation with Eye Street Productions and KGET Channel 17. The PSA was developed a.nd then aired on both English and Spanish language channels. 24. The BPD Explorer Post maintained an average of 42 young people who donated 9232 hours in 2006. FY 2007 -2008 ACTION PLAN 1. Present two POST Basic Police Officer Academies and two POST Basic Dispatcher Academies. 2. Develop a two year rotational training calendar. 3. Implement the Training Needs Assessment for the entire Department. 4. Complete the Building Security Project. 6. Donate 9000 hours of Reserve Unit service to the community. 7. Achieve and maintain an average "receipt to dispatch" time of less than two minutes for priority one calls. 8. Develop a marketing strategy to promote the two newest Crime Prevention Programs, Graffiti Awareness and Volunteers in Police Service (VIPs). Design a comprehensive handout for each program. Promote each program via various media sources. Develop a citizen's "academy" which each volunteer will be required to attend prior to their appointment. Identify volunteers within who will work with the Graffiti Awareness program. Develop a Disaster Preparedness component which will be added to the existing Neighborhood Watch program. This component will be presented during Neighborhood Watch meetings. 201 1 -Support Services continued SERVICE LEVEL INDICATORS Planning, Research & Training Mandated training to sworn personnel & civilians (hours) Monthly Training Bulletins Basic Academy Course Public Safety Dispatcher Course Background Investigations 'Projections as of 3/1/07. Records Section General Offenses entered Vehicle Impounds Processed Calls Completed by Records (mail-in, online, telephonic FY 05-06 FY 06-07 FY 07-08 Actual Projected Proposed FY 05-06 FY 06-07 FY 07-08 Actual Projected Proposed EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Supp Law Enforcement Total HEADQUARTERS AND SUPPORT SERVICES Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-107 2007-08 2021 -Operations DIVISION GOAL Protect life and property; investigate crimes and apprehend criminal violators; provide for the safe and orderly flow of traffic; provide police canine service; provide for safe schools through crime prevention, intervention and enforcement measures; provide animal control services; provide graffiti prevention, enforcement and investigation and provide preventative patrol to the community. FY 2006-07 ACCOMPLISHMENTS 1. The traffic section secured a State of California Office of Traffic Safety grant for $502,165. This grant includes money for DUI checkpoints, sa1:uration patrols, warrant service, special traffic projects, electronic citation devices, passive alcohol sensors, radar guns and other traffic related equipment. 2. Traffic section secured a State of California Office of Traffic Safety Click-it or Ticket grant for over $36,000. During a designated 3 week period in 2006, the Police Department issued over 1200 citations for safety restraint violations. 3. Foot beat officers were assigned Monday through Friday in the downtown and Baker Street areas. They have continued to foster good relatiorrships between local businesses and the Police Department. Foot beat officers spent time focusing on problems within their respective areas and a watch commander meets monthly with the Downtown Business Association to keep abreast of current issues affecting the downtown business district. 4. The traffic and patrol sections conducted two river bed sweeps of the Kern River during 2006. Additionally, the traffic section provided off-road motorcycle patrol to the area on four separate occasions. 5. The Operations Division implemented a Directed Policing Team. This six officer team, supervised by a sergeant, is tasked with providing directed enforcement in specific areas through out the City. The team has proven to be extremely effective and has made hundreds of arrests and vehicle impounlds in hopes of improving the quality of life and reducing repeat calls for service in many areas of the City. 6. The Police Department made 256 arrests for graffiti vandalism and cleared 861 graffiti offenses in 2006. The Graffiti Habitual Offender Suppression Team (GHOST) received 19 Secret Witness graffiti tips from the community, made 27 educational presentations to a variety of community groups about graffiti vandalism and conducted 16 surveillance operations in order to apprehend graffiti vandals. GHOST continues to focus on locations prone to tagging, including City parks and other problem areas with the City limits. GHOST has worked closely with the City Attorney's Community Prosecutors l:o bring graffiti vandals to justice. 2021 -Operations continued 7. The Department's first Bloodhound, Rikki has continued her certification training and is now being gradually introduced to field work. 8. Animal Control Officers have worked in conjunction with Kern County Animal Control to reach a consensus on department standards regarding shelter operations and interaction with the public at the county shelter. Animal Control officers worked cooperatively with the county at twelve joint clinics, four street fairs, and a Responsible Dog Owner Day where spaylneuter materials and information was disseminated. 9. The Police Department's School Resource Officer unit was awarded a $206,864 grant for the Gang Resistance Education and Training (GREAT) Program. Training was implemented in 7 local schools, and to date 2,500 students have completed the course. 10. The Police Department continued to pursue local, state and federal sources of funding to maximize its resources with a result of the acquisition of nearly threequarters of a million dollars in grant funding. FY 2007 -2008 ACTION PLAN 1. The traffic section will carry out the project's outline in the two year Office of Traffic Safety Traffic Enforcement Program grant secured in 2006. This includes implementation of electronic citation devices to be used by motor officers. The traffic section will participate in countywide "Avoid the 14" anti-DUI enforcement campaign. 2. The traffic section will conduct directed enforcement efforts in areas of our jurisdiction that are experiencing a high number of traffic accidents with the desired result of decreasing injury accidents in the city. 3. The Special Enforcement Unit will participate and collaborate with county, state and federal agencies to reduce local gang violence, and improve safety and the quality of life for all citizens of the City. 4. The patrol section will continue to build relationships with employees of Kern County Housing Authority and Martin Luther King Jr. Park in order to work cooperatively to deter crime in the area. Additionally, a a satellite office will be opened and staffed at newly built Fire Station # 5 on East White Lane, east of Union Avenue. 5. The Operations Division will strengthen ties with local merchants and retail property owners through active participation in business watch programs that address a variety of crimes that victimize business owners and consumers alike. 2021 -Operations continued 6. The traffic section will apply for a grant from the California Office of Traffic Safety to participate in the national "Click-it or Ticket" enforcement and education campaign to increase compliance with seatbelt and child safety seat laws. 7. City of Bakersfield Animal Control, in cooperation with Kern County Animal Control, will host joint clinics that promote the positive aspects of spaying and neutering cats and dogs and the importance of proper vaccination and licensing. 8. The traffic and patrol sections along with the Directed Policing Team, and homeless advocacy groups, will conduct quarterly sweeps of the Kern River bike path and river bed to eradicate encampments that have become a haven for criminal activity and pose public health risks. 9. The Directed Policing Team and Graffiti Habitual Offender Suppression Team (GHOST) will direct efforts to resolve problems created by transients and vandals in public parks and local neighborhoods, and will work in coopieration with the City Attorney's Community Prosecutors to prosecute these law violators. SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 Actual Proiected Calls for Service 261,792 273,256* Citations 22,417 19,052 "A Life Interrupted Presentations 30 6 1 DUIIUnlicensed Driver Checkpoints 3 5 Street Checks 4,217 5,780 Vehicle Impounds 9,017 3,930 FY 07-08 -P roposed *Calendar year 2006 OPERATIONS EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Traffic Safety Fund Supp Law Enforcement Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 2031 -Investigations DIVISION GOAL It is the goal of the Investigations Division to work cooperatively with all other divisions and allied agencies as we continue to uphold a tradition of skillful and ethical criminal investigations. We will be innovative in our use of available crime fighting technologies. The use of the Crime Analysis section by investigators has proven to be a valuable asset when attempting to determine crime trends as well as potentiall suspects. The effectiveness of the Special Enforcement Unit continues to impact gang violence in our community with prompt response to gang-related crimes. FY 2006 -2007 ACCOMPLISHMENTS JuvenilefSex Crimes Detail: Investigations attended the following training: 1. Child Abuse Course (Robert Pressley -lnstitute of Criminal Investigation) 2. Homicide Investigators Course for investigating deaths of babies. (Robert Pressley -lnstitute of Criminal Investigation). 3. POST Interview and Interrogation Course 4. POST basic 40-hour Sexual Assault Class 5. The Juvenile/Sex Crimes Unit conducted over 1,000 sexual offender compliance checks, an 8% increase. Crimes Against Persons: 1. During January 2007, two additional detectives were assigned to the Crimes Against Persons Detail to conduct follow-up investigation on gang related crimes. 2. The Crimes Against Persons Unit investigated 24 homicides, a 25% decrease from the number of homicides investigated in 2005. 3. On February 21, 2007, the murder trial of Vincent Brothers began in Kern County Superior Court. Police Detectives and other Department personnel have spent numerous hours on this investigation which began in July 2003. The following schools were attended by Crimes Against Persons Detectives: 4. Bloodshed Interpretation 5. Behavioral Analysis/lnterviewing 6. Advanced Cognitive Interviewing and Forensic Statement Analysis. 2031 -Investigations continued Domestic Violence: 1. In October 2006, a domestic violence warrant sweep was conducted which resulted in 212 warrant service attempts and 71 warrants cleared. 2. From July 2006, through March 8, 2007, 1,329 cases of domestic violence were investigated: 170 of those cases were aggravated assaults, 771 were simple assaults, 388 of those cases were documented domestic violence. Crime Scene Unit: 1. CSU processed 2,576 "Laboratory Service Requests" and printed 20,900 photographs. 2. 776 suspects were printed and 159 individuals from the general public were fingerprinted. 3. CSU responded to 21 1 call-outs and made 170 positive "hits" of the 774 AFlS quality prints entered. WarrantIFugitive Detail: The WarrantIFugitive detail also participated in the Domestic Violence Warrant Sweep. These efforts resulted in: Clearance of 45 misdemeanor domestic violence warrants 3 other felony warrants 23 other misdemeanor arrests 1 felony domestic violence prison hold 4 misdemeanor domestic violence prison holds Homeland Security: 1. The Homeland Security Unit (HSU) continued to develop a working relationship with state, federal and other local intelligence and law enforcement agencies. 2. The HSU added a full-time detective to the FBI Joint Terrorism Task Force (JTTF). 3. In September 2006 the JTTF culminated a 2 ?4 year investigation that resulted in the arrest of two suspects for receiving and conspiring to receive stolen government equipment, possession of classified national security information, and being an unregistered agent of a foreign power. An additional suspect was also indicted. 2031 -investigations continued Vice: 1. The BPDIKCSD Joint Vice Detail received two grants from the California Department of Alcoholic Beverage Control. One is to assist, investigate, and educate business owners and the public in issues involving the sale and consumption of alcoholic beverages. The second grant is a "Min~or Decoy" grant of $19,000. The purpose of this grant is to target ABC licensed businesses that sell alcoholic beverages to minors. 2. The Vice unit conducted 28 operations (sweepslstings) that resulted in 182 arrests. The unit achieved a 66% increase in prostitution arrests in 2006. ABC Unit: 27 Minor Decoy operations, resulting in 50 arrests 13 Minor Shoulder Tap operations, resulting in 43 arrests 231 Bar Enforcement operations, resulting in 1 12 arrests Adult: 58 adult bookstore inspections, resulting in 21 arrests Narcotics: In September 2006, the Narcotics unit, along with DEA agents, investigated a drug trafficking organization from the Los Angeles area that resulted in the arrests of six suspects and the seizure of 33 pounds of methamphetamine. Kern Narcotics Enforcement Team (KNET): 1. KNET investigated the activities of subjects on parole and probation who were suspected of illegal narcotic activity. KNET officers conducted 129 searches during this year. 2. The unit acquired a narcotics detection canine that is trained to provide passive alerts on various types of narcotics. 3. KNET assisted other agencies on 64 occasions, an increase from the previous year of 28. Special Enforcement Unit: I. The Special Enforcement Unit continues to emphasize probation and parole searches as an effective tool to impact street gangs. Between July 1, 2006, and March 8, 2007, the unit conducted 2,971 probationlparole searches. This is a 40% increase over the same time period last year. 2031 -Investigations continued 2. Gang related shootings decreased by 38% (90 in 2005 to 56 in 2006). 3. SEU officers gave approximately 38 gang presentations to various community groups. 4. SEU officers responded to Sacramento to locate and arrest a homicide suspect wanted in Bakersfield. He was subsequently transported back to Bakersfield for prosecution. 5. The Gang Activity telephone line (325-GANG) was added in December 2006. This allows community members to provide information regarding gang activity in their area. This phone line provides an immediate connection between confidential information from the public and the Special Enforcement Unit. Burglary/General Investigations/Auto Theft: 1. In July 2006, Auto TheftIBurglary detectives conducted an investigation into a business that was parting out stolen vehicles ("chop shop"). This investigation led to the recovery of four stolen vehicles and the arrests of three suspects. 2. In September 2006, detectives took part in "Operations Hands OW' which led to the service of 45 arrest warrants for domestic violence offenses. 3. In November 2006, detectives noted a growing trend of residential burglary offenses perpetrated by the "East Side Crips" gang members. Investigation led to the arrests of five suspects and the clearance of three offenses. Four of the arrested suspects were previously documented "East Side Crips" gang members. 4. In December 2006, in response to a rash of downtown window smash burglaries, detectives implemented surveillance which resulted in the apprehension of three suspects. Financial Crimes: 1. 27 reports of real estate fraud and 231 reports of counterfeit US currency were investigated. 2. An out-of-county real estate ring was investigated which fraudulently took over ownership of real estate property throughout California and used it as collateral to obtain bank loans without the knowledge of the true property owner. 3. 568 credit card fraud reports and 584 identity theft reports were investigated. 4. The unit investigated a large scale identity theft by employees of a local business. Because of the immense scope of the investigation, assistance was 2031 -Investigations continued requested from the United States Postal Service and the United States Attorney's Office. The case is currently being investigated by federal authorities. Pawn: There were a total of 25 pawn cases resulting in 15 arrests with $41,946 worth of property recovered. FY 2007 -2008 ACTION PLAN Crimes Against Persons (CAP): 1. CAP will continue to work closely with the Special Enforcement Unit to pursue and arrest suspects in gang related homicides, shootings, and other crimes involving gang members. 2. Domestic violence warrant sweeps will be conducted on a random basis, and the unit will continue to work with local organizations on domestic violence prevention. JuvenileISex Crimes: 1. The JuvenileISex Crimes unit will increase the number of registered sex offender compliance checks by 10%. There were 1,000 compliance checks in 2006. 2. The JuvenileISex Crimes unit will continue to work closely with State Parole to track high risk sex offenders residing in the City of Bakersfield. These efforts will minimize the likelihood of re-offending by the parolee, and will also enhance the working relationship of the police department and State Parole. Crime Scene Unit: 1. The unit will continue to review cold case homicides for AFlS and CODlS entries. 2. Lab technicians will continue to maintain the number of AFlS entries entered into the system for comparison. Narcotics: 1. The unit will maintain the level of "major" narcotic vendor investigations and increase the number of street drug buy operations to impact gang member drug sales. 2. The unit will continue to work closely with DEA major narcotics investigations. 3. The unit will provide training to patrol officers on current trends in narcotics packaging, concealment, and transportation across the country and locally. 2031 -Investigations continued Kern Narcotics Enforcement Team (KNET): 1. KNET will increase the number of investigations and parolelprobation searches involving gang members. 2. The unit will be more proactive in the rural areas of the county, and communicate more frequently with the representatives in these areas for planned operations. VICE: 1. The BPDIKCSD Joint Vice detail will continue with its efforts in conducting at least 10% more prostitution sweeps (28 in 2006) 2. The detail will continue to maintain ABC minor decoy operations at the current 2006 level of 27 operations, which resulted in 50 arrests. 3. Increase the number of bar enforcement operations by 10% in 2007. A total of 231 operations were conducted in 2006. 4. Continue to pursue grant funding for specific operations from the Alcohol Beverage Control Grant Assistance Program (GAP). 5. Maintain the 2006 arrests for the unit (51 I), a 49% increase over 2005 arrests. Homeland Securiity: 1. The Homeland Security Unit will continue to assist in the coordination of the Kern Threat Working Group. 2. The unit will work closely with the JTTF to insure involvement in securing the community from potential terrorist acts. SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed KNET Narcotics Arrests Major Narcotics l nvestigations Registered Sex Offender Compliance Checks INVESTIGATIONS EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Supp Law Enforcement Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 FIRE SERVICES Fire Services FY 2007-2008 Organizational Chart I Fire Chief I 1 Firefighting H I I 1 IArson Deputy Fire Chief PPrevention mCommunications Deputy Fire Chief a Maintenance Deputy Fire Chief -I I I Fire Suppression Services Administrative Services Fire Safety Services a a I Fire Services DEPARTMENT GOAL To serve citizens by protecting lives, property, and the environment against the effects of fire, other emergencies, or hazards; to assure the orderly growth of the City of Bakersfield with regard to life safety and levels of service by working in cooperation with other departments and agencies. FY 2006-07 ACCOMPLISHMENTS 1. Began construction on re-located Fire Station 5 at White Lance east of Union Avenue. 2. Began design work on Fire Station 14 (Mt. Vista and Harris) 3. Retained consultant "Citygate", to analyze possible solutions for our growth issues in regards to Fire protection. 4. Work with various groups to ensure safety in topographically chalslenged areas as well as high density housing developments referred to as "cluster homes". 5. Re-opened Squads 5 and 13. 6. Installed mobile computers in all front line and reserve fire engines and ladder trucks. FY 2007-08 SIGNIFICANT BUDGET CHANGES 1. Continue to address fire protection in growth areas of the City, while abiding by the Joint Powers Agreement (JPA). 2. Design and construct Fire Station 14 at Mt. Vista and Harris. 3. Open Fire Station 5 at new location on White Lane east of Union Avenue. 4. Celebrate Bakersfield Fire Department's 130b~ir th-year with the community. 5. Develop a conceptual agreement with Kern County Fire Department as to the placement of future Truck Companies within the metropolitan area,. 6. Enhance city-wide disaster response preparedness using the Metropolitan Medical Response System (MMRS), the deployment of Commun~ity Emergency Response Teams (CERT), and the development of the City's Major Emergency Response Plan. Fire Services continued 7. Utilize "automatic vehicle locators", stored inside of mobile computers to dispatch the closest fire engine. This is a change from past practice in that the actual closest engine will respond, instead of the designated "first-in" engine for a given area. FIRE SERVICES DIVISIONS: Administration Fire Safety Fire Suppression Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 -2007-08 $1,477,257 $1,404,071 $1,404,071 $1,682,068 $2,045,885 $2,336,056 $2,336,056 $2,348,440 $25,355,814 $26,355,584 $26,355,584 -$27,507,841 FULL TIME EMPLOYEES: Administration 9.00 9:OO 9.00 10.00 Fire Safety 21 .OO 22.00 22.00 23.00 Fire Suppression 176.00 179.00 179.00 -179.00 Total 206.00 210.00 21 0.00 212.00 301 1 -Administration Provide leadership and administrative support for the operation, growth, and development of the Bakersfield Fire Depariment; develop and administer policies and procedures as set forth by the City Council, City Manager, and the Fire Department; provide fair and applicable promotional testing; encourage employee development in all ranks; and promote teamwork among all City departments. 1. Conducted two Battalion Chief exams one Fire Captain's exam, one Engineer's exam, and one Firefighter entrance exam. 2. Conducted one BFD Firefighter Recruit Academy and one Bakersfield College Firefighter I Academy. 3. Completed the diesel exhaust removal system for 10 Fire Stations (Federal Grant $21 1,176). 4. Took delivery of two replacement fire engines and one replacement ladder truck. 5. Took delivery of one Technical Rescue Vehicle purchased with Federal Grant Funds. 6. Updated Fire Department webpage which enhanced communication with the public and the media. 7. Began construction on re-located Fire Station 5 to White Lane east of Union Avenue. 8. Began design work on Fire Station 14 (Mr. Vista and Harris). 9. Retained consultant "Citygaten, to analyze possible solutions for our growth issues in regards to Fire protection. FY 2007-08 ACTION PLAN 1. Continue to address fire protection in growth areas of the City, while abiding by the Joint Powers Agreement (JPA). 2. Continue to develop Public Education and Public Information Programs. 3. Take delivery of one replacement fire engine. 4. Design and construct Fire Station 14 at Mt. Vista and Harris. 301 1 -Administration continued 5. Open Fire Station 5 at new location on White Lane east of Union Avenue. 6. Celebrate Bakersfield Fire Department's 130th birth-year with the community. ADMINISTRATION EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 $1,281,220 $1,268,673 $1,268,673 $1,509,709 $1 47,890 $1 35,398 $1 35,398 $1 72,359 $48,147 $0 $0 $0 3021 -Fire Safety Services DIVISION GOAL Provide for a safe community through fire code enforcement and aggressive arson investigation: provide an effective public education program to increase safety awareness in the community; support the Hazardous Materials Tearn with technical information; administer the unified programs for environmental regulations within the City; maintain a joint dispatch and communication system; provide logistical support for emergency operations; and maintain all equipment and property. FY 2006-07 ACCQMPLISHMENTS 1. Updated fees in Fire Prevention and started the Self-Certification Program. This program is two-fold; it targets the low risk businesses at one -third the cost, and meets the Universal Waste mandates. 2. Implemented new Records Management system (RMS) to ensure proper documentation required by the State for fire reporting purposes. 3. Worked with various groups to ensure safety in topographically challenged areas as well as high density housing developments referred to as "cluster homes". FY 2807-08 ACTION PLAN 1. Develop pre-incident information with the Records Management System to allow Incident Commanders access to data via their mobile computer. 2. Review methods, cost, and fees associated with our Fire Prevention Division to ensure the most cost effective service and enforcement for a. business safe community. FY 05-06 FY 06-CI7 FY 07-08 Actual Proiectizd Pro~osed Prevention Inspections/Plan Reviews 361 4 5,000 5,000 Fire Permit Reviews 266 3001 300 Site Plan Reviews 407 4601 460 FIRE SAFETY Adopted Amended Proposed Actual Budget Budget Budget EXPENDITURES: 2005-06 -2006-07 2006-07 2007-08 Personnel Operating Capital Total SOURCE OF FUNDS: General Fund $2,045,885 $2,336,056 $2,336,056 $2,348,440 Total $2,045,885 $2,336,056 $2.336.056 $2.348,440 3031 -Fire Suppression Services DIVISION GOAL Provide the citizens of Bakersfield with fire protection, emergency medical life support services, hazardous materials emergency response, and assistance with other exposures to dangerous conditions. Ensure all Suppression personnel are properly trained to the highest level to provide for both personal safety and the safety of the public. FY 2006-07 ACCOMPLISHMENTS 1. Received a Federal grant for fire shelters and wildland firefighting clothing. This grant is appreciated due to the expense of the updated safety specifications for both shelters and protective clothing. 2. Re-opened Squads 5 and 13. 3. Development a "Heavy Rescue" Task Force response capability. 4. Installed mobile computers in all front line and reserve fire engines and ladder trucks. 5. Supported area hospitals with continuing education and training in regards to decontamination and WMD issues. 