HomeMy WebLinkAboutFY 2005-06 City of Bakersfield Proposed Budget City of Bakersfield
Fiscal Year 2005-2006 Proposed Budget
CITY OF BAKERSFIELD
PROPOSED BUDGET
MAYOR
Harvey L. Hall
CITY COUNCILMEMBERS
Irma Carson
Susan
M. Benham
Mike Maggard
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
CITY OF BAKERSFIELD
Alan Tandy
Virginia Gennaro
Alan Christensen
John
W. Stinson
(vacant)
Florn Core
Ron Fraze
Stan Grady
Gregory Klimko
Donna Kunz
Bill Rector
Raul Rojas
EXECUTIVE STAFF
City Manager
City Attorney
Assistant City Manager
Assistant City Manager
Recreation and Parks Director
Water Resources Manager
Fire Chief
Development Sewices Director
Finance Director
Economic Development Director
Police Chief
Public Works Director
TABLE OF CONTENTS
INTRODUCTION
Letter of Transmittal ............................................................................................. v
Distinguished Budget Presentation Award ....................................................... xxii
Organizational Chart ....................................................................................... xxiv
............................................................................ Employee Incentive Program xxv
General Fund Overview ................................................................................... 1
General Fund Budget Graphs ............................................................................ 2
Operating Funds Graphs
...................................................................................... 3
Operating Funds Distribution Graphs ................................................................... 4
Departmental Appropriations by Fund .................................................................. 5
General Fund
. Appropriations by Department ..................................................... 9
Financial Summaries
. by Fund .......................................................................... 12
.......................................................................................... Estimated Balances 16
............................................................................................. Interfund Transfers 17
Revenue Summary .......................................................................................... 19
................................................................................................ Revenue Graphs 22
General Fund
. Revenues by Source ................................................................. 26
Estimated Revenues by Fund
.......................................................................... 28
LEGISLATIVE ........................................................................................................... 29
................................................................................................................. Mayor 32
City Council ........................................................................................................ 35
EXECUTIVE ............................................................................................................. 37
...................................................................................................... City Manager 40
City Clerk .......................................................................................................... 43
.............................................................................................. Human Resources 46
Risk Management
............................................................................................ 50
Information Technology ...................................................................................... 53
TABLE OF CONTENTS
CONTINUED
Administration .................................................................................................... 60
Accounting and Reporting .................................................................................. 62
Treasury
........................................................................................................... 64
Purchasing
....................................................................................................... 66
CITY ATTORNEY
....................................................................................................... City Attorney 69
Headquarters
..................................................................................................... 78 .............................................................................................. Support Services 80
Operations
.......................................................................................................... 84
Investigations ..................................................................................................... 87
Administration
..................................................................................................... 94 .......................................................................................................... Fire Safety 96 ................................................................................................ Fire Suppression 98
.................................................................................................... Administration 107 ...................................................................................................... Engineering 109
General Services
.......................................................................................... 114 .............................................................................................................. Streets 117 ................................................................ ...................................... Equipment .. 120 ...................................................................................................... Wastewater 123 ...................................................................................................... Solid Waste 126
TABLE OF CONTENTS
CONTINUED
WATER RESOURCES ..................................................................................... 129
Agricultural Water ........................................................................................... 132
Domestic Water ............................................................................................... 134
.............................................................................. RECREATION AND PARKS 137
Administration ................................................................................................ 140
Parks .............................................................................................................. 142
Recreation ....................................................................................................... 144
........................................................................................................... Planning 150
............................................................................................................. Building 152
................................................................................. Community Development 159
