HomeMy WebLinkAbout33 Budget FY 2021-22 - ASTAFF REPORT
CITY OF PALM DESERT / PALM DESERT HOUSING AUTHORITY
JOINT CONSIDERATION
FINANCE DEPARTMENT
MEETING DATE: June 24, 2021
PREPARED BY: Janet M. Moore, Director of Finance
REQUEST: Request for Approval of Resolutions Related to the Adoption of the
Fiscal Year 2021/2022 Budget and Capital Improvement Program
Recommendation
By Minute Motion:
1. Conduct a Joint Public Hearing and accept public comment on the proposed
City and Housing Authority Budgets including the Capital Improvement
Program; and
2. Waive further reading and adopt Resolution No. 2021-45 approving the
budget and Capital Improvement Program (CIP) for the Fiscal Year July 1,
2021, through June 30, 2022 and authorizing the use of General Fund
reserves, to the extent needed, to cover any revenue shortfall; and
3. Adopt Resolution No. 2021-46 establishing the Appropriations Limit for the
Fiscal Year 2021/2022; and
4. Waive further reading and adopt Resolution No. HA-103 approving the Palm
Desert Housing Authority Budget for the Fiscal Year July 1, 2021, through
June 30, 2022; and
5. Waive further reading and adopt Resolution No. 2021-47, approving the
Staffing Allocation and Salaries Resolution, setting the FY 2021/2022
Salary Schedules, Salary Ranges and Allocated Classifications; and
6. Approve Out-of-State Travel as listed in attached memorandum.
Executive Summary
The Fiscal Year 2021-2022 proposed budget reflects the extraordinary economic
challenges of the global COVID-19 pandemic and its continued effects on the General
Fund operating budget for FY 2021/2022. The total projected General Fund revenues are
$55,506,104 and estimated expenditures are $62,504,545 resulting in an estimated
shortfall of $6,998,441.
The first year CIP for FY 2021/2022 is estimated to be $48,161,063 and includes projects
and programs to be funded from the General Fund as well as other governmental funds
as noted.
Overall, the proposed budget includes a request to use General Fund Reserves to meet
the City’s current estimated obligations due to the projected revenue shortfall. To the
extent General Fund reserves are needed at the end of the fiscal year, staff will provide
the City Council with recommendations related to which funds could be used to balance
the shortfall at a future City Council meeting.
One of the potential offsets could be the American Rescue Plan Act (ARPA) funds. The
City has already received one-half ($4,991,526) of the ARPA allocation of $9,983,052.
Staff Report
Approval of the Financial Plan for FY 2021/2022
June 24, 2021
Page 2 of 5
The second half will be received in FY 2021-22. These monies may be used for revenue
loss, and thus to the extent there are General Fund expenditures that are eligible uses
(providing further substantiation that revenue was in fact lost and affecting the provision
of City services), the ARPA monies will first be used to offset those expenditures.
Additionally, on an ongoing basis, staff will be reviewing and comparing revenues and
expenditures to prior years to identify trends and will provide updates to the City Council
throughout the year.
Discussion
In May, the City Council held three study sessions to discuss the Capital Project priorities
and the estimated revenues and expenditures for the upcoming FY 2021-22 budget.
General Fund
The General Fund is the primary fund used to finance the daily operations of the City and
includes the cost for Police, City administrative departments, Public Works, Parks,
Planning, Building and Safety, Economic Development and a portion of Fire services.
Revenues
The estimated General Fund revenues of $55,506,104 represent an increase of
approximately $6.9 million (14%) over the current fiscal year’s original revenue estimate
of $48,643,337. The projected revenue reflects an increase in both sales tax and transient
occupancy tax (TOT).
Sales Tax
$19,879,000
Transient
Occupancy Tax
$10,337,678
Property Tax
$7,598,723
State Payments
$4,646,960
Franchises
$3,000,000
Transfers In
$2,932,500
Licenses/Permits
/Fees
$3,359,173 Timeshare
Mitigation Fee
$1,467,905
Interest and
Other Revenue
$2,284,165
GENERAL FUND REVENUE
Fiscal Year 2021-2022
$55,506,104
Staff Report
Approval of the Financial Plan for FY 2021/2022
June 24, 2021
Page 3 of 5
Expenditures
The proposed General Fund operating expenditure budget is $62,504,545 which
represents an approximate increase of $3.7 million (6%) compared to the current fiscal
year’s approved original budget of $58,788,926. The projected expenditures include
increases in public safety costs, personnel services and benefits, and the cost of contracts
due to an increase in the statewide minimum wage.
Overall Budget and Other Funds
The City’s budget (Exhibits 1 and 2) includes many ‘governmental funds’ other than the
General Fund. These other governmental funds include transportation, signalization,
parks, drainage, fire facility fees, housing mitigation, art in public places, child care
facilities, grant funds, recycling, aquatic center, enterprise funds (including Desert Willow
and Parkview Office Complex), capital improvement funds, internal service funds, debt
service, assessment districts, landscape and lighting districts and housing authority
funds. The monies collected and expended from these funds are generally set aside for
the purpose identified by the fund or are restricted to specific uses. The total budget for
other funds is $99,858,295.
Police Services
$20,000,359
Salaries
$11,637,900
Transfers to
Other Funds$8,110,435
Benefits
$4,771,719
PERS Annual
Payment$3,599,540
Professional
Services$3,668,790
Other Operational
Expense$4,026,804
Repairs/Maint
/Utilities$5,234,748 Community
Events/Services$1,454,250
GENERAL FUND EXPENDITURES
Fiscal Year 2021-2022
$62,504,545
Staff Report
Approval of the Financial Plan for FY 2021/2022
June 24, 2021
Page 4 of 5
Public Safety
One of the City’s largest expenditures is the estimated $38 million combined cost for
public safety services. The portion of public safety cost charged to the General Fund is
the largest expenditure from the fund and represents approximately 39% of overall
General Fund expenditures.
The portion of Fire services paid from the Fire Fund is derived from structural fire tax
credits from the County fire taxes assessed by the City, reimbursements from other Cove
Community Cities for the City’s ladder truck, and emergency medical services cost
recovery fees.
The following table illustrates the total public safety request and the funding sources.
Appropriations Limit Calculation
Article XIII B of the California Constitution limits local government appropriations annually.
For FY 2021/2022, Palm Desert’s calculated limit is $154,083,536. The appropriations
requested within the FY 2021/2022 budget, subject to the limit, are well below the
maximum allowed expenditures.
Conclusion
This budget contemplates that the City will continue to contract for services in its efforts
to be fiscally prudent and constrain ongoing costs. Staff will continue to look for areas
where contracting would be a cost savings option or operationally more efficient as well
as continue to reach out to our contract partners to see where costs can be minimized.
During the year, the City Manager may authorize intra- and inter-departmental
adjustments as well as intra- and inter-fund adjustments, in order to meet City needs,
adjust staffing, and be responsive to the timing of projects, provided such adjustments do
not exceed the approved total budget including any approved appropriations throughout
the year. Further, on an ongoing basis staff will be monitoring revenues and expenditures
and will report any new information or needed modifications to the City Council throughout
the year.
Public Safety Total Request General Fund Fire Fund
Police Services 20,000,359$ 20,000,359$
Community Safety 426,300 426,300
Fire Services 17,499,500 4,000,000 13,499,500$
Total Public Safety 37,926,159$ 24,426,659$ 13,499,500$
Distribution
Staff Report
Approval of the Financial Plan for FY 2021 /2022
June 24, 2021
Page 5 of 5
As part of the American Rescue Plan Act the City has received an allocation of $9,983,052
to assist the City with revenue losses due to the COVID-19 pandemic. These monies are
provided to the City in two equal installments between FY 2020-21 and FY 2021-22.
The US Treasury is still finalizing regulations on how `revenue loss' is defined including
how the expenditures justify the definition. So, to the extent there are General Fund
expenditures that are eligible uses (providing further substantiation that revenue was in
fact lost and affecting the provision of City services), the ARPA monies will first be used
to offset those expenditures. Staff is confident that at least a portion of the planned
General Fund expenditures will be eligible.
Therefore, staff recommends the approval of the City's and Housing Authority's FY
2021 /2022 budgets and Capital Improvement Program as presented, as well as the use
of reserves to cover any revenue shortfall. To the extent that General Fund reserves are
needed at the end of the fiscal yearto balance a shortfall, staffwill provide the City Council
with recommendations related to which reserve categories could be used at a future City
Council meeting.
Fiscal Impact
The budget, as presented, results in a revenue shortfall of $6,998,441 and includes a
request, if needed, to use General Fund Reserves, to meet the City's current estimated
obligations due to the projected revenue shortfall after any eligible offsets by ARPA funds.
LEGAL REVIEW
DEPT. REVIEW
FINANCIAL
REVIEW
ASSISTANT
CITY MANAGER
N/A
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Robert W. Hargreaves Janet M. Moore
City Attorney Department Head Janet M. Moore
Director of Finance
City Manager L. Todd Hileman: L. Toad H-i.l,evu,av�,
ATTACHMENTS:
Andy Firestine
Assistant City Manager
1. Resolution No. 2021-45 Budget and Capital Improvement Program
2. Resolution No. 2021-46 Appropriations Limit
3. Resolution No. HA-103 Housing Authority Budget
4. Resolution No. 2021-47 Staffing Allocation and Salaries Resolution
5. Out-of-State Travel Memo CITY COtJNCI�,-ACTiON
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VERIFIED BY:i1�� �,l'Y)!)'1
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Original on file with City Clerk's Office
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[This page has intentionally been left blank.]
RESOLUTION NO. 2021-45
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF PALM DESERT,
CALIFORNIA, ADOPTING THE BUDGET FOR THE FISCAL YEAR JULY
1, 2021 THROUGH JUNE 30, 2022 AND CAPITAL IMPROVEMENT
PROGRAM FOR FISCAL YEARS 2021/2022 THROUGH 2025/2026
WHEREAS, the City Council has received and considered the proposed budget and Capital
Improvement Program submitted by the City Manager on June 24, 2021; and
WHEREAS, following notice duly given, the City Council held a public hearing on the
proposed budget.
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF PALM DESERT,
CALIFORNIA, DOES HEREBY RESOLVE AS FOLLOWS:
Section 1. The amounts shown on Exhibit 1, "Estimated Revenues", are hereby
accepted as the Estimated Revenues for FY 2021/2022 for each fund and revenue source.
Section 2. The amounts shown on Exhibit 2, "Appropriations", are hereby
appropriated to the departments and activities indicated. The City Manager, or his duly appointed
representative, will have the authority to adjust intra- and inter-departmental budgeted line items,
as well as inter-fund transfers to facilitate approved projects, provided such adjustments do not
exceed the total approved budget, including any additional approved appropriations. If the need
arises during the fiscal year, requests for additional appropriations will require approval by
the City Council.
Section 3. The amounts shown on Exhibit 3, "Carryovers”, are hereby accepted as
continuing appropriations to FY2021/2022. The amounts included in this exhibit include all
unexpended amounts including purchase orders and contracts encumbered on or before
June 30, 2021.
Section 4. The City Manager and his designee are hereby authorized, jointly and
severally, to utilize General Fund reserves, to the extent needed, to cover any revenue shortfall
between revenues and appropriations and to do all things which they deem necessary and
proper in order to effectuate the purposes of this Resolution and the transactions contemplated
hereby; and any such actions previously taken by such officers are hereby ratified, confirmed
and approved.
Section 5. That the City Clerk shall certify to the passage and adoption of this
resolution and enter it into the book of original resolutions.