6. Initiated Rescue and Hazardous Material paramedic field programs. FY 2087-08 ACTION PLAN 1. Develop Develop a conceptual agreement with Kern County Fire Department as to the placement of future Truck Companies within the metropolitan area. 2. Enhance city-wide disaster response preparedness using the Metropolitan Medical Response System (MMRS), the deployment of Community Emergency Response Teams (CERT), and the development of the City's Ma.jor Emergency Response Plan. 3. Continue disaster preparedness activities through the MMRS grant by conducting mass drills. This continued training allows for a coordinated plan between local governments and the medical community in case of a large-scale dlisaster. 4. Certify rescue vehicle through OES as a medium rescue apparatus;. 5. Utilize "automatic vehicle locators" stored inside of mobile computcsrs to dispatch the closest fire engine. This is a change from tradition in that the actual closest engine will respond, instead of the designated "first-in engine. 3031 -Fire Suppression Services continued SERVICE LEVEL INDICATORS Emergency Responses Structure Fires Medical Aids Training Hours FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed FIRE SUPPRESSION Adopted Amended Proposed Actual Budget Budget Budget EXPENDITURES: 2005-06 2006-07 2006-07 -2007-08 Personnel Operating Capital Total $25,355,814 $26,355.584 $26,355.584 $-;27, 507,841 SOURCE OF FUNDS: General Fund $25,355,814 $26,355,584 $26,355,584 -$'2 = Total $25,355,814 $26,355,584 $26,355.584 $27,507,841 PUBLIC WORKS Public Works FY 2007-2008 Organizational Chart I Public Works Director bI Asst. to the Public Works Director Administrative Assistant 1 I . Asst. Public Works Director I I I I I Thomas Roads Imp. Program (TRIP) Design Engineering Subdivisions Construction1 Traffic Public Works Wastewater Solid Waste Survey Engineer Operations Manager Manager Director DEPARTMENT GOAL To provide for quality infrastructure design, construction, operation, and maintenance of: traffic control systems, streets, street lighting, sanitary sewer collection systems, stormwater drainage collection systems, wastewater treatment plants, and other Cityowned facilities; to provide oversight for the design and construction of the Bakersfield Systems Plan and the Thomas Roads lmprovement Program; to provide waste collection and waste recycling services; to provide graffiti removal senlices; to provide and maintain Citywide equipment, fleet and telecommunications systems; and to ensure that public inquiries are handled in a timely and professional manner by providing exceptional customer service department-wide. FY 2006-07 ACCOMPLISHMENTS Thomas Roads Improvement Proqram (TRIP) Division: 1. Completed preliminary engineering for the Westside Parkway project and received certification of the California Environmental Quality Act (CEQA) environmental document and a Finding of No Significant Impact for the National Environmental Policy Act (NEPA) environmental document. Completed 95% of the acquisition needed for the project's right-of-way. 2. Worked with Kern Council of Governments (Kern COG) to obtain full funding for construction of the Westside Parkway through the State Transportation lmprovement Program (STIP) Augmentation Program. This funding was unanimously approved by the Kern COG Board and has been submitted to the California Transportation Commission for consideration. 3. Selected consultants and began preparation of construction plans for ~ohawk Street, the Westside Parkway, and the widening of 7th Standard Road. 4. Completed the initial Federal Highway Administration Financial Plan for all TRIP projects. 5. Finished the Project Study Report for the Morning Drive at State Route 178 Interchange. 6. Completed the draft Project Study Report for the State Route 178 widening project. 7. Following passage of Assembly Bill 1858, began negotiations and process for relinquishment of State Routes 58, 178 and 204 from Caltrans to the City of Bakersfield. 8. Initiated negotiations with consultants for preliminary engineering and environmental work for: • 24th Street Widening Public Works continued 24thlOak Street Intersection Improvements Rosedale Highway Widening 9. Completed plans and awarded the construction of the interchange at Fairfax Road and SZate Route 178. 1. Capital Improvement Program accomplishments include: a. Completed design and/or construction documents for 48 CIP projects including: Pavement resurfacing/reconstruction on major roads Twelve new traffic signals Sewer main to Wastewater Treatment Plant No.2 Mt. Vernon Greenwaste Facility Power Conversion Culvert reconstruction at McCourry Street and at Hughes Lane Street improvements on Casa Loma between Madison and Lotus Lane Streeitscape improvements on 34th Street between Q Street and Union Avenue Storm drain improvements on 22nd Street between Elm Street and C Street New alternative fueling station Street improvements on Panama Lane at Golden State b. Awarded construction contracts andlor performed construction management and inspection services for 32 CIP projects including: Chester Avenue Bridge Replacement Replacement Allen Road Sewer Project Planz Sewer Trunk Line Replacement Rosedale Highway Widening Project 2. Updated current traffic signal priority list, adding the new locations that met warrants for consideration in subsequent CIP project lists. 3. Increased the cumulative total of traffic signals connected to the Traffic Operations Center to 242. 4. Implemented new signal timing and route coordination plans at 30 intersections based on update of traffic volumes. 5. Efficiently delivered plan check and inspection services to the development community. General Services Division 1. Anti-Graff iti Program: Public Works continued Initiated new schedules that provide for seven days a week graffiti removal Assisted in the construction of two new graffiti paint trucks and two additional pressure wash trucks 2. Improvements completed during this fiscal year include: Upgraded 26 suites at Rabobank Arena Managed the upgradelmodernization of the City Hall elevator Responded to and managed the clean-up of hazardous materials in the City Hall HVAC System Modified the traffic signal on the northeast corner of Brimhall and Calloway Completed the 6,000 hour overhauls on three ice floor compressors at Rabobank Arena and two ice floor compressors at the Ice Sports Center Designed, constructed and installed all signs at the Park at Riverwalk 3. Bakersfield Municipal Airport: Executed ten new ground leases for construction of hangers Managed the construction of a new restaurant Streets Division 1. Resurfaced/reconstructed 70 lane miles of residential streets and sealed 250 street miles with a surface penetration sealer. 2. Installed a storm line, sewer line, and sewer lift station at Fire Station No. 5. 3. Widened the north side of Brimhall Road, east of Calloway Drive. 4. Successfully monitored and maintained failing sewer lift station1 at McCutchen and Gosford Road. Equipment Division 1. Purchased ten liquefied natural gas (LNG) refuse trucks and one compressed natural gas (CNG) sweeper. Alternative fuel vehicles refllect the City's commitment to clean-air standards. 2. Opened a fleet satellite shop at the Mount Vernon Recycling Falcility to provide on-site maintenance of large equipment. 3. Completed the installation of a communications repeater system at the East Radio Site for complete 2417 interoperability between the City of Bakersfield Police Department and Kern County Sheriff Department. 4. Completed phase one of the reprogramming of all City radio c~ommunications equipment for additional channel capacity and interoperability. Public Works continued Wastewater Divish 1. Completed the design for the Plant 3 -2007 Expansion Project. 2. Installed a new 643 kilowatt co-generation engine at Plant 2. This engine is eligible for a $363,000 incentive rebate from PG&E. The co-generation system burns digester methane gas to produce electricity at a significant savings to the City. 3. Distributed Best Management Practices information packets to restaurants and vehicle services. This packet is designed to educate commercial customers about proper disposal practices in order to protect wastewater facilities. Solid Waste Divism 1. Created new incentives for the City-wide voluntary curbside recycling program. 2. Obtained a $1.5 million state grant for curbside recycling to purchase material sorting equipment. 3. Integrated litter cleanups in the Keep Bakersfield Beautiful (KBB) program with other ongoing cleanup efforts to leverage the use of volunteer efforts with minimal City resources. 4. Initiated the design/build project to electrify diesel powered equipment at the Mount Vernon Recycling Facility to reduce air pollution. 5. Completed the final landfill closure plan for the former Bakersfield Landfill. 6. Entered into a Memorandum of Understanding with Kern County and began feasibility studies for refuse transfer stations as a potential way to reduce air pollution. FY 2007-08 SIGNIFICANT BUDGET CHANGES 1. The proposed FY 2007-08 budget reflects Council's continuing commitment to graffiti eradication. The amount budgeted for graffiti eradication provides sufficient funding to operate the program seven days a week, year round. No additional positions or equipment are requested for the graffiti eradication program because of Council's past commitment to fully fund this program. 2. The FY 2007-08 proposed operating budget continues the City Council's commitment to the street maintenance program. Approximately $10.0 million is proposed for street maintenance activities within the operating budget. The proposed CIP budget totals $7.9 million. Therefore, the combincad operating and CIP budget proposed for FY 2007-08 totals close to $17.9 million^. 3. Staff is proposing a 14.8% increase in all sewer user fees for FY 2007-08. The residential sewer rate will go from $1 35 to $1 55. Since all other sewer user fees are based upon this single-family rate, those rates will also increase by the same percentage. This increase is required to fund: Annual operating costs Capital improvement budget for storm waterlsewer collection systems and wastewater treatment plants Establish and replenish sewer reserve funds Debt service on bonds to be issued for Plant 3 upgrade anld expansion Project Additional rate increases are being phased in over a seven-year period for hospitals. This will be year seven of the phase-in period. Hospitals will see an additional increase in their rates next year, in addition to the COILA. The rate for hospitals is proposed to increase from $75.74 to $93.00 per bed. 4. Refuse rates are projected to increase 3.2% to cover cost increases. The rate increase also covers inflation of 3.2% in the hauling contract. The residential refuse rate will go from $169.08 to $174.48, a monthly increase of 45 cents. 5. New positions, by funding source, proposed for FY 2007-08 are listed below. General Fund: Air Conditioning Technician I (maintenance of HVAC) Construction Inspector (CIP program) 2 Facility Worker (custodial services) 1 Maintenance Craftworker I (maintain City facilities) 2 Traffic Operations Technician (signal timing coordination) 1 Significant Budget Changes continued Equipment Management Fund: Communiications Technician I (maintenance of equipment) 1 Fleet Mechanic I (maintenance of City fleet) 1 Wastewater Fund: Accountant I (accounting and budgeting) 1 Service Maintenance Worker (sewer and storm maintenance) 2 Refuse Fund: Fleet Mechanic I (maintenance of refuse fleet) Service Maintenance Worker (street cleaning) 2 Solid Waste Equipment Operator (commercial growth) 1 Total 16 DIVISIONS: Administration TRlP Engineering General Services Streets Equipment Wastewater Solid Waste Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 SOURCE OF FUNDS: General Fund $14,198,682 $17,518,153 $17,518,153 $1 9,921,721 TDF TRIP Local Match $294,118 $896,512 $896,512 $1,123,317 Dev. Services Fund $2,669,613 $3,159,742 $3,446,476 $3,485,632 Federal Transportation Fund $1 66,766 $0 $0 $0 State Gas Tax $3,713,903 $4,564,633 $4,564,633 $4,729,466 Transportation Dev. Fund $276,738 $359,739 $359,739 $365,746 Aviation Fund $286,654 $148,165 $1 48,165 $155,962 Amtrak Operating Fund $1 74,522 $287,000 $287,000 $250,000 Park lmprovemt Fund $6,339 $1 5,000 $1 5,000 $1 5,000 Domestic Water Fund $6,656 $1 5,000 $1 5,000 $1 5,000 Sewer Service-Plant 2 $5,133,922 $2,730,497 $2,730,497 $3,099,713 Sewer Service-Plant 3 $1 3,108,775 $7,743,674 $7,743,674 $8,515,074 Equipment Fund $21,493,325 $26,358,635 $27,618,911 $25,810,016 Refuse Fund $31,286,475 $35,006,177 $35,204,371 $$38,280,461 Assessment Districts $80,212 $0 $0 $70,100 Total $92,896,700 $98,802,927 $1 00.548.131 -$11 05,837,208 FULL TIME EMPLOYEES: Administration TRlP Engineering General Services Streets Equipment Wastewater Solid Waste Total 401 1 -Administrative Services DIVISION GOAL Provide administrative support for the effective operation of the various departmental divisions; develop and administer policies and procedures; monitor department operating and capital improvement budgets; and administer all departmental contracts. FY 2006-07 ACCOlMPLISHM ENTS 1. Provided administrative support for departmental divisions. 2. Processed and monitored CIP expenditures. 3. Continued cross-training of all administrative/clerical staff. 4. Submitted reimbursement claims on a timely basis to enhance cash flow. FY 2007-08 ACTION PLAN 1. Promptly respond to City Council referrals and citizen requests. 2. Coordinate preparation of administrative reports and supporting documentation for placement on City Council agenda. ADMINISTRATION EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 4021 -Thomas Roads Improvement Program (TRIP) DIVISION GOAL Provide oversight for the design and construction of the various federally funded project elements of the Bakersfield Systems Plan and the Thomas Roads Improvement Program. FY 2006-07 ACCOMPLISHMENTS 1. Selected consultants and bef ! an re aration of construction plans for Mohawk, the Westside Parkway, and 7' StaPndaPrd widening projects. 2. Completed the initial Federal Highway Administration Financial Plan for all TRIP projects. 3. Completed preliminary engineering for the Westside Parkway project, and received certification of the CEQA environmental document and a Finding of No Significant Impact for the NEPA environmental document. Completed 95% of the acquisition needed for the project's right-of-way. 4. Completed the Project Study Report for the Morning Drive at State Route 178 Interchange. 5. Initiated the Project Study Report for the State Route 178 widening project. 6. Completed plans and awarded the construction of the interchange at Fairfax Road and Stlate Route 178. FY 2007-08 ACTION PLAN 8. Initiate financial plan for the Westside Parkway project. 9. Complete acquisition of remaining right-of-way for the Westside Parkway project. 10. Begin preparation of Preliminary Engineering, Project Approval, and environmental document preparation for: Widening of Rosedale Highway Hageman Flyover Centennial Corridor 24th Street at Oak Street Interchange 24th street widening West Beltway Projects Morning Drive at SR178 Interchange widening EXPENDITURES: THOMAS ROADS IMPROVEMENT PROGRAM (TRIP) Personnel Operating Capital Total SOURCE OF FUNDS: Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 TDF TRIP Local Match $294,118 $896,512 $896,512 $1,123,317 Total $294,118 $896,512 $896,512 $1,123,317 4031 -Engineering DIVISION GOAL Provide development, design and project management services for Citywide Capital Improvement Proglram (CIP) projects; ensure proposed new developments are in compliance with generally accepted engineering standards, City ordinances and other statutory regulations; provide surveying and inspection services on CIP projects and developer financed public improvements to ensure conformance to construction standards, plans, sipecifications and statutory regulations; and provide for the safe and efficient movement of people and products through traffic engineering operations, design and planning. Desian Engineering 1. Designed and prepared construction documents for 48 CIP projects. Awarded 30 construction contracts totaling over $20 million. Those projects included: Pavemerrt resurfacing/reconstruction on major roads Twelve new traffic signals Sewer main to Wastewater Treatment Plant No.2 Mt. Vernon Greenwaste Facility Power Conversion Culvert reconstruction at McCourry Street and at Hughes Lane Street improvements on Casa Lorna between Madison and Lotus Lane Streetscape improvements on 34" Street between Q Street and Union Avenue Storm drain improvements on 22nd Street between Elm Street and C Street New alternative fueling station Street improvements on Panama Lane at Golden State Subdivisions (All data shown for calendar year 20061 Parcel Maps: Recorded 6 parcel maps dividing 725.72 acres into 20 parcels. Tract Malps: Recorded 78 tract maps dividing 1,789.57 acres into 4,511 lots. lmprovennent Plan Checks: 396 first checks, 260 second checks, 80 third checks or higher, 11 0 revisions, and 319 signatures. Final Map Checks: 76 first checks, 96 second checks, 16 third checks or higher, and 84 maps signed. Minor Land Divisions: 71 Assessment Districts: 3 Community Financing Districts: 1 Maintenance Districts: 33 Street Permits: 1,515 Annexation Proceedings: 85 being processed, 33 completed. 1. Provided construction management and inspection services for 32 projects having a total1 contract value of $36.5 million, including: 4031 -Engineering continued Chester Avenue Bridge Replacement Allen Road Sewer Project Planz Sewer Trunk Line Replacement Rosedale Highway Widening Project 2. Inspected development infrastructure improvements for 80 tracts and parcel maps. Traffic Engineering 1. Analyzed 45 intersections for traffic control warrants and updated current traffic signal priority list, adding the new locations that met warrants for consideration in subsequent CIP project lists. 2. Implemented the connection of 30 additional traffic signals via wire interconnect conduit network in the street for improved coordination/synchro~~izatioonf traffic signals. This increased the cumulative total of traffic signals connected to the Traffic Operations Center to 242. 3. Implemented new signal timing and route coordination plans at 30 intersections based on update of traffic volumes. Signal timing was also adjusted in association with local bicycling groups' input to accommodate bicyclist detection and extended green time on signals. FY 2007-08 ACTION PLAN Desiqn Engineering 1. Complete design and award all of FY 2007-08 budgeted CIP pro,iects before July 2008. These projects include: Pavement resurfacing/reconstruction on major roads Eight new traffic signals New sanitary sewer trunk line from Wastewater Treatment Plant 2 into developing areas of Northeast Bakersfield Street widening on Hosking Road east of Wible Road and on Stine Road between Ryzona and Hosking Road Subdivisions 1. Complete review of maps and improvement plans within four weeks of submittal. Construction Enaineering 1. Respond to 85% of all permit inspection requests within four hours and all other inspections within 24 hours. 2. Begin working on requests for preliminary surveys within two weeks of receipt. 4031 -Engineering continued 3. Respond to construction survey requests within 48 hours. 4. Establish consistent survey elevations throughout the City. Traffic Engineering 1. Analyze 40 or more intersections for traffic control warrants and update current traffic signal priority list, adding the new locations that meet warrants for consideratio~nin subsequent CIP project lists. 2. Design ancl prepare construction documents for eight federally funded Congestion IManagement Air Quality (CMAQ) signal interconnect communication projects totaling over $600,000. Connect 15 additional signals to the City's Traffic Operations Center. 3. Continue Annual Traffic Signal Coordination Program. Collect traffic data and re-coordinate 30 signals annually as traffic volumes and patterns change. FY 05-06 FY 06-07 FY 07-08 SERVICE LEVEL INDICATORS Actual Projected Proposed Improvement Plans and Final Maps Checked and Returned within Four Weeks 39% 30% 85% Permit Inspection Requests Responded to within Four Hours Intersections Analyzed for Traffic Control 45. 45 40 Warrants Budgeted Signal Communications Projects Bid 80% 100% 100% During the Fiscal Year Signals Analyzed and Re-CoordinatedtTimed 30 30 30 Budgeted Public Works CIP Projects Bid During Fiscal Year ENGINEERING EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Dev. Services Fund Federal Transportation Fund State Gas Tax Park Improvement Fund Transportation Dev. Fund Sewer Service-Plant 3 Refuse Fund Domestic Water Fund Assessment Districts Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 4051 -General Services DIVISION GOAL Provide excellent customer service in the maintenance of City-owned buildings and parks, including janitorial, heatinglair conditioning, electrical, and remodeling; installation and maintenance of traffic signals, street lights, and street signslmarking; removal of graffi1:i from City-owned facilities and private property; and provide professional management for the operations and maintenance of the Bakersfield Municipal Airport. FY 2006-07 ACCOMPLISHMENTS 1. Improvements completed during this fiscal year include: Completed eight major remodels for various departments in the City, including the Thomas Roads Improvement Project off ices Upgraded 26 suites at Rabobank Arena Managecl the installation of new metal doors on the concourse level of the Rabobank Theater and Convention Center Managecl the upgradelmodernization of the City Hall elevator Responded to and managed the clean-up of hazardous materials in the City Hall HVAC System Installed the electrical system for the the new "Ad Ribbon" at Rabobank Arena Replacecl 15 autoscope controllers at signalized intersections Installed "radio" controlled interconnect at four signalized intersections Modified the traffic signal on the northeast corner of Brimhall and Calloway Completed the 6,000 hour overhauls on three ice floor compressors at Rabobank Arena and two ice floor compressors at the Ice Sports Center Installed street closure barricades at Lone Pine and Single Oak Streets and at Elm Street and ~ 4S'tre~et Designed, constructed and installed all signs at the Park at Riverwalk Completed the upgrade to metro-size street markers in the 1 8S~tr eet, 1g th Street, 21 Street, H Street, and Chester Avenue corridors to meet Manual on Uniform Traffic Control Devices, (MUTCD) specifications. 2. Anti-Graff iti Program: Initiated new schedules that provide for seven days a week graffiti removal services. Assisted in the construction of two new graffiti paint trucks and two additional pressure wash trucks. 3. Bakersfield Municipal Airport: Executed ten new ground leases for construction of hangars Repaired roof and a large sliding door of the Kern Charter Building Managed the construction of the new restaurant Responded to and managed the reconstruction due to the water pipe failure in the Kern Charter Building Repaired roof of leased shop building 4051 -General Services continued .. Managed the Roadway Worker Safety Program, recertified City employees and affected contract employees as required by the Federal Railroad Administration (FRA) and coordinated track repairs as required by the FRA and Burlinton Northern and Santa Fe (BNSF). This allowed the City to remain certified to operate the City of Bakersfield "Shortline" railroad. FY 2007-08 ACTION PLAN 1. Continue to improve the City of Bakersfield's anti-graffiti program. 2. Replace 20% of all school signs with fluorescent lime-green type. This will be the third year of a five-year plan to meet Federal and State MUTCD guidelines. 3. Upgrade street markers to metro-size in the Madison Avenue/King Street, 24th Street, Columbus Street, Calloway Drive, Ashe Road, Stine Road, and Oakmible Road corridors to meet MUTCD specifications. 4. Complete the remodel of the 1' Floor of 1600 Truxtun Avenue. 5. Complete the backlog of 13 remodel requests for various departments. 6. Re-paint one hundred decorative light poles in the Oleander area. 7. Replace three deteriorated traffic signal cabinets and 30 older model autoscopes at various intersections. 1. Bakersfield Municipal Airport: Coordinate landscaping improvements Design and complete construction of southwest hanger taxi lan~esa nd taxi lane extension and apron Complete the installation of sub-meters for hangers Design and install additional utility improvements for hanger construction Obtain state grant to replace the rotating beacon SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed Graffiti Removal Sites 12,284 15,300 19,900 Street Lights Serviced 1,738 2,148 2,000 Striping of City Streets (miles) 730 800 890 GENERAL SERVICES EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Arntrak Operating Fund State Gas Tax Aviation Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 4052 -Streets DIVISION GOAL Improve the safety and appearance of the community through the maintenance and repair of the City street system located within the public right-of-way; ensure safe and dependable performance of storm drains, sewer lines and lift punnp stations; and continue the City's commitment to an effective preventative street maintenance program. FY 2006-07 ACCOMPLISHMENTS 1. Resurfaced/reconstructed approximately 70 lane miles of residential streets. 2. Maintained a safe working environment for employees by consistent training sessions and safety meetings. 3. Sealed approximately 250 street miles with a surface penetration sealer. 4. Installed a storm line and catch basins on Benton Street between Wilson Road and Belvedere Avenue. 5. Installed a storm line, sewer line, and sewer lift station at Fire Station No. 5. 6. Widened the north side of Brimhall Road, east of Calloway Drive. 7. Implemented a scheduled, once a month, street sweeping pr0gra.m for residential areas. 8. Successfully monitored and maintained failing sewer lift station at McCutcheon and Gosford Road. FY 2007-08 ACTION PLAN 1. Update existing street resurface/reconstruction list and prioritize street repairs. 2. Continue to pefform canal inspections when canals are dewatered; replace one canal crossing in need of replacement. 3. Provide training for employees on traffic control safety procedures. 4. Continue working on improving the sewer SCADA System. 5. Provide employees with a training class on safe excavation and on asphalt paving technology. 6. Provide "Confined Space" training for employees in the Sewer Maintenance 4052 -Streets continued Section. SERVICE LEVEL INDICATORS Residential Sweeping Cycle Lane Miles Resurfaced1 Reconstructed Sewer Mile Lines Inspected Sewer Maintenance Service -Emergency Calll Responses FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed 20 days 20 days 20 days 67 lane 70 lane 70 lane miles miles miles 36 street 40 street 40 street miles miles miles 380 calls 285 calls 288 calls STREETS Adopted Amended Proposed Actual Budget Budget Budget EXPENDITURES: 2005-06 2006-07 2006-07 2007-08 Personnel Operating Capital Total $1 2,790,733 $1 5,455,466 $1 5,559,566 $1 7,309,252 SOURCE OF FUNDS: General Fund $4,665,673 $6,399,800 $6,399,800 $7,310,072 State Gas Tax $2,141,934 $2,700,000 $2,700,000 $2,700,000 Sewer Service-Plant 3 $3,477,832 $3,485,366 $3,485,366 $4,015,112 Refuse Fund $2,505,294 $2,870,300 $2,974,400 $3,284,068 Total $12,790,733 $15,455,466 $1 5559,566 $1 7,309,252 4053 -Equipment DIVISION GOAL Provide all depart~mentsldivisionsw ith the vehicular, non-vehicular and communications equipment needed to meet their objectives within the approved budget, and continue to maintain all equiprnent within the City in a safe and reliable manner. 