.................................................................................... Economic Development 162
............................................................................................ Non-Departmental 167
SPECIM FUNDS
Special Revenue Funds ..................... ... .................................................... 169 ..................................................................................... Internal Service Funds 178 ................................................................................................ Fiduciary Funds 181
............................................................... Capital Improvement Program Funds 183
Debt Service Funds ......................................................................................... 189 ....................................................... Schedule of Long-Term Debt Outstanding 192
........................................................... Schedule of Long-Term Debt Maturities 193
iii
TABLE OF CONTENTS
CONTINUED
ENTERPRISE FUNDS
Enterprise Funds .............................................................................................. 195
REDEVELOPMENT
Redevelopment Funds .................................................................................... 205
CAPITAL IMPROVEMENT PROGRAM (CIP)
Letter of Transmittal ......................................................................................... 215
....................................................................... CIP Summary by Fund Graph 221
Key to Funding Codes ...................................................................................... 222
Graphs .............................................................................................................. 223
.............................................................. Comprehensive Summary of Projects 224
APPENDICES
City Council Goals and Policies ..................................................................... 239
Miscellaneous Statistics ................................................................................ 251
.............................................................................................................. Graphs 253
Personnel Complement List ............................................................................. 254
............................................................................................... Salary Schedule 256
GLOSSARY
.......................................................................................................... Glossary 271
Operating Budget Overview .......................................................................... 273
Budget Calendar .............................................................................................. 274
Budgets and Budgetary Accounting ................................................................. 275
Basis of Accounting .......................................................................................... 276
Budget Amendment Process ............................................................................ 277
BAKERSFIELD
Alan Tandy - City Manager
1,2005
TO: HONORABLE MAYOR AND CITY C
FROM: ALAN TANDY, CITY MANAGER
SUBJECT: FISCAL YEAR 2005-06 PROPOSED BUDGET
/
Introduction /
The City Manager's proposed budget for Fiscal Year 2005-06 follows. The budget reflects
a very strong local economy which is providing growth in primary revenue sources,
including sales and property taxes. That revenue growth is allowing for the restoration of
many positions and service reductions which have been experienced over the last two
fiscal years. It needs to be clear, however, that the rapid community growth is increasing
service demands. Our community is experiencing an unprecedented period of growth and
housing construction, which is impacting our ability to maintain service levels and further
compounds the impact of fiscal actions taken by the State. In many (but not all) cases the
proposed budget allows for restoration of General Fund positions to the level that existed
two years ago. However, the proposed budget, in most cases, does not catch staffing
levels up for increased service demands by the restoration of past cuts.
The past two fiscal years have been dominated by negative news and reductions in
service levels and staffing. Among the State imposed actions that have had to be dealt
with are dramatic increases in pension and workers' compensation costs. Motor vehicle
fees were also interrupted. The State has captured $3.1 million in General Fund revenues
for each of the current and upcoming fiscal years to reduce their budget imbalance. They
have imposed the "triple flip", which switches out '/4 cent of our sales tax and replaces it
with property tax. Property Taxes arrive more slowly than sales taxes, thus creating a
cash flow problem for us. The State has also taken Proposition 42 money for streets and
roads and has "borrowed" gas tax funds that are badly needed for local freeway projects.
Several park grants and booking fee reimbursements have also been interrupted. Finally,
their penchant for not resolving their budget imbalance and for adopting their own budget
very late leaves the City exposed to the possibility that late in the legislative session they
will look to local government monies once again to bail them out.
City of Bakersfield City Manager's Office 1501 Truxtun Avenue
Bakersfield, California 93301
(661) 326-3751 Fax (661) 324-1 850
Honorable Mayor and City Council
2005-06 Proposed Budget - Letter of Transmittal
May 1 1,2005
Page 2
If the City is left alone by the State the strength of our local economy will lead us to
recovery in fairly rapid order. Step #1 in the recovery process took place in mid-year
2004-05 as the Council approved budget amendments which included:
1. Restoration of $1,500,000 to departmental operating budgets utilizing the financial
equity plan. This restored a portion of the reductions experienced by departments
during the past two years and gave some relief by providing staffing for basic
service areas. The following 24 positions were restored: 7 police officer positions;
1 restored Fire Engineer position to provide full staffing for the squad at Station 1; 1
Heavy Equipment Operator, 2 Light Equipment Operators and 3 Service
Maintenance Workers for Street maintenance; 4 Facility Workers and 1 Service
Maintenance Worker for park and landscape maintenance, 1 Program Coordinator
in Recreation, and funds for temporary park Laborer positions; 1 Code Enforcement
Officer; 2 Computer Technicians; and 1 Accountant I position. Funds for temporary
parks maintenance personnel and outside legal services were also added along
with several other miscellaneous operating budget items.
2. Addition of 6 fee supported positions, including an Associate Planner and 5 Building
Inspector positions in the Development Services Department.
3. Addition of a Fire Captain Position as part of a Federal MMRS grant in the Fire
Department.
4. Addition of 2 Heavy Equipment Operators for commercial refuse collection routes in
the Solid Waste Division of Public Works.