PASSED, APPROVED AND ADOPTED at the regular meeting of the Palm Desert
City Council held on this 24th day of June, 2021, by the following vote, to wit:
AYES:
NOES:
ABSENT:
ABSTAIN:
KATHLEEN KELLY, MAYOR
ATTEST:
M. GLORIA SANCHEZ, ACTING CITY CLERK
CITY OF PALM DESERT, CALIFORNIA
Estimated Revenues
Page 1
EXHIBIT 1
Actual
Adjusted
Budget Projected Budget
CATEGORY / FUND FY 19-20 FY 20-21 FY 20-21 FY 21-22
General Fund (110):
1. Sales tax 18,445,806 15,750,000 18,000,000 19,879,000
2. Transient occupancy tax includes Short Term Rentals *11,681,583 8,514,517 7,100,000 10,337,678
3. Property tax Secured & Unsecured & SARDA Tax Increment 7,280,102 7,395,702 7,754,365 7,598,723
4. Franchises (Cable/Gas/Electric/Waste)3,025,984 3,125,550 3,000,000 3,000,000
5. Timeshare mitigation fee 1,467,905 1,482,583 1,501,624 1,467,905
6. Business license tax 1,038,137 1,200,000 1,000,000 1,038,273
7. Transfers in (AIPP, Traffic Safety, Parkview, Housing, Cannabis)2,472,976 2,526,010 2,620,000 2,932,500
8. Permits/Fess 2,734,902 1,966,875 2,576,050 2,320,900
9. State payments (VLF, Parking Bail, MV Iieu)4,457,447 4,501,600 4,591,788 4,646,960
10. Interest & Rental 4,240,672 641,000 609,000 634,000
11. Reimbursements/Other revenues 3,125,324 1,539,500 2,556,632 1,650,165
Totals General Fund 59,970,838 48,643,337 51,309,459 55,506,104
Fire Tax Fund (230):
1. Structural Fire Tax 6,250,113 6,305,384 6,305,384 6,519,410
2. Prop. A. Fire Tax 2,314,419 2,275,000 2,400,000 2,400,000
3. Reimbursements (Indian Wells & Rancho Mirage share of Ladder Truck, EMS Charges & Others)4,176,516 3,328,000 3,400,000 3,410,000
4. Interest Income 48,066 6,000 25,000 15,000
5. Transfers In fm General Fund 3,000,000 3,800,000 3,600,000 4,000,000
6. Fire Reserves - 5,116 - 39,090
Totals Fire Tax Fund 15,789,114 15,719,500 15,730,384 16,383,500
TOTAL REVENUE- FIRE AND GENERAL FUND 75,759,952 64,362,837 67,039,843 71,889,604
* Includes gross TOT received from operators. TOT rebates are reported as expenditures.
CITY OF PALM DESERT
Fiscal Year 2021-2022
Estimated Revenues
RESOLUTION NO. 2021-45
Estimated Revenues
Page 2
EXHIBIT 1
Actual
Adjusted
Budget Projected Budget
CATEGORY / FUND FY 19-20 FY 20-21 FY 20-21 FY 21-22
CITY OF PALM DESERT
Fiscal Year 2021-2022
Estimated Revenues
Gas Tax Fund (211):
1. Gas Tax & Reimbursments 2,564,671 2,358,200 3,766,143 2,392,339
2. Interest 77,681 8,000 38,500 20,000
Total Gas Tax Fund 2,642,352 2,366,200 3,804,643 2,412,339
Traffic Safety Fund (210):
1. Vehicle Fines 3,979 6,000 1,995 2,500
2. Interest 34 10 5 -
Total Traffic Safety Fund 4,013 6,010 2,000 2,500
Measure A Fund (213):
1. Sales Tax 2,869,576 2,391,000 2,391,000 2,415,000
2. Reimbursements/Intergovernmental 542,263 3,722,000 3,000,000 500,000
3. Interest 470,536 87,000 70,000 100,000
Total Measure A Fund 3,882,375 6,200,000 5,461,000 3,015,000
Housing Mitigation Fund (214):
1. Development Fee 309,046 109,000 85,000 68,600
2. Other Revenue (Loan /Note Receivable)90,000 - - -
2. Interest 98,957 17,000 25,000 15,000
Total Housing Mitigation Fund:498,003 126,000 110,000 83,600
CDBG Block Grant Fund (220):
1. CDBG Block Grant 315,352 851,067 400,000 418,663
2. Reimbursements(Program Income)5,200 - - -
3. Interest 596 - - 100
Total CDBG Fund 321,148 851,067 400,000 418,763
Child Care Program (228)
1. Child Care Fee 50,309 109,000 60,000 56,800
2. Interest 32,376 9,000 3,000 9,000
Total Child Care Fund 82,685 118,000 63,000 65,800
Public Safety Grant Fund (229):
1. Federal Grants - - - -
2. State Grants 66,372 160,000 100,000 200,000
3. Interest/Other Reimbursements 2,491 300 300 500
Total Public Safety Grant Fund 68,863 160,300 100,300 200,500
RESOLUTION NO. 2021-45
Estimated Revenues
Page 3
EXHIBIT 1
Actual
Adjusted
Budget Projected Budget
CATEGORY / FUND FY 19-20 FY 20-21 FY 20-21 FY 21-22
CITY OF PALM DESERT
Fiscal Year 2021-2022
Estimated Revenues
New Construction Tax Fund (231):
1. Development Fee 163,899 220,000 100,000 307,400
2. Interest/Other Reimbursement 45,758 8,106,776 6,092,195 2,095,000
Total New Construction Fund 209,657 8,326,776 6,192,195 2,402,400
Drainage Facility Fund (232):
1. Development Fee 18,020 10,000 60,000 60,000
2. Reimbursements - - - -
3. Interest 20,415 6,000 3,000 3,000
Total Drainage Facility Fund 38,435 16,000 63,000 63,000
Park & Recreation Fund (233):
1. Reimbursements/Fee 4,453 25,000 11,000 25,000
2. Interest / Other Reimbursement 36,648 6,000 3,000 3,000
Total Park & Recreation Fund 41,101 31,000 14,000 28,000
Signalization Fund (234):
1. Development Fee 29,677 10,000 18,000 25,000
2. Reimbursements - Federal Grant - - - -
3. Interest 10,447 1,000 1,000 500
Total Signalization Fund 40,124 11,000 19,000 25,500
Fire Facilities Fund (235):
1. Development Fee 32,713 6,000 43,000 39,400
2. Interest 26,595 7,000 7,000 7,000
Total Fire Facilities Fund 59,308 13,000 50,000 46,400
Waste Recycling Fund (236):
1. Reimbursements 455,550 275,000 275,000 275,000
2.. Interest/Transer In 60,433 10,000 5,000 7,000
Total Waste Recycling Fund 515,983 285,000 280,000 282,000
Energy Independence Program (237):
1. Special Assessments 236,210 350,000 370,000 350,000
2. Reimbursements - - - -
3. Interest 33,702 7,000 7,000 7,000
Total Energy Independence Program Fund 269,912 357,000 377,000 357,000
RESOLUTION NO. 2021-45
Estimated Revenues
Page 4
EXHIBIT 1
Actual
Adjusted
Budget Projected Budget
CATEGORY / FUND FY 19-20 FY 20-21 FY 20-21 FY 21-22
CITY OF PALM DESERT
Fiscal Year 2021-2022
Estimated Revenues
Air Quality Management Fund (238):
1. Air Quality Fee 67,634 64,000 64,000 73,400
2. Interest / Other Reimbursement 140,459 50 50 50
Total Air Quality Fund 208,093 64,050 64,050 73,450
Cannabis Compliance Fund (243):
1. Cannabis Compliance Permit Fee - - - -
2. Cannabis Taxes 2,526,945 2,000,000 2,800,000 2,804,800
3. Interest - 200 - -
Total Cannabis Compliance Fund 2,526,945 2,000,200 2,800,000 2,804,800
Art in Public Places Fund (436):
1. Development Fee 236,212 75,000 185,000 103,700
2. Interest / Other Reimbursement 29,908 5,000 5,000 5,000
Total AIPP Fund 266,120 80,000 190,000 108,700
Golf Course Maint/Improv Fund (441):
1. Time Share Mitigation & Amenity Fees 2,317,442 2,392,615 2,392,621 2,472,369
2. Interest / Other Reimbursement 146,479 30,000 30,000 30,000
Total Golf Course Maint. Fund 2,463,921 2,422,615 2,422,621 2,502,369
Aquatic Center Fund (242):
1. Aquatic Fees 501,514 877,500 190,000 875,000
2. Transfer In (General Fund)794,884 1,026,000 822,474 1,400,500
3. Interest 31,029 3,000 25,000 3,000
Total Aquatic Center 1,327,427 1,906,500 1,037,474 2,278,500
Compensation Benefits Fund (577):
1. Contribution - - - -
2. Interest 58,869 10,000 10,000 10,000
3. Interfund Transfer In 100,000 150,000 150,000 200,000
Total Compensation Benefits Fund 158,869 160,000 160,000 210,000
Retiree Health Fund (576):
1. Contribution - - - -
2. Interest 61,388 4,000 10,000 10,000
3. Interfund Transfer In 1,101,402 951,508 951,508 969,935
Total Retiree Health Fund 1,162,790 955,508 961,508 979,935
RESOLUTION NO. 2021-45
Estimated Revenues
Page 5
EXHIBIT 1
Actual
Adjusted
Budget Projected Budget
CATEGORY / FUND FY 19-20 FY 20-21 FY 20-21 FY 21-22
CITY OF PALM DESERT
Fiscal Year 2021-2022
Estimated Revenues
El Paseo Merchant Fund (271):
1. El Paseo Merchant Fee(Business License) & Interest 208,051 250,000 195,000 250,000
Total El Paseo Fund 208,051 250,000 195,000 250,000
Capital Improvement Fund (400):
1. State, Federal, CVAG Reimb.,Other Rev.48,094 - - -
2. Interest 1,786,337 10,000 250,000 10,000
3. Interfund Transfer In 660,000 400,000 - -
Total Capital Improvement Fund 2,494,431 410,000 250,000 10,000
CP Parks Fund (430):
1. Reimbursements - - - -
2. Interest 1,100 100 100 100
Total Parks Fund 1,100 100 100 100
CP Drainage Fund (420):
1. Interest/ Reimbursements 45,644 5,000 5,000 5,000
Total Drainage Fund 45,644 5,000 5,000 5,000
CP Signal Fund (440):
1. Reimbursements - - - -
2. Interest 2,407 100 100 100
Total Signal Fund 2,407 100 100 100
CP Library Fund (452):
1. General Fund Transfers In (County using former RDA pass through monies)1,815 - - -
Total Library Fund 1,815 - - -
Building Maintenance Fund (450):
1. General Fund Transfer In - - - -
2. Interest 65,369 5,000 5,000 20,000
Total Building Maintenance Fund 65,369 5,000 5,000 20,000
Economic Development Fund (425):
1. Interest, Rent, Transfers & Reimbursments 3,455,453 62,816 1,131,000 928,968
Total Economic Development Fund 3,455,453 62,816 1,131,000 928,968
Capital Bond Fund (451):
1. Interest, Rent & Reimbursments 713,618 100,000 20,000 20,000
Total Capital Bond Fund 713,618 100,000 20,000 20,000
RESOLUTION NO. 2021-45
Estimated Revenues
Page 6
EXHIBIT 1
Actual
Adjusted
Budget Projected Budget
CATEGORY / FUND FY 19-20 FY 20-21 FY 20-21 FY 21-22
CITY OF PALM DESERT
Fiscal Year 2021-2022
Estimated Revenues
Debt Service Funds (Various 300's)
1. Transfer In/Taxes/Interest 5,183,156 4,764,779 4,877,001 4,095,623
Total Debt Service Funds 5,183,156 4,764,779 4,877,001 4,095,623
Parkview Office Complex Fund (510):
1. Rent/Leases of Buildings 1,311,140 1,225,000 1,241,000 1,226,000
2. Other Revenues - - - -
3. Interest 132,424 19,000 50,000 57,000
Total Parkview Office Fund 1,443,564 1,244,000 1,291,000 1,283,000
Equipment Replacement Funds (530):
1. General & Fire Fund Transfer In 575,203 584,000 584,000 600,000
2. Interest 166,997 20,000 50,000 20,000
3. Reimbursements/Other Revenues 80,490 648,000 648,000 -
Total Equip. Replacement Fund 822,690 1,252,000 1,282,000 620,000
Landscape & Lighting Districts (272-299):
1. Transfer In 106,392 100,000 - 110,000
2. Taxes 311,359 318,401 - 328,197
3. Interest 22,179 - - -
Total Landscape & Lighting 439,930 418,401 - 438,197
Business Improvement Districts (272-299):
1. Taxes 534,371 558,536 - 567,278
2. Interest/Transfers 48,531 7,000 - 7,000
Total Business Improvement 582,902 565,536 - 574,278
Desert Willow Golf Fund (520-521):
1. Golf Course 7,394,519 7,813,601 8,288,935 8,822,261
2 Resturant Revenue 2,216,719 2,709,839 1,710,035 2,977,239
3. Interest 26,691 31,637 4,188 1,634
Total Desert Willow Fund 9,637,929 10,555,077 10,003,158 11,801,134
Housing Fund (870):
1. Transfers In & Interest 268,510 319,100 270,750 284,100
Total Housing Fund 268,510 319,100 270,750 284,100
TOTAL ALL CITY FUNDS (Excl. Housing Authority & Housing Asset Funds)117,914,645 110,770,972 110,941,743 110,580,660
RESOLUTION NO. 2021-45
EXHIBIT 2
GF Dept Department Description Proposed FY 2021-22
1104110 City Council 301,064$
1104111 Comm.. Affairs/City Clerk 1,031,110$
1104112 Legislative Advocacy 38,500$
1104114 Elections 500$
1104120 City Attorney 295,473$
1104121 Legal Special Services 301,875$
1104130 City Manager 1,028,920$
1104150 Finance 2,121,700$