1. Met and exceeded clean-air standards as they pertain to the City of Bakersfield by placing islternative fuel vehicles and equipment into service. Purchased ten liquefied natural gas (LNG) refuse trucks and one compressed natural gas (CNG) sweeper. 2. Opened a fleet satellite shop at the Mount Vernon Recycling Facility to provide on-site maintenance of large equipment. 3. Completed the installation of a communications repeater system at the East Radio Site for complete 2417 interoperability between the City of Bakersfield Police and Kern County Sheriff. 4. Completed phase one of the reprogramming of all City radio communications equipment for additional channel capacity and interoperability. 5. Completed the installation of the new North Radio Communications Site to improve radio coverage for City two-way radios. FY 2007-08 ACTION PLAN 1. Place into service six CNG street sweepers and six LNG side-loading refuse trucks to continue the City's commitment to clean air. 2. Continue to monitor rental rates to ensure accurate and timely replacement of worn equipment. Maintain an appropriate fund balance within the Equipment Management Fund to meet established replacement schedules. 3. Continue prlocess of outfitting the fleet satellite shop at the Mount Vernon Recycling Facility. 4. Complete the installation of a new digital encrypted radio communication repeater system at the North and East Radio Sites for complete portable radio coverage for the City Police. 5. Begin construction of liquefied compressed natural gas (LCNG) fueling station at the Mount Vcrrnon Recycling Facility. 4053 -Equipment continued 6. Continue to reconfigure the programming of all City radio communications equipment for increased radio capacity and City/County interoperability. 7. Complete the installation of twelve radio receivers to improve coverage for City Police and Kern County Sheriff. 8. Upgrade the local law interoperability channel to include City Schlools Security. 9. Add a west receiver site with nine receivers to provide full portable radio coverage to the far west side of the City. FY 05-06 FY 06-07 FY 07-08 SERVICE LEVEL INDICATORS Actual Projected Proposed Perform Preventative Maintenance and Routine Repairs of All Vehicles 1 3,474 15,018 15,951 within the Fleet Perform Preventative Maintenance And Repair of Mobile and Fixed Electronic Equipment Broadcasting/Rebroadcasting of City Council Meetings (Hours) EQUIPMENT Adopted Amended Proposed Actual Budget Budget Budget EXPENDITURES: 2005-06 2006-07 2006-07 2007-08 Personnel Operating Capital Total $21.493.325 $26,358,635 $27.61 8.91 1 $25,810,016 SOURCE OF FUNDS: Equipment Fund $21,493,325 $26,358,635 $27,618,911 $25,810,016 Total $21,493.325 $26,358,635 $27,618.91 1 $25,810,016 4071 -Wastewater DIVISION GOAL Provide operation and maintenance of wastewater facilities for the purpose of treating, reclaiming, and utilizing wastewater and its by-products in accordance with federal, state, and local requirements; plan for future wastewater treatment needs to meet anticipated growth; monitor and regulate industrial waste dischargers in order to protect wastewater facilities, the public, and the environment; and establish sewer user fees for properties receiving City sewer service. FY 2006-07 ACCOMPLISHMENTS 1. Performed state required laboratory analysis of wastewater and submitted the results each month to the California Regional Water Quality Control Board (CRWQCB). 2. Completed a concrete restoration project that repaired damaged concrete and concrete coating for the primary treatment area at Plant 2. 3. Hired an engineer to assist with all capital improvement pro,jects, regulatory compliance, and the Plant 3 Expansion Project. 4. Completed a successful inspection of Plant 2 effluent effluent storage reservoirs with Division of Safety of Dams. 5. Installed a new 643 kilowatt co-generation engine at Plant 2. This engine is eligible for a $363,000 incentive rebate from PG&E. The co-generation system burns digester methane gas to produce electricity at a significant savings to the CiUy. 6. Completed the design for the Plant 3 -2007 Expansion Project. 7. Completed a wastewater treatment documentary with Channel 39 News, a local Spanish news station. 8. Completed six years of seven year phase-in for sewer rate increases for hospitals per the new Sewer Revenue Program. This program was revised and adopted in May 2001 to bring it in line with State Revolving Fund policies for construction of wastewater treatment facilities. 9. Distributed Best Management Practices information packets to restaurants and vehicle services. This packet is designed to educate commercial customers about proper disposal practices in order to protect wastewater facilities. 10. Performed two septage hauler information workshops regarding recommended practices for collecting grease and maintenance of restaurant grease traps. 4071 -Wastewater continued FY 2007-08 ACTION PLAN 1. Provide continuous operation and maintenance of Wastewater Treatment Plants 2 and 3; perform State required analysis of wastewater to demonstrate compliance with discharge requirements; and submit results monthly to the CRWQCB. 2. Provide safe environment for employees by continuous safety training and endorsemerit of safe working practices. 3. Conduct annual sampling and inspection of all permitted industries and submit results to the CRWQCB. 4. Review mon~thlyC ity Building Department reports and annual water consumption records to update the flat rate and surcharge billings lists. Bill septage haulers by the 1 5th of each month. 5. Complete design for construction of odor control and upgrade of septagelgrease receiving sta.tion at Plant 2. 6. Start construction of Wastewater Plant 3 Expansion Project to double the treatment capacity to 32 million gallons per day. 7. Complete ph~ase-ino f hospital rate increase. 8. Distribute Best Management Practices information packets to animal care facilities, mobile cleaning (water softener and swimming pool maintenance) services, landscape maintenance, carpet cleaning and surface cleaning companies. FY 05-06 FY 06-07 FY 07-08 SERVICE LEVEL INDICATORS Actual Projected Proposed Wastewater Treated (Million Gallons Per Day) Plant 2 . . . . . . . . . . . Plant 3 . . . . . . . . . . . Permitted Industrial Dischargers 18 20 20 Parcels Served with~inIn corporated Area (on special assessment list) 77,757 82,229 86,958 WASTEWATER EXPENDITURES: Personnel Operating Capital Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 -2007-08 SOURCE OF FUNDS: Sewer Service-Plant 2 $5,133,922 $2,730,497 $2,730,497 $3,099,713 Sewer Service-Plant 3 $9,623,695 $4,243,308 $4,243,308 $4,484,962 Total $14,757.617 $6,973,805 $6,973,805 $7,584,675 4081 -Solid Waste DIVISION GOAL Provide quality anid cost effective solid waste and recycling services Citywide through a balanced combination of services by contract and by municipal forces; develop and implement waste reduction and recycling programs to comply with the state mandate; and establish and maintain environmental controls for closure of the former Bakersfield Landfill. FY 2006-07 ACCOMPLISHMENTS 1. Created new incentives for the City-wide voluntary curbside recycling program. 2. Obtained a $1.5 million state grant for curbside recycling to purchase material sorting equipment. 3. Integrated litter cleanups in the Keep Bakersfield Beautiful (KBB) program with other ongoing cleanup efforts to leverage the use of volunteer efforts with minimal City resources. 4. lnitiated the design/build project to electrify diesel powered equipment at the Mount Vernon Recycling Facility to reduce air pollution. 5. Completed the final landfill closure plan for the former Bakersfield Landfill. 6. lnitiated a project to upgrade the City's financial software land file to improve record keeping in several departments. 7. Entered into a Memorandum of Understanding with Kern County and began feasibility studies for refuse transfer stations as a potential way to reduce air pollution. FY 2007-08 ACTION PLAN 1. Combine all refuse service, billing, and contractor payment data to ensure accurate charges and payments. 2. Continue to promote the curbside recycling program. 3. Complete construction of the Bakersfield Landfill Cap project. 4. In coordination with the County of Kern, conduct a site study and design a refuse transfer station for the metropolitan Bakersfield area to reduce truck travel and -the associated air pollution. 4081 -Solid Waste continued SERVICE LEVEL INDICATORS Total Homes Served FY 05-06 FY 06-07 FY 07-08 Actual Projected Proposed 76,933 84,758 88,258 Curbside Recycling Participants 2,800 3,478 3,600 Greenwaste Recycling: # of Vehicles Admitted 177,753 189,106 193,120 at Gate Greenwaste--Processed (Tons) 1 68,224 179,300 183,120 SOLID WASTE EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: Refuse Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 THIS PAGE INTENTIONALLY LEFT BLANK WATER RESOURCES Water Resources To supply and conserve water for the benefit of present and future citizens of Bakersfield; to ensure the orderly regulation and distribution of Kern River water, including the preservation and augmentation of the underground water supply; operation of domestic water system to provide high quality water service; to provide Kern River Levee District flood control management and maintenance of drainage basins; to administer basic water contracts to agricultural districts; provide storm water monitoring program as required by California Regional Water Quality Control Board; and oversee municipal farm operations at City wastewater sites. 1. Completed negotiations with the Kern County Water Agency to secure a long-term surface treated water supply for Domestic Water Division in the amount of 6,500 acre feet annually. 2. Completed construction of final two Proposition 12 (Park Bond 2000) and Proposition 13 (Water Bond 2000) funded projects along the Kern River Parkway. 3. Completed third phase of security measures for our domestic: water system pursuant to the Homeland Security Act. 4. Developed a new domestic water well drilling procedure to ensure high quality water for our increasing service area. FY 2007-08 SIGNIFICANT BUDGET CHANGES 1. Resources allocated to purchase treated surface water to replace poor quality groundwater throughout the City's domestic water system. 2. A new Light Equipment Operator is proposed in the Agricultural W1ater Division to assist in maintaining the rapidly increasing number of drainage basins throughout the City of Bakersfield. 3. fncrease in monthly domestic water rates proposed in the quantity rate charge for City domestic water service customers. No service charge increase is being requested. The quantity rate charge is proposed to increase by $0.05 per unit on October 1, 2007. A typical residential customer will see a total increase of $1.40 per month on October 1,2007. WATER RESOURCES DIVISIONS: Agricultural Water Domestic Water Total SOURCE OF FUNDS: Agricultural Water Domestic Water Total FULL TIME EMPLOYEES: Agricultural Water Domestic Water Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 21006-07 2007-08 451 1 -Agricultural Water DIVISION GOAL Provide for the proper distribution and delivery of water from lsabella Reservoir to canal headgates and agricultural customers. Perform scheduled and required repairs to river weirs, headgates, canals, turn-outs and facilities and maintain the Kern River Levee system. Maintain and repair drainage basins located throughout the City. Ensure the efficient use of Kern River water, supplies, personnel and equipment in the performance of ail operation and maintenance functions. FY 2006-07 ACCOMPLISHMENTS 1. Completed construction of final two Proposition 12 (Park Blond 2000) and Proposition 13 (Water Bond 2000) funded projects along the Kern River Parkway. 2. Completed the Annual Land Management Report for the Wastewater Plant 2 Municipal Farm in accordance with the Regional Water Quality Control Board Order. 3. Completed installation of road base on levee roads to provide dust control and all weather vehicle access within the 2800 Acre Recharge Facility. 4. Completed levee repairs and disking of 2800 Acre Recharge Basins 2, 3, and 4 to increase groundwater recharge capacity. N 2007-08 ACTION PLAN 1. Continue to monitor Lake Isabella Dam safety remediation project with United States Army Corps of Engineers. 2. Replace and repair fencing along canals and neighborhood drainage basins as needed throughout the City limits. 3. Continue eradication program to remove water hyacinth and giant reed and other invasive plants from the river channel and various neighborhood drainage basins throughout the incorporated areas of Bakersfield. Work in conjunction with Kern Mosquito Abatement District to effectively eliminate mosquito infestation. 4. Install road base as required on existing unpaved roads to neighborhood drainage basins and canals to provide dust control and all weather vehicle access to sites located within the City. 451 1 -Agricultural Water continued SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed Reconstruct Drainage Basins 20 25 40 Replace and Repair Canal and Basin Fencing (in feet) 3,030 2,500 3,000 AGRICULTURAL WATER EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: Agricultural Water Total Adopted Amended Proposed Actual Budget Budget ~udget 2005-06 2006-07 2006-07 I 2007-08 DIVISION GOAL Provide a safe and dependable water supply in sufficient quantities to meet customer demands for high quality drinking water at a competitive price; administer provisions of the Domestic Water Operations Agreement to ensure highest possible level of service to City and its customers; maintain and upgrade standards for distribution system design and modernization; provide for future growth and the increasing water supply demand; and accurately bill in a timely manner to customers. FY 2006-07 ACCOMPLISHMENTS I. Completed construction and installation of a mile long 30" diameter raw water pipeline that extends from the Beardsley Canal to the new Northwest Treatment Plant at Coffee and Norris Road. 2. Completed negotiations to secure treated surface water to replace poor groundwater throughout the system with California Water Service Company and Kern County Water Agency. 3. Completed installation of piping and controls for additional booster pumps at the Interface Pumping Station to maintain service levels and fire flows in the system. FY 2007-08 ACTION PLAN 1. Implement initial phase of program to add system storage to various water wells as needed throughout the domestic water system to prepare for emergencies or power outages. 2. Continue implementation of security measures for the City's Domestic Water System pursuant to the Homeland Security Act. 3. Complete installation of pipeline extensions and interconnections of water main lines as needed to ensure adequate water pressure and flows throughout the system. 4. Construct three additional water wells to increase production capacity to serve new growth occurring throughout the City's domestic water system. SERVICE LEVEL INDICATORS FY 05-06 FY 06-07 FY 07-08 Actual Projected Proposed New Service Connections 2,247 2,163 2,280 Water Wells Constructed 4 2 3 DOMESTIC WATER EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: Domestic Water Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 -2007-08 RECREATION AND PARKS Recreation and Parks De~artment m FY 2007-2008 Organizational Chart Director I I Assistant Director -1 Recreation Specialist (2) 4------1 I 1 I d Recreation Division Parks Division Parks Superintendent Administrative Svcs Division Sports Recreation Supervisor Program Coordinator Silver Creek Community Ctr & After School Programs Recreat~onS upew~sor Urban Forestrymrees Recreation Specialist Supervisor II -MLK Community Center 8 After School Programs Supervisor I CIP ProjectslRepairs Manager Aquatics Recreation Supervisor MaintenSaunpceer -vCisroarft Iw orkers I Special Projects Manager Park Serv~cesC oordinator (5) Planning Construction & Facilities Planner ParWStreetscape Maintenance Supervisor 11 (5) Areas 1, 2, 3,4, 5 FinancialISupport Svcs Business Manager Recreation and Parks DEPARTMENT GOAL To provide the highest quality service, facilities, parks and programs possible. FY 2006-07 ACCOMPLISHMENTS 1. Responded to resident's concerns about level of service in Maintenance Districts. 2. Continued to deal positively with significant growth and staff changes. 3. Added new community programs and recruited sponsorships for such events as the 'Turkey Splash" and the "Underwater Eggstravaganza". 4. Contracted with Coca-Cola to vend their products in all City parks. 5. Established an agreement with SMG to provide concert entertainment at the Bright House Networks Amphitheatre. 6. Partnered with local and state organizations (through grants) to complete several tree planting projects. 7. Partnered with Bakersfield Southwest Baseball Association in deweloping the 40-acre sports park at Brimhall and Jewetta. 8. Received Kern Council of Governments and two California Park and Recreation Society Awards for The Park at River Walk. FY 2007-08 ACTION PLAN 1. Seek and negotiate with a minimum of three (3) large companies for "Naming Rights" at City facilities, including sponsorships and funding of special events. 2. Reduce citizen issues regarding landscape areas by adjusting staffing levels in the Parks Division for improved work efficiency. 3. Complete self assessment standards for the National Recreation and Parks Association (NRPA) Agency Accreditation which will be awarded by fall of 2008. DIVISIONS: Administration Parks Recreation Total RECREATION AND PARKS Adopted Amended Proposed Actual Budget Budget Budget 2002-06 2006-07 2006-07 2007-08 SOURCE OF FUNDS: General Fund $12,789,541 $1 6,549,210 $1 6,599,748 $1 8,140,772 Amtrak Operating Fund $1 9,366 $32,800 $32,800 $33,800 Total $1 2,808,907 $1 6,582,010 $1 6,632,548 $1 8.174.572 FULL TIME EMPLOYEES: Administration Parks Recreation Total 121 .OO 160.00 160.00 170.00 5841 -Administrative Services DIVISION GOALS Provide administrative support for the effective operation of the Recreation and Parks divisions; promote synergy between the divisions to enhance the services provided by each; establish and implement policies and procedures; monitor operating and capital improvement program budgets; provide excellent customer service in accepting reservations and activity enrollments and responding to complaints and inquiries. FY 2006-07 ACCOMPLISHMENTS 1. Established agreement with SMG for entertainment at Bright House Networks Amphitheater. 2. Completed the Recreation and Parks Department Master Plan. 3. Completed a concept plan to renovate Mesa Marin Sports Complex. 4. Completed two (2) agreements with Bakersfield Southwest Baseball to construct and operatelmanage the 40-acre sports park at Brimhall and Jewetta. 5. Continued to provide support services to ensure highest level of quality and service. 6. Updated and enhanced department website to be more user friendly for customers. 7. Increased on-line registrations for improved service delivery. FY 2007-08 ACTION PLAN 1. Develop five (5) new sponsorships and/or partnerships to enhance service delivery. 2. Seek grants and "naming rights" for the Sports Village. 3. Implement TeleStaff staffing assignment software and work order system at McMurtrey Aquatic Center. 4. Begin the renovation of Mesa Marin Sports Complex for use in 2008. 5. Complete construction of roller hockey rink at Saunders Park. 6. Continue to work with Bakersfield Southwest Baseball in completing the 40-acre sports park. ADMINISTRATION EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 5021 -Parks DIVISION GOALS Utilize available resources in the most effective manner. Within budgetary guidelines, provide the highest quality and most responsible maintenance program for parks, medians and streetscapes throughout Bakersfield. FY 2006-07 ACCOMPLISHMENTS 1. Added three (3) new parks: Weston, Solara and Granite Poiinte parks to the city's parks inventory. 2. Installed shade structures at Planz, Silver Creek, MLK, and McMurtrey through a grant. 3. Restored Pin Oak Park through irrigation modifications, new landscaping and new turf. 4. Completed tree contract work at Wayside, Wilson, Jastro, Beach parks and the Vineyards. 5. Planted 100 new trees throughout the city. 6. Coordinated efforts with the Tree Foundation in educating and promoting proper tree planting and trimming. 7. Extensive replacement of plants, trees, and irrigation systems due to the freeze earlier in the year at a cost of $25,000 or more. 8. Completed removal of old playgrounds and installation of new playground equipment at Westwold, Jefferson, Haggin Oaks, Patriots, Siemon, and Castle parks. 9. Completed the City's first small dog off-leash area at Seasons Park. FY 2007-08 ACTION PLAN 1. Begin implementation of the Maxi-com irrigation system in landscape areas city wide. 2. Implement the new Work Order System. 3. Complete the tree inventory city wide within the GIs system. 4. Continue the annual tree trimming contract to maintain yearly tree maintenance schedules. 5021 -Parks continued 5. Complete the Department's Tree Management Plan. SERVICE LEVEL INDICATORS Maintenance District Acreage Non-Maintenance District Acreage FY 05-06 FY 06-07 FY 07-08 Actual Projected Adopted Facility/Park Reservations 3,700 3,850 3,850 BARKS EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Amtrak Operating Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 5031 -Recreation DlVlSON GOALS Provide leisure services at the highest standard possible while involving participants, staff, and groups in the creation and production of these services. FY 2006-07 ACCOMPLISHMENTS 1. Secured three (3) full-page advertisements and sponsorships for the brochure. 2. Added nine (9) new leisure classes at local businesses in different areas of town. 3. Added a new Thanksgiving Day Holiday event, "Turkey Splash." 4. Replaced the old and worn filter and heater at Silver Creek Pool. 5. Renovated the locker areas and rebuilt the main recirculation pump at McMurtrey. 6. Offered a one week "Spring Camp" at MLK and Silver Creek Centers during Spring break. 7. Department received the 2006 Bronze International Aquatic Safety Award from Ellis and Associates. 8. Reestablished the Good Neighbor Festival at MLK. FY 2007-08 ACTIQN PLAN 1. Develop and conduct at least two (2) new programs and/or events at The Park at River Walk. 2. Increase revenue generation by 10% or more through programs, rentals, sponsorships and events from 06-07 year. 3. Obtain at least five (5) new partnerships, sponsorships, andlor grants in 07-08. 4. Develop and implement at least two (2) new programs for citizens with disabilities. 5. Involve at least four (4) staff members in attending a marketinglmedia related workshop to increase participation in programs and special events. 6. Partner with Kern High School District in making pool repairs at several city pools. 5031 -Recreation continued SERVICE LEVEL INDICATORS Summer Aquatics (Average Daily Attendance) Martin Luther King, Jr. Community Center (Average Daily Attendance) Silver Creek Community Center (Average Daily Attendance) Sports Program (Total Attendance) FY 05-06 FY 06-07 FY 07-08 Actual Projected Proposed RECREATION EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 -2007 -88 THIS PAGE INTENTIONALLY LEFT BLANK DEVELOPMENT SERVICES Development Services FY 2007-2008 Organizational Chart I Development Services Director I I Business Manager H Planning Division Current Advanced Permitting Planning Planning & Zoning I Building Division 1 i i Construction Inspections Permitting & Plan Checking Code Enf~r~ement Development Services DEPARTMENT GOAL To provide professional and technical services that support the development of a balanced community, the preservation of existing neighborhoods and the development of new neighborhoods in a timely and orderly manner, being responsive to the needs of the community and ensuring that buildings and their environments are constructed and maintained in conformance with adopted codes, standards, rules and policies. FY 2006-07 ACCOMPLISHMENTS 1 . The Planning Division successfully completed 34 annexations. 2. Obtained approval of revised Hillside Development Ordinance. 3. Code Enforcement streamlined the contracting process for weed abatement services FY 2007-08 SIGNIFICANT BUDGET CHANGES 1. Accommodate and Support Annexation of Territory within the City's Sphere of Influence. 2. Complete the Metropolitan Bakersfield General Plan Update. 3. Implement a Systematic Code Compliance Program. 4. Facilitate the Development of Mixed use Residential and Commercial in-fill projects. 5. Elimination of five vacant Building Inspector positions and one vacant Building Permit Technician position due to slow down in construction activity. 6. Replace one vacant Code Enforcement Officer position with three new Assistant Code Enforcement Officer positions. DIVISIONS: Planning Building Total SOURCE OF FUNDS: General Fund Development Srvcs. Fund Total FULL TIME EMPLOYEES: Planning Building Total DEVELOPMENT SERVICES Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 -2006 -07 2007-08 601 1 -Planning DIVISION GOAL To provide land use planning, zoning and land division services, including services required for environmental review of public and private projects in a manner consistent with the requirements of the California Government Code and the City's adopted policies, ordinances and standards through the implementation of the City's General Plan and Specific Plans in a manner which is equitable to individual lproperty owners and the public at large. FY 2006-07 ACCOMPLISHMENTS 1. Completed 34 annexations. 2. Obtained approval of revised Hillside Development Ordinance. 3. Streamlined PUDIPCD Ordinance. 4. Enhanced public notification process through property posting. 5. Obtained certification of EIR and approval of Sewer Treatment Plant 3 expansion. 6. Began citizen participation process for Bakersfield Metropolitan General Plan Update. FY 2007-08 ACTION PLAN 1. Obtain approval of City Sports Park and associated EIR. 2. Update the Bakersfield Metropolitan General Plan. 3. Obtain approval approval of mixed use revisions to the City's Zoning Ordinance. 4. Prepare Housing Element Update (due June 2008). 