5. The transfer of $280,350 in one-time monies to the Equipment Fund for acquisition
of vehicles necessary for the restored positions in the Police Department.
6. The transfer of $1,875,000 from the General Fund and $1,700,000 from enterprise
and other funds to the Self Insurance Fund.
7. The transfer of $1,500,000 in Transient Occupancy Fund monies to the Capital
Outlay fund for street maintenance.
In addition to the above budget adjustments, the Council established a policy to set aside
future one-time eligible monies as a priority for street maintenance as they become
available. Subsequent to that action, the Council authorized the sale of the City's VLF Gap
Loan receivable. The City has received approximately $4.2 million from the sale which has
been designated for additional street resurfacing projects in the current fiscal year.
Honorable Mayor and City Council
2005-06 Proposed Budget - Letter of Transmittal
May 1 1,2005
Page 3
Step #2
In March 2005, based on continuing positive financial trends, staff estimated there would
be sufficient funds to restore approximately $7 million in staffing and related capital costs
in the upcoming FY 2005-06 budget. Staff anticipated that the upcoming budget would
address needs in Council priority areas including public safety (restoring some police
officer and fire department positions), street resurfacing (providing for additional street
materials and restoration of staffing for street resurfacing and repairs), graffiti (adding an
additional graffiti truck and crew), park and landscape maintenance (restoring permanent
and temporary employees for park and landscape maintenance), and code enforcement
(restoring staff).
In order to facilitate the timely implementation of these anticipated budget proposals, staff
proceeded with the advertising and recruitment of positions for the Police Department; Fire
Department; Public Works Department (Streets and Graffiti); Recreation and Parks
Department (Parks) and Development Services Department (Code Enforcement). This
would allow positions to be filled immediately once the budget is adopted and the Fiscal
Year begins on July 1, 2005. Additionally, staff immediately hired additional temporary
employees, including 10 Service Maintenance Workers in the Street Division, 5 Laborers in
the Parks Division, and 1 Code Enforcement Officer in order to address current workload
backlogs in those divisions and until the permanent positions proposed for the 2005-06
budget in those divisions are filled.
The Council approved the transfer of $1,776,000 to the equipment fund to purchase
vehicles and equipment for the additional positions. This included 18 police cars (including
radios and computers); 1 roller steel heavy duty; 1 roller pneumatic; 2 314 ton pick-up
trucks; 2 - 18 cylinder dump trucks; 1 graffiti truck; 1 tilt-bed truck; 3 pick-up trucks with
trailers; and 1 small boom truck . Purchasing the vehicles accelerates our ability to get
employees into the field as soon as possible once the budget has been approved.
The proposed budget implements Step #2 above. In addition, it restores positions as
follows (Step 2 positions shown below in italic):
Information Technoloav: 1 Network Systems Technician, 1 Network Systems Engineer
and 1 GIs Technician position.
CStv Attornev: 1 Assistant City Attorney position.
Finance: 1 Accounting Supervisor position.
Police: 17 Police Officers and 5 Police Dispatcher positions
Fire: 3 Fire Engineers to staff a patrol and 1 Accounting Clerk for Environmental Services.
-
Honorable Mayor and City Council
2005-06 Proposed Budget
- Letter of Transmittal
May 1 1,2005
Page 4
Public Works: 1 Engineering Technician and 1 Civil Engineer Ill for design; 1 Construction
Inspector for the Construction Division; 1 Maintenance Craftworker for Graffiti; 1 Assistant
Superintendent, 2 Heavy Equipment Operators, 2 Light Equipment Operators, and 6
Service Maintenance Workers for Streets Maintenance; 1 Sewer Maintainer II and 1
Service Maintenance Worker for Sewer Maintenance; 1 Accounting Clerk for the Fleet
Division; 1 Accounting Clerk, and 2 Equipment Operators for the Solid Waste Division.
Recreation and Parks: 1 Park Technician, 5 Laborers, 1 Facility Worker, 3 Service
Maintenance Workers, 1 Park Services Technician, and 1 Light Equipment Operator for
the Parks Division
Development Services: 1 GIs Technician and 2 Associate Planners for the Planning
Division; and 1 Civil Engineer 11 1, 2 Code Enforcement Officer 11, and 1 Code Enforcement
Officer 111 for the Building Division.
In all, Steps #1, #2 and #3 will restore 103 positions to the City compliment.