1104151 Independent Audit 90,000$
1104154 Human Resources 606,620$
1104159 General Services 5,534,109$
1104190 Information Technology 1,661,810$
1104191 Unemployment Insurance 10,000$
1104192 Insurance 926,000$
1104199 Interfund Transfers 8,110,435$
1104210 Police Services 20,000,359$
1104210 Community Safety 426,300$
1104230 Animal Regulation 341,000$
1104250 PW-St Lighting/Traffic Safety 407,850$
1104300 PW-Administration 2,376,550$
1104310 PW-Street & Maintenance 2,314,725$
1104312 Curb & Gutter-ADA Retrofit 25,000$
1104313 Parking Lot Maintenance 50,000$
1104330 PW-Corp Yard 122,500$
1104331 PW-Auto Fleet/Equipment Maint 240,000$
1104340 DS-Public Bldg-Opr/Maint.585,325$
1104344 DS-Portola Comm Center 151,400$
1104396 NPDES-Storm Water Permit 55,000$
1104416 Community Promotions 1,115,500$
1104417 Marketing 1,585,465$
1104419 Visitors Services 12,930$
1104420 Building & Safety 1,399,750$
1104430 Economic Development 1,001,400$
1104470 Planning & Community Dev.3,036,800$
1104610 Civic Center Park 1,318,900$
1104611 Park Maintenance 1,091,200$
1104614 Landscaping Services 2,080,025$
1104618 City Wide Park Improvements 100,000$
1104800 Contributions 608,450$
Total General Fund 62,504,545$
City of PalmDesert
General Fund Summary by Department
Fiscal Year 2021-2022
RESOLUTION NO. 2021-45
Appropriations EXHIBIT 2
FUND
NUMBER FUND NAME
FY 2021-2022
Appropriations
210 Traffic Safety 2,500
211 Gas Tax 4,550,000
213 Measure A 6,380,000
214 Housing Mitigation Fee 550,000
220 Community Development Block Grant 418,663
228 Child Care Program -
229 Public Safety Police Grant 200,000
230 Prop. A Fire Tax 17,499,500
231 New Construction Tax -
232 Drainage -
233 Park and Recreation 250,000
234 Traffic Signal 75,000
235 Fire Facilities -
236 Waste Recycling 370,000
237 Energy Independence Program 320,840
238 Air Quality Management 63,100
242 Aquatic Center 2,278,500
243 Cannabis Compliance Fund 2,550,000
400 Capital Improvement Fund 2,229,000
420 CIP - Drainage 105,000
425 Economic Development 1,265,575
430 CIP - Park and Recreation 20,000
436 Art in Public Places 533,270
440 CIP - Traffic Signal -
441 Golf Course Capital Management 1,259,000
450 Building Maintenance 2,323,820
451 Property Management/Capital Bonds 22,200,000
452 Library Administration -
870 Housing Set Aside Fund 284,100
65,727,868
Fiscal Year 2021-2022
CITY OF PALM DESERT
Special and Capital Projects Funds
RESOLUTION NO. 2021-45
Appropriations EXHIBIT 2
FUND
NUMBER FUND NAME
FY 2021-2022
Appropriations
Fiscal Year 2021-2022
CITY OF PALM DESERT
301 Assessment Dist 83-1 -
303 Assessment Dist 84-1 534,000
304 Assessment Dist 87-1 191,060
307 Assessment Dist 91-4 Bighorn 25,000
308 Assessment Dist 94-2 Sunterrace/Varner 98,000
309 Assessment Dist 94-3 Merano -
311 Assessment Dist 98-1 Canyons of Bighorn -
312 Assessment Dist 01-1 Silver Spur 163,219
314 Assessment Dist Highlands 118,798
315 Assessment Dist Section 29 1,792,354
351 Assessment Dist 91-1 Indian Ridge 10,000
353 Assessment Dist CFD University Park 2,507,126
391 Palm Desert Finance Authority 150,719
5,590,276
271 El Paseo Merchants 250,000
272-299 Landscape & Lighting Zones 543,126
277, 282, 289 Business Improvement District 514,933
1,308,059
510 Parkview Office Complex 1,516,000
520 Desert Willow Golf Course 9,418,291
521 PD Recreational Facilities Corporation 3,096,448
530 Equipment Replacement 1,383,800
576 Retiree Health 979,935
577 Compensation Benefits 250,000
16,644,474
Total Funds Excluding General & Housing 89,270,677
General Fund Total 62,504,545
Housing Funds Total 10,587,618
Total General & Housing Funds 73,092,163
Total Expenditures 162,362,840
Special Assessment Funds
Enterprise and Internal Service Funds
Debt Services Funds
RESOLUTION NO. 2021-45
CITY OF PALM DESERTCAPITAL IMPROVEMENT PROGRAM
SUMMARY TOTAL Exhibit 3
FY 2021-22
FUND CARRYOVER FD YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 FUND TOTAL
110 General -110 1,066,000 155,000 189,960 553,710 560,121 2,524,791
211 Gas Tax 221,441 211 4,550,000 2,000,000 1,000,000 1,000,000 2,500,000 11,271,441
213 Measure A 8,239,285 213 6,380,000 5,593,000 4,280,000 3,880,000 2,350,000 30,722,285
214 Housing Mitigation -214 550,000 404,500 404,500 409,135 409,135 2,177,270
220 CDBG -220 - - - - - -
228 Childcare Program 1,584,000 228 - - - - - 1,584,000
229 Police Grants -229 32,000 33,000 34,000 35,000 36,000 170,000
230 Fire Fund -230 1,116,000 - - - - 1,116,000
231 New Construction Tax 2,440,099 231 - - - - - 2,440,099
232 Drainage 13,000 232 - - - - - 13,000
233 Park 1,053,333 233 250,000 - - - - 1,303,333
234 Traffic Signal 150,000 234 75,000 75,000 75,000 75,000 75,000 525,000
235 Fire Facilities 1,223,471 235 - - - - - 1,223,471
236 Recycling Fund 27,692 236 - - - - - 27,692
238 Air Quality -238 - - - - - -
242 Aquatic Fund 244,223 242 125,000 287,000 - - - 656,223
243 Cannabis Compliance -243 - - - - - -
301 83-1 Fund -301 - - - - - -
303 84-1 Fund -303 534,000 - - - - 534,000
304 87-1 Fund -304 191,060 - - - - 191,060
307 94-1 Fund -307 25,000 - - - - 25,000
308 94-2 Fund -308 98,000 - - - - 98,000
400 Capital Improvement Fund 122,687 400 2,229,000 980,000 543,000 175,000 229,000 4,278,687
420 CIP - Drainage 407,926 420 105,000 705,000 105,000 105,000 105,000 1,532,926
425 Economic Development -425 410,575 416,442 366,526 - - 1,193,543
430 CIP - Park -430 - - - - - -
436 AIPP 200,000 436 - - - - - 200,000
440 CIP - Traffic Signal -440 - - - - - -
441 Golf Capital -441 1,259,000 391,480 2,007,382 480,219 432,628 4,570,709
450 Building Maint 288,193 450 2,323,820 - - - - 2,612,013
468 University AD -468 - - - - - -
469 Section 29 AD -469 - - - - - -
451 Capital Bond Fund 7,994,500 451 22,200,000 100,000 100,000 - - 30,394,500
510 OC Enterprise 1,497,600 510 - - - - - 1,497,600
520 Desert Willow -520 729,049 287,427 634,017 538,886 506,646 2,696,025
530 Equipment Replacement -530 958,800 594,000 430,000 -235,000 2,217,800
610 Trust Fund -610 - - - - - -
620 81-1 Fund -620 - - - - - -
871 Housing Authority -871 2,953,759 - - - - 2,953,759
873 Housing Asset Fund -873 - - - - - -
Bond Fund Deposit 14,176,739 - - - - - 14,176,739
39,884,189 48,161,063 12,021,849 10,169,385 7,251,950 7,438,530 124,926,966
Unfunded 9,710,000 - - - - - 9,710,000
NOTE: APPROPRIATIONS AND/OR ENCUMBRANCES FOR REBUDGET/CARRYOVER
FROM FISCAL YEAR 2020-21 TO 2021-22
Continuing appropriations are amounts which have been appropriated in FY 2020-21 and are not expected to be expended by
June 30, 2021. These funds are primarily for capital budgets and specific programs
that overlap fiscal years. When authorized continuing appropriation amounts are added to the new fiscal year
budget amounts in order to track all approved spending.
The exact amount of appropriations for carryover in each fund indicated will be determined at the end of the
fiscal year during the preparation of financial statements. This amount will include: 1) purchase orders
and 2) unencumbered balances as of June 30, 2021 for appropriations approved by the City Council through
the last meeting in June, 2021.
AMOUNTS ARE SUBJECT TO CHANGE DUE TO PROJECTS APPROVED BY COUNCIL PRIOR
TO JUNE 30, 2021
**Note: Above amounts are as of January 31, 2021
RESOLUTION NO. 2021-45
CITY OF PALM DESERT Resolution 2021-_________
CAPITAL IMPROVEMENT PROGRAM Exhibit 3
DESERT WILLOW
FY 2021-22 PROJECT ** FY 20/21 FY 21-22 FY 22-23 FY 23-24 FY 24-25 FY 25-26
COST Carryover Year 1 Year 2 Year 3 Year 4 Year 5
Project Name
Fund Account ESTIMATE:Amount Amount Amount Amount Amount
DESERT WILLOW
New Fire Cliff - Golf Course Improvements Golf Capital 4414195-4809200 $1,883,770 - $175,000 - $1,708,770 - -
New Mountain View - Golf Course Improvements Golf Capital 4414195-4809200 $3,301,881 - - - - - $80,000
New Desert Willow Perimeter Landscape Rehabilitation
Phase II Golf Capital 4414195-4809200 $550,000 $550,000 - - - -
Annual Golf Cart Paths Golf Capital 4414195-4809200 Annual Project - $16,000 $16,480 $16,974 $17,484 $18,008
Annual Perimeter Landscaping Golf Capital 4414195-4332000 Annual Project - $220,000 $220,000 $220,000 $220,000 $220,000
Continuing Course & Ground Leases - Principal Only Desert Willow 5200000-2341001 $1,399,284 - $293,901 $74,859 $300,000 $290,000 $250,000 Lease ends FY 22-23, FY 24 to FY 26 are estimated
Continuing Golf Cart Leases - Principal Only Desert Willow 5200000-2341001 $738,949 - $194,648 $112,568 $200,000 $200,000 $190,000 Lease ends FY 22-23. FY 24 to FY 26 are estimated
Annual Clubhouse Improvements-Roofing and Others Golf Capital 4414195-4809200 Annual Project - $70,000 $125,000 $50,000 $17,735 -
Annual Course and Ground Equipment Desert Willow 5204195-4809200 Annual Project - $157,500 - $43,417 - -
Annua l Pro-Shop Equipment Golf Capital 4414195-4809200 Annual Project - - - - - $114,620
Desert Willow 5204195-4809200 Annual Project - $83,000 $100,000 $90,600 $48,886 $66,646
Golf Capital 4414195-4809200 Annual Project - - $11,638 - -
Annual Golf Course Pump & Motor Upgrades Golf Capital 4414195-4809200 Annual Project - $28,000 $30,000 - $225,000 -
Annual Course & Ground Capital Improvements Golf Capital 4414195-4809200 Annual Project - $200,000 - - - -
FUND CARRYOVER YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 FUND TOTAL
110 General - - - - - - -
211 Gas Tax - - - - - - -
213 Measure A - - - - - - -
214 Housing Mitigation - - - - - - -
220 CDBG - - - - - - -
228 Childcare Program - - - - - - -
229 Police Grants - - - - - - -
230 Fire Fund - - - - - - -
231 New Construction Tax - - - - - - -
232 Drainage - - - - - - -
233 Park - - - - - - -
234 Traffic Signal - - - - - - -
235 Fire Facilities - - - - - - -
236 Recycling Fund - - - - - - -
238 Air Quality - - - - - - -
242 Aquatic Fund - - - - - - -
243 Cannabis Compliance - - - - - - -
301 83-1 Fund - - - - - - -
303 84-1 Fund - - - - - - -
304 87-1 Fund - - - - - - -
307 94-1 Fund - - - - - - -
308 94-2 Fund - - - - - - -
400 Capital Improvement Fu - - - - - - -
420 CIP - Drainage - - - - - - -
425 Economic Developmen - - - - - - -
430 CIP - Park - - - - - - -
436 AIPP - - - - - - -
440 CIP - Traffic Signal - - - - - - -
441 Golf Capital - 1,259,000 391,480 2,007,382 480,219 432,628 4,570,709
450 Building Maint - -- - - - -
468 University AD - -- - - - -
469 Section 29 AD - -- - - - -
451 Capital Bond Fund - -- - - - -
510 OC Enterprise - -- - - - -
520 Desert Willow - 729,049 287,427 634,017 538,886 506,646 2,696,025
530 Equipment Replacemen - -- - - - -
610 Trust Fund - -- - - - -
620 81-1 Fund - -- - - - -
871 Housing Authority - -- - - - -
873 Housing Asset Fund - -- - - - -
Bond Fund Deposit - -- - - -
- 1,988,049 678,907 2,641,399 1,019,105 939,274 7,266,734
Unfunded - - - - - - -
Grants, Reimbursements, Agreements,
MOU's etc.