5. Participate in enhanced Annexation program. SERVICE LEVEL INDICATORS Application Type Concurrent Applications Conditional Use Permits General Plan Amendments Home Occupation Land Division Site Plan Review Zone Changes Zone Modifications FY 05-06 FY 06-07 FY 07-08 Actual --A ctual Proposed PLANNING EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Development Srvcs. Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 -200 6-07 2007-08 BUILDING EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund Development SNCS Fund Total Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 -2006 -07 2007-08 THIS PAGE INTENTIONALLY LEFT BLANK ECONOMIC AND COMMUNITY DEVELOPMENT Economic and Community Development Facilitate programs and projects to stimulate Economic Development, Community Development, and Redevelopment for the City of Bakersfield. Foster the local economy by creating and retaining employment opportunities, eliminating slum and blight and providing housing programs which benefit very low, low and moderate income citizens. Enhance and preserve our historical resources, improve the safety and livability of neighborhoods by expanding economic opportunities and provide staff assistance to the Bakersfield Redevelopment Agency in transacting business and exercising authority in compliance with State of California Redevelopment Law. FY 2006-07 MAJOR ACCOMPLISHMENTS 1. The Bakersfield Redevelopment Agency has executed a Disposition and Development Agreement with Triumph Companies and the project should begin construction by summer 2007. Baker Street Village will include 30 for sale town homes, 54 for sale loft/condominium units and 50,000 squa.re feet of new commercial space. Triumph Companies is talking to several grocery operators and a possible pharmacy as key anchors. Project is located along Baker Street between Lake and Kentucky streets. 2. A Request for Development Proposals for the Mill Creek South Mixed-Use Project was issued in January 2007. The Mill Creek South Mixed-Use Project is planned to include 80 units of affordable rental housing, 35 for sale affordable and market rate urban style condominiums, and 65,000 sq. ft. of commercial space on 10 acres for retail, restaurants, community events, and neighborhood services. 3. An architectural firm was selected to design the Mill Creek Linear Park Master Plan with estimated completion of the design in June 2007. The Park is a conceptual 1.5 mile park and recreational amenity proposed along the Kern Island Canal. Initial construction of some of the parkway is planned for FY 07/08. Staff will seek additional state and federal grant resources to help fully fund construction of the project. 4. Progress continues with construction of the homes for the Parkview Cottages Housing Project near Central Park. The project will consist of 74 single-family housing units. Each unit will range in size from 1,350 to 1,750 square feet per unit, are two stories and have a two-car garage. 39 homes have been constructed to date with 23 occupied. Economic and Community Development continued 5. South Mill Creek Plaza Maya Cinema Complex a $39 million dollar development planned to include a 14 screen state of the art movie theater, retail, and restaurants on approximately 4.5 acres south of the railroad tracks between California Avenue, "M" Street and " P and "Q" streets received its construction funding commitment. The site has been cleared and architectural designs should be completed by summer 2007. 6. Chester Avenue Streetscape has been completed. The project included the installation of street trees and shrubs along the center median and parkway, new kiosks, decorative benches, tree grates, automatic irrigation, bollards, decorative lights and trash receptacles from 24th Street to Garces Circle is now complete. A dedication ceremony was held in November 2006. The Baker Street Streetscape Improvement Project (Phase II) located along Baker Street, from Truxtun Avenue to the south and Jackson Street to the north includes the installation of trees, tree grates, automatic irrigation, lights with banners, and trash cans. The project will reconstruct the railroad crossing; install curbs, gutters, sidewalks and streetlights between Sumner to Jackson streets. Reconstruction of the railroad tracks was completed in 2006. The streetscape portion of the project is scheduled to start in February, 2007 and is scheduled for completion in early summer. 1. The Community Development Block Grant entitlement for Fiscal Year 2007-08 is expected to be $3,403,927 about a .4% increase over the current year entitlement and the HOME Investment Partnership entitlement is anticipated to be $1,571,787, a .9% decrease over the current year entitlement. Although federal entitlements have decreased over the past few fiscal years, staff continues to secure alternative funding sources in the accomplishment of department goals. 2. The Economic and Community Development Department is proposing to reclassify a vacant Clerk Typist II position to the Development Specialist level. The Development Specialist level requires knowledge in loan processing, escrow processes and a higher level of technical expertise related to the administration of federally funded programs. 3. During fiscal year 2006-07, the Redevelopment Agency received an award notification from CalHFA for a $3.0 million Residential Development Loan Program. This loan will be used to acquire a 1.32 acre parcel for development of 35 contemporary urban designed condominiums called Creek View Villas. The Creek View Villas will be developed within the Mill Creek South master planned 10 acre mixed use redevelopment project. Economic and Community Development continued 4. During fiscal year 2006-07, the Redevelopment Agency received an award notification from the California Pollution Control Finance Authority for $500,000 to implement the California Recycle Underutilized Sites (CALReUSIE) Program. The program provides forgivable loans to fund site assessment, technical assistance, remedial action, and site access. The planned use for these funds is within the City's redevelopment project areas, targeting the Mill Creek area specifically. ECONOMIC & COMMUNITY DEVELOPMENT DIVISIONS: Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 -200 6-07 2007-08 Community Development $2,438,048 $5,394,115 $6,669,115 $3,594,874 Economic Development $1,234,550 $1 3,648,084 $1 4,648,084 $9,637,885 Total $3,672,598 $1 9,042.1 99 $21,317,199 $1 3,232,759 SOURCE OF FUNDS: General Fund CDBG -HOME CDBG -Block Grant B.E.G.I.N. RDA-SEPA -Operating RDA-SEPA -Housing RDA-OTKP -Operating RDA-OTKP -Housing RDA-DTPA -Operating RDA-DTPA -Housing Parking Lots/Structures Total FULL TIME EMPLOYEES: Community Development 9.00 9.00 9.00 9.00 Economic Development 8.00 8.00 8.00 8.00 Total 17.00 17.00 17.00 17.00 6570 -Community Development DIVISION GOAL To provide a suitable living environment by improving the safety and livability of neighborhoods by expanding economic opportunities and assisting low and moderate income residents to obtain decent, affordable and fair housing as well as eliminating slum and blight. Funded and administered Emergency Shelter Grant funds to non-profit service providers including Bethany Services, Bakersfield Rescue Mission, and Alliance Against Family Violence and Sexual Assault. Prepared year three of the Action Plan for the five-year Consolidated Plan 201 0 for federal entitlements of the Community Development Block Grant, HOME Investment Partnership and Emergency Shelter Grant programs. Provided sewices to over 866 consumers and providers concerning information, training, and counseling on fair housing and compliance issues. Provided technical assistance to local, non-profit service providers in developing a HUD supported housing grant (SHP) application, resulting in 11 awards of over $1,490,000 which will be used to assist homeless persons and families. Funded and co-administered five Capital Improvement Program activities totaling approximately $1.4 million. Assisted two eligible Community Housing Development Organizations (CHDO's) in the development of affordable housing units. Continue implementation of $1.6 Section 108 loan funds approval for the New Fire Station #5. Provided capacity building, technical assistance to at least one non-profit organization that operates in southeast Bakersfield. Staff is working with KSA Partners to construct a 72 unit family apartment complex. King Square Family Apartments is located at 1601 Lotus Lane. This is a low income housing tax credit project. The Developer expects to receive $9.3 +. million in tax credit funding, $2.3 k million in private long term financing, and $1.5 2 million deferred developer's fee in addition to the $850,000 in HOME funding. On July 16,2006, the City Council approved an agreement with Greenfield Housing, L.P. for $300,000 in HOME CHDO funds to construct affordable housing units for 6570 -Community Development continued low income families within a new 8-c acre subdivision tract south of Fairview Road at the future Outback Drive. Greenfield Housing project is a 35 unit rental project which will include a community room. Total project cost will be about $12,000,000. The project is approximately 30% completed. 11. The Southeast In-fill Housing Program continues, using a $500,000 CalHFA loan to build affordable housing on scattered lots in southeast Bakersfield. Currently Hybrid Construction is building a home at 334 Clifton Street. The anticipated completion date is April 2007. To date, 16 new homes have been constructed through the program in southeast Bakersfield. 12. Staff has developed a three year comprehensive targeted neighborhood revitalization program. This Southeast Neighborhood Revitalization Program includes the addition of one dedicated Code Enforcement position, partial clerical support, equipment and supplies to provide various code enforcement activities such as removal of junk cars and the demolition of substandard structures. The program focuses on a five block area bounded by Brook Street to the south, Hale Street to the east, E. Planz Road to the north and Cottonwood Road to the west. 13. Bakersfield College continues to participate in the Southeast lnfill Affordable Housing Program through their Construction Alliance for Student Achievement (CASA) curriculum where participating students receive construction trade training and job related experience. Through the Redevelopment Agency the Bakersfield College Foundation obtained title to three tax default properties located at 339 Brown, 124 Hayes and 301 Owens Streets. The first home located at 339 Brown Street is currently in the finishing stages for both the exterior and interior components. FY 2007-08 ACTION PLAN 1. Prepare the annual funding application process for federal entitlements of the Community Development Block Grant, HOME Investment Partnership and Emergency Shelter Grant programs. 2. Maintain the division's housing programs and projects, including the Housing Urban Bakersfield and American Dream Downpayment Assistance Programs, Home Access Grants and the McDonald Stockdale Highway Sewer Assessment Grant Program. 3. Develop and implement public facility assistance for four non-profit organizations providing emergency shelter, transitional support, senior activities and affordable housing. 6570 -Community Development continued 4. Conduct neighborhood events and participate in the coordination of the Fair Housing Arts Contest. 5. Continue to provide funding for the Graffiti program in CDBG qualified low-income areas. 6. Increase the overall level of fair housing law knowledge to all community residents by providing service, information, technical training, and counseling on fair housing related issues. 7. Provide financial assistance to multi-family projects located in Redevelopment areas with HOME Investment Partnership monies. 8. Implement programs and activities identified in the 2006/07 HUD Action Plan including CDBG funded CIP projects, new housing construction activities, and public facilities. PRO J EC:B/ACTIVlN FY 05-06 FY 06-07 FY 07-08 Actual Proiected Proposed Home Access Grant Program 28 20 23 Fair Housing Calls 932 866 846 Houses Rehabilitated 3 1 0 Parkview Cottages Downpayment Assistance 5 6 12 EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: CDBG -Block Grant CDBG -HOME B.E.G.I.N. RDA-SEPA -Housing Total COMMUNITY DEVELOPMENT Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 -20 06-07 2007-08 6580 Redevelopment and Economic Development DIVISION GOAL Plan ancl implement economic development activities which protect, improve and diversify the economy of Bakersfield. FY 2006-07 ACCOMPLISHMENTS 1. Completed the installation of additional streetscape on Chester Avenue from 24'" Street to Garces Circle. The project included construction of new median landscaped islands with turf and trees, decorative streetlights, illuminated bollards, benches, trash receptacles and two new illuminated information kiosks. 2. Construction completed on the new Village at Towne Center project. Redevelopment assistance involved acquiring a vacant CalTrans-owned parcel at 24th and "M Streets to provide adequate parking for the new 41,000 square foot upscale mixed use project. The project is an important entry point to downtown. 3. Amended agreement with D.W. Sivers Company and Maya Cinemas North America, Inc. to extend the completion date for construction of the $32 million Maya Cinema Complex to December 31,2008. 4. Issued a Request for Statements of Qualifications and Development Proposal for a 10 acre mixed use residential/commercial redevelopment project Mill Creek South located in the Southeast Bakersfield Redevelopment Project Area. The Agency is seeking the development of 80 units of affordable high-rise multifamily residences, 35 contemporary urban designed condominiums, and 65,000 square feet of retail development. 5. Implemented a marketing plan for the EPA-funded revolving loan fund to assist potential sites with hazardous contamination FY 2007-08 ACTION PLAN 1. Aggressively pursue all funding opportunities to protect, improve, and diversify the economy of Bakersfield. 2. Aggressively pursue acquisition of parcels along the canal ,edge of the 1.5 mile Mill Creek Linear Park Project from Golden State Highway to California Avenue. 3. Implement the development for the Baker Street Village mixed use project on in the Old Town Kern Pioneer Redevelopment Project Area. 6580 -Redevelopment and Economic Development continued 4. Coordinate with the City staff and Maya Cinemas Bakersfield LLC, to assure the timely completion of the Maya Cinema Complex by December 31, 2008. 5. Complete the environmental review process for the Mill Creek South Mixed Use Redevelopment Project coordinate the selection of a developer to enter into an exclusive negotiation agreement culminating in the successful negotiation of a Development and Disposition Agreement (DDA) with the Bakersfield Redevelopment Agency by January 31,2008. 6. Coordinate with the United States General Services Administration to assure the Federal Magistrate Courthouse is located in downtown Bakersfield within the Mill Creek Linear Park Project. 7. Develop a viable targeted revitalization program for the Southeast Neighborhood Targeted Revitalization program that will incorporate an owner-occupied affordable manufactured home replacement component to replace existing substandard homes and mobile housing units by July 1, 2007. 8. Pursue Proposition I C -Housing and Emergency Shelter Trust Fund Act of 2006 funding for various development opportunities including the construction of affordable housing for the Millcreek South -Mixed Use Project and funding for urban, suburban and rural parks to provide supplemental financing for the development and construction of the Mill Creek Linear Park project. SERVICE LEVEL INDICATORS PRO J ECT/ACTIVITY FY 05-06 FY 06-07 FY 07-08 Actual Projected Proposed Respond to request for economic development information 350 425 450 Brownfields RLF loan and sub-grant amount awarded $0 $51,880 $1 50,000 Team Bakersfield project assistance provided 6 4 8 Parkview Cottages Downpayment Assistance 4 8 10 ECONOMIC DEVELOPMENT EXPENDITURES: Personnel Operating Capital Total SOURCE OF FUNDS: General Fund CDBG -Block Grant RDA-SEPPI -Operating RDA-SEPA -Housing RDA-BTKP -Operating RDA-OTKP -Housing RDA-DTPA -Operating RDA-DTPA -Housing Parking LotsIStructures Total Adopted Amended Proposed Actua! Budget Budgelt Budget 2005-06 2006-07 2006-OiT-2007-08 NON-DEPARTMENTAL CITY OF BAKERSFIELD NON-DEPARTMENTAL This section includes expenditures which cannot be attributed to a single department or division. These expenditures are for services which may impact a number of City departments and functions. Retiree Medical Benefits -This item provides for contributions to medical insurance premiums for retired City employees with at least 10, 15, or 20 years of service credit depending on date of hire, as provided for in various labor agreements. Currently, the City provides benefits to over 300 retired employees. Additionally, due to recent changes in Governmental Accounting Standards Board pronouncements (GASB 43/45), this account also reflects the cost of benefits earned by current employees during the fiscal year. The GASB now requires all governmental agencies to recognize the cost of Other Post Employment Benefits (OPEB) as they are earned by employees rather than when the premium subsidies are paid Elections -This item includes funds for the planning and execution of all City City elections. Property Tax Administration -Section 97 of the Revenue and Taxation Code allows the County to charge all districts in the county for their share of the County's "Property Tax Administration Cost." This cost commenced with the 1990-91 fiscal year as a result of state budgetary action. The cost to each district is based upon its share of the current AB8 tax dollars, plus a share of the countywide Unitary Tax Allocation. Contingent Cost /State Action Allocation -This item includes funds set aside to address potential State budgetary actions and other items unresolved at the time the budget is developed. Contingency -The Contingency fund is intended to cover unanticipated expenditures which the City Council decides to fund throughout the fiscal year. NON-DEPARTMENTAL Adopted Amended Proposed Actual Budget Budget Budget 2005-06 2006-07 2006-07 2007-08 Non-Departmental* $3,311 4,997 $8,034,606 $8,095,859 $9,247,324 Total $3.31 4,997 $8,034,606 $8,095,859 $9,247,324 SOURCE OF FUNDS: General Fund $2,070,633 $6,603,806 $6,603,806 $7,596,424 Development Servcs. Fund $43,020 $41 0,200 $41 0,200 $478,800 T.0.T Fund $836,292 $930,600 $991,853 $1,072,100 Redevelopment $365,052 $90,000 $90,000 $1 00,000 Total $3,314,997 $8,034,606 $8,095.859 $9,247,324 FULL TIME EMPLOYEES: Non-Departmental 0.00 0.00 0.00 0.00 Total 0.00 0.00 0.00 0.00 * Does not include debt service or interfund transfers SPECIAL FUNDS CITY OF BAKERSFIELD SPECIAL REVENUE FUNDS These funds account for the proceeds of specific revenue sources that are legally restricted to expenditure for specific purposes. Community Development Block Grant Fund is used to account for resources provided by the Federal Housing and Community Development Act of 1974 for the elimination of slums and blight, housing conservation, and improvements of community services. HOME Investment Partnership Program Fund is used to account for resources provided by Federal Housing and Urban Development for a wide range of activities that buy, build and rehabilitate affordable housing opportunities for rent or home ownership for low-income citizens. Federal Transportation Fund is used to account for resources provided by the Federal Safe Accountable Flexible and Efficient Transportation Equity Act of 2005. These resources include four programs comprised of the Surface Transportation Program (STP), Congestion Mitigation and Air Quality (CMAQ), Transportation Enhancement Activity (TEA), and Highway Bridge Replacement and Rehabilitation (HBRR). Thomas Roads lmprovement Program (TRIP) Fund is used to account for the resources provided by the Federal SAFETEA-LU Section 1302 National Corridor Infrastructure lmprovement Program promoted by Congressman Bill Thomas. These monies will provide significant federal funding for twelve specific projects identified in the federal program award, including the North Beltway, West Beltway, Freeway 178 and the Centennial Corridor projects. Street and Road Transportation Fund is used to account for the City's allocation of 114 ercent of sales tax authorized by SB 325 Transportat~on Development Act ( 7 DA) and State Grants for operation of an Amtrak Station. State Gas Tax Fund is used to account for the Ci 's share, based upon population, of state gasoline taxes. State law requires t ese gasoline taxes be used to maintain streets or for major street construction. X Traffic Safety Fund is used to account for the City's share of traffic fine resources resources which are transferred to the General Fund to assist in funding the cost of traffic safety and traffic control devices, and the cost of the red light enforcement program. Supplemental Law Enforcement Safety Fund is used to account for the City's share, based upon opulation of the Sup lemental Law Enforcement Block Grant commencing with t e State's 1996-97 iscal year and other categorical public safety grants. R P Transient Lodging Tax Fund is to be established in July 1998 to account for the general revenues provided by a 12 percent room tax (M.C. 3.40) and the operation and debt obligations related to Rabobank Arena complex and ice rink. Activities include funding for the Greater Bakersfield Convention and Visitors Bureau. CITY OF BAKERSFIELD FINANCIAL SUMMARY COMMUNITY DEVELOPMENT BLOCK GRANT FUND Amended Budget 2006-07 Revised Estimates 2006-07 Proposed Budget 2007-08 Actual 2005-06 Fund Balance -July 1 Revenues Intergovernmental Revenue Charges for Services Miscellaneous Revenue Other Financing Sources Total Revenues --Personnel Operating Total Operating Capital Improv. Projects Total Expenditures Transfers Transfers out Fund Balance -June 30 Fund Balance -July 1 CITY OF BAKERSFIELD FINANCIAL SUMMARY HOME INVESTMENT PARTNERSHIP PROGRAM FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Revenues lntergovemmental Re~enue Miscellaneous Revenue Total Revenues Expenditures Personnel Operating Total Operating Capital Improv. Projects Total Expenditures Fund Balance -June 30 Fund Balance -July 1 CITY OF BAKERSFIELD FINANCIAL SUMMARY FEDERAL TRANSPlORTATlON FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Revenues Intergovernmental Revenue 5,434,718 4,381,854 71,454,698 4,899,249 Charges for Services 42,600 40,000 40,000 Miscellaneous Revenue 42,392 Total Revenues 5,519,710 4,421,854 71,494,698 4,899,249 Ex~enditures Personnel Total Operating 148,327 Capital Improv. Projects 5,290,613 7,230,177 71,454,698 4,899,249 Total Expenditures 5,438,940 7,230,177 71,454,698 4,899,249 Fund Balance -June 30 $1 30,215 -($2,678,108) $170,215 $1 70,215 Fund Balance -July 1 Revenues Intergovernmental Miscellaneous Revenue Total Revenues Exwnditures Operating Capital Improv. Projects Total Expenditures Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY STATE TRANSPOIRTATIQN FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 CITY OF BAKERSFIELD FINANCIAL SUMMARY THOMAS ROADS IMPROVEMENT PROGRAM (TRIP) Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Revenues Intergovernmental Revenue Total Revenues Ex~enditures Capital Improv. Projects Total Expenditures Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY GAS TAX FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 $3,364,078 $4,145,497 $7,153,854 $1,360,332 Revenues Intergovernmental Revenue 8,277,707 6,930,000 5,120,000 521 0,000 Fines & Forfeits 33,822 10,000 40,000 30,000 Miscellaneous Revenue 779,487 73,331 130,000 50,000 Total Revenues Ex~enditures Personnel 950,289 1,122,379 1,122,379 1,223,507 Operating 2,717,118 3,397,254 3,437,620 3,475,959 Capital Outlay 46,496 45,000 45,000 30,000 Total Operating 3,713,903 4,564,633 4,604,999 4,729,466 Capital Improv. Projects; 1,587,337 3,358,032 6,326,023 1,467,751 Total Expenditures 5,301,240 7,922,665 10,931,022 6,197,217 Transfers Transfers out Fund Balance -June 30 $7,153,854 $3,083,663 $1,360,332 $453,115 Fund Balance -July 1 Revenues Charges for Services Fines and Forfeits Miscellaneous Revenue Total Revenues Expenditures Operating Total Expenditures Transfers Transfers out Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY TRAFFIC SAFETY FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 -2007-08 CITY OF BAKERSFIELD FINANCIAL SUMMARY SUPPLEMENTAL LAW ENFORCEMENT SAFETY FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 Revenues Intergovernmental Fines and Forfeits Miscellaneous Revenue Total Revenues Ex~enditures Personnel Operating Capital Outlay Total Operating Capital Improv. Projects Total Expenditures Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY TRANSIENT LODGING TAX Amended Revised Proposed Actual Budget Estimates Budget Fund Balance -July 1 $1,131,704 $1,009,215 $1,009,215 -$1,936,181 Revenues Taxes 7,456,838 7,200,000 7,900,000 8,450,000 Charges for Services 6,206,684 5,477,087 5,477,087 5,993,451 Miscellaneous Revenue 1,207,633 1,200,000 1,200,000 1,200,000 Total Revenues Expenditures Personnel Operating Capital Outlay Capital Leases Total Expenditures 8,359,004 9,580.1 24 9,580,121 10,750,232 Transfers Transfers in 50,000 Transfers out (6,634,640) (4,070,000) (4,070,000~ (5,229,000) Transfers out (6,584,640) (4,070,000~ (4,070,000), , (5,229,000) Fund Balance -June 30 $1,009,215 $1,236,178 $1,936,181 $1,600,400 Analysis of Fund Balance Tax Receivable Reserve $600,000 $ 6 0 0 , ~ $600,000 $1,40o,OOo Unreserved 409,215 636,178 1,336,181 200,400 Total $1,009,215 $1,236,178 $1,936,181 $1,600,400 CITY OF BAKERSFIELD INTERNAL SERVICE FUNDS These funds are used to account for the financing of goods or services provided by one department or agency to other departments or agencies of the governmental unit on a cost-reimbursem~enbt asis. Equipment Management Fund is used to account for the cost of maintenance, purchase and replacement of vehicular equipment and other equipment including mowers, communications, copiers and computers used by all City departments. Such costs are billed to the departments via established rates, which are based upon actual maintenance and replacement costs. Self-Insurance Fund is used to account for the cost of operating a selfinsurance program as follows: The City is self-insured for workers' compensation for the first $500,000 of each accident or occurrence and is a member of California Public Entity Insurance Authority for excess coverage to protect against catastrophic losses. Funding for this program is provided by allocations from various City programs. The City is