The "Triple Flip" - It's conseauences
The "Triple Flip" was an action imposed by the State Legislature last year. The bottom line
effect to the City of Bakersfield is that the State now captures 25% of our sales taxes. At a
much later point in time, due to collection cycles it backfills the lost revenue with property
taxes. Sales tax is by far our largest revenue and the most timely one received. This
process results in payment of property taxes in January and May each year instead of
monthly sales tax receipts and a similar situation for the vehicle license fees.
Partially because it was needed anyway and partially due to the 'Triple Flip", the proposed
budget includes the following:
1) Cash Basis Reserve - The Cash Basis Reserve is used for the purpose of
placing the City, as nearly as possible, on a cash basis to avoid borrowing for
operating purposes. Additionally, the Cash Basis Reserve acts as a revolving
loan account which makes short term cash advances to other funds that
experience a temporary cash deficit (this is most common for CDBG, ISTEA,
and other reimbursable grants). As a result of the timing of receipts noted above
and growth in the General Fund, the budget increases the Cash Basis Reserve
by $1.25 million.
2) Facilities Reserve - The Facilities Reserve is for funds set aside for major
renovations and repairs to City facilities and is, to some degree, a rainy day
account. The balance in the Facilities Reserve at the beginning of FY 2003-04
was $4.2 million. In FY 2003-04 $1.5 million was utilized to pay for repairs to
canal culverts, and related bridge and street repairs. The balance remaining at
the end of FY 2003-04 is $2.7 million. We budgeted $400,000 in FY 2004-05 to
Honorable Mayor and City Council
2005-06 Proposed Budget
- Letter of Transmittal
May 1 1,2005
Page 5
complete the upgrade of the City Hall HVAC system. The balance for the
Facilities Reserve at the end of
PI 2004-05 was $2.3 million. This budget
increases that amount by $1,450,000 to $3,750,000. Previously these funds
were established in an appropriation account in the Capital Outlay Fund. The
proposed budget recommends that the Facilities Reserve be re-established at
$3.75 million as a formal reservation of fund balance within the Capital Outlay
Fund and will require specific Council action for their future use. These funds
will then be set aside for their intended purpose or, in the event that State
budgetary actions significantly impact the City, the reserve could be available on
a one-time basis as a "bridge" or buffer, to help mitigate those State budgetary
actions.
Departments have worked hard over the past several years to come up with creative
alternatives to address reductions in staffing and programs in order to address Council
priorities. Examples include: the reassignment of and transfer of staff between
departments; shifting of staff from General Fund to enterprise or grant funded positions;
and contracting out services as necessary and appropriate. Additionally, staff in many
departments are assuming and sharing duties due to the loss of personnel in an attempt to
maintain service levels. Staff throughout the organization has been remarkably positive in
their response to this difficult situation.
Despite the challenging budgetary circumstances over the past several years, staff has
continued to pursue ways to provide for maintenance and construction of facilities with
limited resources and staffing consistent with City Council goals and priorities.
Recent accomplishments include development of housing in the downtown; the beginning
of design of Fire Station #5 and police satellite station in south Bakersfield; installation of
red light cameras at six intersections throughout the City to address red light violations;
renovations to the Jefferson Pool; and construction of the 32 acre River Walk Park at
Stockdale Highway and Buena Vista Road using State park grants and park development
fee funds.
Several important community projects and Council priorities are planned to be
accomplished in this budget. 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 funds used on these projects are limited by
their sources to very specific projects and uses and are not available to fund ongoing
General Fund purposes.
Planned significant projects include:
Setting aside funds for future fire stations in the northeast and southwest.
Honorable Mayor and City Council
2005-06 Proposed Budget
- Letter of Transmittal
May 1 1,2005
Page 6
The commitment of Community Development Block Grant Funds for relocation and
construction of the Fire Station #5 1 Police Station project.
Road repair and reconstruction efforts, with over $1 4.0 million designated for street
resurfacing and reconstruction in this budget.
Major transportation projects such as the 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 planned using targeted funds.
Implementation of a coordinated effort of graffiti enforcement utilizing the Police
"GHOST' program, additional staff and equipment resources in the Public Works
Department, and
a Community Prosecutor in the City Attorney's Office.
Efforts to work with major corporations, landowners and developers to facilitate
master planned additions to Bakersfield which will provide for needed public
infrastructure, services and recreational facilities will continue.