Clubhouse Equipment VariousAnnualPROJECT CATEGORYRESOLUTION NO. 2021-45
CITY OF PALM DESERT Resolution 2021-_________
CAPITAL IMPROVEMENT PROGRAM Exhibit 3
EQUIPMENT REPLACEMENT
FY 2021-22 PROJECT ** FY 20/21 FY 21-22 FY 22-23 FY 23-24 FY 24-25 FY 25-26
COST Carryover Year 1 Year 2 Year 3 Year 4 Year 5
Project Name
Fund Account ESTIMATE:Amount Amount Amount Amount Amount
VEHICLES
Annual Vehicle Leases Equipment Replacement 5304331-4344000 Annual Project - $367,000 $334,000 $96,000 - - Lease end in FY 23-24
Annual Vehicle Leases Maintenance General 1104331-4334000 Annual Project - $36,000 $30,000 $9,000 - - Leases end in FY 23-24
TECHNOLOGY
Continuing IT Master Plan Equipment Replacement 5304190-4404000 $4,135,440 - $347,800 - - - - Last year of IT Master Plan Funding
POLICE AND FIRE
New Ladder Truck 33 Equipment Equipment Replacement 5304220-4403000 $40,000 - $40,000 - - - -
New Paramedic Squad Equipment Replacement 5304220-4403000 $260,000 - - $260,000 - - - County is ordering and will bill City upon
deliverly expected 2022-23.
New Ambulance Purchase/Remounts Equipment Replacement 5304220-4403000 $647,000 - $204,000 - $208,000 - $235,000
New Stryker Gurneys Equipment Replacement 5304220-4403000 $126,000 - - - $126,000 - -
Annual Motorcycle Replacement Police Grants 2294210-4391400 Annual Project - $32,000 $33,000 $34,000 $35,000 $36,000
FUND CARRYOVER YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 FUND TOTAL
110 General - 36,000 30,000 9,000 - - 75,000
211 Gas Tax - -- - - - -
213 Measure A - -- - - - -
214 Housing Mitigation - -- - - - -
220 CDBG - -- - - - -
228 Childcare Program - -- - - - -
229 Police Grants - 32,000 33,000 34,000 35,000 36,000 170,000
230 Fire Fund - -- - - - -
231 New Construction Tax - -- - - - -
232 Drainage - -- - - - -
233 Park - -- - - - -
234 Traffic Signal - -- - - - -
235 Fire Facilities - -- - - - -
236 Recycling Fund - -- - - - -
238 Air Quality - -- - - - -
242 Aquatic Fund - -- - - - -
243 Cannabis Compliance - -- - - - -
301 83-1 Fund - -- - - - -
303 84-1 Fund - -- - - - -
304 87-1 Fund - -- - - - -
307 94-1 Fund - -- - - - -
308 94-2 Fund - -- - - - -
400 Capital Improvement Fund - -- - - - -
420 CIP - Drainage - -- - - - -
425 Economic Development - -- - - - -
430 CIP - Park - -- - - - -
436 AIPP - -- - - - -
440 CIP - Traffic Signal - -- - - - -
441 Golf Capital - -- - - - -
450 Building Maint - -- - - - -
468 University AD - -- - - - -
469 Section 29 AD - -- - - - -
451 Capital Bond Fund - -- - - - -
510 OC Enterprise - -- - - - -
520 Desert Willow - -- - - - -
530 Equipment Replacement - 958,800 594,000 430,000 -235,000 2,217,800
610 Trust Fund - -- - ---
620 81-1 Fund - -- - ---
871 Housing Authority - -- - ---
873 Housing Asset Fund - -- - ---
Bond Fund Deposit - -- - --
- 1,026,800 657,000 473,000 35,000 271,000 2,462,800
Unfunded - - - - - - - PROJECT CATEGORYGrants, Reimbursements, Agreements,
MOU's etc.
RESOLUTION NO. 2021-45
CITY OF PALM DESERT Resolution 2021-_________
CAPITAL IMPROVEMENT PROGRAM Exhibit 3
FACILITIES
FY 2021-22 PROJECT ** FY 20/21 FY 21-22 FY 22-23 FY 23-24 FY 24-25 FY 25-26
COST Carryover Year 1 Year 2 Year 3 Year 4 Year 5
Project Name
Fund Account ESTIMATE:Amount Amount Amount Amount Amount
FACILITIES
New Council Chamber Improvements Capital Improvement Fund 4004161-4400100 $1,500,000 - $1,500,000 - - - -
New Development Services Office Space Improvements Building Maint 4504161-4400100 $1,000,000 $1,000,000
Annual Joslyn Center CIP Projects Building Maint 4504164-4400100 Annual Project - $58,820 - - - -
Continuing Civic Center Photovoltaic Building Maint 4504161-4400100 $250,000 - $250,000 - - - -
Continuing Parkview Office Complex - Building Improvements OC Enterprise 5104361-4400100 $1,497,600 $1,497,600 - - - - -
New Historical Fire Station Painting Improvements Building Maint 4504164-4400100 $90,000 - $90,000 - - - -
Continuing City Childcare Facility Childcare Program 2284800-4400100 $1,584,000 - - - - -
New Civic Center Complex Directional Sign Improvements Building Maint 4504161-4400100 $100,000 - $100,000 - - - -
New New Visitor Center Capital Bond Fund 4514419-4400100 $2,500,000 - $1,200,000 - - - - If c ost over $1.2 million, project would have to be
funded by General Fund Reserves.
Continuing City Hall Roof Improvements Building Maint 4504161-4400100 $190,000 $137,401 - - - -
New He nderson Building Improvements - Surveillance / Roof Building Maint 4504164-4400100 $95,000 - $95,000 - - -
Continuing PSAM Roof / Exterior Paint Building Maint 4504164-4388500 $165,000 $150,792 - - - -
New Historical Fire Station Gate Installation Building Maint 4504164-4400100 $30,000 - $30,000 - - - -
Capital Improvement Fund 4004439-4391503 - $50,000 - - - -
Building Maint 4504439-4400100 - $700,000 - - - -
Continuing PDHA Replacement Expenditures Housing Authority 8714195-4331100 Carryover (1)- $2,953,759 - - - -
Fire Stations
Fire Fund 2304220-4400100 - $90,000 - - - -
Capital Improvement Fund 4004220-4400100 - - $165,000 $162,000 $23,000 $10,000
New Fire Station 71 2021 Tenant Improvements Fire Fund 2304220-4400100 $300,000 - $300,000 - - - -
Fire Fund 2304220-4400100 - $96,000
Capital Improvement Fund 4004220-4400100 - - $100,000 $10,000 $27,000 $73,000
New Fire Station 33 Fuel Tank Shade Structure Fire Fund 2304220-4400100 $100,000 - $100,000 - - - -
Fire Fund 2304220-4400100 - $530,000 - - - -
Capital Improvement Fund 4004220-4400100 - $265,000 $121,000 $75,000 $96,000
Fire Facilities 2354270-4400100 $1,223,471 - - - - -
Unfunded $9,710,000 - - - - -
FUND CARRYOVER YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 FUND TOTAL
110 General - - - - - - -
211 Gas Tax - - - - - - -
213 Measure A - - - - - - -
214 Housing Mitigation - - - - - - -
220 CDBG - - - - - - -
228 Childcare Program 1,584,000 - - - - - 1,584,000
229 Police Grants - - - - - - -
230 Fire Fund - 1,116,000 - - - - 1,116,000
231 New Construction Tax - -- - - - -
232 Drainage - -- - - - -
233 Park - -- - - - -
234 Traffic Signal - -- - - - -
235 Fire Facilities 1,223,471 - - - - - 1,223,471
236 Recycling Fund - - - - - - -
238 Air Quality - - - - - - -
242 Aquatic Fund - - - - - - -
243 Cannabis Compliance - - - - - - -
301 83-1 Fund - - - - - - -
303 84-1 Fund - - - - - - -
304 87-1 Fund - - - - - - -
307 94-1 Fund - - - - - - -
308 94-2 Fund - - - - - - -
400 Capital Improvement Fund - 1,550,000 530,000 293,000 125,000 179,000 2,677,000
420 CIP - Drainage - -- - - - -
425 Economic Development - -- - - - -
430 CIP - Park - -- - - - -
436 AIPP - -- - - - -
440 CIP - Traffic Signal - -- - - - -
441 Golf Capital - -- - - - -
450 Building Maint 288,193 2,323,820 - - - - 2,612,013
468 University AD - - - - - - -
469 Section 29 AD - - - - - - -
451 Capital Bond Fund - 1,200,000 - - - - 1,200,000
510 OC Enterprise 1,497,600 - - - - - 1,497,600
520 Desert Willow - - - - - - -
530 Equipment Replacement - - - - - - -
610 Trust Fund - - - - - - -
620 81-1 Fund - - - - - - -
871 Housing Authority - 2,953,759 - - - - 2,953,759
873 Housing Asset Fund - -- - - - -
Bond Fund Deposit - -- - - -
4,593,264 9,143,579 530,000 293,000 125,000 179,000 14,863,843
Unfunded 9,710,000 - - - - - 9,710,000
New
Annual Fire Station 33 Building Annual Project
Annual
Annual Project
Fire Station 67 Building Annual Project
Grants, Reimbursements, Agreements, MOU's etc.
Continuing New North Sphere Fire Station $10,680,000PROJECT CATEGORYPortola Community Center Renovations $800,000
Bond Funding of $300,000
Annual Fire Station 71 Building
RESOLUTION NO. 2021-45
CITY OF PALM DESERT Resolution 2021-_________
CAPITAL IMPROVEMENT PROGRAM Exhibit 3
OTHER PROJECTS
FY 2021-22 PROJECT ** FY 20/21 FY 21-22 FY 22-23 FY 23-24 FY 24-25 FY 25-26
COST Carryover Year 1 Year 2 Year 3 Year 4 Year 5
Project Name
Fund Account ESTIMATE:Amount Amount Amount Amount Amount
OTHER PROJECTS
Economic Development 4254430-4345000 - $195,575 $201,442 $151,526 - -
Economic Development 4254430-4395000 - $215,000 $215,000 $215,000 - -
General 1104199-4501000 - - - $55,960 $428,710 $435,121
New Desert Surf Capital Bond Fund 4514430-5000203 $20,000,000 - $20,000,000 - - - -
Continuing Artwork for Phase 1 of the San Pablo Corridor Project AIPP 4364650-4400100 $200,000 $200,000 - - - - -
Annual Housing Mitigation Housing Mitigation 2144490-4390101 Annual Project - $400,000 $250,000 $250,000 $250,000 $250,000
Annual Homebuyer Subsidies - BEGIN Program Housing Mitigation 2144494-4390102 Annual Project - $150,000 $154,500 $154,500 $159,135 $159,135
New Invest- Palm Desert General 1104199-4501000 $2,000,000 $830,000 Additional Funding is pending.