self-self-insured for general and auto liability for the first $1,000,000 of each accident or occurrence and is a member of the Authority for California Cities for Excess Liability (ACCEL) for excess coverage in the amount of $35,000,000. Funding for this program is provided by allocation from the various City programs. CITY OF BAKERSFIELD FINANCIAL SUMMARY EQUIPMENT MANAGEMENT FUND Amended Actual Budget 2005-06 2006-07 Revised Proposed Estimates Budget 2006-07 2007-08 Fund Balance -July 1 Revenues Intergovernmental Revenue Charges for Services Miscellaneous Revenue Total Revenues Expenditures Personnel Operating Capital Outlay Total Operating Capital Improv. Projects Total Expenditures Tranfers Transfers in Transfers In Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY SELF INSURANCE FUND Amended Budget 2006-07 Revised Estimates 2006-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 Revenues Charges for Services Miscellaneous Revenue Total Revenues Ex~enditures Personnel Operating Capital Total Expenditures Transfers Transfers out Transfers out Fund Balance -June 30 CITY OF BAKERSFIELD FIDUCIARY FUNDS Assessment Districts Fund -To account for capital innprovements and subsequent debt service as a result of the issuance of 1915 Special Assessment Bonds and collection of assessment liens to retire the maturing principal and interest. CITY OF BAKERSFIELD FINANCIAL SUMMARY ASSESSMENT DISTRICTS FUND Amended Budget 2006-07 Revised Estimates 2006-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 Revenues Taxes and Assessments Charges for Services Miscellaneous Revenue Other Financing Sources Total Revenues Ex~enditures Operating Debt Service Total Operating Capital Improv. Projects Total Expenditures Fund Balance -June 30 CITY OF BAKERSFIELD CAPITAL IMPROVEMENT PROGRAM FUNCIS Capital Outlay Fund -To account for the cost of capital projects financed primarily by general revenues. Recreation Facilities Fund -To account for the City's share of the State of California general obligation bonds authorized by Proposition 12 park bond issue and Proposition 13 water bond issue, which were approved @y California voters in March 2000, and other major revenue sources for Park and Recreation Capital projects. Park Improvement Fund -On November 7, 1990, the City' Council adopted Ordinance No. 3327 establishing a fee for the purpose of developing, improving andlor enhancing public parks and recreation facilities servi~ng the residential development. The fee is calculated in relationship to the number of people residing in the development and the current estimated cost of constructing a park. The fee is set by resolution on a per unit basis. Transportation Development Fund -The adopted Metropolitan Bakersfield General Plan mandated that a Transportation Impact Fee be developed to mitigate impacts of new development on our regional circulation system. The City Council adopted the fee program January 28, 1992 and the Kern County Board of Supervisors adopted a sinnilar fee program April 6, 1992. The fee is collected at the building permit stags and the amount of the fee is directly related to that individual project's traffic generation potential. A portior~o f these funds is allocated to serve as the Local Mlatch for the Thomas Roiads lmprovement Program. rn Public Financing Authority Operating Fund -To account far the proceeds of $61,025,000 Revenue Bonds issued to purchase City Debt lristruments (Local Obligations) and the subsequent repayment thereof. CITY OF BAKERSFIELD FINANCIAL SUMMARY CAPITAL OUTLAY FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006.07 2007-08 Fund Balance -July 1 $1 1,595,121 $3,842,656 $1 7,970,573 $7,037,828 Revenues Intergovernmental 2,302,506 2,302,506 Charges for Service 500,000 500,000 Miscellaneous Revenue 226,300 182,132 182,132 100,000 Total Revenues Ex~enditures Operating Capital Improv. Projects 7,955,561 24,532,334 34,948,038 18,344,000 Total Expenditures 7,979,608 24,532,334 34,967,383 1 8,344,000 Tranfers Transfers in 14,128,760 24,050,000 24,050,000 1 6,644,000 Transfers out (3,000,000) (3,000,000) Fund Balance -June 30 $1 7,970,573 $3,344,960 $7,037,828 $5,437,828 Analysis of Fund Balance Facilities Reserve $3,605,000 $6,00O,OOO $3,000,000 $5,caOO,O00 Unreserved 14,365,573 (2,655,040) 4,037,828 437,828 Total Fund Balance -July 1 Revenues Intergovernmental Miscellaneous Total Revenues Expenditures Capital Improv. Projects Total Expenditures Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY RECREATION FACILITIES FUND Amended Actual Budget 2005-06 2006-07 $9,572 $1 0,699 Revised Proposed Estimates Budget 2006-07 -2007-08 CITY OF BAKERSFIELD FINANCIAL SUMMARY PARK IMPROVEMENT FUND Amended Budget 2006-07 Revised Estimates Prolposed Actual Budget 2005-06 Fund Balance -July 1 Revenues Intergovernmental Revenue Assessments Miscellaneous Revenue Total Revenues Ex~enditures Operating Total Operating Capital Improv. Projects Total Expenditures Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY TRANSPORTATION DEVELOPMENT FUND Amended Budget 2006-07 $8,479,425 Revised Estimates 2006-07 -Proposed Budget 2007-08 $4,373,248 Actual 2005-06 Fund Balance -July 1 $18 ,471,762 Revenues Intergovernmental Charges for Service Assessm ents Miscellaneous Total Revenues Expenditures Personnel Operating Capital Outlay Total Operating Capital Improv. Projects Total Expenditures Transfers Transfers Out Fund Balance -June 30 Fund Balance -July 1 Revenues Charges for Service Miscellaneous Total Revenues Expenditures Personnel Operating Capital Outlay Total Operating Capital Improv. Projects Total Expenditures Transfers Transfers In Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY TDF TRIP LOCAL MATCH Amended Actual Budget 2005-06 2006-07 Revised Proposed Estimates Budget 2006-07 2007-08 Fund Balance -July 1 Revenues Charges for Service Miscellaneous Revenue Total Revenues Ex~enditures Operating Total Expenditures Transfers Transfers Out Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY PUBLIC FINANCING AUTHORITY OPERATING FUND Actual 2005-06 Amended Budget Revised Proposed Estimates Budget 2006-07 -2007-08 DEBT SERVICE FUNDS rn Public Financing Authority Debt Fund -To account for the annual debt service to retire $61,025,000 in Revenue Bonds of 1994 (Series A $36,415,000, Series 8 $22,285,000, and Series C $2,325,000) due in annual principal installments of $2,065,000 to $9,120,000 commencing September 15, 1995 through September 201 0, with interest ranging from 3.6 percent to 9.5 percent. rn General Obligation Debt Service Fund is used to accumulate monies for the payment of $4,900,000 HUD Section 108 loans. The loans were issued in August 2003 with annual principal payments ranging from $161,000 to $381,000 plus interest at 1.61 percent to 4.76 percent with a scheduled final maturity in August 2023. Community Development Block Grant Funds are used to service this debt. CITY OF BAKERSFIELD FINANCIAL SUMMARY PUBLIC FINANCING AUTHORITY DEBT SERVICE FUNID Fund Balance -July 1 Revenues Miscellaneous Revenue Total Revenues Expenditures Debt Service Total Expenditures Transfers Transfers in Fund Balance -June 30 Amended Actual Budget 2005-06 2006-07 Revised Proposed Estimates Budget 2006-07 -2007-08 Analvsis of Fund Balance Debt service reserve $2,225,000 $2,225,000 $2,225,000 $2,225,000 Unreserved 48,208 48,160 48,160 48,520 Total Fund Balance -July 1 CITY OF BAKERSFIELD FINANCIAL SUMMARY MUNICIPAL IMPROVEMENT DEBT SERVICE FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Revenues Miscellaneous Total Revenues Expenditures Debt Service Total Expenditures Transfers Transfers In Fund Balance -June 30 CITY OF BAICERSFIELD SCHEDULE OF LONG-TERM DEBT OUTSTANDING June 30,2007 Principal Interest -Total General Fund-Compensated Absences -Accrued-Sick Leave and Vacation -Estimate Transient Occupancy Tax Fund-Convention Center -Arena Projects Series 2006A -Refunding COP Series 20068 -Refunding COP Community Development Block Grant Fund-HUD Section 108 Loans, 2003 ($4.1 m) HUD Section 108 Loans, 2003 ($0.8 m) HUD Section 108 Loans, 2003 ($1.0 m) Wastewater Treatment Fund: State Water Resources Loan Domestic Water Fund-State Water Conservation Loan, 1997 Bakersfield Redevelopment Agency: Property Tax Abatement Contracts: Chamber of Commerce Bentley Partnership Specialty Trim and Awning California Housing Finance Authority: Southeast Infill Housing Loan, 2001 Downtown Park Cottages Loan, 2002 Citywalk Project The Village 8 Baker Street Centennial Garden Reimb. 1997 HUD Section 108 Loans, Millcreek South HUD Section 108 Loans, Fire Station 6 Special Assessment Districts (27) CITY OF BAKERSFIELD SCHEDULE OF LONG-TERM DEBT MATURITIES FISCAL YEAIR 2007-08 Principal Transient Occupancy Tax Fund-Convention Center -Arena Projects 1,630,000 Community Development Block Grant Fund-HUD Section 108 Loans, 2003 21 8,000 Wastewater Treatment Fund: State Water Resources Loan Domestic Water Fund-State Water Conservation Loan, 1997 21 5,950 Bakersfield Redevelopment Agency: Property Tax Abatement Contracts: Chamber of Commerce 5,000 Bentley Partnership 5,000 Specialty Trim and Awning 1,500 California Housing Finance Authority: Downtown Park Cottages Loan, 2002 1 72,097 Citywalk Project 244,552 The Village @Baker Street Centennial Garden Reimb. 1997 1,200,000 HUD Section 108 Loans, Millcreek South HUD Section 108 Loans, Fire Station 6 Special Assessment Districts (27) 4,285,000 Interest 1,579,044 Total 3,209,044 THIS PAGE INTENTIONALLY LEFT BLANK ENTERPRISE FUNDS ENTERPRISE FUNDS These funds account for operations that are financed and operated in a manner similar to private business enterprises where the intent of the governing body is that the costs (including depreciation) of providing goods or services to the general public on a continuing basis be financed or recovered primarily through user charges; or where the governing body has decided that periodic determination of net income is appropriate for accountability purposes. Wastewater Treatment Fund is used to account for the provision of sewer service to the residents of the City and some residents of the County. This fund also accounts for the activities related to the debt issues which provided for the Wastewater Treatment Facilities. Sewer Connections Fund is used to account for connection fees dedicated to debt service and capital projects. Refuse Service Fund is used to account for the collection and disposal of solid waste within the City. All activities necessary to provide such services are accounted for in this fund. Sanitary Landfill Cap Fund is used to account for the resources dedicated to capping a closed landfill. Agriculture Water Fund is used to account for the provision of water service restricted primarily to agricultural purposes to users within the City and some users within the County (some Kern River water is exchanged for California State Aqueduct water for domestic water purposes.) All activities necessary to provide such service are accounted for in this fund. Domestic Water Fund is used to account for the provision of water service to some residents of the City and County. All activities necessary to provide such service are accounted for in this fund. Airpark Fund is used to account for the acquisition and operation of the Bakersfield airpark. The majority of acquisition and improvement financing for the airport facility is to be provided by an annual grant from the Federal Aviation Administration. Offstreet Parking Fund is used to account for the operations of a parking garage located on lath Street between "H" and Eye Streets and various surface parking lots within the City CITY OF BAKERSFIELD FINANCIAL SUMMARY WASTEWATER TREATMENT FUND Amended Budget Revised Estimates 2006-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 Revenues Intergovernmental Revenue Charges for Services Miscellaneous Revenue Other Financing Sources Total Revenues Ex~enditures Personnel Operating Capital Outlay Debt Service Total Operating Capital Improv. Projects Total Expenditures Transfers Transfers in Transfers out Transfers in Fund Balance -June 30 Fund Balance -July 1 Revenues Taxes Charges for Services Miscelianeous Revenue Total Revenues Transfers Transfers Out Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY SEWER CONNECTION FUND Amended Actual Budget 2005-06 2006-07 Revised Estimates 2006-07 Proposed Budget 2007-08 CITY OF BAKERSFIELD FINANCIAL SUMMARY REFUSE SERVICE FUND Amended Actual Budget 2005-06 2006-07 Revised Estimates 2006-07 Proposed Budget 2007-08 Fund Balance -July 1 Revenues Intergovernmental Revenue Charges for Services Miscellaneous Revenue Total Revenues Expenditures Personnel Operating Capital Outlay Total Operating Capital Improv. Projects Total Expenditures Transfers Transfers out Fund Balance -June 30 $7,814,976 $4,520,405 Analvsis of Fund Balance Cart Replacement Reserve Unreserved Total CITY OF BAKERSFIELD FINANCIAL SUMMARY LANDFILL CLOSURE FUND Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 $5,055,282 $1,257,530 $5,071,058 $1,257,530 Revenues Intergovernmental Revenue Miscellaneous Revenue 147,017 Total Revenues 147,017 2.91 1,815 100,000 Ex~enditures Capital Irnprov. Projects 131,241 6,725,343 Total Expenditures 131,241 6,725,343 Fund Balance -June 30 $5,071,058 $1,257,530 $1,257,530 $1,357,530 CITY OF BAKERSFIELD FINANCIAL SUMMARY AGRICULTURAL WATER FUND Amended Budget 2006-07 Revised Estimates 2006-07 Proposed Budget 2007-08 Actual 2005-06 Fund Balance -July 1 Revenues Charges, for Services Miscellaneous Revenue Total Revenues Expenditures Personnel Operating Capital Outlay Debt Service Total Operating Capital Improv. Projects Total Expenditures Tranfers Transfers in Transfers out Transfers In Fund Balance -June 30 Fund Balance -July 1 Revenues Charges for Services Miscellaneous Revenue Total Revenues Ex~endiires Personnel Operating Capital Debt Service Total Operating Capital Irnprov. Projects Total Expenditures Transfers Transfers Out Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY DOMESTIC WATER FUND Amended Actual Budget 2005-06 2006-07 Revised Proposed Estimates Budget 2006-07 2007-08 CITY OF BAKERSFIELD FINANCIAL SUMMARY AIRPARK FUND Amended Budget Revised Estimates 2006-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 $586,125 Revenues Intergovernmental Revenues 239,173 Charges for Services 135,361 Miscellaneous Revenue 12.273 Total Revenues 386,807 Ex~enditures Personnel 47,556 Operating 239,098 Total Operating 286,654 Capital lmprov. Projects 258,281 Total Expenditures 544,935 Fund Balance -June 30 $427,997 C l N OF BAKERSFIELD FINANCIAL SUMMARY OFFSTREET PARKING FUND Amended Budget 2006-07 Revised Estimates 2W6-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 Revenues Charges for Services Miscellaneous Revenue Total Revenues Expenditures Personnel Operating Capital Outlay Total Operating Capital improv. Projects Total Expenditures Fund Balance -June 30 THIS PAGE INTENTIONALLY LEFT BLANK REDEVELOPMENT CITY OF BAKERSFIELD REDEVELOPMENT FUNDS Redevelopment Operating Funds -To account for the cost of various capital projects and programs within the redevelopment project areas. Financing is provided by the issuance of tax allocation bonds and tax increment revenues. 1 Redevelopment Housing Funds -To account for the mandatory twenty percent (20 percent) of Tax Increment Revenue set-aside for low-and moderate-income housing. Redevelopment Debt Service Funds -To account for the payment of principal and interest on the Redevelopment Tax Allocation Bonds, Certificates of Participation, and Notes and interagency loans. CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY OPERATING FUND DOWNTOWN PROJECT AREA Amended Budget Revised Estimates 2006-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 Revenues Taxes Intergovernmental Revenue Miscellaneous Revenue Total Revenues Operating Capital Total Expenditures Transfers Transfers Out Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY OPERATING FUND OLD TOWN KERN-PIONEER Amended Revised Budget Estimates 2006-07 2006-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 Revenues Taxes Intergovernmental Revenue Miscellaneous Revenue Other Financing Sources Total Revenues Expenditures ---Operating Capital Outlay Total Operating Capital Improv. Projects Total Expenditures ~ransfers Transfers Out Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY OPERATING FUND SOUTHEAST PROJECT AREA Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 Revenues Taxes Intergovernmental Revenue Miscellaneous Revenue Other Financing Sources Total Revenues Ex~enditures Operating Capital Outlay Total Operating Capital Irnprov. Projects Total Expenditures Transfers Transfers Out Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY HOUSING FUND DOWNTOWN PROJECT AREA Fund Balance -July 1 Revenues Miscellaneous Revenue Total Revenues Exwnditures Operating Total Expenditures Transfers Transfers In Transfers Out Transfers In /Out Fund Balance -June 30 Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 $462,720 $37,375 $768,725 $1 07,375 CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY HOUSING FUND OLD TOWN KERN-PIONEER Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 Revenues Miscellaneous Total Revenues Ex~enditures Operating Total Expenditures Transfers Transfers In Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY HOUSING FUND SOUTHEASTPROJECTAREA Amended Budget 2006-07 Revised Estimates 2006-07 Proposed Budget 2007-08 Actual Fund Balance -July 1 Revenues Miscellaneous Other Financing Sources Total Revenues Ex~enditures Personnel Operating Capital Outlay Total Operating Capital Improv. Projects Total Expenditures Transfers Transfers In Fund Balance -June 30 CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY DEBT SERVICE FUND DOWNTOWN PROJECT AREA Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 Revenues Charges for Services Miscellaneous Revenue Other Financing Sources Total Revenues Expenditures -----Debt Service Total Expenditures Transfers Transfers In Fund Balance -June 30 ClN OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY DEBT SERVICE FUND OLD TOWN KERN-PIONEER Amended Revised Proposed Actual Budget Estimates Budget 2005-06 2006-07 2006-07 2007-08 Fund Balance -July 1 ($4) $0 ($4) $0 Exoenditures Debt Service 75,962 77,336 ?7,336 1 07,487 Total Expenditures 75,962 77,336 77,336 107,487 Transfers Transfers In 75,962 77,340 77,340 107,487 Fund Balance -June 30 ($4) $4 $0 $0 CITY OF BAKERSFIELD FINANCIAL SUMMARY BAKERSFIELD REDEVELOPMENT AGENCY DEBT SERVICE FUND SOUTHEASTPROJECTAREA Amended Revised Proposed Actual Budget Estimates Budget Fund Balance -July 1 Expenditures Debt Service Total Expenditures Transfers Transfers In Fund Balance -June 30 CAPITAL IMPROVEMENTS B A K E R S F I E L D Alan Tandy City Manager May 9,2007 TO: HONORABLE MAYOR AND ClTY FROM: ALAN TANDY, CITY MANAGER SUBJECT: FY 2007-2012 PROPOSED CAPITAL IMPROVEMEN PROGRAM SUMMARY I Submitted for your information is the five-year proposed Capital Improvement Program (CIP) for the period of 2007-2012, which totals $349,687,463. The CIP provides the long-range capital planning for projects that are expected to service the City of Bakersfield's infrastructure over a considerable period of time. Revenue sources identified within the CIP may be from grants, taxes, user fees, bond issues, transfers from other funds, or assessments. Those projects proposed for FY 2007-08 total $275,625,087 and are designated within the following City departments: Fire Services $ 4,737,000 Public Works $252,752,048 Recreation and Parks $ 12,681,039 Water Resources $ 5,455.000 TOTAL $275,625,087 A listing of projects by department is included in this section and reflects all of the projects planned by each department over the five-year period. While the Council will be approving funding for FY 2007-08 only, it is important to identify all costs for each project included in the five-year plan. Project Highlights Wastewater Treatment Plant No. 3 Expansion Project -As noted earlier, this $193 million is the largest single capital improvement budget undertaken by the City of Bakersfield. This amount is a "best estimate" at this time. The actual project costs will be determined when the project is awarded. The expansion and upgrade of Wastewater Treatment Plant No. 3 is in response to the plant having to meet stricter permitted effluent requirements in the year 2010 and the rapid development of Honorable mayor and City Council 2007-08 Proposed CIP -Letter of Transmittal May 9,2007 Page 2 residential and commercial properties on the west side of the city. This growth trend is anticipated to continue. The proposed expansion and upgrade to Wastewater Treatment Plant No. 3 will double the treatment capacity from 16 million gallons per day to 32 million gallons per day and will result in a more sophisticated treatment plant, which will remove over 95% off the primary wastewater constituents. Based on current growth projections, the expanded plant will be able to serve the residents of Bakersfield for at least up to the year 2025. This project will be funded by proceeds from the sale of bonds. Wastewater Treatment Plant No. 3 Arterial Roads -Four miles of roads surround Wastewater Treatment Plant No. 3. Currently, these roads are only two lanes and the improvements will upgrade these roads to full width arterial standards. The need for safe ingresslegress for vehicles due to increased on-site activities activities from the expansion of Plant 3 and increased traffic due to encroaching development creates a need for these upgrades. This project is estimated at $16 million and will be funded by proceeds from the sale of bonds. Thomas Roads Improvement Program (TRIP) -Nearly $50 million of federal and local funding was budgeted for the Thomas Roads Improvement Program (TRIP) in FY 2006-07. It has taken longer than originally anticipated to obtain federal approval for these expenditures, so wit11 the exception of one project that has an additional $1 million proposed for FY 2007-08, the funds budgeted for TRIP projects in 2006107 are anticipated to be adequate for the work planned to occur in 2007-08. The $1 million multi-year project proposed for 2007-08 will widen the existing State Route 178 Highway from Mesa Marin to Rancheria Road. Realignment on Auburn Street -Approximately $1.6 million of traffic impact fees are proposed for the realignment of Auburn Street west of Morning Drive. With the future State Route 178lMorning Drive Interchange, freeway ramps will be installed to/from Morning Drive. To meet Caltrans standards for separating local street intersections and freeway ramp intersections, the existing location of the Auburn StreeWMoming Drive intersection needs to be relocated which requires the realignment of Auburn Street. Westside Parkway -The proposed Capital lmprovement Budget for FY 2007-08 currently includes no additional funding for the Westside Parkway. Public Works staff will be budgeting funds for the Westside Parkway pending the results of the State Transportation lmprovement Program (STIP) Augmentation Program which is currently being reviewed by the California Transportation Commission (CTC). This additional STlP funding is part d the Proposition 1B bond funds approved by the State's voters last November. The CTC will be making final decisions/program approvals in early June. The City, through the Kern Council of Governments, has submitted a request to the CTC for the full amount needed to construct the Westside Parkway and has proposed scheduling these funds over the next several fiscal years. Currently, the construction dollars programmed in the STlP by the CTC for this project are spread out over a number of fiscal years, and these programmed funds will only pay for about half Honorable mayor and City Council 2007-08 Proposed CIP -Letter of Transmittal May 9,2007 Page 3 of the project. Once the CTC decisions are finalized in early June, staff anticipates that budget modifications will be brought forward for consideration by the Council prior to the adoption of the final N 2007-08 budget. Street Resurfacing and Reconstruction Projects -The FY 2007-08 proposed CIP budget also continues Council's commitment to the street maintenance program. $7.9 million is proposed for next year's CIP to address citywide street maintenancelreconstructio issues. Of the amount budgeted, federal transportation funds of $3,685,503 are proposed, with the corresponding local match of $477,497 coming from the City's share of state gasoline taxes as accounted for within the Gas Tax Fund. The proposed budget also dedicates $3,000,000 of one-time Capital Outlay funds to the City's street maintenance program. In addition, the operating side of the proposed budget includes $10.0 million for street maintenance. Therefore, the combined ClP and operating FY 2007-08 budget for street maintenancelreconstruction totals close to $1 7.9 million. Bridge Construction Allen Road at Kern River -The Bridge Construction for Allen Road at Kern River project was budgeted at $8 million in N 2005106. The FY 2006107 proposed CIP budget added an additional $3.0 million of funding to this project. The FY 2007-08 proposed CIP budget adds an additional $5.0 million of funding for construction of this project due to escalating construction costs. Staff has completed the environmental and preliminary design phase of this project. The final design and construction document phase will be completed in FY 2006187. The project will be advertised for bids, and a construction contract awarded early in FY 2007-08. Bridge Construction, Hosking Avenue at SR 99 -The FY 2007-08 proposed CIP budget includes $4 million for land acquisition to construct the new interchange. This project will construct a new bridge and install on and off ramps to SR 99 99 at Hosking Avenue. This project will be funded by developer fees collected through the traffic impact fee program. This is a multi-year project. Street Improvements along Panama Lane -This $1,350,000 project on Panama Lane at the Union Pacific Railroad Sunset Branch grade crossing includes widening the roadway to its ultimate width within the railroad right of way and additional street width to provide transitions both east and west of the intersection. This project also requires new railroad signal and rail improvements. Traffic Signal Coordination -Two projects (Traffic Monitoring Camera and Traffic Signal Interconnect) are proposed to be funded predominantly with federal Congestion Management Air Quality (CMAQ) funds. Both projects will improve signal timing, reduce traffic congestion, and reduce vehicle emissions. The $130,000 Traffic Monitoring Camera Project will add video capability from two specific intersections to the Traffic Operations Center. The $896,000 Traffic Signal Interconnect Project will expand the number of signals linked to the Traffic Operations Center. Honorable mayor and City Council 2007-08 Proposed CIP -Letter of Transmittal May 9,2007 Page 4 Wastewater Treatment