We continue to experience strong building and home construction activity locally and the
potential for longer-term future community growth. State Department of Finance figures for
January 2004 show our City population has grown to 279,700.
Additional Cautionarv Notes
The State may still take actions which could significantly impact this budget. The nature
and extent of State actions will not be known for some time due to the extended budget
deliberations which are likely to occur as in past years. Additionally, we can't budget to a
spike in our revenue stream. Although recent revenue increases reflect our current level of
intense activity, they may not result in recurring revenues we can depend on.
BUDGET HIGHLIGHTS
The total proposed appropriations for FY 2005-06 for both operating and capital
expenditures is $379,553,685, including $1 9,626,403 in interfund transfers. Total proposed
appropriations in FY 2005-06 for all City funds reflect an increase of about $65.4 million, or
20.8 percent more than FY 2004-05. About $50 million of the increase is in the Capital
lmprovement budget.
The Operating Budget is proposed at $283,510,585 which reflects a $16,325,866 increase
when compared to FY 2004-05.
The proposed Capital lmprovement Budget is $96,043,100, which is an increase of $49.1
million compared to FY 2004-05. This increase reflects funding for fire stations, significant
Honorable Mayor and City Council
2005-06 Proposed Budget - Letter of Transmittal
May 1 1,2005
Page 7
Transportation Development Fee and Federally funded road 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 permits, State motor
vehicle in-lieu tax, miscellaneous charges for services and interdepartmental charges.
General Fund Revenues are projected at $150,222,000 (including $16,500,000 in
beginning fund balance and transfers). This is an increase of about $17,747,000, or about
13.4% greater than the adopted budget revenues for the 2004-05 fiscal year. Items
contributing to General Fund revenues include: $57.8 million in sales and use taxes, $41.0
million in property tax, $33.9 million in other taxes and fees, and approximately $9 million
in various other revenues. Also, the above figures reflect the $1 4,175,000 of local sales tax
revenue captured and repaid with property tax by the State (Sales Tax Triple Flip). In
addition, the second year of the State capture of Vehicle License Fee revenues of
$3,115,000 is reflected in the budget figures.
Other General Fund revenues have remained stable. Charges for services reflect
increases in building and construction activity and increased services provided by the City
with those user fees.
General Fund Expenditures are projected at $1 50,222,000. This is 13.4% greater than
the FY 2004-05 adopted budget General Fund expenditures of $132,475,000. In addition
to ongoing operating expenses and personnel costs, $200,000 has been set aside for
Council Contingency. These budget increases are primarily the result of PERS rate
increases, general inflationary cost increases, as well as expenditures being funded by
grants and fees.
Capital Improvement Proaram (CIP)
The CIP provides 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.
The proposed CIP budget for PI 2005-06 totals $96,043,100. An itemized listing of
projects recommended for approval and projects included in the Five-Year Plan are
Honorable Mayor and City Council
2005-06 Proposed Budget - Letter of Transmittal
May 1 1,2005
Page 8
presented in the CIP section of this document. A few major or significant projects,
however, are discussed below.
The largest of the proposed CIP projects is the Westside Parkway budgeted at
$25,000,000. This project is the construction of an at-grade separated access controlled
freeway from Heath Road to State Route 99. The funding proposed for this fiscal year is
for construction of the project using ISTEA funds and includes $5,000,000 of State
separation of grade funds. $20 million of the funds budgeted for this project has been
"programmed" in the State Transportation lmprovement Program (STIP) through KernCOG
and the State. The Governor's most recent draft budget again proposes to borrow over a
billion dollars of STIP funds. If the final state budget includes this borrowing, it is unlikely
that the City will actually receive an appropriation from the State for these funds in the
2005-06 fiscal year.
The Bridge Construction at Fairfax Road and State Route 178 project is budgeted at
$1 5,000,000 to construct an interchange at Fairfax Road as well as to extend the State
Route Freeway to east of Fairfax Road. This is a multi-phased project and is necessary to
improve traffic flow in the northeast area. The final phase budgeted in this fiscal year is for
construction of the project and includes state and federal funds. The entire funding for this
project has also been "programmed" in the State Transportation lmprovement Program
(STIP) through KernCOG and the State. If the final state budget includes the borrowing
included in the Governor's draft budget, it is unlikely that the City will actually receive an
appropriation from the State for these funds in the 2005-06 fiscal year.