New Broadband General $75,000 $75,000
Continuing Living Desert Program Contribution Capital Improvement Fund 4004800-4389800 $1,000,000 - $200,000 $200,000 - - -
Continuing McCallum Theater Program Contribution Capital Improvement Fund 4004800-4389800 $1,200,000 - $200,000 $200,000 $200,000 -
FUND CARRYOVER YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 FUND TOTAL
110 General - 905,000 - 55,960 428,710 435,121 1,824,791
211 Gas Tax - -- -- - -
213 Measure A - -- -- - -
214 Housing Mitigation - 550,000 404,500 404,500 409,135 409,135 2,177,270
220 CDBG - - - - - - -
228 Childcare Program - - - - - - -
229 Police Grants - - - - - - -
230 Fire Fund - - - - - - -
231 New Construction Tax - - - - - - -
232 Drainage - - - - - - -
233 Park - - - - - - -
234 Traffic Signal - - - - - - -
235 Fire Facilities - - - - - - -
236 Recycling Fund - - - - - - -
238 Air Quality - - - - - - -
242 Aquatic Fund - - - - - - -
243 Cannabis Compliance - - - - - - -
301 83-1 Fund - - - - - - -
303 84-1 Fund - - - - - - -
304 87-1 Fund - - - - - - -
307 94-1 Fund - - - - - - -
308 94-2 Fund - - - - - - -
400 Capital Improvement Fund - 400,000 400,000 200,000 - - 1,000,000
420 CIP - Drainage - - - - - - -
425 Economic Development - 410,575 416,442 366,526 - - 1,193,543
430 CIP - Park - -- - - - -
436 AIPP 200,000 - - - - - 200,000
440 CIP - Traffic Signal - - - - - - -
441 Golf Capital - - - - - - -
450 Building Maint - - - - - - -
468 University AD - - - - - - -
469 Section 29 AD - - - - - - -
451 Capital Bond Fund - 20,000,000 - - - - 20,000,000
510 OC Enterprise - -- - - - -
520 Desert Willow - -- - - - -
530 Equipment Replacement - -- - - - -
610 Trust Fund - -- - - - -
620 81-1 Fund - -- - - - -
871 Housing Authority - -- - - - -
873 Housing Asset Fund - -- - - - -
Bond Fund Deposit - -- - - -
200,000 22,265,575 1,220,942 1,026,986 837,845 844,256 26,395,604
Unfunded - - - - - - - PROJECT CATEGORYGrants, Reimbursements, Agreements, MOU's
etc.
Continuing iHUB Rent & Operating Cost Annual Payments
RESOLUTION NO. 2021-45
CITY OF PALM DESERT Resolution 2021-_________
CAPITAL IMPROVEMENT PROGRAM Exhibit 3
PARKS AND LANDSCAPING
FY 2021-22 PROJECT ** FY 20/21 FY 21-22 FY 22-23 FY 23-24 FY 24-25 FY 25-26
COST Carryover Year 1 Year 2 Year 3 Year 4 Year 5
Project Name
Fund Account ESTIMATE:Amount Amount Amount Amount Amount
PARKS AND LANDSCAPING
New Palm Desert Aquatic Center Aquatic Fund 2424549-4400100 $512,000 $244,223 $125,000 $287,000 - - - In additional to the Annual Program
Annual Medians CalSense / Smart Controller Irrigation
Upgrades Capital Improvement Fund 4004388-4400100 Annual Project $54,535 - $50,000 $50,000 $50,000 $50,000
Continuing Dinah Shore Park (North Sphere) - Future Improvements Park 2334670-5000201 $1,000,000 $1,000,000 - - - - Park to be named in the future.
New Installation of Outdoor Fitness Facilities Park 2334618-4400100 $250,000 - $250,000 - - -
FUND CARRYOVER YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 FUND TOTAL
110 General - - - - - - -
211 Gas Tax - - - - - - -
213 Measure A - - - - - - -
214 Housing Mitigation - - - - - - -
220 CDBG - - - - - - -
228 Childcare Program - - - - - - -
229 Police Grants - - - - - - -
230 Fire Fund - - - - - - -
231 New Construction Tax - - - - - - -
232 Drainage - - - - - - -
233 Park 1,000,000 250,000 - - - - 1,250,000
234 Traffic Signal - - - - - - -
235 Fire Facilities - - - - - - -
236 Recycling Fund - - - - - - -
238 Air Quality - - - - - - -
242 Aquatic Fund 244,223 125,000 287,000 - - - 656,223
243 Cannabis Compliance - - - - - - -
301 83-1 Fund - - - - - - -
303 84-1 Fund - - - - - - -
304 87-1 Fund - - - - - - -
307 94-1 Fund - - - - - - -
308 94-2 Fund - - - - - - -
400 Capital Improvement Fund 54,535 -50,000 50,000 50,000 50,000 254,535
420 CIP - Drainage - - - - - - -
425 Economic Development - - - - - - -
430 CIP - Park - - - - - - -
436 AIPP - - - - - - -
440 CIP - Traffic Signal - - - - - - -
441 Golf Capital - - - - - - -
450 Building Maint - - - - - - -
468 University AD - - - - - - -
469 Section 29 AD - - - - - - -
451 Capital Bond Fund - - - - - - -
510 OC Enterprise - - - - - - -
520 Desert Willow - - - - - - -
530 Equipment Replacement - - - - - - -
610 Trust Fund - - - - - - -
620 81-1 Fund - - - - - - -
871 Housing Authority - - - - - - -
873 Housing Asset Fund - - - - - - -
Bond Fund Deposit - - - - - -
1,298,758 375,000 337,000 50,000 50,000 50,000 2,160,758
Unfunded - - - - - - -
Grants, Reimbursements, Agreements,
MOU's etc.PROJECT CATEGORYRESOLUTION NO. 2021-45
CITY OF PALM DESERT Resolution 2021-_________
CAPITAL IMPROVEMENT PROGRAM Exhibit 3
STREETS PROJECTS
FY 2021-22 PROJECT ** FY 20/21 FY 21-22 FY 22-23 FY 23-24 FY 24-25 FY 25-26
COST Carryover Year 1 Year 2 Year 3 Year 4 Year 5
Project Name
STREETS PROJECTS Account ESTIMATE:Amount Amount Amount Amount Amount
STREET PROJECTS-SIGNALIZATION AND INTERSECTION
PROJECTS
New Market Place Drive and Cook Street Traffic Signal
Improvements Measure A $800,000 - - $150,000 $650,000 - -
Continuing Portola and Country Club Advanced Warning System Capital Improvement Fund 4004220-4400100 $75,000 $68,152 - - - - -
Continuing Triple Left Turns at Washington and Fred Waring Measure A 2134617-5000501 $500,000 $150,000 - - - - - LQ Lead Agency. Total Project $1.9M.
Continuing Traffic Operations and Capacity Improvements Measure A 2134250-5000907 $1,000,000 $500,000 $500,000 - - - -
New Haystack Road and Highway 74 Intersection Modification Measure A 2134250-5000904 $300,000 $50,000 $250,000 - - - -
Measure A 2134250-5000906 $302,898 $500,000 $400,000 $400,000 $500,000 $500,000
Traffic Signal 2344250-4400100 $150,000 $75,000 $75,000 $75,000 $75,000 $75,000
STREET PROJECTS-ROADWAY AND BRIDGE PROJECTS
New Roadway Safety Improvements Measure A 2134317-5000908 $2,213,000 - $550,000 $1,663,000 - Possible HSIP grant funding for construction in future
years.
Annual Bridge Inspection & Repair Program Measure A 2134359-4400100 Annual Project $300,000 $100,000 $100,000 $100,000 $100,000 $100,000
Measure A 2134351-4400100 $5,000,000 - - - - -
Bond Fund Deposit 2134351-4400100 $14,176,739 - - - - -
Capital Bond Fund 4514342-4400100 - - - - - -
Measure A 2134342-4400100 $1,250,234 - - - - -
Drainage 2324342-4400100 $13,000 - - - - -
Park 2334342-4400100 $53,333 - - - - -
Recycling Fund 2364342-4400100 $27,692 - - - - -
Gas Tax 2114342-4400100 $71,441 - - - - -
Continuing President's Plaza East & West Parking Lot Rehabilitation Capital Bond Fund 4514692-4400100 $9,532,120 $7,228,863 - - - - - $9M in Capital Bonds Allocated
Measure A 2134341-4400100 - $100,000 - - - -
Capital Bond Fund 4514341-4400100 $320,037 $200,000 - - - -
New El Paseo Mid-Block Crossing Capital Bond Fund 4514679-5000102 $250,000 - $250,000 - - - -
STREET PROJECTS-STORMWATER AND DRAINAGE
PROJECTS
Annual Nuisance Water Inlet/Drywell CIP - Drainage 4204291-4400100 Annual Project $197,560 - - - - -
New Haystack Channel Rehabilitation CIP - Drainage 4204370-5000454 $600,000 - - $600,000 - - -
Annual Catch Basin Cleaning CIP - Drainage 4204314-4332000 Annual Project $168,581 $80,000 $80,000 $80,000 $80,000 $80,000
New White Stone Lane Street Improvements Measure A 2134311-4332000 $80,000 - $80,000 - - - -
Annual Connector Pipe Screen (CPS) Units CIP - Drainage 4204370-4400100 Annual Project $41,785 $25,000 $25,000 $25,000 $25,000 $25,000 State mandated
STREET PROJECTS-BIKE AND PED PROJECTS
Annual Bike Lane Striping Measure A 2134633-5000204 ANNUAL PROJECT $150,000 - $150,000 - $150,000 -
Continuing CV Link Connectors New Construction Tax 2314670-5000202 $1,500,000 $1,500,000 - - - -
Budget based on estimated revenues. If estimate are down,
project will be unfunded. Project Budget has decreased.
Any increase would put project unfunded.
Capital Bond Fund 4514950-4401000 $445,600 - - - -
New Construction Tax 2314670-5000202 $940,099 - - - -
New Monterey Slope Protection at I-10 Capital Improvement Fund 4004355-4332000 $100,000 - $100,000 - - - -
Annual Citywide Bikeway and Pedestrian Improvements Measure A 2134633-5000103 ANNUAL PROJECT $250,000 $250,000 $250,000 $250,000 $250,000 $250,000 Possible ATP grant funding for construction in future years
Continuing
Cooperative Agreement: CVAG to reimburse
100% of Cost. Any cost that CVAG does not
reimburse would be unfunded at this time.
$9,000,000CV Link Project
Continuing Alessandro Improvements Phase II $630,000PROJECT CATEGORYGrants, Reimbursements, Agreements, MOU's
etc.
Annual Traffic Signal and Traffic Signal Interconnect Equipment
Upgrade and Replacement Annual Project
Continuing
RDA Bonds $15 Million Transfer to CVAG.
Project is not fully funded. Staff to provide
options to Council.
Continuing San Pablo Street Improvements, Hwy 111 to Magnesia Falls $21,000,000
Portola Interchange at Interstate 10 $72.1M
RESOLUTION NO. 2021-45
CITY OF PALM DESERT Resolution 2021-_________
CAPITAL IMPROVEMENT PROGRAM Exhibit 3
STREETS PROJECTS
FY 2021-22 PROJECT ** FY 20/21 FY 21-22 FY 22-23 FY 23-24 FY 24-25 FY 25-26
COST Carryover Year 1 Year 2 Year 3 Year 4 Year 5
Project Name
STREETS PROJECTS Account ESTIMATE:Amount Amount Amount Amount AmountPROJECT CATEGORYGrants, Reimbursements, Agreements, MOU's
etc.