Plant No. 2 Odor Control -Increasing development of residential and commercial properties close to the wastewater treatment plant creates the need for installation of odor control at Plant 2 and to construct upgrades to the existing septagelgrease receiving station. Income from the septagelgrease receiving station is approximately $1 million dollars per year. This project is estimated at $6 million and will be funded by proceeds from the sale of bonds. Sewer Improvements on Brimhall Road between Rudd Road and Renfro Road -$1,370,000 is proposed for this project. The extension of this existing sewer line will provide sewer service to an area currently using dry sewers. Storm Drain Improvements on Clara Court and Gwendolyn Street, North of Fairview Road -This $1,015,000 project will provide better drainage for this area. Fire Stations 1 Various Fire Department Projects -For several years, the City has been setting aside funding for future fire stations. This budget includes funding for construction of the next station that needs to be built, which is Fire Station 14 at Mt. Vista and Harris. A fire engine for this station will also be purchased from this accumulated funding. Other Fire Department projects for 2007-08 will be $90,000 for one emergency generator at Station 4 to make it self sufficient for an emergency or natural disaster; $1 10,000 for the plumbing overhaul of Station 9; and $37,000 for a more energy efficient ceiling at Fire Station 1. Public Safety Communication Improvements -$150,000 is proposed to convert one police radio channel to a digital format as required by the Federal Communications Commission. This will be a multi-year project to convert all channels to the digital format. Water Wells -Three additional water wells estimated at $3 million are proposed to increase production capacity due to continued steady growth within the City's Domestic Water System. Well Field Land Acquisition -$1,500,000 is proposed to acquire an approximate 10 acre parcel located in southwest Bakersfield to construct a series of water wells. The wells will be used for groundwater production and distribution to planned domestic service areas in the southwestern portion of the City. Pump Station Upgrades -$400,000 is proposed for the first phase of a new program to add system storage to various water wells over the next several years to prepare for emergencies or power outages. Taxi Lane Construction at the Bakersfield Municipal Airport -This $1,370,000 project will construct taxi lanes, taxiway extension and apron areas to allow hangar Honorable mayor and City Council 2007-08 Proposed CIP -Letter of Transmittal May 9,2007 Page 5 development at the Airport. A large waiting list for additional hangers exists. This project will be funded predominantly by a Federal Aviation Administration grant. The FY 2007-08 proposed CIP budget includes a significant number of projects to be funded with one-time Capital Outlay funds, including the following: Sports Village -Proposed for next year is $1,500,000 for preliminary design services for the 120acre Sports Village complex, to be located north of Taft Highway, west of Ashe Road, and east of Gosford Road. 40 Acre Park Site -Baseball -The City has entered into an agreement with Southwest Baseball for construction of the 40-acre baseball park site at Jewetta and Stockdale. The proposed budget includes $2,170,000 for construction and installation of a concession/restroom/storage building, sewer system, parking lot and grading. Southwest Baseball is responsible for the construction, installation, and operation of the baseball-related items at the new complex. Hockey Rink Structure -Due to significant increases in the cost of steel and concrete, more recent estimates indicate the need to increase the project budget. Proposed for FY 2007-08 is an additional $250,000 for the indoor hockey rink structure to be located at Saunders Park. The hockey rink was donated to the City in 2004. These improvements will make the amenity usable to the public throughout the year. Mesa Marin Sports Complex -Due to an increase in the number of softball teams and leagues, Mesa Marin will be renovated to provide more field space. The CIP for FY 07-08 includes $1,000,000 for design and construction of the four softball fields, restroom/concession building, and the westerly parking lot. Urban Forestry Services -Next year's proposed CIP budget includes $200,000 for contract tree services which will be used to prune large trees in excess of 50 feet, since the City does not have the equipment and staff to handle tall trees. Replacement Replacement of City Phone System -This project set asides $4 million to replace the current City's phone system using modem technology. It has become increasingly difficult to obtain support and parts for the current system. There are also numerous other CIP projects within the Capital Outlay Fund proposed for next year involving various building maintenance and repair projects. Projects to be funded with Community Development Block Grants include the following: Mill Creek Linear Park -$300,000 in Community Development Block Grant funds will be used for the 21" Street crossing for the northern section of the project, in addition to $1.7 million in Old Town Kern tax increment funds for the initial segment of the Central Park improvements. Honorable mayor and City Council 2007-08 Proposed CIB -Letter of Transmittal May 9,2007 Page 6 Lowell Park Restroom -This $350,000 project will remove and replace a 60 year old public restroom. The existing restroom will be replaced with an American with Disabilities Act (ADA) compliant, vandal resistant, and more efficient structure. Airport lmprovements -The goal of this project is to commit $200,000 annually, over the next 5 years to provide design and installation of landscaping and fencing around the perimeter of the Bakersfield Municipal Airport. Streetscape Improvements on 34'h Street -This $300,000 project is Phase II for the design of streetscape and median island improvements on 34m street. lmprovements for this phase will be on 34th Street, from Chester Avenue to Q Street. This project supports the City Council Goal to construct a streetscape project on &h Street from Chester Avenue to Union Avenue. Bethany Homeless Pedestrian Crossing -This $40,000 project consists of installation of a lighted crosswalk system at the existing crosswalk on East Truxtun Avenue at Williams Street. The crosswalk is adjacent to the Bethany Homeless Center Campus. Street Improvements in HUD Eligible Areas of Wards 1 and 2 -This $409,048 project is to construct various street, curb and gutter improvements in HUD eligible areas. Lastly, the proposed CIP budget for FY 2007-08 includes several projects that will add or enhance the amenities within several of our City parks. Funding sources for these projects include both Capital Outlay funds and developer fees collected through the park development fee program to construct parks. Additionally, the amount for reimbursement to developers who build required parks and are paid back over a number of years as development occurs has been budgeted. The FY 2007-08 proposed CIP budget provides a broad based benefit to our community and its citizens. The budget also allows the City to address infrastructure needs which have been impacted significantly by the growth in our community. Summary In summary, staff is pleased to present the five-year CIP and the FY 2007-08 Proposed Capital lmprovement Program budget, which represents a wide range of projects that improve our infrastructure and ensure safety of City facilities, while enhancing the aesthetics of our community. As the needs of the community change, the plan can be adjusted to reflect those changing priorities. Since the intent of the CIP is to facilitate long-range planning, staff has attempted to provide Council with the necessary information to allow that flexibility. Honorable mayor and City Council 2007-08 Proposed CIP -Letter of Transmittal May 9,2007 Page 7 Thanks to Assistant City Manager John W. Stinson, Finance Director Nelson Smith, Civil Engineer IV Arnold Ramming, Assistant to the Public Works Director Georgina Lorenzi, Public Works Accountant Sharon Traynor, Data Processing Supervisor T.S. Liew, Engineering Aide Kirk Boland and Management Assistant Rick Kirkwood for their hard work in developing this information. KEY TO FUNDING CODES -CODE AWF CDBG COF DWF EMF GAF GTF SAFETEA-LU OPF PIF RCF RDA-DTPA RDA-OTKP RDA-SEPA SEF SLESF SLF TDA TDF TRIP UNK Agriculture Water Fund Community Development Block Grant Capital Outlay Fund Domestic Water Fund Equipment Management Fund General Aviation Fund Gas Tax Fund Federal Transportation Fund Offstreet Parking Fund Park lmprovement Fund Refuse Collection Fund Redevelopment Fund -Downtown Project Area Redevelopment Fund -Old Town Kern-Pioneer Redevelopment Fund -Southeast Project Area Sewer Enterprise Funds Supplemental Law Enforcement Safety Fund Sanitary Landfill Cap Transportation Development Act Transportation Development Fund Thomas Roads lmprovement Program Unknown -Source not available at this time SOURCE Local Federal Local Local Local Local State Federal Local Local Local Local Local Local Local State Local State Local Federal CITY OF BAKERSFIELD Total Miles of Sewer Lines 1200 E I000 3 800 ' 600 400 Q) 200 I I I I 2002 2003 2004 2005 2006 End of Calendar Year Total Traffic Signals 350 300 2 250 g 200 m 150 ;7j I00 50 0 2002 2003 2004 2005 2006 End of Calendar Year City Street Miles tn 1,400 a 1,200 .II 1,000 800 .cI 600 400 3j 200 0 2002 2003 2004 2005 2006 End sf Calendar Year CITY OF BAKERSFIELD CAPITAL IMPROVEMENT PROGRAM FY 2007-201 2 SUMMARY BY DEPARTMENT North Bakersfield Recreation and $2,828,430 Parks I DEPARTMENT p v TOTALS i Development Services $0 $75,000 $75,000 Fire Services Public Works Recreation and Parks Water Resources TOTALS $275,625,087 $22,390,876 $32,716,500 $1 0,633,000 $8,322,000 $349,687,463 $4,737,000 $252,752,048 $1 2,681,039 $5,455,000 $270,000 $1 6,583,000 $1,697,876 $3,765,000 $0 $28,451,500 $500,000 $3,765,000 $0 $6,528,000 $340,000 $3,765,000 $0 $4,557,000 $0 $3,765,000 $5,007,000 $308,871,548 $1 5,218,915 $20,515,000 CIN OF BAKERSFIELD CAPITAL IMPROVEMENT PROGRAM FY 2007-201 2 FUNDING SUMMARY North Bakersfield Recreation and Parks $2,828,430 $2,828,430 COF DWF GAF GTF SAFETEA-LU OTKP PIF PCF SEF TDF ,TRIP TOTALS $275,625,087 $22,390,876 $32,996,500 $10,633,000 $8,322,000 $349,687,463 Capital Outlay Fund Domestic Water Fund General Aviation Fund Gas Tax Fund Federal Transportation Fund Old Town Kern Proiect Area Park Improvement Fund Refuse Collection Fund Sewer Enterprise Fund Transportation Development Fund Thomas Roads Improvement Fund $1 8,344,000 $5,390,000 $1,420,000 $1,467,751 $4,899,249 $1,400,000 $6,859,039 $125,000 $219,245,000 $1 3,825,700 $885,300 $2,640,000 $3,700,000 $1 58,000 $246,364 $473,636 $0 $1,697,876 $0 $6,015,000 $2,071,005 $4,873,995 $91 0,000 $3,700,000 $1,580,000 $1 87,700 $21 3,800 $0 $500,000 $0 $1 9,250,000 $1,413,065 $4,696,935 $475,000 $3,700,000 $1 58,000 $0 $0 $0 $340,000 $0 $250,000 $1,723,510 $3,721,490 $475,000 $3,700,000 $632,000 $0 $0 $0 $0 $0 $250,000 $829,400 $2,170,600 $22,844,000 22,844,000 $20,190,000 . $3,948,000 $1,901 $1 5 $5,586,685 , $1,400,000 $9,396,915 $1 25,000 $245,010,000 $1 9,862,680 $1 6,348,320 DEVELOPMENT SERVICES PROJECT TITLE PZKOO3 ROOF IMPR @1715 CHESTER 2 COF 31 1 $0 $75,000 $0 $0 $0 $75.000 FlRE SERVICES PROJECT TITLE ~WARD#~ FUNDnSRC F~UND p i m q p i z i z q p i P8H022 DROP CEILING-STATION 1 Q5H004 EMERGENCY GENERATORS POH999 FUTURE FlRE STATIONS P8H009 REPLUMB STATION 9 P5H014 SW -FlRE STATION 14 2 COF 31 1 $37,000 $0 $0 $0 $0 $37,000 2,5 COF 31 1 $90,000 $270,000 $0 $0 $0 $360.000 ALL COF 31 1 $800,000 $0 $0 $0 $0 $800,000 5 COF 31 1 $1 10,000 $0 $0 $0 $0 $1 10,000 5 COF 31 1 $3,700,000 $0 $0 $0 $0 $3,700,000 CURRENTYEARAPPROVEDPROJECTS: AIRPORT LANDSCAPING ALARM SYSTEM MICRO/RADIO SITE ALLEN RD BRIGDE O KERN RIVER BETHANY HOMELESS PED CROSSING BRG CONST, HOSKING AT 99 ERG REPAIR MANOR O CENT CORR ERG REPAIR UNION O UPRR FLASHING BEACON STlNE ELEMENTARY FURNISHINGS & EQUIP-1600 TRUXTUN HVAC SYSTEM -VARIOUS LOCATIONS LEFT TURN RESTRICTION WHITVDOVE LNG FUEL NOZZLE MlLL CREEK LINEAR PARK MlLL CREEK LINEAR PARK MlSC CONCRETE CONSTRUCTION MlSC LEFT TURN RESTRICTION MlSC MEDIAN ISLANDS MlSC ROW ACQUISITIONS MlSC TRANSP CONSTRUCTION P25 CHANNEL-2ND FOR POLICE PLANT 2 -ODOR CONTROL PLANT 2 DIGESTER UPGRADE PLANT 2 MlSC IMPROVEMENTS 1 CDBG 2 COF 4 TDF 2 CDBG 7 TDF 3 GTF 2 GTF 6 GTF 2 COF 2 COF 6 GTF 2 RCF 1 &2 CDBG 1 &2 OTKP CITYWID GTF CITYWID GTF CITYWID GTF CITYWID TDF CITYWID TDF 2 COF 1 SEF 1 SEF 1 SEF PUBLIC WORKS PREFAB FLEET OFFICE -MT VERNON REALIGNMENTIAUBURN STREET RECON VAR STREETS 2007-08 RECON VAR STREETS 2007-08 REPL OF CITY PHONE SYSTEM REPL STREET LIGHT POLES REPLC LTlNG O 1600 TRUXTUN RESURFACING STS DIV 07-08 ROOF REPAIRS AT AIRPORT SMER IMPROVEMENTS BRIMHALL SEWR LlFT STA DISTRCTIGOSFORD SEWER LIFT STATION PARSONS SEWER LlFT STATION PLANUBENTON SIG MOD MISCELLANEOUS SIG MOD WHITE LN/AKERS RD SIG NEW FAIRFAWAUBURN SIG NEW HOSKlNGlMONlTOR SIG NEW PACHECOIGASOLINE ALLEY SIG NEW PACHECOIGASOLINE ALLEY SIG NEW PANAMAIOLD RIVER SIG NEW WIBLVBARBER WAY SIG NEW WIBLVBARBER WAY SRl78-MESA MAWIN-RANCHERIA SRI78-MESA MARIN-RANCHERIA ST HUD IMPROV WARDS 1 & 2 ST IMPROV BRIMHALURENFRO 1 RCF 3 TDF VARIOUS GTF VARIOUS SAFETEA-LU CITY-WI COF VARIOUS COF 2 COF VAR COF 1 GAF 4 SEF 6 SEF 7 SEF 7 SEF VARIOUS GTF 6 GTF 3 TDF 7 TDF 7 GTF 7 SAFETEA-LU 5 TDF 7 GTF 7 SAFETEA-LU 3 TDF 3 TRIP 1,2 CDBG 4 TDF PUBLIC WORKS ST IMPROV PANAMAlSJVRR ST IMPROV STINEYTAFT HWY ST JMROV MT VERNON ST IMROV MT VERNON STORM DRAIN CALLE ELEGANTE STORM DRAIN IMPR CtARA CT STREETSCAPE IMP 34TH ST TAXILANE CONSTRUCTION TRAFFIC MONITORING CAMERA TRAFFIC MONITORING CAMERA TRAFFIC SIG INTERCONNECT TRAFFIC SlQ INTERCONNECT TRAFFIC SIGNAL UPGRADES WWTP# 3 ARTERIAL ROADS WWTP#3 BPTC WWTP3 EXPANSION PROJECT 5 TDF 7 TDF 3 GTF 3 SAFETEA-LU 4 SEF 7 SEF 2 CDBG 1 GAF 2&6 GTF 2 & 6 SAFETEA-LU VARIOUS GTF VARIOUS SAFETEA-LU VARIOUS COF 6 SEF 6 SEF 6 SEF TOTALCURRENTYEARAPPROVEDPROJECTS: FUTURE YEARS BWQBBSED PROJECTS: TRCC30 CENTCORR-HAGEMAN FLYOVER 2,4 TRIP 122 TRCC30 CENTCORR-HAGEMAN FLYOVER 214 TDF 335 TRCCPO CENTCORR-SR178-SR99 TO CENT CORR 2 TRIP 122 TRCC20 CENTCORR-SR178-SR99 TO CENT CORR 2 TDF 335 TRCCl 0 CENTCORR-THOMAS-OAK-SR178 2 TRIP 122 TRCC10 CENTCORR-THOMAS-OAK-SR178 2 TDF 335 PROJ # 11 PROJECT TITLE I v l lFU ND SRC 2007-08 12008091 2008-10 [I-][ 201 1-12 QZK008 TRNB10 TRNBlO TZK169 TZK173 PZKl20 PZK002 TRRHIO TRRH10 TRRH30 TRRH30 TRRH2O TRRH20 E7K104 EZK038 EZK037 EZK039 TZKOO1 TZK020 TZKlO9 TZK149 TZK149 T7K137 TZK110 TZK113 EMERGENCY GENERATOR 1600 TRUXTN 2 NORTH BELTWAY-SR43-SR99 4 NORTH BELTWAY-SR43-SR99 4 NORTHWEST APRON CONST 1 PLANT 4 LAND ACQUISITION UNK REPLACE ROOF AT MLK CTR 1 ROOF IMPROV Q FIRE STN 1 2 ROSEDALE124TH -SR43-SR99 4 ROSEDALV24TH -SR43-SR99 4 ROSEDALEf24TH-ELM-D ST 2 ROSEDALU24TH-ELM-D ST 2 ROSEDALU24TH-OAK INTERCH 2 ROSEDALEl24TH-OAK INTERCH 2 SEWER REHAB SE BAKERSFIEL 1,2,7 SEWER LlFT STA HAGEMANNMETTA 4 SEWER LIFT STA MONlTOWWHlTE 7 SEWER LIFT STA OLIVVCALLOWAY 4 SIG NEW ALFRED HARRELL 3 SIG NEW ARROW 1 SILLECT 3 SIG NEW BERKSHIRVSOUTH H 7 SIG NEW BRIMHALUMONDAVI 5 SIG NEW BRIMHALVMONDAVI 5 SIG NEW H STREETMCKEE 7 SIG NEW HIGHLND KNPLLSh4ORNING 3 S1G NEW HOSKINWSOUTH H 7 COF 31 1 TRIP 122 TDF 335 GAF 451 SEF 41 2 CDBG 111 COF 31 1 TRIP 122 TDF 335 TRIP 1 22 TDF 335 TRIP 122 TDF 335 SEF 41 1 SEF 412 SEF 41 1 SEF 412 TDF 331 GTF 151 TDF 331 SAFETEA-LU 121 GTF 151 TDF 331 TDF 331 TDF 331 PUBLIC WORKS ~pn-q~ty PROJECT TITLE 1-1 WARD #-FIUN D SR C IIFUND 41 2007-08 ) 2011849 1 2-10 12010111 2011-12 11 TOTALS 1 TZKl12 TZKI 14 TZK064 TZKO16 TZK016 TZK017 TZKO17 TZK150 TRSB10 TRSBlO TRSRIO TRSRlO TZKl37 TZKl37 TZK174 TZKl71 TRWB10 TRWBlO SIG NEW HOSKlNWlBLE SIG NEW JOHNSONIRENFRO SIG NEW PANAMAIRELIANCE SIG NEW PANOMEADOW VISTA SIG NEW PANOMEADOW VISTA SIG NEW PLANZ /AGATE SIG NEW PLANZ /AGATE SIG NEW WILSONIFREMONT SOUTH BELTWAY 1-5 TO SR58 SOUTH BELTWAY 1-5 TO SR58 SR178-MORNING DR INTERCH SR178-MORNING DR INiERCH ST IMPROV COLLEGEFAIRFAX ST IMPROV COLLEGEFAIRFAX STREETSCAPE IMP STOCKDALE TAXIWAY B CONSTRUCTION WEST BELTWAY-SR119-N BELTWAY WEST BELTWAY-SR119-N BELTWAY TOTAL FUTURE YEARS PROPOSED PROJECTS: TOTAL CURRENT AND FUTURE YEARS PROJECTS TDF TDF TDF SAFETEA-LU GTF SAFETEA-LU GTF GTF TRlP TDF TRlP TDF SAFETEA-LU GTF COF GAF TRlP TDF PROJ # I PROJECT TITLE 40 ACRE PK SlTE -BASEBALL 40 ACRE PK SlTE -BASEBALL BEACH PARK TANK & PUMP BRIDLE CREEK PARK ClTY IN THE HILLS-EAST ClTY IN THE HILLS-WEST GRANDCANYONPARK HIDDEN OAK PARK JENKINSISTOCKDALE LANDSCAPE LINNELVBRAHMA PARK SlTE LOWELL PARK RESTROOMS MESA MARIN PARK 8 BERKSHIRE & GOSFORD PARK O BERKSHIRE & MTN VlST PARK 8 OLD RIV & PANAMA PARK 8 WAlTS & CORAL GALVES RIVER OAKS PARK RIVER WALK STORAGE RIVER'S EDGE PARK ROLLER HOCKEY RINK COF AWF COF PIF PIF PIF PIF PIF COF PI F CDBG COF PIF PIF PIF PIF PIF COF PI F COF RECREATION AND PARKS P6C214 SOLERA PARK-PULTE CORP P7C721 SPORTS VILLAGE P7C723 TRADEWINDS PARK P8C101 URBAN FORESTRY SERVICES 3 PIF 321 $21 1,026 $0 $0 $0 $0 $21 1.026 6 COF 31 1 $1,500,000 $0 $0 $0 $0 $1,500,000 5 PIF 321 $200,000 $1 00,000 $70,000 $240,000 $0 $61 0,000 ALL COF 31 1 $200,000 $0 $0 $0 $0 $200,000 $12,681,039 $1,697,876 $500,000 $340,000 $0 $15,218,915 NORTH BAKERSFIELD RECREATION AND PARKS r $2,828,430 $0 $0 $0 $0 $2,828,430 Note: The North Bakersfield projects are not City capital improvement projects; however, they are funded by park improvement fees collected by the City on behalf of the North Bakersfield Recreation and Parks District. These figures reflect contributions made by the City to North Bakersfield Recreation and Parks District from park N development fees, and are budgeted within the Non-Departmental Operating Budget. The amounts are not reflected in the City Capital Improvement Budget totals. wl wl WATER RESOURCES PROJECT TITLE E8J009 ARCHITECT SERVICES-WATER 4 DWF 441 $40,000 $0 $0 $0 $0 $40,000 EM002 CANAUSTORM DRAIN F ENCING C l W l D AWF 431 $45,000 $45,000 $45,000 $45,000 $45,000 $225,000 E5J102 PUMP STATION UPGRADES 4.6 DWF 441 $400,000 $250,000 $250,000 $250,000 $250,000 $1,400,000 P6J001 ROAD BASE ClTVWlD AWF 431 $20,000 $20,000 $20,000 $20,000 $20,000 $1 00,000 E6J007 WATER MAIN EXTENSIONS 4,5,6 DWF 441 $450,000 $450,000 $450,000 $450,000 $450,000 $2,250,000 E7J009 WATER WELLS 4,6 DWF 441 $3,000,000 $3,000,000 $3,000,000 $3,000,000 $3,000,000 $15,000,000 E8J008 WELL FIELD LAND ACQUISITION 4.6 DWF 441 $1,500,000 $0 $0 $0 $0 $1,500,000 APPENDICES APPENDICES The appendices section of the budget document includes the City Council Goals & Guiding Principles adopted July 20, 2005. This document is the basis in the development of Citywide department goals and objectives to be implemented during FY 2007-08. This section also includes the City's financial policies including the investment policy, the budget amendment process, basis of accounting and budgeting, and the budget calendar. City of Bakersf 2005 -City Council Goals and Guiding Principles Adopted -July 20,2005 Life as it shou CITY OF BAKERSFIELD 2005 City Council Goals GOAL #1: PROVIDE QUALITY PUBLIC SAFETY SERVICES Police Services: 1. PROVIDE CONSISTENT SAFETY AND LAW ENFORCEMENT THROUGHOUT GREATER BAKERSFIELD. 2. Support and enhance proactive, city-wide efforts to reduce gang violence, illegal drug use, domestic violence and child abuse. 3. Increase the number of actual participants and neighborhoods participating in the Neighborhood Watch program. 4. Support implementation of the strategic plan developed by the Police Department to address delivery of Police services. Plan for and develop funding mechanisms for proposed substations and associated staffing when possible. Continue efforts to increase Police patrol and progress towards a goal of 1.3 officers per 1,000 population. 5. Continue the implementation of the red light camera enforcement program and support increased traffic safety efforts through targeted red light violation enforcement and public education regarding the hazards of excessive speed and distracted driving. 6. Encourage community efforts to identify and address the root causes of crime in Greater Bakersfield.* 7. Pursue and coordinate Homeland Security programs and facilitate information sharing with state and federal agencies regarding regional security concerns. 8. Pursue additional grant funding for Police Service Programs. 9. Explore new or alternative funding mechanisms for constructing and staffing new police facilities. 10. Enhance the City's graffiti enforcement efforts using community education, information on the City's graffiti Web site, City crews and volunteer clean-up efforts, and Police enforcement. Work with the City Attorney's office to develop a plan to prosecute "quality of life" misdemeanors in conjunction with the District Attorney's Office. Fire Services: 1. PROVIDE CONSISTENT FIRE AND RELATED EMERGENCY SERVICES THROUGHOUT BAKERSFIELD. 2. Perform a comprehensive study for fire service needs and future station locations based on planned 2005 City Council Goals -Adopted 7120105 Page 1 (Vision 2020 related items are shown with a *) 259 growth within the Metropolitan General Plan. Implement new station development plans (Pursuant to Joint Powers Agreement with County, including funding the construction and staffing of Station #I 2 and Station #I 4). 3. Use technology to develop faster, safer, and more efficient responses to emergencies. 4. Continue Weapons of Mass Destruction training and preparation. 5. Pursue additional grant funding for fire service programs. 6. Maintain as much as possible, fire safety and public safety programs through grants and program sponsorship efforts. 7. Explore new or alternative funding mechanisms for constructing and staffing new fire facilities. 8. Complete relocation of Fire Station #5. GOAL #2: ENHANCE THE CITY'S TRANSPORTATION NETWORK 1. MAINTAIN AND IMPROVE THE QUALITY OF EXISTING SURFACE STREETS AND ARTERIALS BY CONTINUING TO ENHANCE THE ROAD RESURFACING PROGRAM, INCLUDING A SIGNIFICANT REDUCTION OF THE MAINTENANCE BACKLOG AND INCREASING FUNDING FOR STREET MAINTENANCE. A. Evaluate the condition of city city streets and develop a measurable plan to achieve street resurfacing improvements. Develop strategies for reconstruction of segments of selected arterial streets, based on priority, using state and federal road funds or other available funding sources. B. Implement a long term program for reconstruction of arterial streets using recurring state road funds and pursue a plan through KernCOG using 10% of state road funds allocated for Bakersfield for rehabilitation of local streets and roads. Identify and create additional revenue sources to obtain all available state and federal transportation funding.* Set aside one-time eligible monies as a priority for street maintenance projects as they become available. Support passage of the "Safe Roads Measure'' for transportation funding. 2. PURSUE THE DEVELOPMENT OF FREEWAYS AND MAJOR TRANSPORTATION CORRIDORS CONSISTENT WITH THE PREFERRED ALTERNATE FROM THE URS GRIENER REPORT. A. Secure necessary rights-of-way and adequate funding. State and Federal funding is being used to acquire rights of way for the Westside Parkway. B. Meet with Kern County and encourage Caltrans to amend preferred alternate 15 and change the designation of Highway 58 from the vicinity of 7'h Standard Road to the South Beltway. 2005 City Council Goals -Adopted 7120105 Page 2 (Vision 2020 related item are shown with a *) 260 C. Provide periodic workshops to update the Council on status of the freeway and beltway projects. D. Encourage completion of the Westside Parkway. E. Increase education efforts with the community and the opportunity for public input. F. Pursue the prudent acquisition of needed properties on designated transportation corridors from willing sellers with available funds designated for transportation purposes. High Speed Rail A. Actively pursue high speed rail system. Promote and encourage public transportation. * Support efforts for adequate air transportation. A. Work with Kern County to insure good quality air service and increase local usage. (Fly Bakersfield first). Maintainlconstruct trails for cycling, walking, jogging and equestrian uses.* 7. Recognize the link between land use and transportation through adoption and implementation of General Plan policies including development and transportation standards which promote a balanced transportation system of pedestrian, bicycle, transit, and motor vehicles. Explore alternative development concepts which promote pedestrian and transit oriented communities. 8. Work with the County and other governmental entities to cooperatively plan for and fund multi-jurisdictional transportation facilities in the metropolitan area. GOAL #3: CONTINUE POSITIVE DOWNTOWN DEVELOPMENT 1. Support the implementation of the Downtown Charrette Plan." Include in that process consideration of: A. 19th Street streetscape extension. Chester Avenue Streetscape extension from 24th Street to Garces Circle. Encourage commercial development that includes plazas and pocket parks. Creation of districts-arts, education, theater, government, finance, etc. Central Park expansion. Mill Creek project G. Selection of downtown site for Federal Courthouse. 2005 City Council Goals -Adopted 7120105 Page 3 (Vision 2020 related items are shown with a *) 261 2. Continue to build on the success of the Convention Center Hotel, Centennial Plaza, Rabobank Arena and Amtrak Station. A. Develop concepts for projects which contain the following elements: entertainment, trees, landscaping, family activities, pedestrian-friendly design, safety, attractiveness. Minimize the negative aspects of railroad. B. Develop parks of various sizes to provide green space for walking, relaxing, jogging, biking, and picnicking. Provide a pedestrian friendly atmosphere by linking the parks with historic trolleys, a river walk, or water taxis on a canal system." C. Clear blight from the redevelopment areas around the arena, Amtrak Station and Hotel. Identify underutilized and blighted properties in the downtown core area as potential sites for improvement. D. Promote mixed use development that supports the entertainment district along California Avenue to Union Avenue including additional entertainment venues, landscaping and innovative urban design elements, urban housing, restaurants, retail and other commercial uses. 3. Address downtown parking needs by developing a comprehensive plan in cooperation with public and private downtown interests which addresses joint use and other creative ways to integrate parking downtown." Initiate discussions with owners of small parking lots on ways to make them accessible for public parking. 4. Encourage quality downtown housing developments which bring families to the downtown area. A. lmplement housing development in the Southeast and Old Town Kern Redevelopment areas. 