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HomeMy WebLinkAbout03/20/19 CC AGENDA HIGHLIGHTSAGENDA HIGHLIGHTS t MARCH 20, 2019 COUNCIL MEETING NOTE: A separate meeting will be called to order at 3:30 p.m., followed by public statements that encourage comments pertaining to closed session matters only. After receiving any public statements, the Council will recess into closed session. Upon conclusion of the closed session, any closed session action will be announced prior to adjournment of the meeting. At 5:15 p.m., the regular meeting will be called to order to address the remainder of the agenda items. CLOSED SESSION REGULAR MEETING - 3:30 p.m. There will be a conference with legal counsel regarding two items of existing litigation. REGULAR MEETING - 5:15 p.m. CONSENT CALENDAR Resolutions Item 8.e. Opposition to Senate Bill 246. During the March 6, 2019 Council meeting, Vice Mayor Parlier requested staff draft a resolution and letter opposing Senate Bill 246. SB 246, if enacted, would place a 10 percent severance tax on barrels of oil produced within the state of California. Opponents of the bill have indicated that if enacted, the bill would have significant impacts on the local oil economy, employment and revenues derived from the industry to pay for local government services. Pursuant to the request by Vice Mayor Parlier, a resolution in opposition of SB 246 has been drafted for Council consideration. REPORTS Item 11.a. Mid -Year Budget Update. Each year, staff provides an update to City revenues and expenditures during the mid -point of the fiscal year. Additionally, staff may recommend proposed changes to the budget during this update. Staff from the City Manager's Office and Finance Department will provide a brief overview showing that General Fund revenues are tracking at or above projections and department expenditures are tracking at or below projections through this point in the year. Based on trends in the residential and commercial development industry, staff is recommending the addition of two construction inspector positions to keep up with inspection demands. These positions will be funded through fees paid by developers for these inspection services. Additionally, due to ongoing and anticipated recruitment needs throughout the organization, staff is also recommending the addition of two positions within the Human Resources Division. No other changes are proposed. Item 11.b. FY 2018-19 Bakersfield Public Safety and Vital Services Measure Proposed Allocations. The Bakersfield Public Safety and Vital Services Measure will go into effect on April 1, 2019. The first revenues from the Measure are anticipated to be received in the current fiscal year. The first full years' worth of revenue will be received starting in FY 2019-20. In an effort to have the most significant impact on enhancing services levels pursuant to the Measure, staff is requesting three allocations in the current fiscal year totaling $14.5 million. All three allocations meet one or more of the 13 priorities contained within the ballot measure. The first allocation of $900,000 will go toward the remodel of the existing City -owned building at 4646 California Ave into a state -certified police academy and training facility. The City currently does not have its own academy facility and based on the goal of hiring 100 new police officers within the next three years, the City cannot fulfill this objective without a standalone facility. This funding will go toward design, demolition and construction activities at this site. When completed, this facility will allow the department to conduct academies, as well as hold trainings that staff previously was sent out of town to attend. The second allocation requests $1.5 million to purchase approximately 20 vehicles. These vehicles are associated with new positions being proposed in FY 2019-20 as part of the Measure implementation plan. By acquiring the vehicles in the current fiscal year, they will be purchased and equipped by the time the new positions are filled after July 10. This will allow the new staff to have an immediate impact throughout the community. This allocation includes vehicles for the Police Department Impact Team, Animal Control, Fire Department and rapid response teams for homelessness issues and parks. The third proposed allocation will place $12 million in a cash reserve, which will then be utilized to change the way the City pays a portion of its annual retirement costs. This change in payment method results in $8.7 million in savings to the taxpayer over a seven year period. The one-time infusion of $12 million would only be used for cash flow purposes and would still be in the bank at the end of each year, as well as at the end of the seven year period. Having additional reserves also improves bond ratings and provides additional resources should a catastrophic event occur. Approved: Alan Tandy, City ManagerAT cc: Department Heads City Manager's File City Clerk's File News Media File Agenda Highlights - March 20, 2019 Council Meeting Page 2