STREET PROJECTS-CITYWIDE PROGRAMS AND PROJECTS
Measure A 2134311-4332000 - $3,500,000 $2,380,000 $2,380,000 $2,380,000 $1,000,000
Gas Tax 2114311-4332000 - $2,000,000 $1,000,000 $1,000,000 $1,000,000 $2,500,000
General 1104311-4332000 - - - - - -
Measure A 2134315-4332000 Annual Project $250,903 $300,000 $300,000 $300,000 $300,000 $300,000 Caltrans Compliance
Measure A 2134544-4400100 $85,000 $35,250 - - - - -
Continuing Citywide Pavement Condition Evaluation Gas Tax 2114311-4391505 Gas Tax - SB1 $150,000 $50,000 - - - -
New Cook Street Repaving Project from Gerald Ford to Frank
Sinatra Gas Tax 2114311-4391505 Gas Tax - SB1 - $2,500,000 - - - -
New Portola Avenue Repaving Project between Fred Waring and
Hwy 111 Gas Tax 2114311-4391505 Gas Tax - SB1 - - $1,000,000 - - -
General 1104312-4332000 - $25,000 $25,000 $25,000 $25,000 $25,000
Measure A 2134312-4400100 - $50,000 $50,000 $50,000 $50,000 $50,000
New Neighborhood Traffic Calming Program Measure A 2134565-5000903 Annual Project $200,000 $150,000 $150,000 $150,000 $150,000
New Median Landscape Rehabilitation General 1104614-4337001 Annual Project $100,000 $100,000 $100,000 $100,000 $100,000
New Geodetic Survey Control Network Capital Improvement Fund 4004300-4309000 $79,000 - $79,000 - - - -
Capital Bond Fund 4514256-4400100 - $550,000 $100,000 $100,000 - - $750,000 in Capital Bonds Allocated and
Assessment District Funding
Capital Improvement Fund 4004256-4400100 - $100,000 - - - -
81-1 Fund 6204311-4332000 $271,000 - - - - - - Assessment Bond Funds
83-1 Fund 3014311-4332000 $40,000 - - - - - - Assessment Bond Funds
84-1 Fund 3034311-4332000 $534,000 - $534,000 - - - - Assessment Bond Funds
87-1 Fund 3044311-4332000 $238,000 - $191,060 - - - - Assessment Bond Funds
94-1 Fund 3074311-4332000 $25,000 - $25,000 - - - - Assessment Bond Funds
94-2 Fund 3084311-4332000 $98,000 - $98,000 - - - - Assessment Bond Funds
FUND CARRYOVER YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 FUND TOTAL
110 General - 125,000 125,000 125,000 125,000 125,000 625,000
211 Gas Tax 221,441 4,550,000 2,000,000 1,000,000 1,000,000 2,500,000 11,271,441
213 Measure A 8,239,285 6,380,000 5,593,000 4,280,000 3,880,000 2,350,000 30,722,285
214 Housing Mitigation - - - - - - -
220 CDBG - - - - - - -
228 Childcare Program - - - - - - -
229 Police Grants - - - - - - -
230 Fire Fund - - - - - - -
231 New Construction Tax 2,440,099 - - - - - 2,440,099
232 Drainage 13,000 - - - - - 13,000
233 Park 53,333 - - - - - 53,333
234 Traffic Signal 150,000 75,000 75,000 75,000 75,000 75,000 525,000
235 Fire Facilities - - - - - - -
236 Recycling Fund 27,692 - - - - - 27,692
238 Air Quality - - - - - - -
242 Aquatic Fund - - - - - - -
243 Cannabis Compliance - - - - - - -
301 83-1 Fund - - - - - - -
303 84-1 Fund - 534,000 - - - - 534,000
304 87-1 Fund - 191,060 - - - - 191,060
307 94-1 Fund - 25,000 - - - - 25,000
308 94-2 Fund - 98,000 - - - - 98,000
400 Capital Improvement Fund 68,152 279,000 - - - - 347,152
420 CIP - Drainage 407,926 105,000 705,000 105,000 105,000 105,000 1,532,926
425 Economic Development - - - - - - -
430 CIP - Park - - - - - - -
436 AIPP - - - - - - -
440 CIP - Traffic Signal - - - - - - -
441 Golf Capital - - - - - - -
450 Building Maint - - - - - - -
468 University AD - - - - - - -
469 Section 29 AD - - - - - - -
451 Capital Bond Fund 7,994,500 1,000,000 100,000 100,000 - - 9,194,500
510 OC Enterprise - - - - - - -
520 Desert Willow - - - - - - -
530 Equipment Replacement - - - - - - -
610 Trust Fund - - - - - - -
620 81-1 Fund - - - - - - -
871 Housing Authority - - - - - - -
873 Housing Asset Fund - - - - - - -
Bond Fund Deposit 14,176,739 - - - - - 14,176,739
33,792,167 13,362,060 8,598,000 5,685,000 5,185,000 5,155,000 71,777,227
Unfunded - - - - - - -
Annual ADA Curb Ramp Modifications Annual Project
Annual Undergrounding Utilities Annual Project
Annual Street Resurfacing Program $3.5M Annually
These funds are City's local share. Local share of
Measure A Funds can be spent on maintenance.
CVAG Measure A funds are restricted in terms of
maintenance.
New Street Resurfacing- Assessments District
Annual Citywide Street Striping and Lane Improvements
RESOLUTION NO. 2021-45
RESOLUTION NO. 2012-46
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
PALM DESERT, CALIFORNIA, ESTABLISHING THE
APPROPRIATIONS LIMIT FOR THE FISCAL YEAR 2021/2022
WHEREAS, the voters approved the Gann Spending Limitation Initiative (Proposition
4) on November 6, 1979, adding Article XIII B to the Constitution of the State of California
to establish and define annual appropriation limits on state and local government entities;
and
WHEREAS, Chapter 120-5 of the Revenue and Taxation Code Section 7910 (which
incorporates California Senate Bill 1352) provides for the implementation of Article XIII B by
defining various terms used in this Article and prescribing procedures to be used in
implementing specific provisions of the Article, jurisdiction of its appropriations limit; and
WHEREAS, the required calculation to determine the Appropriations Limit for FY
2019/2020 has been performed by the Finance Department based on available information
and is on file with the Finance Department and available for public review; and
WHEREAS, Finance staff will recalculate the Appropriations Limit for respective
fiscal periods including FY 2021/2022, as soon as information regarding the percentage
changes in the local assessment roll due to additional local nonresidential new construction
is made available by the Riverside County Assessor’s office.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Palm
Desert, California, that the City of Palm Desert Appropriations Limit is hereby established
as $154,083,536 for FY 2021/2022.
PASSED, APPROVED AND ADOPTED at the regular meeting of the Palm Desert
City Council held on this 24th day of June 2021, by the following vote, to wit:
AYES:
NOES:
ABSENT:
ABSTAIN:
________________________________
KATHLEEN KELLY, MAYOR
ATTEST:
________________________________
M. GLORIA SANCHEZ, ACTING CITY CLERK
CITY OF PALM DESERT, CALIFORNIA
CITY OF PALM DESERT
FISCAL YEAR 2021-2022
APPROPRIATIONS LIMIT CALCULATION
Article XIII B of the California Constitution requires adoption of an annual appropriation limit. The original base
year limit was adopted in FY 1978-79 and has been adjusted annually for increase by a factor comprised of the
percentage change in population combined with either the percentage change in California per capita personal
income or the percentage change in local assessment roll due to the addition of local nonresidential new
construction. The changes in the local assessment roll due to additional local nonresidential new construction for
current and prior periods have not been available from the County Assessor's office.
On November 1988, voters approved Proposition R which increased the limit to $25,000,000. It expired in
November 1992. The FY 1993-94 limit was calculated with prior years re-calculated to reflect the expiration of the
$25,000,000 limit.
AMOUNT SOURCE
A.2020-21 APPROPRIATION LIMIT 144,763,120 PRIOR YEAR'S CALCULATION
B.ADJUSTMENT FACTORS
1.POPULATION %
POPULATION % CHANGE 0.67 STATE DEPT OF FINANCE
POPULATION CONVERTED TO RATIO (0.67+100)/100 1.0067 CALCULATED
2.INFLATION %
USING % CHANGES IN CALIF PER CAPITA PERSONAL INCOME
PER CAPITA % CHANGE 5.73 STATE DEPT OF FINANCE
PER CAPITA CONVERTED TO RATIO (5.73+100)/100 1.0573 CALCULATED
3.CALCULATION OF FACTOR FOR FY 21-22 1.0644 B1*B2
C.2021-22 APPROPRIATIONS LIMIT BEFORE ADJUSTMENTS 154,083,536 B3*A
D.OTHER ADJUSTMENTS 0 CALCULATED
E.2021-2022 APPROPRIATIONS LIMIT 154,083,536 C+D
F.APPROPRIATIONS SUBJECT TO LIMIT 43,955,984 CALCULATED
G.OVER/(UNDER) LIMIT (110,127,552)F-E
RESOLUTION NO. 2012-46
RESOLUTION NO. HA-103
A RESOLUTION OF THE PALM DESERT HOUSING AUTHORITY OF PALM
DESERT, CALIFORNIA, ADOPTING THE HOUSING AUTHORITY’S
BUDGET FOR THE FISCAL YEAR JULY 1, 2021 THROUGH JUNE 30, 2022
WHEREAS, the Housing Authority has received and considered the proposed budget
submitted by the Executive Director on June 24, 2021; and
WHEREAS, after notice duly given, the Housing Authority held a public hearing on the
proposed budget.
NOW, THEREFORE, THE PALM DESERT HOUSING AUTHORITY BOARD OF
PALM DESERT, CALIFORNIA, DOES HERBY RESOLVE AS FOLLOWS:
Section 1. The amounts shown on Exhibit A Section 1, "Estimated Revenues," are
hereby accepted as the Estimated Revenues for FY 2021/2022 for each fund and
revenue source.
Section 2. The amounts shown on Exhibit A Section 2, "Appropriations," are
hereby appropriated to the departments and activities indicated. The Executive
Director, or his duly appointed representative, will have the authority to approve intra-
and inter-departmental budgeted line item variations; additional appropriations will be
specifically approved by further Housing Authority action during the 2021/2022 fiscal
year as the need arises.
Section 3. The amounts shown on Exhibit A Section 3, "Continuing Appropriations,
Existing Capital Projects," are hereby accepted as continuing appropriations to
FY 2021-22. The amounts included in this exhibit include all unexpended amounts
from purchase orders and contracts encumbered by June 30, 2021.
PASSED, APPROVED AND ADOPTED at the regular meeting of the Palm Desert
Housing Authority held on this 24th day of June, 2021, by the following vote, to wit:
AYES:
NOES:
ABSENT:
ABSTAIN:
_________________________________
KATHLEEN KELLY, CHAIRMAN
ATTEST:
________________________________________
M. GLORIA SANCHEZ, ACTING SECRETARY
CITY OF PALM DESERT, CALIFORNIA
RESOLUTION NO. HA-103 Exhibit A
Housing Authority Revenue, Appropriations and Continuing Appropriations
Page 1
Section 1
Budget
Estimated Revenues FY 21-22
Housing Authority Fund (871):
Rent Apartments 7,250,001
Reimbursement/Transfers/Interest 50,000
Total Housing Authority Fund 7,300,001
Housing Asset Fund (873):
Reimbursement/Transfers/Interest 98,000
Total Housing Asset Fund 98,000
Total Revenue - Housing Authority Funds 7,398,001
Section 2
Budget
Appropriations FY 21-22
Housing Authority Operations FD 871 333,150
Housing Authority Apartments FD 871 6,292,959
Replacement Reserve Expense FD 871 2,953,759
Transfer Out to Housing Administration Fund 870 FD 871 284,100
Housing Asset Fund FD 873 48,650
Total Housing Authority Appropriations *9,912,618
Section 3
Budget
Capital Improvements & Continuing Appropriations FY 21-22
Capital Improvement Budget FD 873 675,000
Continuing Appropriations -
Total Housing Authority Capital & Continuing Appropriations *675,000
PALM DESERT HOUSING AUTHORITY
Fiscal Year 2021-2022
*These amounts will only be expended to the extent there are monies available from the prior
year encumbrances, established reserve funds, repayments of loans, sales of homes, etc.
RESOLUTION NO. 2021-47
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF PALM DESERT,
CALIFORNIA, RESCINDING AND REPLACING RESOLUTION NO.
2021-12, ADOPTING AUTHORIZED CLASSIFICATIONS, ALLOCATED
POSITIONS, SALARY SCHEDULE AND SALARY RANGES INCLUDED
HEREIN AND ATTACHED AS “EXHIBIT A” EFFECTIVE JULY 1, 2021.
WHEREAS, the City of Palm Desert identifies employees by classifications and
groups for the purpose of salary and benefit administration; and
WHEREAS, the City of Palm Desert has met and conferred in good faith with the Palm
Desert Employees Organization (PDEO) in accordance with the Meyers-Milias-Brown Act
and the City’s Employer-Employee Relations Ordinance; and
WHEREAS, the City of Palm Desert has reached agreement and entered into a
memorandum of understanding with the employees represented by the PDEO, for the period
of July 1, 2017 through June 30, 2022 and Exhibit A is consistent with this agreement;
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
PALM DESERT AS FOLLOWS:
SECTION I - SALARY SCHEDULE, RANGES & ALLOCATED POSITIONS AND
AUTHORIZED CLASSIFICATIONS
The City of Palm Desert’s Personnel System, Section 2.52 of the Palm Desert Municipal Code
prescribes specific terms for appointment and tenure of all City employees. Exhibit A contains
the tables of allocated classifications, positions and salary ranges authorized effective
July 1, 2021.
The City Manager is hereby authorized to modify the Allocated Classifications, Positions and
Salary Schedule during the Fiscal Year 2021-2022 for modifications the City Manager
determines are reasonably necessary or appropriate for business necessity including, without
limitation, the implementation of title and responsibility changes, any minimum wage laws,
use of over-hires for training, limited term student internships and modification of vacant
positions in so far as such modifications do not exceed the adopted 2021-2022 budget.