5. Expand the downtown street light design and streetscape design, and incorporate benches, refuse containers, tables and chairs and explore the use of solar lighting." 6. Encourage mixed use development that includes a diverse mixture of housing, retail and commercial uses." A. lmplement a mixed use development in the Southeast and Old Town Kern (Baker and Kentucky Streets) Redevelopment areas. 7. Encourage water features in the downtown. 2005 City Council Goals -Adopted 7120105 Page 4 (Vision 2020 related items are shown with a *) 262 A. Encourage use of canals and river elements in the downtown. Develop the Kern Island Canal to become a center for com~nunitya ctivities and outdoor enjoyment." B. Encourage the use of various water elements -fountains, pools, and ponds to enhance the parks, town squares, etc." C. Develop a plan to incentivize water features in the downtown through implementation of planning requirements for water features as a design element required of certain size or types of projects, or use alternative revenue sources to assist with funding such amenities. 8. Encourage private courtyards and Landscaped spaces that provide opportunities for formal and informal leisure use and activities (e.g. the alleylcourt at the Superintendent of Schools Office)." 9. Encourage the use of trees and flowers, lighting, street furniture, public art, signage, flags. Use surface material that enriches the paving options on our streets, sidewalks, and curbing." 10. Pursue property acquisition in the downtown from willing sellers for projects that fulfill stated downtown planning objectives. GOAL #4: PLAN FOR GROWTH AND DEVELOPMENT 1. Facilitate annexations where staff is sensitive to the areas and where support starts with the neighbors. Provide information to explain financial incentives or other benefits of annexation which encourage urban areas in the County to be annexed into the City." 2. Proceed with Sphere of Influence change to include areas which are likely to develop within the City so adequate advanced planning for infrastructure and delivery of public services can be done. 3. Work with major corporationslhomebi~ilders and land owners to facilitate master planned additions to Bakersfield including the use of development agreements. 2005 City Council Goals -Adopted 7120105 4. Support affordable housing for seniors and Lowlmoderate income residents. 5. Encourage and support redevelopment project areas to promote development in the Old Town Kern-Pioneer and Southeast areas of Bakersfield through use of redevelopment, Enterprise Zone incentives, community planning efforts, and other available revitalization tools. Page 5 (Vision 2020 related items are shown with a *) 263 6. Encourage and support redevelopment and neighborhood improvements in Southeast Bakersfield area including the following improvements: a. Streetlights b. Street repairs c. Median island landscaping and streetscapes 7. Encourage and support redevelopment and neighborhood improvements in 34thS treet area between Chester Avenue and Union Avenue.including the following improvements: a. Streetlights b. Street repairs c. Median island landscaping and streetscape on 34thS treet 8. Support implementation of the southeast Bakersfield Charrette Plan. 9. Work with the FAA to review the appropriateness of the zoning agreement around the Bakersfield Municipal Airport regarding potential residential and commercial development in that area. 10. Continue to provide consistent urban services within the metropolitan area defined by the City's General Plan." I I. Meet jointly with Kern County Board of Supervisors to discuss maintenance standards and development of parks owned by the County that are within the City and explore opportunities for improvements. 12. Plan for development of City facilities such as fire stations, police stations, parks, etc., with other governmental agencies and organizations and locate such facilities in a manner which will provide economies of scale, reduce costs and maximize the public benefit of City facilities and other related public facilities. 13. Provide property owners with incentives to create in-fill or redevelopment." 14. Require non-contiguous development to provide all necessary infrastructure or provide economic disincentives through variable fees." 15. Develop strategies to reduce consumption of prime agricultural land for urban development." 16. Develop policies for specific incentives for residential in-fill in blighted areas." 17. Streamline and provide incentives for first time homebuyers in blighted areas." 18. Create stricter code enforcement to help maintain neighborhoods and increase visual standards." 2005 City Council Goals -Adopted 7120105 Page 6 (Vision 2020 related items items are shown with a *) 264 19. Involve youth in re-developing blighted neighborhoods through various efforts, such as tree planting, graffiti removal, trash cleanup, and other neighborhood improvement programs." 20. Retrofit existing neighborhoods to be more pedestrian friendly and provide for pedestrian friendly thoroughfares in new developments." 21. Adopt incentives for reuse of commercial zones and improving utilization of existing problem commercial areas." 22. Encourage pocket revitalization of commercial centers and/or individual city blocks which may benefit from a targeted approach to economic assistance, which does not conflict with or duplicate existing redevelopment efforts. 23. Support implementation of the Baker Street Charrette Plan. 24. Continue efforts to secure a permanent position on Local Agency Formation Commission (LAFCO) board by finding a sponsor for required special legislation. GOAL #5: STRENGTHEN AND DIVERSIFY OUR ECONOMIC BASE 1. Enhance the City's economic development opportunities. A. Encourage business retention through programs which collaborate with local organizations such as trade unions, vocational training centers, schools and universities to provide technical assistance, employee training resources and other business assistance. B. Assist in business expansion and job opportunities by encouraging development of workforce training and infrastructure development which are consistent with identified strategic business attraction ,g-o(als Vision 2020). C. Attract industries which are best suited to our locational advantages, which include availability of energy production, access to major transportation corridors, and geographic diversity for film locations and recreational activities." D. Focus on improvements and opportunities within the Southeast and Old Town Kern Redevelopment Project areas, and the Incentive Area. 2. Continue to enhance the TEAM BAKERSFIELD concept and develop a fast-track process for establishing a business." Implement job creation strategies identified in the Old Town Kern and Southeast Economic development plans which address high unemployment area needs by attracting targeted industries that provide higher paying jobs which can support families. Expand telecommunications and other infrastructures to support new and existing industries." 2005 City Council Goals -Adopted 7/20/05 (Vision 2020 related items are shown with a *) 265 Page 7 5. Build on existing economic base: Agriculture (for example; applied technology, valueadded agriculture, Genetic technology) and Energy (for example: natural gas, micro-energy generating)." 6. Encourage and provide business development and entrepreneurial opportunities." GOAL #6: PROMOTIE COMMUNITY PRIDE AND IMAGE 1. Implement "Bakersfield Life as it Should Be" image toolkit. 2. Continue the campaign against littering (Keep Bakersfield Beautiful and CUB Programs) and graffiti. 3. Facilitate development and encourage corporate capital investments towards cultural and recreational facilities including the use of grants, contributions, in-kind services and other unique or appropriate one-time funding sources which may become available, while Limiting, the use of General Fund revenues for such capital construction. Such facilities would include the following: A. Performing and cultural arts center. B. Community recreation buildings. C. Aquatics Facilities. D. Multi-purpose stadium. E. Facilitate 40 acre soccer soccer park development. F. Plan and develop a 200 acre plus complex to address soccer, baseball, 3 par golf, aquatic facilities and related needs. G. Expansion and enhancement of City recreational facility adjacent to Mesa Marin Raceway. 4. Continue the operation of existing city swimming pools in a safe and cost effective manner. 5. Create landscaped gateways, freeways and arterial roads. Increase freeway and entry point landscape standards. Support implementation of the highway Landscape improvement plan by securing funding to complete improvements in cooperation with Caltrans and other local agencies, and encourage community involvement. * A. Median island landscaping and streetscape on 34th Street between Chester Avenue and Union Avenue. 6. Continue efforts to enhance the city's urban forest by promoting the planting, proper care and maintenance of trees throughout the city. GOAL #7: FISCAL SOLVENCY 1. To incorporate best practices from the private sector as an element of conducting business. 2. To prudently govern to all areas of discretionary spending, including personnel, benefit and pension costs so that funds to provide services can be balanced with the need to attract and retain quality personnel. 2005 City Council Goals -Adopted 7120105 Page 8 (Vision 2020 related items are shown with a *) 266 3. To conservatively govern the financial operations of the City so that long-term liabilities are controlled as best as practicable for the benefit of the tax payer. 4. To budget conservatively by using one-time revenues for capital rather than operating costs, with streets being of particular importance. 5. To preserve General Fund revenues for core services of the City, such as public safety, streets, parks, and quality of life issues. 6. To respect the history of the City by keeping tax rates, fees and assessments as low as can be while still providing quality services. 7. To maintain reserves adequate for dealing with contingencies. 2005 City Council Goals -Adopted 7120105 Page 9 (Vision 2020 related items are shown with a *) 267 City of Bakersfield -Guidinq Principles In addition to the City Council Goals, the City of Bakersfield recognizes the following guiding principles in providing public services to the Citizens of Bakersfield: To maintain responsible fiscal policies which insure fiscal solvency, promote the pursuit of grants and private donations, maintain the lowest possible fee structure for all services and streamline government operations to be more responsive and cost effective. To recognize that pension costs are a large percentage of the General Fund and to therefore pursue fiscal policies which prudently govern such costs. To encourage utilization of local vendors wherever possible and continue an investment policy that provides opportunities for City funds to be invested locally if all other conditions such as rate of return are the same. To attract and foster a qualified workforce by creating an environment that encourages employees to achieve and provide quality customer service. To maintain positive and effective labor and employee relations through enhanced employee reward and recognition programs, involving all staff in implementing the goals and objectives of the City. Continue to implement cultural diversity in all aspects of the employment process. Provide safe working conditions and train employees in sound safety practices. lmprove city government communications which promote a positive image of the City's projects, programs and accomplishments. Continue enhancement to the public communications process including, use of television broadcasts for meetings and to provide public information; enhancement of the city's WEB site; use of press releases regarding city activities; use of surveys to obtain customer service and other citizen feedback information; and distribution of the city-wide newsletter. Provide more positive council interaction with public through improved response to citizen complaints and inquiries through use of constituent tracking software. lmprove internal Council relations by promoting common common goals, respecting individual positions on issues, reducing the level of "political" decision-making, and conducting annual team building and goal setting sessions. Work with the County to provide efficient government services for metropolitan area which reduce the duplication of public services. Pro-actively pursue intergovernmental legislation at the county, state and federal levels by monitoring, taking a position and actively pursuing pending legislation; expanding annual lobbying efforts with state and federal representatives; inviting legislators to Council workshops or other activities; holding joint City Council/County Board of Supervisor meetings to discuss various issues. Continue to partner with school districts on recreation and education programs to reduce youth violence, drugs and crime. 2005 City Council Goals -Adopted 7120105 (Vision 2020 related items are shown with a *) 268 Page 10 ClTY OF BAKERSFIELD MISCELLANEOUS STATISTICS DATE OF INCORPORATION CHARTER ADOPTED FORM OF GOVERNMENT POPULATION (1 I1 106) ClTY EMPLOYEESl1,OOO AREA (1/1/07) MILES OF STREETS (111107) NUMBER OF STREET LIGHTS (1/1/07) MILES OF STORM DRAINS (1/1/07) NUMBER OF TRAFFIC SIGNALS (1/1/07) MILES OF SANITARY SEWERS (111107) NUMBER OF PARKS AND ACREAGE (111107) 1898 1915 COUNCIL-MANAGER 31 1,824 5.17 131.02 sq. mi. 1,134 14,623 233 31 2 1025 47 PARKS (440 ac.) Prepared by the city Manager's Office CITY OF BAKERSFIELD City Square Miles V) 1 175 1 150 125 0, 100 75 50 28 V) 02 03 04 05 06 End of Calendar Year Annual Population Growth End of Calendar Year City Employees per 1,000 Population 6 8 = % 0 3 I i! LU I 0 02 03 04 05 06 End of Calendar Year CITY OF BAKERSFIELD PERSONNEL COMPLEMENT BY DIVISION Mayor Total Legislative City Manager City Clerk Human Resources Risk Management Information Technology Total Executive Administration h) Accounting and Reporting 2 Treasury Purchasing Total Financial Services Legal Counsel Total City Attorney Administration Operations lnvestigations Total Police Services Administration Fire Safety Fire Sgppressinn Total Fire Services CITY OF BAKERSFIELD PERSONNEL COMPLEMENT BY DIVISION Administration TRIP Engineering General Services Streets Equipment Wastewater Solid Waste Total Public Works Agricultural Water 19.45 19.45 19.45 19.45 1 .OO 20.45 E3 Domestic Water 3.55 3.55 3.55 4.55 0.00 4.55 4 E3 Total Water Resources 23.00 23.00 23.00 24.00 1 .OO 25.00 Rabobank Arena * 6.00 6.00 5.00 ' 5.00 0.00 5.00 Total Rabobank Arena 6.00 6.00 5.00 5.00 0.00 5.00 Administration 10.00 10.00 10.00 11.00 0.00 11.00 Parks 86.00 82.00 99.00 136.00 10.00 146.00 Recreation 12.00 1 1 .OO 12.00 13.00 0.00 13.00 Total Recreation & Parks 108.00 103.00 121 .OO 160.00 10.00 170.00 Planning 20.00 19.00 23.00 29.00 0.00 29.00 ~uildini 49.00 48.00 58.00 69.00 -4.00 65.00 Total Development Services 69.00 67.00 81 -00 98.00 -4.00 94.00 Community Development 10.00 9.00 9.00 9.00 0.00 9.00 Economic Development 8.00 8.00 8.00 8.00 0.00 8.00 Total Economic/Community Dev. 18.00 17.00 17.00 17.00 0.00 17.00 TOTAL PERSONNEL 1,352.00 1,321 .OO 1,424.00 1,570.00 41 .OO 1,611 .OO *Note: Remaining City employees that did not become employees of SMG. PREPARED 4/24/07 , 14:17:08 City of Bakersfield PAGE 1 P. R. .O.G.R.A.M. .P.R.S.A.Z.l.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a.r.y. . S. .c.h.e.d.u.l. e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . POSITION # POSITION TITLE GRADE STEP 1 STEP 2 STEP 3 STEP 4 STEP 5 OT ------------* -----------------------------------------------------------------------------------------------------------------------ACCOUNTANT I ACCOUNTANT I -TEMP ACCOUNTANT I1 ACCOUNTING CLERK I ACCOUNTING CLERK I -TEMP ACCOUNTING CLERK I1 ACC0U;vTIMG CLERK I1 -CGCC ACCOUNTING CLERK I1 -TEMP ACCOUNTING SUPERVISOR ADMINISTRATIVE ANALYST I ADMINISTRATIVE ANALYST I-TEMP ADMINISTRATIVE ANALYST I1 ADMINISTRATIVE ANALYST I11 ADMINISTRATIVE ASSISTANT I ADMINISTRATIVE ASSISTANT I-TEM ADMINISTRATIVE ASSISTANT I1 AIR CONDITIONING TECH I AIR CONDITIONING TECH I1 AIRPORT SUPERVISOR ANIMAL CONTROL OFFICER ANIMAL CONTROL OFFICER -TEMP ANIMAL CONTROL SUPERVISOR APPLICATIONS SYSTEMS SUPV AQUATICS COORDINATOR -TEMP PREPARED 4/24/07 , 14 : 17: 08 City of Bakersfield PAGE 2 P. .R.O.G.R.A.M. .P.R. .S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a.r.y. . S. .c.h.e.d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I. .O.N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . .G. .R.A.D.E. . . . . . . . . . . . . . . . . . .S. .T.E.P. .1. . . . . .S.T.E.P. . .2. . . . .S.T.E. .P. .3. . . . . .S.T.E.P. .4. . . . . .S.T.E.P. . .5. . . .O.T. . . AQUATICS MAINTENANCE TECH AQUATICS SPECIALIST I -TEMP AQUATICS SPECIALIST I1 -TEMP ASSISTANT BUILDING DIRECTOR ASSISTANT CITY ATTORNEY ASSISTANT CITY CLERK ASSISTANT CITY MANAGER ASSISTANT FINANCE DIRECTOR ASSISTANT FIRE CHIEF ASSISTANT FIRE CHIEF-SUPPRESS ASSISTANT PLANNER ASSISTANT PLANNER -TEMP ASSISTANT PLANNING DIRECTOR ASSISTANT POLICE CHIEF ASSISTANT POOL MANAGER ASSISTANT SUPERINTENDENT ASSISTANT TO THE CITY MANAGER ASSOCIATE ATTORNEY ASSOCIATE PLANNER ASSOCIATE PLANNER -TEMP ASSOCIATE PLANNER-COMM DEV ASST DIR OF INFORMATION TECH ASST DIRECTOR REC & PARKS ASST ECONOMIC DEVELOPMENT DIR PREPARED 4/24/07 , 14:17:08 City of Bakersfield PAGE 3 P. .R.O.G.R.A.M. .P. R. .S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a. .l.a.r.y. .S.c.h. .e.d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. . .# . . .P.O.S.I.T. .I.O.N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . . .G.R.A.D.E. . . . . . . . . . . . . . . . . . . .S.T.E.P. .1. . . . . .S.T.E. .P. .2. . . . . .S.T.E.P. .3. . . . . .S.T.E.P. . .4. . . . .S. .T.E.P. .5. . . . .O.T. . ASST PUBLIC WORKS DIRECTOR ASST SITE MANAGER I -TEMP ASST SITE MANAGER I1 -TEMP ASST TO THE PUBLIC WORKS DIR AUDIO VISUAL SPECIALIST BENEFITS TECHNICIAN BLDG INSP I11 -PLMBG & MECH BLDG INSPECTOR I BLDG INSPECTOR I -TEMP BLDG INSPECTOR I1 BLDG INSPECTOR I1 -TEMP BLDG INSPECTOR I11 BLDG INSPECTOR I11 -ELEC SPEC BUILDING DIRECTOR BUILDING INSPECTOR 111 -TEMP BUILDING MAINTAINER I1 BUILDING PERMIT TECH -TEMP BUILDING PERMIT TECHNICIAN TECHNICIAN BUSINESS MANAGER BUYER I BUYER I1 CANAL TENDER I1 CHIEF CODE ENFORCEMENT OFFICER CITY ATTORNEY PREPARED 4/24/07 , 14: 17: 08 City of Bakersfield PAGE 4 P. R. .O.G.R.A.M. .P.R. .S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a.r.y. . S. .c.h.e.d.u. .l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P-O-S-I-T-I-O--N-#---89250 89300 89960 58360 58369 88380 90239 26180 26220 26221 26229 26228 W 26230 4 0\ 26239 27250 27259 27260 27269 57260 79950 89940 57900 79970 27379 .P-O-SI-T-I-O-N-T-I-T-L-E -------------------. CITY CLERK CITY MANAGER CITY TREASURER CIVIL ENGINEER 111 CIVIL ENGINEER I11 -TEMP CIVIL ENGINEER IV CLERICAL AIDE/RECEPTIONIST CLERK STENO I CLERK TYPIST I CLERK TYPIST I -T-STEP CLERK TYPIST I -TEMP CLERK TYPIST I -TEMP T-STEP CLERK TYPIST I1 CLERK TYPIST I1 -TEMP CODE ENFORCEMENT OFFR I CODE ENFORCEMENT OFFR I -TEMP CODE ENFORCEMENT OFFR I1 CODE ENFORCEMENT OFFR I1 -TEM CODE ENFORCEMENT OFFR I11 COMMUNICATIONS CENTER SUPV COMMUNICATIONS COORDINATOR COMMUNICATIONS ENGINEER ENGINEER COMMUNICATIONS OPERATIONS SUPV COMMUNICATIONS TECH I -TEMP .G-R-A-D-E----M0 9 M8 9 M0 9 G6 0 620 M4 2 800 015 005 700 725 700 025 732 250 788 295 793 G4 0 N15 M0 8 G4 5 N4 5 782 ----------S--T-E-P--1--36.0990 98.7180 36.0990 34.9110 34.9110 43.9760 7.5000 12.9630 11.8270 9.2710 11.8270 9.2710 13.3950 13.3950 22.2490 22.2490 24.4630 24.4630 29.8250 23.7660 35.3800 30.4180 30.7580 21.1780 --S-T--E-P-2---37.9050 37.9050 36 -6580 46.1740 13.6150 12.4210 14 -0660 23.3660 25.6820 31.3180 24.9580 37 .I470 31.9390 32.2960 STEP 3 STEP 4 -------------------* 39.8010 41.7900 --S-T-E--P-5---43.8810 43.8810 42.4390 53.4560 15.7610 14.3800 16.2840 27.0930 29.7380 36.2580 28.8940 43.0040 36.9790 37.3910 PREPARED 4/24/07 , 14 : 17: 08 City of Bakersfield PAGE 5 P. .R.O.G.R.A.M. .P.R.S. .A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a.r.y. .S. c. .h.e.d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. O. .S.I.T.I.O.N. .#. . . .P.O.S.I.T.I.O.N. .T. .I.T.L.E. . . . . . . . . . . . . . . . . . . .G.R.A. .D.E. . . . . . . . . . . . . . . . . . .S.T.E.P. .1. . . . . .S.T.E.P. . .2. . . . .S. .T.E.P. .3. . . . . .S.T.E.P. .4. . . . . .S.T.E.P. . .5. . . .O.T. . . . 27389 COMMUNICATIONS TECH 11 -TEMP 795 25.0220 A 27370 COMMUNICATIONS TECHNICIAN I 210 21.1780 22.2490 23.3660 24.5540 25.8030 A 27380 COMMUNICATIONS TECHNICIAN I1 300 25.0220 26.2700 27.5860 28.9610 30.4090 A 21509 COMMUNITY REL SPECIALIST-TEMP 761 16.9240 A 21500 COMMUNITY RELATIONS SPECIALIST 092 16.9240 17.7750 18.6650 19.6030 20.5760 A 25200 COMPUTER DRAFTING TECH I 115 18.4160 19.3290 20.2990 21.3150 22.37'50 A 25209 COMPUTERDRAFTINGTECHI-TEMP 770 18.4160 A 25240 COMPUTER DRAFTING TECH I1 225 21.5840 22.6610 23.7940 24.9860 26.2330 A 25250 CONSTRUCTION INSPECTOR I 210 21.1780 22.2490 23.3660 24.5540 25.8030 A 25259 CONSTRUCTION INSPECTOR I-TEMP 782 21.1780 A 25260 CONSTRUCTION INSPECTOR I1 295 24.4630 25.6820 26.9700 28.3200 29.7380 A 88460 CONSTRUCTION SUPERINTENDENT M18 37.2040 39.0690 41.0220 43.0710 45.2300 D N 4 99989 COUNCILMEMBER 887 100.0000 A 4 21600 CRIME ANALYST 210 21.1780 22.2490 23.3660 24.5540 25.8030 A 51440 CRIME PREVENTION SUPERVISOR G4 5 30.4180 31.9390 33.5380 35.2150 36.9790 C 26170 DATA ENTRY CLERK 030 13.5770 14.2540 14.9710 15.7210 16.5040 A 26179 DATA ENTRY CLERK -TEMP 735 13.5770 A 88260 DEPUTY CITY ATTORNEY I M3 9 43.1300 45.2900 47.5590 49.9360 52.4360 D 88080 DEPUTY CITY ATTORNEY I1 M54 48.7290 51.1660 53.7250 56.4140 59.2350 D 26350 DEPUTY CITY CLERK 070 16.4870 17.3130 18.1800 19.0860 20.0350 A 88280 DEPUTY FIRE CHIEF M57 51.6700 54.2560 56.9700 59.8190 62.8110 D 4104 0 DETECTIVE P2 5 27.2550 28.6330 30.0860 31.6110 33.2090 A 41049 DETECTIVE -TEMP 605 26.9850 A 25070 DEVELOPMENT ASSISTANT 235 22.0000 23.1010 24.2480 25.4580 26.7360 A PREPARED 4/24/07 , 14 : 17: 08 City of Bakersfield PAGE 6 P. .R.O.G.R.A.M. .P. R. .S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a. .r.y. .S.c.h.e. .d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I. .O.N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . .G. .R.A.D.E. . . . . . . . . . . . . . . . . . .S. .T.E.P. .1. . . . . .S.T.E.P. .2. . . . . .S.T.E. .P. .3. . . . .S. .T.E.P. .4. . . . . .S.T.E.P. .5. . . . .O.T. . . 25060 DEVELOPMENT ASSOCIATE 360 27.6450 29.0310 30.4820 32.0060 33.6100 A 25069 DEVELOPMENT ASSOCIATE -TEMP 798 27.6450 A 89460 DEVELOPMENT SERVICES DIRECTOR M63 50.1500 52.6570 55.2910 58.0560 60.9590 D 25020 DEVELOPMENT SPECIALIST 150 19.2710 20.2450 21.2450 22.3090 23.4260 A 88200 DIR OF FIRE PREV/ENV SERVICES MI8 37.2040 39.0690 41.0220 43.0710 45.2300 D 89870 DIR OF INFORMATION TECHNOLOGY M42 43.9760 46.1740 48.4860 50.9090 53.4560 D 58200 DIRECTOR OF ENVIRONMENTAL SVS G60 34.9110 36.6580 38.4910 40.4200 42.4390 C DIRECTOR OF OPERATIONS -PARKS DIRECTOR RECREATION & PARKS ECONOMIC DEVELOPMENT DIRECTOR ELECTRICAL ASSISTANT ELECTRICAL TECHNICIAN I ELECTRICAL TECHNICIAN I1 ENGINEER I ENGINEER I -TEMP ENGINEER I1 ENGINEER I1 -TEMP ENGINEER I11 -WASTEWATER ENGINEERING AIDE I ENGINEERING AIDE I -TEMP ENGINEERING AIDE I1 ENGINEERING AIDE I11 ENGINEERING SERVICES MANAGER ENGINEERING TECHNICIAN I PREPARED 4/24/07 , 14 : 17: 08 City of Bakersfield PAGE 7 PROGRAM PRSALSCH Salary Schedule ------------------------------------------------------------------------------------------------------------ -+ ---------------------P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I.O. .N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . .G. .R.A.D.E. . . . . . . . . . . . . . . . . . .S. .T.E.P. .1. . . . . .S.T.E.P. .2. . . . . .S.T.E.P. . .3. . . . .S. .T.E.P. .4. . . . . .S.T.E.P. . .5. . . .O.T. . . 13500 FACILITY WORKER 010 13509 FACILITY WORKER -TEMP 860 13508 FACILITY WORKER -TEMP T 860 89350 FINANCE DIRECTOR M6 3 26080 FINANCIAL INVESTIGATOR 070 FIRE BATT CHIEF-DAYS FIRE BATT CHIEF-SUPPRESS FIRE CAPTAIN -DAYS FIRE CAPTAIN -SUPPRESSION FIRE CHIEF FIRE DISPATCHER I FIRE DISPATCHER I -TEMP FIRE DISPATCHER I1 FIRE DISPATCHER I1 -TEMP FIRE ENGINEER -DAYS FIRE ENGINEER -SUPPRESSION FIRE MARSHAL/TRAINING OFFICER FIRE PLANS EXAMINER FIRE PREVENTION/ENVIRON OFFR FIREFIGHTER -SUPPRESSION FIREFIGHTER TRAINEE -DAYS FIREFIGHTER TRAINEE -SUPPRESS FLEET MECHANIC I FLEET MECHANIC I1 PREPARED 4/24/07 , 14:17:08 City of B a k e r s f i e l d PAGE 8 P.R.O. G. .R.A.M. .P.R. .SA. .L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a.r.y. . .S.c.h.e.d. .u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P.O. .S.I.T.IO. .N. .#. . . .P.O.S.I.T.I.O.N. .T. .IT. .L.E. . . . . . . . . . . . . . . . . . . .G.R.A. .D.E. . . . . . . . . . . . . . . . . . .S.T.E.P. . 1. . . . . .S.T.E. .P. .2. . . . .S.T. .E.P. .3. . . . .S. .T.E.P. .4. . . . . .S.T.E.P. .5. . . . .O.T. . . . 14300 FLEETMECHANICIII 260 23.1010 24.2650 25.4980 26.7820 28.1420 A 14060 FLEET SERVICE WORKER I 050 14.9030 15.6440 16.4230 17.2390 18.1060 A 14069 FLEET SERVICE WORKER I -TEMP 742 14.9030 A 14061 FLEETSERVICEWORKERIT-STEP 715 11.6840 A 14068 FLEETSERVICEWORKERI-TEMP-T 715 11.6840 A 14460 FLEET SERVICE WORKER I1 090 16.7620 17.5990 18.4730 19.4100 20.3720 A 22130 FLEET SERVICES SYSTEMS ANALYST 145 19.2450 20.2090 21.2210 22.2810 23.3960 A 88400 FLEET SUPERINTENDENT MI8 37.2040 39.0690 41.0220 43.0710 45.2300 D 21510 GENERAL SERVICES COORDINATOR 115 18.4160 19.3290 20.2990 21.3150 22.3750 A 88510 GENERAL SERVICES SUPT M18 37.2040 39.0690 41.0220 43.0710 45.2300 D 25140 G I s ANALYST 280 23.1740 24.3380 25.5550 26.8350 28.1750 A 57140 G I s SUPERVISOR G3 2 28.0370 29.4430 30.9130 32.4590 34.0870 C h, 25000 GIS TECHNICIAN 097 17.4330 18.3030 19.2130 20.1830 21.1850 A 00 0 25009 G I s TECHNICIAN -TEMP 882 17.4330 A 27230 HAZARDOUS MATERIALS SPECIALIST 325 26.5210 27.8630 29.2740 30.7600 32.3110 A 90809 HEARING OFFICER 778 18 .OOOO A 13220 HEAVY EQUIP OPERATOR -WATER 183 20.0850 21.0810 22.1390 23.2530 24.4080 A 13230 HEAVY EQUIP OPR-SW & RECYCLING 183 20.0850 21.0810 22.1390 23.2530 24.4080 A 13210 HEAVY EQUIPMENT OPR -PARKS 183 20.0850 21.0810 22.1390 23.2530 24.4080 A 13200 HEAVY EQUIPMENT OPR -STREETS 183 20.0850 21.0810 22.1390 23.2530 24.4080 A 25080 HELP DESK SPECIALIST 085 16.7330 17.5720 18.4540 19.3780 20.3480 A 27010 HUMAN RESOURCES ANALYST I 235 22.0000 23.1010 24.2480 25.4580 26.7360 A 27019 HUMAN RESOURCES ANALYST I TEMP 787 22.0000 A 27000 HUMAN RESOURCES ANALYST I1 315 25.6440 26.9270 28.2780 29.6910 31.1720 A PREPARED 4/24/07 , 14:17:08 City of Bakersfield PAGE 9 P. .R.O.G.R.A.M. .P.R. .S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S. .a.l.a.r.y. .S. c. .h.e.d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I.O. .N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . .G. .R.A.D.E. . . . . . . . . . . . . . . . . . .S.T. .E.P. .1. . . . . .S.T.E.P. .2. . . . . .S.T.E.P. . .3. . . . .S.T. .E.P. .4. . . . . .S.T.E.P. .5. . . . .O.T. . . HUMAN RESOURCES CLERK HUMAN RESOURCES MANAGER HUMAN RESOURCES SUPERVISOR HUMAN RESOURCES TECHNICIAN HUMAN RESOURCES TECHNICIAN-TEM HYDROGRAPHIC SUPERVISOR INDUSTRIAL WASTE INSPECTOR INDUSTRIAL WASTE INSPECTOR-TEM LABORER LABORER -TEMP LEGAL SECRETARY LEGAL SECRETARY -TEMP LIGHT EQUIPMENT OPERATOR-WATER LIGHT EQUIPMENT OPR -PARKS LIGHT EQUIPMENT OPR -STREETS LIGHT EQUIPMENT OPR-STREETS-TE MAINT CRAFTWORKER I MAINTAINER -CGCC MAINTENANCE CRAFTWORKER I1 MANAGEMENT ASSISTANT MAYOR MOTOR SWEEPER OPERATOR NETWORK SYSTEMS ANALYST NETWORK SYSTEMS ENGINEER PREPARED 4/24/07 , 14:17:08 City of Bakersfield PAGE 10 P. .R.O.G.R.A.M. .P. R. .S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a.r.y. . .S.c.h.e.d.u. l. .e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I.O. .N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . .G. .R.A.D.E. . . . . . . . . . . . . . . . . . .S.T. .E.P. .1. . . . .S. .T.E.P. .2. . . . . .S.T.E.P. . 