Mid-Year Status & Fiscal Outlook Report

Report 2 Downloads 50 Views
City of Placerville | California | February 8, 2011

1

Introduction  Recap budget challenges  Review City’s economic environment

 Focus on the General Fund  Discuss 2010/2011 year-to-date results  Consider budgetary options & recommendations

 Enterprise Fund Update

2

Budget Challenges  Began General Fund budget development process with an

estimated $217,873 deficit  Fourth consecutive year of declining revenues  Budget Balancing Measures  $100,000 Transfer from the Transportation Fund to support Dura

   

Patcher Machine Activities Trimmed line items in each department Deferred all capital outlay line items Conference, training, and travel line items were minimized to certificate renewal and health and safety type expenses only Minimized overtime budgets to a level accommodating health and safety related events only 3

Budget Challenges (Continued) Budget Balancing Measures (Continued)  Reduced janitorial service costs  Assumed closure of Aquatics Center September 2010  City Employees were instrumental in achieving a balanced budget while keeping the City running smoothly  Froze all existing vacant positions  Deferred salary study adjustments and COLA  Continued 10% salary reduction for City Council and all employees  Implemented second round of early retirement incentives (two employees) 4

Budget Challenges (Continued)  Budget Balancing Measures (Continued)  Pursued reimbursements for State mandated costs  The City Council adopted the Fiscal Year 2010/2011 Operating    

Budget in August 2010 General Fund Budget Balanced and totaled $6,442,608 Maintains essential program delivery to the greatest extent possible Purchased 21 desktop computers for the Police Department with the Homeland Security Grant ($13,188) Plan on exercising $24,248 Edward Byrne JAG Grant to purchase new patrol vehicle

5

Economic Environment  Local Economic Indicators Reveal a stagnant Local

Economy:  Unemployment rates remains high  12.7% in El Dorado County (December 2010) which is static since November  12.5% in Sacramento-Arden-Arcade-Roseville MSA (December 2010) down from 12.6% in November  Unemployment rates have changed slightly over the past twelve months  State unemployment rate is 12.3% (December 2010) 6

Economic Environment (Cont.) Recreation Program Attendance From June to July

Program Gold Bug Park Gold Bug Daily Tours Gold Bug Group Tours Total Aquatics Lap Swim Evening Public Swim Wading Pool Public Swim Water Exercise Extended Day Swim Lessons Jr. Lifeguard Camp Pool Rentals Total Special Interest Classes & Camps Youth Camps Adult Special Interest Youth Special Interest Total Adult Sports Basketball Teams (3 on 3) Basketball Teams (5 on 5) Softball Teams Volleyball Teams Total

June to July 2009

June to Increase/- % Increase/July 2010 Decrease Decrease

3,583 680 4,263

3,766 707 4,473

183 27 210

5.11% 3.97% 4.93%

487 2,007 1,468 7,471 570 2,891 1,065 27 18 16,004

717 1,730 1,258 7,987 625 2,431 883 50 18 15,699

230 -277 -210 516 55 -460 -182 23 0 -305

47.23% -13.80% -14.31% 6.91% 9.65% -15.91% -17.09% 85.19% 0.00% -1.91%

652 102 180 934

584 158 191 933

-68 56 11 -1

-10.43% 54.90% 6.11% -0.11%

9 0 73 8 90

7 0 66 10 83

-2 0 -7 2 -7

-22.22% 0.00% -9.59% 25.00% -7.78%

7

Economic Environment (Cont.) Building Division Activity

7/1/07 – 1/31/08

7/1/08 – 1/31/09

7/1/09 – 1/31/10

7/1/10 – 1/31/11

Difference

Percentage Difference

Building Permits Issued

225

217

219

204

-15

-6.85%

Plan Checks

136

93

86

78

-8

-9.3%

Description

8

Economic Environment (Cont.) Building Division Revenues

Actual Actual as of 2009/2010 01/31/11 Construction Permits Plan Check Fees

$99,622 $27,089

$42,663 $24,053

Forecasted 2010/2011 $65,000 $39,000

9

Economic Environment (Cont.) Engineering Division has experienced mixed results over the past seven months

Fee Type Development Plan Checks Development Permits Grading Plan Checks Grading Permits Boundary Line Adjustment Certificates of Compliance Planned Development Overlay Preliminary Plan Review Site Plan Review Tentative Parcel Map Tentative Subdivision Map Development T&M Accounts Misc. Engineering Fees Encroachment Permits Annual Transportation Permits Transportation Permits

July 1 to December 31, 2009

July 1 to December 31, 2010

6 4 1 2 0 1 0 0 0 0 0 4 33 43 37 13

6 4 0 0 0 0 0 0 0 0 0 8 26 24 40 14 10

Economic Environment (Cont.)  State projecting a $25.4 billion budget deficit through June

30, 2012  State COPS Grant and Booking Fee funding appear to be safe through 6/30/11 but uncertain after that  Proposed elimination of redevelopment as we know it  Anticipate State looking to cities and counties for other ways of balancing its budget

11

Economic Environment (Cont.)  City is on the road to recovery  However, the road is unpaved and rocky

 Fuel prices remain volatile  While Wall Street enjoyed a brighter 2010, Main Street

America continued its recovery at a much slower pace  Job creation and productivity are key  City continues to strive for business attraction/ retention and redevelopment

12

Economic Environment (Cont.)  Sales Tax  Most significant local economic indicator  48% of all General Fund revenues  Between April and September 2010, Sales Tax revenues shrunk by $(17,138) or -1.19% compared to the same time last year  Quarter ended June 30, 2010–Receipts up by $5,277 or 0.76% (year to year)  Quarter ended September 30, 2010-Receipts down by $(22,415) or -2.98% (year to year)  State BOE projects a year-to-year statewide increase of 5.1% for the quarter ended December 2010 13

Economic Environment (Cont.)