SECTION II – PERSONNEL GROUPS/DESIGNATIONS
The City assigns classifications to designated groups for the purposes of defining exempt
status, benefits allocation and purchasing authority. These classifications, (listed in the table
below), are categorized as follows:
RESOLUTION NO. 2021-47
Page 2
Title
Exempt
Group
Executive
Contract At Will
City Manager X Yes Yes
Assistant City Manager X Yes Yes
City Clerk X Yes Yes
Director of Development Services X Yes Yes
Director of Finance/City Treasurer A No No
Director of Administrative Services A No No
Director of Public Works X Yes Yes
Director of Economic Development A No No
Accounting Manager B No No
Assistant Engineer B No No
Assistant Planner B No No
Associate Planner B No No
Building Official B No No
Code Compliance Supervisor B No No
Deputy City Treasurer B No No
Deputy Director of Development Services B No No
Deputy Director of Public Works B No No
Deputy Finance Director B No No
Environmental Programs -Support Serv Mgr B No No
Finance Manager B No No
Information Systems Manager B No No
Landscape Supervisor B No No
Maintenance Services Manager B No No
Management Analyst B No No
Permit Center Supervisor B No No
Principal Planner B No No
Project Manager B No No
Public Affairs Manager B No No
Risk Manager B No No
Senior Engineer B No No
Senior Management Analyst B No No
Senior Planner B No No
Streets Maintenance Supervisor B No No
Supervising Plans Examiner B No No
Transportation Planner B No No
Salary Resolution June 24, 2021
Page 2
Group X: Executive Contract Positions:
The classifications designated as Group X, Executive Contract, have the highest level of
executive responsibility and authority; these positions are governed by individual employment
agreements.
Group A: Directors and Department Heads
The classifications designated as Group A have a higher level of responsibility and authority
and they are exempt from overtime provisions as defined by the Fair Labor Standards Act
and set forth in the Personnel Rules and Regulations, Section 2.52.305. They may be At Will
and governed by employment agreements. Among other things, these positions require
spending numerous extra hours at meetings, conferences, and work.
Group B: Mid-Management/Professional
The positions classifications as Group B are managerial, supervisorial, or professional in
nature and they are exempt from overtime provisions as defined by the Fair Labor Standards
Act and set forth in the Personnel Rules and Regulations, Section 2.52.305. Among other
things, these positions require spending occasional extra hours at meetings, conferences,
and work.
Purchasing Authority Groups
The City Manager, pursuant to PDMC Chapter 3.30.020 (C) and 3.30.030 (A) may set
purchasing limits and thresholds. These limits may be set by this resolution, an administrative
purchasing policy established by the City Manager, or an annual memorandum from the City
Manager to the Finance Director.
PASSED, APPROVED AND ADOPTED by the Palm Desert City Council this 24th day of June
2021 by the following vote, to wit:
AYES:
NOES:
ABSENT:
ABSTAIN:
____________________________
KATHLEEN KELLY, MAYOR
ATTEST:
__________________________________
M. GLORIA SANCHEZ, ACTING CITY CLERK
CITY OF PALM DESERT
RESOLUTION NO. 2021-47
Salary Resolution June 24, 2021
FY 2021-2022
City of Palm Desert
Allocated Positions
Classification
Allocated
Positions
Tier 1
Before
6/30/2018B
Tier 2
After
7/01/2018
Exempt
Status Notes:
City Manager 1 1 CM Exempt
Assistant City Manager 1 72 Exempt
Sr. Management Analyst 1 44 Exempt
Executive Assistant 1 35 Non-Exempt
4130 4
Information Technology
Information Systems Manager 1 59 Exempt
Information Systems Administrator 4 40 Non-Exempt
4190 5
Human Resources
HR Manager 1 59 Exempt
Management Analyst 1 40 Exempt
4154 2
City Clerk 1 59 Exempt
Deputy City Clerk 1 44 Non-Exempt
Management Specialist II - City Council 1 113 32 Non-Exempt B
Records Coordinator 1 38 Non-Exempt
Office Specialist I/II 3 14/18 Non-Exempt
4111 7
Total City Manager 18
Finance
Director of Finance/City Treasurer 1 145 69 Exempt B
Deputy Director of Finance 1 59 Exempt
Accounting Manager 1 53 Exempt
Finance Manager 1 53 Exempt
Deputy City Treasurer 1 127 44 Exempt B
Senior Management/Management Analyst 1 40/44 Exempt
Accountant 1 123 40 Exempt B
Management Specialist II 1 113 32 Non-Exempt B
Accounting Technician/Specialist 2 118 28/32 Non-Exempt B
Accounting Technician 3 118 28 Non-Exempt B
4150 13
ADMINISTRATIVE SERVICES
Director of Administrative Services 1 139 64 Exempt B
Risk Manager 1 50T1 50 Exempt B
Mgmt Specialist I/II 2 113 28/32 Non-Exempt B
4159 4
Total Finance and Administrative Services 17
Salary Grade
CITY MANAGER
City Clerk
FINANCE AND ADMINISTRATIVE SERVICES
Page 1 of 4 Effective July 1, 2021
RESOLUTION NO. 2021-47 EXHIBIT "A"
FY 2021-2022
City of Palm Desert
Allocated Positions
Classification
Allocated
Positions
Tier 1
Before
6/30/2018B
Tier 2
After
7/01/2018
Exempt
Status Notes:
Salary Grade
Director of Economic Development 1 137 62 Exempt B
Senior Management Analyst 1 44 Exempt
Management Analyst - Business Advocate/Art 1 123 40 Exempt B
Management Specialist II - Econ. Dvlpt.1 114 32 Non-Exempt B
4430 4
Public Affairs
Public Affairs Manager 1 129 50 Exempt B
Management Analyst - Events 1 40 Exempt
Management Analysit - Communications Coord 1 40 Exempt
Management Analysit - Digital Strategies Coord 1 40 Exempt
Office Specialist I/II 1 104 14/18 Non-Exempt B
4417 5
Art in Public Places
Management Specialist II - Public Art 1 113 32 Non-Exempt B
1
Total Economic Development 10
Community Development
/Planning/Engineering
Director of Development Services 1 69 Exempt
Dep Dir of Development Services 1 59 Exempt
Management Analyst (Contracts - Parks)1 40 Exempt
Management Specialist II - Comm. Dvpt.1 113 32 Non-Exempt B
Senior Planner 1 46 Exempt
Associate Planner - OR -2 127 40 Exempt B
Assistant Planner 36 Exempt
Land Development Technician 1 125 38 Non-Exempt B
Management Specialist I - Comm. Dvpt.1 28 Non-Exempt
4470 9
Building & Safety
Building Official 0*59 Exempt C
Supervising Plans Examiner 1 123 46 Exempt B
Plans Examiner 1 36 Non-Exempt
Building Inspector I/II 4 114 31/35 Non-Exempt B
Management Specialist I/II - B&S 1 28/32 Non-Exempt
Office Specialist I/II 1 104 14/18 Non-Exempt B
4420 8
DEVELOPMENT SERVICES
ECONOMIC DEVELOPMENT
Page 2 of 4 Effective July 1, 2021
EXHIBIT "A"RESOLUTION NO. 2021-47
City of Palm Desert
Allocated Positions
Classification
Allocated
Positions
Tier 1
Before
6/30/2018B
Tier 2
After
7/01/2018
Exempt
Status Notes:
Salary Grade
Code Compliance
Code Compliance Supervisor 1 123 46 Exempt B
Code Compliance Officer I/II 4 118 27/31 Non-Exempt B
Management Specialist II - Code Compliance 1 113 32 Non-Exempt
Office Specialist I/II - Business License 1 104 14/18 Non-Exempt B
4470 7
Palm Desert Permit Center
Permit Center Supervisor 1 46 Exempt
Permit Specialist I/II 3 28/32 Non-Exempt
4470 4
Affordable Housing
Sr. Management Analyst 1 127 44 Exempt B
Management Specialist II 1 32 Non-Exempt
870-4195 2
Total Development Services 30
Public Works Administration
Director of Public Works 1 69 Exempt
Deputy Director of Public Works 1 59 Exempt
Environmental Programs -Support Serv Mgr 1 50 Exempt
Maintenance Services Manager 1 50 Exempt
Transportation Planner 1 48 Exempt
Project Manager 2 127 48 Exempt B
Management Analyst - PW programs 1 40 Exempt
Public Works Inspector I/II 2 120 30/34 Non-Exempt B
Management Specialist I/II 1 28/32 Non-Exempt
Accounting Specialist 1 113 32 Non-Exempt B
Office Specialist I/II 1 14/18 Non-Exempt
4300 13
Landscape Services
Landscape Supervisor 1 123 46 Exempt B
Landscape Specialist 3 118 34 Non-Exempt B
4614 4
Facilities Management
Maintenance Worker III - Facilities/Building Maint.2 114 27 Non-Exempt B
4340 2
Streets Maintenance
Streets Maintenance Supervisor 1 123 46 Exempt B
Senior Maintenance Worker 2 111 31 Non-Exempt B
Maintenance Worker III 3 109 27 Non-Exempt B
Maintenance Worker I/II 5 101/106 19/23 Non-Exempt B
4310 11
PUBLIC WORKS
Page 3 of 4 Effective July 1, 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
City of Palm Desert
Allocated Positions
Classification
Allocated
Positions
Tier 1
Before
6/30/2018B
Tier 2
After
7/01/2018
Exempt
Status Notes:
Salary Grade
Traffic Signal Maintenance
Traffic Signal Specialist 1 121 38 Non-Exempt B
Traffic Signal Technician II 1 118 32 Non-Exempt B
Traffic Signal Technician I 1 111 28 Non-Exempt B
4310 3
Total Public Works 33
TOTAL ALLOCATED POSITIONS 108
Footnotes:
A: Two Tiers of salary schedules, dependent on hire date (promotion/reclass after July 1, 2018 = Tier 2)
B: Classifications include employees hired prior to June 30, 2018
C. Position will be filled by a third party contract until further notice
Page 4 of 4 Effective July 1, 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
City of Palm Desert
Grade/Step Table
Effective July 2021
Legacy Range Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8
10 Annual 34,535 36,261 38,074 39,978 41,977 44,076 45,619 47,398
Monthly 2,878 3,022 3,173 3,332 3,498 3,673 3,802 3,950
Hourly 16.60 17.43 18.31 19.22 20.18 21.19 21.93 22.79
11 Annual 35,398 37,168 39,026 40,978 43,027 45,178 46,759 48,583
Monthly 2,950 3,097 3,252 3,415 3,586 3,765 3,897 4,049
Hourly 17.02 17.87 18.76 19.70 20.69 21.72 22.48 23.36
12 Annual 36,283 38,097 40,002 42,002 44,102 46,307 47,928 49,797
Monthly 3,024 3,175 3,334 3,500 3,675 3,859 3,994 4,150
Hourly 17.44 18.32 19.23 20.19 21.20 22.26 23.04 23.94
13 Annual 37,190 39,050 41,002 43,052 45,205 47,465 49,126 51,042
Monthly 3,099 3,254 3,417 3,588 3,767 3,955 4,094 4,254
Hourly 17.88 18.77 19.71 20.70 21.73 22.82 23.62 24.54
14 Annual 38,120 40,026 42,027 44,128 46,335 48,652 50,354 52,318
Monthly 3,177 3,335 3,502 3,677 3,861 4,054 4,196 4,360
Hourly 18.33 19.24 20.21 21.22 22.28 23.39 24.21 25.15
15 Annual 39,073 41,026 43,078 45,232 47,493 49,868 51,613 53,626