3. . . . . .S.T.E. .P. .4. . . . .S. T. .E.P. .5. . . .O. .T. . . 25119 NETWORK SYSTEMS TECH -TEMP 776 18.9160 A NETWORK SYSTEMS TECHNICIAN OFFICIAL I OFFICIAL I1 PARK & LANDSCAPE DESIGNER PARK CONSTRUCTION & FAC PLNR PARK SECURITY GUARD -TEMP PARK SERVICES COORDINATOR PARK SERVICES TECHNICIAN PARK TECHNICIAN PARKS SUPERINTENDENT PARTS & INVENTORY SPEC -TEMP PARTS & INVENTORY SPECIALIST PERMIT AND PLAN CHECK MANAGER PLAN CHECKER -TEMP 27020 PLAN CHECKER-ELECTRICAL SPEC 325 27030 PLAN CHECKER-PLUMB & MECH SPEC 325 27050 PLAN CHECKER-RESIDENTIAL SPEC 325 8 9450 PLANNING DIRECTOR M4 8 25030 PLANNING TECHNICIAN 185 25039 PLANNING TECHNICIAN -TEMP 781 90409 POLICE CADET 800 7.5000 A 88530 POLICE CAPTAIN 89500 POLICE CHIEF PREPARED 4/24/07 , 14:17:08 City of Bakersfield PAGE 11 P. .R.O.G.R.A.M. .P.R. S. .A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a. .l.a.r.y. .S.c. .h.e.d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I.O.N. .T. .I.T.L.E. . . . . . . . . . . . . . . . . . . .G.R.A. .D.E. . . . . . . . . . . . . . . . . . .S.T.E.P. . .1. . . . .S.T.E. .P. .2. . . . .S. .T.E.P. .3. . . . . .S.T.E.P. . .4 . . . . .S. .T.E.P. .5. . . .O.T. . . . POLICE CRIME LAB SUPERVISOR POLICE DISPATCHER I POLICE DISPATCHER I -TEMP POLICE DISPATCHER I1 POLICE DISPATCHER I1 -TEMP POLICE LAB TECHNICIAN POLICE LIEUTENANT POLICE OFFICER POLICE SERGEANT POLICE SERVICE TECHNICIAN POLICE SERVICE TECHNICIAN-TEMP POLICE TRAINEE POOL MANAGER PRINCIPAL PLANNER PRINCIPAL PLANNER TEMP PROGRAM COORDINATOR -PERM PROGRAM COORDINATOR I -TEMP PROGRAM COORDINATOR I1 -TEMP PROGRAM LEADER I -TEMP PROGRAM LEADER I1 -TEMP PROGRAMMER ANALYST PROGRAMMER ANALYST -TEMP PROPERTY ROOM SUPERVISOR PUBLIC INFORMATION OFFICER PREPARED 4/24/07 , 14: 17:08 City of Bakersfield PAGE 12 P. .R.O.G.R.A.M. .P. .R.S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l.a.r. .y. .S.c.h.e.d.u. .l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. . .# . . .P.O.S.I.T. .I.O.N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . . .G.R.A.D.E. . . . . . . . . . . . . . . . . . . .S.T.E.P. .1. . . . . .S.T.E. .P. .2. . . . .S. .T.E.P. .3. . . . . .S.T.E.P. .4. . . . . .S.T.E. .P. .5. . . .O.T. . . 89560 PUBLIC WORKS DIRECTOR M7 7 57.0760 59.9290 62.9270 66.0760 69.3770 D 88060 PUBLIC WORKS OPERATIONS MGR M4 8 27510 PUBLIC/FIRE SAFTETY EDUC SPEC 180 59920 PURCHASING OFFICER G4 5 26000 REAL PROPERTY AGENT I 100 26010 REAL PROPERTY AGENT I1 360 86100 REAL PROPERTY MANAGER 57910 RECORDS SUPERVISOR 26020 RECREATION SPECIALIST 26390 REVENUE PROGRAM AIDE 86020 RISK MANAGER 13420 SANITATION WORKER I1 w 00 90143 SCOREKEEPER P 26450 SECRETARY I 26459 SECRETARY I -TEMP 26490 SECRETARY I1 26499 SECRETARY I1 -TEMP 41270 SENIOR POLICE OFFICER P15 26460 SENIOR POLICE RECORDS CLERK 070 27340 SENIOR PROPERTY TECHNICIAN 150 13709 SERVICE MAINTENANCE WKR-TEMP 866 13708 SERVICE MAINTENANCE WKR-TEMP T 715 13700 SERVICE MAINTENANCE WORKER 050 13701 SERVICE MAINTENANCE WORKER-T 715 PREPARED 4/24/07 , 14:17:08 City of Bakersfield PAGE 13 P. .R.O.G.R.A.M. .P.R. .S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .S.a.l. .a.r.y. .S.c.h. .e.d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I. O. .N. .T.I.T.L.E. . . . . . . . . . . . . . . . . . . . .G.R.A.D.E. . . . . . . . . . . . . . . . . . .S. .T.E.P. .1. . . . . .S.T.E.P. . .2. . . . .S.T. .E.P. .3. . . . . .S.T.E.P. .4. . . . . .S.T.E.P. . .5. . . .O.T. . . SEWER MAINTAINER I1 SEWER MAINTAINER I11 SITE MANAGER I -TEMP SITE MANAGER I1 -TEMP SOLID WASTE DIRECTOR SOLID WASTE EQUIPMENT OPERATOR SOLID WASTE SUPERINTENDENT SPECIAL EVENTS MGR -RABOBANK SPECIAL PROJECTS MANAGER SPRAY RIG OPR/PEST CONTROL ADV STAGE MANAGER -CGCC STREET MAINTENANCE SUPT STUDENT HELP SUPERVISING FIRE DISPATCHER SUPERVISOR I SUPERVISOR I -CGCC SUPERVISOR I -TEMP SUPERVISOR I1 SUPERVISOR I1 -RECREATION SUPERVISOR-SURVEY OPERATIONS SUPV 11-W W PRETREAT REV PROG SURVEY PARTY CHIEF I SURVEY PARTY CHIEF I1 TECHNOLOGY SERVICES SUPERVISOR PREPARED 4/24/07 , 14:17:08 P. .R.O.G.R.A.M. .P. .R.S.A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I. .O.N. .T.I.T.L.E. . . . . . . . . . . . . . . 14479 TRADES MAINT WORKER -TEMP 14478 TRADES MAINT WORKER TEMP-T 14470 TRADES MAINTENANCE WORKER 88370 TRAFFIC ENGINEER 25290 TRAFFIC OPERATIONS TECHNICIAN 14190 TRAFFIC PAINTER I1 17190 TRAFFIC PAINTER I11 15310 TRAFFIC SIGNAL TECHNICIAN 41060 TRAINING OFFICER 26250 TRANSCRIBING TYPIST 26259 TRANSCRIBING TYPIST-TEMP 13620 TREE MAINTAINER I1 N 0m0 13630 TREEMAINTAINERIII 57500 URBAN FORESTER 13480 UTILITY WORKER 13489 UTILITY WORKER-TEMP 14360 W W TREAT PLANT LAB TECH 14390 W W TREATMENT PLANT OPR I 14420 W W TREATMENT PLANT OPR I1 88690 WASTEWATER MANAGER 14290 WASTEWATER PLANT MECHANIC 88680 WASTEWATER TREATMENT SUPT 89110 WATER RESOURCES DIRECTOR 89160 WATER RESOURCES MANAGER City of Bakersfield . -----------------S-a -l-a-r-y--S-c-h--e-d-u-l-e--------------------------GRADE STEP 1 STEP 2 STEP 3 STEP 4 . ------------------------------------------------------------877 16.7620 720 12.8250 0 90 16.7620 17.5990 18.4730 19.4100 M4 2 43.9760 46.1740 48.4860 50.9090 263 23.2380 24.3890 25.6120 26.8940 090 16.7620 17.5990 18.4730 19.4100 115 18.4160 19.3290 20.2990 21.3150 263 23.2380 24.3890 25.6120 26.8940 P2 5 27.2550 28.6330 30.0860 31.6110 04 0 14.2780 14.9910 15.7440 16.5270 737 14.2780 097 17.4330 18.3030 19.2130 20.1830 115 18.4160 19.3290 20.2990 21.3150 G4 5 30.4180 31.9390 33.5380 35.2150 030 13.5770 14.2540 14.9710 15.7210 735 13.5770 165 19.7350 20.7220 21.7580 22.8430 065 16.3550 17.1690 18.0180 18.9280 115 18.4160 19.3290 20.2990 21.3150 M4 8 45.9180 48.2150 50.6270 53.1590 24 5 22.2640 23.3750 24.5440 25.7640 M18 37.2040 39.0690 41.0220 43.0710 M4 8 45.9180 48.2150 50.6270 53.1590 M71 53.7970 56.4880 59.3140 62.2790 PAGE 14 PREPARED 4/24/07 , 14:17:08 City of Bakersfield PAGE 15 P. .R.O.G.R.A.M. .P.R.S. .A.L.S.C.H. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .s. .a.l.a.r.y. .S. .c.h.e.d.u.l.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . P. .O.S.I.T.I.O.N. .#. . . .P.O.S.I.T.I.O.N. . .T.I.T.L.E. . . . . . . . . . . . . . . . . . . .G.R. .A.D.E. . . . . . . . . . . . . . . . . . .S.T. .E.P. .1. . . . . .S.T.E.P. .2. . . . . .S.T.E.P. . .3. . . . .S.T. .E.P. .4. . . . . .S.T.E.P. .5. . . . .O.T. . . 88570 WATER RESOURCES SUPERINTENDENT M18 37.2040 39.0690 41.0220 43.0710 45.2300 D 2 5 0 50 WEBMASTER 220 21.3530 22.4190 23.5390 24.7150 25.9550 A CITY BUDGET PROCESS The City Budget Process as adopted by Policy Resolution No. 81-97 is intended to provide guidelines for the preparation of the annual City budget whereby the City Manager provides to the full City Council an overview of the City's fiscal position and the proposed budget for the upcoming fiscal year. Subsequently, each department head presents an oral presentation of their departments proposed activities, programs and financial requirements. The City Council considers and reviews the budget information as presented by the City Manager and Departments and adopts the budget no later than June 3oth of each year. The Council may at any time refer specific budget issues to the Budget and Finance Committee as necessary. BUDGET CALENDAR JANUARY Budget Kickoff Meeting Departments Receive Budget Preparation Instructions FEBRUARY Internal Service Budget Requests Due Personnel Requests Due MARCH Department Budget Proposals Due APRIL City Manager Budget Hearings with Departments Maintenance District Workshop MAY City Manager Budget Overview to City Council Department Budget Presentations to City Council JUNE CIP Presented to Planning Commission and City Council Maintenance District Public Hearing Public Hearing on City Manager Proposed Budget Council Adopts Operating, CDBG and Bakersfield Redevelopment Agency Budgets CIP Adopted by City Council CITY OF BAKERSFIELD OPERATING BUDGET The City of Bakersfield's Operating Budget is a planning document that mirrors the City Council's established goals and policies. By providing service delivery based on City Council Goals and Policies, City departments ensure that the activities they undertake are those that are articulated by the City Council, and are important to the community. Since the Operating Budget implements Council Goals and Policies, it is only natural that the budget document highlights specific program service objectives and action statements that demonstrate how those goals and policies will be realized. Annually, City departments develop action plans that target progress toward or successful completion of Council goals. While funding for departmental budgets is prepared using a line-item budget -a budget that focuses on what is to be bought -overall decisions and long-range planning efforts are concentrated at the program level. This essentially means that the City Council is looking at service delivery from the perspective of providing viable, quality programs to the citizens of Bakersfield. Structure of the Operating Budaet Within each department category is a hierarchy of what constitutes the Operating Budget. This hierarchy, which is detailed below, provides a basis for how programs are structured and service is delivered to the community. Goal. A goal represents a long-term condition or end result. It describes a vision or philosophy about major social and environmental concerns of the community. Significant Budget Changes. A significant budget change represents a major departure from historical practice or treatment of a program or line item within a department's budget. Action. Plan. An action plan qualitatively or quantitatively identifies the service to be provided. Action plans are specific in nature and directly correlate to achieving the results of the department or division goal. Service Level Indicators. The service level indicators describe in specific and measurable terms the results a program (within a particular division) is expected to achieve within a given time frame. Service level indicators are derived from the action plan. Expenditure Line Items. Within each department are divisions and programs. At these levels is a summary of costs by personnel, general operating and capital expenditures. All governmental fund types, Agency Funds and the Discretely Presented Component Unit are accounted for using the modified-accrual basis of accounting. Under the modified-accrual basis, revenues are recognized when they become measurable and available as net current assets. Taxpayer-assessed gross receipts and sales taxes are considered "measurable" when in the hands of intermediary collecting governments and are, therefore, recognized as revenue at that time. Property taxes are recognized as revenue in the fiscal year during which they are levied, adjusted for amounts considered to be collectible more than 60 days beyond the fiscal year-end or ultimately uncollectible. Those revenues susceptible to accrual are property taxes, franchise taxes, special assessments, licenses, interest revenue and charges for services. Sales taxes collected and held by the state.at year end on behalf of the government also are recognized as revenue. Fines and permits are not susceptible to accrual because generally they are not measurable until received in cash. Expenditures are generally recognized under the modified-accrual basis of accounting when the related fund liability is incurred. An exception is interest on general long-term debt which is not accrued but is recorded when due. Proceeds from issuance of longterm debt are recognized as other financing sources when received, and repayments are recognized as expenditures when due. All proprietary fund types and Pension Trust Funds are accounted for using the accrual basis of accounting. The revenues of these funds are recognized when they are earned, and their expenses are recognized when they are incurred. Unbilled service revenues, which are not significant, are not recognized as revenues. BUDGETS AND BUDGETARY ACCOUNTING The procedures established by the City Council in adopting the budgetary data reflected in the financial statements are as follows: 1. Prior to June 1, the City Manager submits to the City Council a proposed operating budget for the fiscal year commencing commencing the following July 1. The operating budget includes proposed expenditures and the means of financing them. 2. Public hearings are conducted to obtain taxpayer comments. 3. Prior to July 1, the budget is legally enacted through passage of a resolution. I 4. Budgets are adopted for all governmental fund types and are prepared on a basis consistent with generally accepted accounting principles. he City Manager is authorized to transfer budgeted amounts between departments within any fund and approve reductions of budgeted amounts. Since expenditures may not exceed budgeted appropriations at the fund level, any revisions that alter the total appropriations of any fund are to be approved by the City Council. Projects budgeted within the fiscal year but not yet completed can be reappropriated the following fiscal year with City Manager approval. All other unencumbered appropriations lapse at year-end. Encumbered amounts are reappropriated in the ensuing fiscal year budget. INVESTMENT POLICY I The lnvestment Policy of the City of Bakersfield as adopted by Policy kesolution No. 213-03, is intended to provide guidelines for the prudent investmbnt of the City of Bakersfield's temporary idle cash, and outline the policies for maximizing the efficiency of the City's cash management system. I It is the policy of the City to invest public funds in a manner which dill provide safety of principal and at least a market rate of return while meeting the daily cash flow demands of the City. Investments will conform to all statues governing the investment of public funds. ' I The primary goals of the investment policy are: 1 I I To assure compliance with all Federal, State and Local ldws governing the investment of public funds under the control of the City Treasurer. I To maintain the principal value of financial assets and ensure ample liquidity to meet operating expenditures. I Within the constraints of safety and liquidity, and within $he parameters of this Investment Policy generate a market rate of return. The ultimate goal is to enhance the economic status of the City of ~akersfield while protecting the safety of its financial assets. I BUDGET AMENDMENT PROCESS 1. STATEMENT A. Generally, a budget is a financial & including appropriations, which constitute expenditure authorizations with specific limitations as to amount, purpose and time. Administrative budgetary control is exercised within each fund for each department at the object group level. The object groups are as follows: Personnel Services a Operations (Supplies and Services) Council Contingency = Capital Outlay Debt Service Interfund Transfers I!. PROCEDURE A. City Council authorization is required in order to: 1. Increase the total appropriations of a fund. 2. Transfer appropriations from one fund to another fund. 3. Transfer appropriations from Council Contingency Object Account to another object account. 4. Transfer appropriations from capital improvement subprograms to operating subprograms. B. City Manager (or designee) authorization is required in order to: 1. Decrease the total appropriations of a fund. 2. Transfer appropriations from operating subprograms to capital improvement subprograms for funded projects within a fund. 3. Transfer appropriations from one funded capital improvement project to another funded capital improvement project within a fund. 4. Transfer appropriations from one department operating subprogram to another department operating subprogram within a fund. 5. Transfer appropriations from one operating object group to another operating object group within a fund. BUDGET AMENDMENT PROCESS II. PROCEDURE continued C. Department Head (or designee) authorization is required in order to: 1. Transfer appropriations from one operating subprogram to another operating subprogram (within a department), within the same object group and fund. 2. Transfer of appropriations from one object account to another object account within the same object group and subprogram and fund is permitted, but is discouraged. D. Appropriations carried forward from the prior year are to be used only for the purpose originally intended. Therefore, the transfer of carried forward appropriations to current budget appropriation is not permitted. GLOSSARY GLOSSARY ACCOUNTING SYSTEM -The total structure of records and procedures to discover, record, classify, summarize, and report information on the financial position and the results of operations of a government or any of its funds, fund types, or organizational components. ACCRUAL BASIS OF ACCOUNTING -An accounting method that recognizes and reports a financial transaction when it occurs, rather that when cash is paid or received. ACTION PLAN -An action plan qualitatively or quantitatively identifies the service to be provided. Action plans are specific in nature and directly correlate to achieving the department or division goal. ACTIVITY -A specific line of work performed by one or more governmental components for accomplishing a function for which the government is responsible. Examples of activities are public safety and general government. ALLOCATION -(1) A portion of a lump-sum appropriation designated for specific organization units and/or special purposes, activities, or objects. (2) The designated number of full-time regular positions approved for each budget unit. ANNUAL OPERATING BUDGET -An outline of planned governmental expenditures, revenues, activities, programs and objectives for the fiscal year. APPROPRIATION -A legal authorization granted by the Council to make expenditures for specific purposes. ASSET -An economic resource or probable future benefit obtained or controlled by a particular entity as a result of past transactions or events. -BOND -A written promise to pay a specified sum of money, called the face value or principal amount, at a specified date or dates in the future, called the maturity date@), together with periodic interest at a specified rate. A bond is used as a financing instrument for large capital projects. BUDGET CALENDAR -A timetable showing when particular tasks must be completed in order for the council to approve the spending plan before the beginning of the next fiscal year. BUDGET DOCUMENT -The instrument used by the budget-making authority to present a comprehensive financial program to the City Council. Once adopted by the City Council, it becomes the City's Annual Operating Budget. BUDGET HEARING -A public meeting to allow citizens to comment on the proposed budget. BUDGET MANUAL -A booklet prepared by the budget office that includes, at a minimum, the budget calendar, the forms departments need to prepare their budget requests, and a description of the budget process. GLOSSARY (CONTINUED) BUDGET'MESSAGE -A general discussion of the proposed budget as presented by the budget making authority to the City Council, including the primary budget issues and policy changes found in the proposed budget. CAPITAL IMPROVEMENT PROGRAM BUDGET -A plan describing how funds will be accumulated and spent for major infrastructure projects and purchases. CAPITAL OUTLAY -Expenditures used to purchase fixed assets costing more than $1,000. CASH FLOW -The net cash balance at any given point. The treasurer prepares a cash budget that projects the inflow, outflow, and net balance of cash reserves on a daily, weekly, and monthly basis. CASH FUND BALANCE -The cash available for expenditure after all current obligations are paid or encumbered and all current revenues are received. The cash fund balance does not include allowances for depreciation, asset value and other non-cash accounting items. COMPREHENSIVE ANNUAL FINANCIAL REPORT [CAFR) -Usually referred to by its abbreviation, this report summarizes financial data for the previous fiscal year in a standardized format. The CAFR is organized by fund and contains two basic types of information: (1) a balance sheet that compares assets with liabilities and fund balance and (2) an operating statement that compares revenues with expenditures. CONTINGENCY -Funds set aside for unforeseen emergencies or unanticipated uses. DEBT SERVICE -Payment of principal and interest of an obligation resulting from the issuance of bonds or notes. DEBT SERVICE REQUIREMENT -The amount of money required to pay interest. on outstanding debt, serial maturities of principal for serial bonds, and payments required for accumulating monies for future retirement of term bonds. DEPARTMENT -A major organizational unit of the City that has management responsibility for a group of related operations. DEPRECIATION -(1) The process of accounting for expiration in the service life of a fixed asset due to deterioration, inadequacy and obsolescence. This is calculated by taking the cost of the fixed asset less any salvage value, prorated over the estimated service life of the asset. (2) The portion of depreciation charged as an expense during a particular period. This accounting transaction does not involve a cash expense or affect the cash available for operations. ENTERPRISE FUND -A fund established to account for a service which should be paid for by those who use the service. EXPENDITURE -Use of funds for payment of current operating expenses, payment of bonds, and payment of major purchases. GLOSSARY (CONTINUED) -FEES -Monies paid to the government for expenses incurred for providing special services. FISCAL YEAR -The 12-month period, beginning on July 1, to which the annual operating budget applies. At the end of the fiscal year, the government determines its financial position and the results of its operations. FIXED ASSET -An asset of a long-term character such as land, building, machinery, furniture, and other equipment, with a value greater than $1,000 and a useful life of longer than one year. -FUND -A separate accounting of a specific service or purpose. FUND BALANCE -The excess of assets over liabilities at the end of the accounting period; a negative fund balance indicates a fund deficit. GENERAL FUND -The fund used to account for all transactions of a governmental unit which are not accounted for in another fund. GOALS -A long-term condition or end result. It describes a vision or philosophy about major social and environmental concerns of the community. GRANT -A grant is contributions or gifts of cash or other assets from another organization or governmental entity for use in a specific purpose, activity, or facility. INDIRECT COSTS -Those elements of cost necessary in the production of a good or service that are not directly traceable to the product or service. INTERNAL SERVICE FUND -A fund used to account for the centralized financing of goods or services provided by one department or agency to other government departments or agencies, or to other governments, on a cost-reimbursement basis. The City of Bakersfield uses internal service funds for the central administration of insurance and equipment replacement. OBJECTIVE -A readily measurable statement of an expected accomplishment within the fiscal year. OPERATING BUDGET -A budget which applies to all costs other than those for capital improvement projects or major purchases. OPERATING EXPENDITURES -Those costs which are associated with the general operations of departments, exclusive of personnel and capital expenditures. Typical examples include materials and supplies, contractual services, travel, and other miscellaneous expenses. ORDINANCE -A formal legislative enactment by the City Council, which has the full force of law within the boundaries of the municipality unless pre-empted by a higher form of law, such as a state statute or constitutional provision. (See also resolution). PERSONNEL EXPENDITURES -Those costs which are associated with the payment of salaries and benefits to employees. GLOSSARY (CONTINUED) PROGRAM SERVICE OBJECTIVE -The program service objective describes in specific and measurable terms the results a program (within a particular division) is expected to achieve within a given time frame. Program service objectives are derived from City Council Goals. PROGRAMS -Major areas of function within the organizational structure of a division of a department. PROPERTY TAX -A tax levied ,on real property. PUBLIC HEARING -An open meeting regarding proposed operating or capital budget allocations, which provide citizens with an opportunity to voice their views on the merits of the proposals. RESOLUTION -A legislative enactment that has less legal formality than an ordinance and has a lower legal status. REVENUE -Money received from taxes, fees, permits, licenses, interest, inter-governmental sources, and other sources. SERVICE LEVEL INDICATORS -The service level indicators describe in specific and measurable terms the results a program (within a particular division) is expected to achieve within a given time frame. Service level indicators are derived from the action plan. SIGNIFICANT BUDGET CHANGES -A significant budget change represents a major departure from historical practice or treatment of a program or line item within a department's budget. SPECIAL ASSESSMENTS -Compulsory changes levied by a government to finance current or permanent public services to a particular group of persons or properties. TAXES -Charges made against the public by a government to obtain the money it needs to finance its activities. Generally includes property taxes, sales taxes, franchise taxes, business license taxes, real property transfer taxes, and transient occupancy taxes. USER CHARGES -These represent payment for services which would not be provided to the individual if the charge were not paid. THIS PAGE INTENTIONALLY LEFT BLANK