 Sales Tax (Continued)  Actual 4th quarter results will be available in mid March  Forecast Placerville’s 4th quarter growth at 0.86%  BOE estimates a year-to-year Statewide increases of 3.9% and a 7% in the 1st and 2nd quarters of 2011 respectively  Forecast Placerville’s 1st and 2nd quarter growth at -0.34% and 2.76% respectively  Based on State estimates and current trends, staff forecasts Placerville’s 10/11 Sales Tax will total $2,909,593 which is $(155,432) or -5.07% below Budget  Projected receipts slightly above the 2000/2001 level 14

Economic Environment (Cont.) City of Placerville Sales Tax Sources As of September 30, 2010 Apparel Stores

0.85%

5.84%

15.62%

General Merchandise Stores

8.04%

Other Retail Stores

7.20% 8.69%

Food Stores Eating & Drinking Places Home Furnishing & Appliances

12.90% Building Material & Farm Implements

18.85%

Auto Dealers & Auto Supplies

1.80% Service Stations

20.22%

All Other Outlets

15

Economic Environment (Cont.) City of Placerville Sales Tax Comparison 2nd and 3rd Quarter

300,000.00

250,000.00

200,000.00

150,000.00

100,000.00

50,000.00

April to September 2010 -

April to September 2009

16

Economic Environment (Cont.) City of Placerville Multi-Year Sales Tax Trend $4,500,000 $4,000,000 $3,500,000 $3,000,000

$2,500,000 $2,000,000 $1,500,000 $1,000,000 $500,000

Actual Sales Tax Revenues Adjusted for Inflation

$0

17

Focus on the General Fund Adopted Budget

Forecast

Revenues Expenditures Net Transfers In

$ 6,442,608 6,634,770 192,162

$ 6,278,921 6,559,345 192,162

Revenues over (under) Expenditures

$

$

-

Under/(Over) Budget $ 163,687 75,425 -

2.54% 1.14%

(88,262)

18

Focus on the General Fund (Cont.) Revenue Type

Adopted Budget

Forecast

Over/(Under)

Sales Tax $ 3,065,025 $ 2,909,593 $ (155,432) All Other Taxes 782,701 717,169 (65,532) Licenses & Permits 65,000 65,000 Intergovernmental Revenues 916,710 831,354 (85,356) Charges for Service 620,449 712,822 92,373 Fines & Forfeitures 263,200 244,209 (18,991) Use of Money & Property 52,523 49,024 (3,499) Other Financing Sources 677,000 749,750 72,750 Total revenues $ 6,442,608 $ 6,278,921 $ (163,687)

-5.07% -8.37% 0.00% -9.31% 14.89% -7.22% -6.66% 10.75% -2.54% 19

Focus on the General Fund (cont.)  As you can see, the City has made significant budgetary adjustments since

2007 in order to adapt to the “new economy” 2006/2007 Actual

2010/2011 Forecast

Revenues Expenditures Net Transfers In

$ 8,386,136 8,173,119 (111,821)

$ 6,278,921 6,559,345 192,162

Revenues over (under) Expenditures

$

$

101,196

Increase (Decrease) $ (2,107,215) -25.13% (1,613,774) -19.74% (303,983) 271.85%

(88,262)

20

Focus on the General Fund (Cont.)  Projected deficit based on current revenue and expenditure   



trends Assumes continuation of 10% pay cut through 6/30/11 Revenue shortfall primarily attributable to the projected $(155,432) shortfall Sales Tax receipts Assumes pay-as-you-go costs for GASB 45 Other Post Employment Benefits (OPEB) Annual Required Contribution (ARC) No contribution for future retiree medical insurance costs

21

Focus on the General Fund (Cont.)  Staff will gather input from the City Council tonight

and continue to analyze the Budget and available options  Staff will return to the City Council in March with more analysis, including the 4th quarter Sales Tax results, and recommendations for eliminating the budget deficit

22

Enterprise Fund Update  Measure H was approved by voters last November  Proceeds will be used to reduce water and/or

wastewater rates  Excess proceeds could be used to accelerate debt repayment and replace worn out lines  City Council is in the process of forming a 5 person oversight committee to recommend uses for Measure H revenues and review related expenditures which will be addressed in a separate report tonight

23

Closing Comments  City Council and management continue to

operate the City in a prudent and responsible manner  Staff anticipates City operating costs to be well within the existing operating budget at year-end

24

Conclusion  Questions?  Comments?

 That’s all folks!

25