The Bridge Construction for Allen Road at Kern River project is budgeted at $8,000,000.
Currently, there is no road connection across the Kern River off Allen Road, south of
Stockdale Highway. Due to the rapidly developing area south of the Kern River, this
connection must be completed to improve traffic flow in the area. The total project is
currently estimated to cost $1 1,000,000, however, only $8,000,000 in Transportation
Development funds are available at this time. The project will be designed in fiscal year
2005-06 with construction likely to commence in July 2006. The additional funds needed to
complete the project will be part of the fiscal year 2006-07 capital improvement program.
The Storm DrainIDrainage Study Downtown-Beach Park Phase I project is budgeted at
$2,200,000. The project is to construct a storm drain under 24' street to B Street and
installation of a lift station at the corner of 24th and Oak Street. This project is necessary
because several areas of downtown and south of 21St Street between Oak Street and B
Street experience flooding during periods of rain.
The Chester Avenue Streetscape Phase II - 24th Street to Garces Circle project is
budgeted at $1,975,600. The proposed project will extend the downtown streetscape north
on Chester Avenue from 24' Street and will compliment improvements being made by San
Joaquin Hospital. The project includes the installation of trees, shrubs, median
landscaping, street lighting, furniture, kiosks and trash receptacles.
Honorable Mayor and City Council
2005-06 Proposed Budget - Letter of Transmittal
May 1 1,2005
Page 9
The LNGILCNG Fueling Station project is proposed at $1,763,000 and will be located on
Mount Vernon Avenue, south of State Route 58. This additional fueling station in
southeast Bakersfield will increase the operational efficiency of waste and refuse
collection. This new site will allow refueling of LNG or LCNG vehicles at this site as well as
the corporation yard site.
$1,743,000 is budgeted to pave shoulders on various roads throughout the city. Paved
shoulders will reduce particulate matter 10 dust particles caused by wind generated from
moving vehicles. This project is 88.53% federally funded and 11.45% local Gas Tax
funded.
$1,684,000 is proposed to reconstruct the State Route 99 eastbound to southbound on-
ramp at White Lane to meet current Caltrans standards. During construction of the White
Lane at State Route 99 Overcrossing Widening and Interchange Improvement Project in
August 2003, it was discovered that some of the improvements could not be built to meet
current Caltrans standards without modifications to the eastbound to southbound on-ramp.
Public Works is planning to continue its road repair and reconstruction efforts throughout
the community. $7,271,000 is budgeted for street reconstruction and resurfacing projects
citywide, utilizing a combination of ISTEA and Gas Tax funds. Additionally, $3,500,000
has been budgeted for street resurfacing materials and related costs in the Streets Division
budget in the Gas Tax Fund. These funds, combined with $2,500,000 in Capital Outlay
Funds and $700,000 of Community Development Block Grant funds, will provide about
$1 4.0 million for resurfacing projects city-wide, including block grant eligible areas.
The budget includes $3,420,000 for the relocation of Fire Station #5 and as part of the
reconstruction, the inclusion of Police facilities as part of the building near east White Lane
and Union Avenue in southeast Bakersfield. Fire Station #5 is more than 50 years old, is
non-ADA compliant, is no longer functional, and needs to be moved to improve response
times.
The upgrading of the video scoreboards and video equipment at Rabobank Arena due to
changes in technology and planned replacement of equipment as required to ensure the
facility is operating with state-of-the-art technology. $1,300,000 has been budgeted for this
project.
$646,200 in various park improvement projects are proposed. The budget includes the
Beach Park Tank and Pump Replacement project budgeted at $90,000, to replace a
42,000 gallon water tank and well pump, which is the only water supply to the park.
$150,000 is proposed for purchasing playground equipment citywide to replace individual
component structures and pieces. $1 50,000 is budgeted for contracted tree services for
larger trees and for trees with a height in excess of 50 feet and to handle the backlog of
tree trimming requests. In addition, $256,200 is budgeted for the Westwold Park
playground rehabilitation project.
Honorable Mayor and City Council
2005-06 Proposed Budget - Letter of Transmittal
May 1 1,2005
Page 10
Six additional water wells estimated at $4.98 million are proposed to increase production
capacity due to the steady growth throughout the system.
DEPARTMENT HIGHLIGHTS
In total, the FY 2005-06 proposed budget shows an increase of 103 positions to various
City departments for all funding sources. Of these, 94 positions are funded with General
Fund revenues. 11 of the General Fund positions are funded through development fee
revenues.
Details of major department budget changes are listed below. It is important to note that
although there is some restoration of staffing we are still not back to historical staffing
levels in most cases.
Police. The Police Department is recommending restoration of 17 Police Officer positions.
The budget also includes the addition of 5 Dispatcher positions.
The Police department is continuing to place 8 School Resource Officers on local Middle
Schools utilizing a Department of Justice COPS grant in addition to five others already
assigned for a total of 13.
The total operating budget for Police is $60,465,448, which is an 8.4% increase over FY
04-05. This increase reflects increased PERS rates and the additional positions described
above.
Fire. The proposed Fire Department budget includes the restoration of 3 Engineers to
staff a squad at Fire Station #8 for the upcoming fire season.
The proposed budget also includes funds for the construction of the Station #5 / Police
Substation project in Southeast Bakersfield.
The Fire Department continues to set aside funds for future construction of new fire
stations. An additional $500,000 for the northeast area and $500,000 for the Southwest
area of the City has been budgeted. Including these amounts, a total of $1,500,000 has
been set aside for construction of the northeast station and $800,000 for the southwest
station.
The total operating budget for Fire is $28,624,003, which is a l.OO/~ increase compared to
FY 04-05. This reflects the additional personnel noted above, partially offset by a
reduction in PERS rates for sworn personnel compared to last year.
Public Works. Included in the proposed Public Works budget are 21 new positions. 11 of
the positions are funded by the General Fund. The General Fund positions include a
Maintenance Craftworker I position for Graffiti operations in the General Services Division;
Honorable Mayor and City Council
2005-06 Proposed Budget - Letter of Transmittal
May 1 1,2005
Page 11
2 Heavy Equipment Operators, 2 Light Equipment Operators, and 6 Service Maintenance
Workers in the Streets Division.
The balance of the positions are funded by special revenues. The positions include a
Construction Inspector I and an Engineering Technician I position to be funded by
increased construction inspection and plan checking fees; a Civil Engineer II funded by
Transportation Development Fees; a Service Maintenance Worker and a Sewer Maintainer
II for Sewer Maintenance in the Sewer Fund; an Accounting Clerk for Fleet Services in the
Equipment Management Fund; an Accounting Clerk and a Solid Waste Equipment
Operator in Residential Refuse Services, and a Solid Waste Equipment Operator in
Commercial Refuse Services funded by the Refuse Fund. All additional positions are in
response to growth in service demands and are funded by Development Fees or
Enterprise Funds.
The total operating budget for Public Works is $77,701,835, which is a 12.3% increase
over FY 04-05. This increase reflects increased PERS rates and additional positions noted
above.
Public Works is planning to continue its road repair efforts throughout the community.
$3,500,000 has been budgeted for street resurfacing materials and related costs in the
Streets Division Budget in the Gas Tax Fund. These funds, combined with $2,500,000 in
Capital Outlay Funds, $700,000 of Community Development Block Grant funds and
Federal and State funding will provide over $14.0 million for resurfacing projects citywide.
Also planned is approximately $15.1 million in projects funded with Transportation
Development Fund revenues paid by new development.
Recreation and Parks. The Recreation and Parks Department has experienced
significant reductions over the past two years. This budget includes restoration of some
temporary staffing and recreation programs, as well as restoration of some permanent
staff.
The proposed budget includes 1 Park Technician funded with development fees, 5
Laborers, 1 Facility Worker, 3 Service Maintenance Workers, 1 Park Services Technician,
and 1 Light Equipment Operator funded by the General Fund for the Parks Division.
The Recreation and Parks Department is putting new emphasis on tree maintenance and
education. We propose to add 2 additional tree maintenance positions and pruning
equipment to meet our growing tree maintenance demand. We have also budgeted
$150,000 for contract pruning in the CIP. We plan to have a closer relationship with
representatives of the Tree Foundation of Kern, who will provide training, certification,
grant writing, and other services.
We also plan to increase training and skill levels throughout the department. All
supervisors will be trained as Certified Arborists. Line employees will receive additional
training in the "Citizen Forester" and "Certified Tree Worker" programs. We plan to recruit