Monthly 3,256 3,419 3,590 3,769 3,958 4,156 4,301 4,469
Hourly 18.79 19.72 20.71 21.75 22.83 23.97 24.81 25.78
16 Annual 40,050 42,052 44,155 46,362 48,681 51,115 52,904 54,967
Monthly 3,337 3,504 3,680 3,864 4,057 4,260 4,409 4,581
Hourly 19.25 20.22 21.23 22.29 23.40 24.57 25.43 26.43
17 Annual 41,051 43,103 45,259 47,522 49,898 52,392 54,226 56,341
Monthly 3,421 3,592 3,772 3,960 4,158 4,366 4,519 4,695
Hourly 19.74 20.72 21.76 22.85 23.99 25.19 26.07 27.09
18 Annual 42,077 44,181 46,390 48,710 51,145 53,702 55,582 57,750
Monthly 3,506 3,682 3,866 4,059 4,262 4,475 4,632 4,812
Hourly 20.23 21.24 22.30 23.42 24.59 25.82 26.72 27.76
19 Annual 43,129 45,286 47,550 49,927 52,424 55,045 56,971 59,193
Monthly 3,594 3,774 3,962 4,161 4,369 4,587 4,748 4,933
Hourly 20.74 21.77 22.86 24.00 25.20 26.46 27.39 28.46
20 Annual 44,207 46,418 48,739 51,175 53,734 56,421 58,396 60,673
Monthly 3,684 3,868 4,062 4,265 4,478 4,702 4,866 5,056
Hourly 21.25 22.32 23.43 24.60 25.83 27.13 28.07 29.17
21 Annual 45,312 47,578 49,957 52,455 55,078 57,831 59,856 62,190
Monthly 3,776 3,965 4,163 4,371 4,590 4,819 4,988 5,182
Hourly 21.78 22.87 24.02 25.22 26.48 27.80 28.78 29.90
22 Annual 46,445 48,768 51,206 53,766 56,455 59,277 61,352 63,745
Monthly 3,870 4,064 4,267 4,481 4,705 4,940 5,113 5,312
Hourly 22.33 23.45 24.62 25.85 27.14 28.50 29.50 30.65
Salary Range
Page 1 of 6 w 2.3% COLA effective April 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
Legacy Range Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8Salary Range
23 Annual 47,606 49,987 52,486 55,110 57,866 60,759 62,886 65,338
Monthly 3,967 4,166 4,374 4,593 4,822 5,063 5,240 5,445
Hourly 22.89 24.03 25.23 26.50 27.82 29.21 30.23 31.41
24 Annual 48,797 51,236 53,798 56,488 59,313 62,278 64,458 66,972
Monthly 4,066 4,270 4,483 4,707 4,943 5,190 5,371 5,581
Hourly 23.46 24.63 25.86 27.16 28.52 29.94 30.99 32.20
101 25 Annual 50,017 52,517 55,143 57,900 60,795 63,835 66,069 68,646
Monthly 4,168 4,376 4,595 4,825 5,066 5,320 5,506 5,721
Hourly 24.05 25.25 26.51 27.84 29.23 30.69 31.76 33.00
26 Annual 51,267 53,830 56,522 59,348 62,315 65,431 67,721 70,362
Monthly 4,272 4,486 4,710 4,946 5,193 5,453 5,643 5,864
Hourly 24.65 25.88 27.17 28.53 29.96 31.46 32.56 33.83
27 Annual 52,549 55,176 57,935 60,832 63,873 67,067 69,414 72,121
Monthly 4,379 4,598 4,828 5,069 5,323 5,589 5,785 6,010
Hourly 25.26 26.53 27.85 29.25 30.71 32.24 33.37 34.67
104 28 Annual 53,862 56,555 59,383 62,352 65,470 68,743 71,149 73,924
Monthly 4,489 4,713 4,949 5,196 5,456 5,729 5,929 6,160
Hourly 25.90 27.19 28.55 29.98 31.48 33.05 34.21 35.54
29 Annual 55,209 57,969 60,868 63,911 67,107 70,462 72,928 75,772
Monthly 4,601 4,831 5,072 5,326 5,592 5,872 6,077 6,314
Hourly 26.54 27.87 29.26 30.73 32.26 33.88 35.06 36.43
106 30 Annual 56,589 59,419 62,389 65,509 68,784 72,224 74,751 77,667
Monthly 4,716 4,952 5,199 5,459 5,732 6,019 6,229 6,472
Hourly 27.21 28.57 29.99 31.49 33.07 34.72 35.94 37.34
31 Annual 58,004 60,904 63,949 67,147 70,504 74,029 76,620 79,608
Monthly 4,834 5,075 5,329 5,596 5,875 6,169 6,385 6,634
Hourly 27.89 29.28 30.74 32.28 33.90 35.59 36.84 38.27
32 Annual 59,454 62,427 65,548 68,825 72,267 75,880 78,536 81,599
Monthly 4,954 5,202 5,462 5,735 6,022 6,323 6,545 6,800
Hourly 28.58 30.01 31.51 33.09 34.74 36.48 37.76 39.23
109 33 Annual 60,940 63,987 67,187 70,546 74,073 77,777 80,499 83,639
Monthly 5,078 5,332 5,599 5,879 6,173 6,481 6,708 6,970
Hourly 29.30 30.76 32.30 33.92 35.61 37.39 38.70 40.21
34 Annual 62,464 65,587 68,866 72,310 75,925 79,721 82,512 85,730
Monthly 5,205 5,466 5,739 6,026 6,327 6,643 6,876 7,144
Hourly 30.03 31.53 33.11 34.76 36.50 38.33 39.67 41.22
Page 2 of 6 w 2.3% COLA effective April 2021
City of Palm Desert
Grade/Step Table
Effective July 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
Legacy Range Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8Salary Range
111 35 Annual 64,025 67,227 70,588 74,117 77,823 81,714 84,574 87,873
Monthly 5,335 5,602 5,882 6,176 6,485 6,810 7,048 7,323
Hourly 30.78 32.32 33.94 35.63 37.42 39.29 40.66 42.25
36 Annual 65,626 68,907 72,353 75,970 79,769 83,757 86,689 90,070
Monthly 5,469 5,742 6,029 6,331 6,647 6,980 7,224 7,506
Hourly 31.55 33.13 34.78 36.52 38.35 40.27 41.68 43.30
113 37 Annual 67,267 70,630 74,161 77,870 81,763 85,851 88,856 92,321
Monthly 5,606 5,886 6,180 6,489 6,814 7,154 7,405 7,693
Hourly 32.34 33.96 35.65 37.44 39.31 41.27 42.72 44.39
114 38 Annual 68,948 72,396 76,016 79,816 83,807 87,997 91,077 94,629
Monthly 5,746 6,033 6,335 6,651 6,984 7,333 7,590 7,886
Hourly 33.15 34.81 36.55 38.37 40.29 42.31 43.79 45.49
39 Annual 70,672 74,206 77,916 81,812 85,902 90,197 93,354 96,995
Monthly 5,889 6,184 6,493 6,818 7,159 7,516 7,780 8,083
Hourly 33.98 35.68 37.46 39.33 41.30 43.36 44.88 46.63
40 Annual 72,439 76,061 79,864 83,857 88,050 92,452 95,688 99,420
Monthly 6,037 6,338 6,655 6,988 7,337 7,704 7,974 8,285
Hourly 34.83 36.57 38.40 40.32 42.33 44.45 46.00 47.80
41 Annual 74,250 77,962 81,860 85,953 90,251 94,764 98,080 101,905
Monthly 6,187 6,497 6,822 7,163 7,521 7,897 8,173 8,492
Hourly 35.70 37.48 39.36 41.32 43.39 45.56 47.15 48.99
118 42 Annual 76,106 79,911 83,907 88,102 92,507 97,133 100,532 104,453
Monthly 6,342 6,659 6,992 7,342 7,709 8,094 8,378 8,704
Hourly 36.59 38.42 40.34 42.36 44.47 46.70 48.33 50.22
43 Annual 78,009 81,909 86,005 90,305 94,820 99,561 103,046 107,064
Monthly 6,501 6,826 7,167 7,525 7,902 8,297 8,587 8,922
Hourly 37.50 39.38 41.35 43.42 45.59 47.87 49.54 51.47
120 44 Annual 79,959 83,957 88,155 92,562 97,191 102,050 105,622 109,741
Monthly 6,663 6,996 7,346 7,714 8,099 8,504 8,802 9,145
Hourly 38.44 40.36 42.38 44.50 46.73 49.06 50.78 52.76
121 45 Annual 81,958 86,056 90,359 94,876 99,620 104,601 108,262 112,485
Monthly 6,830 7,171 7,530 7,906 8,302 8,717 9,022 9,374
Hourly 39.40 41.37 43.44 45.61 47.89 50.29 52.05 54.08
Page 3 of 6 w 2.3% COLA effective April 2021
City of Palm Desert
Grade/Step Table
Effective July 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
Legacy Range Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8Salary Range
46 Annual 84,007 88,207 92,618 97,248 102,111 107,216 110,969 115,297
Monthly 7,001 7,351 7,718 8,104 8,509 8,935 9,247 9,608
Hourly 40.39 42.41 44.53 46.75 49.09 51.55 53.35 55.43
123 47 Annual 86,107 90,412 94,933 99,680 104,664 109,897 113,743 118,179
Monthly 7,176 7,534 7,911 8,307 8,722 9,158 9,479 9,848
Hourly 41.40 43.47 45.64 47.92 50.32 52.83 54.68 56.82
48 Annual 88,260 92,673 97,306 102,172 107,280 112,644 116,587 121,134
Monthly 7,355 7,723 8,109 8,514 8,940 9,387 9,716 10,094
Hourly 42.43 44.55 46.78 49.12 51.58 54.16 56.05 58.24
125 49 Annual 90,466 94,989 99,739 104,726 109,962 115,460 119,501 124,162
Monthly 7,539 7,916 8,312 8,727 9,164 9,622 9,958 10,347
Hourly 43.49 45.67 47.95 50.35 52.87 55.51 57.45 59.69
50 Annual 92,728 97,364 102,232 107,344 112,711 118,347 122,489 127,266
Monthly 7,727 8,114 8,519 8,945 9,393 9,862 10,207 10,605
Hourly 44.58 46.81 49.15 51.61 54.19 56.90 58.89 61.19
127 51 Annual 95,046 99,798 104,788 110,028 115,529 121,305 125,551 130,448
Monthly 7,921 8,317 8,732 9,169 9,627 10,109 10,463 10,871
Hourly 45.70 47.98 50.38 52.90 55.54 58.32 60.36 62.72
52 Annual 97,422 102,293 107,408 112,778 118,417 124,338 128,690 133,709
Monthly 8,119 8,524 8,951 9,398 9,868 10,362 10,724 11,142
Hourly 46.84 49.18 51.64 54.22 56.93 59.78 61.87 64.28
129 53 Annual 99,858 104,851 110,093 115,598 121,378 127,447 131,907 137,052
Monthly 8,321 8,738 9,174 9,633 10,115 10,621 10,992 11,421
Hourly 48.01 50.41 52.93 55.58 58.35 61.27 63.42 65.89
54 Annual 102,354 107,472 112,845 118,488 124,412 130,633 135,205 140,478
Monthly 8,530 8,956 9,404 9,874 10,368 10,886 11,267 11,706
Hourly 49.21 51.67 54.25 56.97 59.81 62.80 65.00 67.54
55 Annual 104,913 110,159 115,667 121,450 127,522 133,899 138,585 143,990
Monthly 8,743 9,180 9,639 10,121 10,627 11,158 11,549 11,999
Hourly 50.44 52.96 55.61 58.39 61.31 64.37 66.63 69.23
50T1 Annual 146,827
Monthly 12,236
Hourly 70.59
Page 4 of 6 w 2.3% COLA effective April 2021
City of Palm Desert
Grade/Step Table
Effective July 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
Legacy Range Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8Salary Range
56 Annual 107,536 112,913 118,558 124,486 130,710 137,246 142,050 147,590
Monthly 8,961 9,409 9,880 10,374 10,893 11,437 11,837 12,299
Hourly 51.70 54.28 57.00 59.85 62.84 65.98 68.29 70.96
57 Annual 110,224 115,735 121,522 127,598 133,978 140,677 145,601 151,279
Monthly 9,185 9,645 10,127 10,633 11,165 11,723 12,133 12,607
Hourly 52.99 55.64 58.42 61.35 64.41 67.63 70.00 72.73
58 Annual 112,980 118,629 124,560 130,788 137,328 144,194 149,241 155,061
Monthly 9,415 9,886 10,380 10,899 11,444 12,016 12,437 12,922
Hourly 54.32 57.03 59.88 62.88 66.02 69.32 71.75 74.55
59 Annual 115,804 121,595 127,674 134,058 140,761 147,799 152,972 158,938
Monthly 9,650 10,133 10,640 11,171 11,730 12,317 12,748 13,245
Hourly 55.68 58.46 61.38 64.45 67.67 71.06 73.54 76.41
60 Annual 118,699 124,634 130,866 137,409 144,280 151,494 156,796 162,911
Monthly 9,892 10,386 10,906 11,451 12,023 12,624 13,066 13,576
Hourly 57.07 59.92 62.92 66.06 69.37 72.83 75.38 78.32
137 61 Annual 121,667 127,750 134,138 140,845 147,887 155,281 160,716 166,984
Monthly 10,139 10,646 11,178 11,737 12,324 12,940 13,393 13,915
Hourly 58.49 61.42 64.49 67.71 71.10 74.65 77.27 80.28
62 Annual 124,709 130,944 137,491 144,366 151,584 159,163 164,734 171,159
Monthly 10,392 10,912 11,458 12,030 12,632 13,264 13,728 14,263
Hourly 59.96 62.95 66.10 69.41 72.88 76.52 79.20 82.29
139 63 Annual 127,826 134,218 140,929 147,975 155,374 163,142 168,852 175,438
Monthly 10,652 11,185 11,744 12,331 12,948 13,595 14,071 14,620
Hourly 61.45 64.53 67.75 71.14 74.70 78.43 81.18 84.34
64 Annual 131,022 137,573 144,452 151,674 159,258 167,221 173,074 179,824
Monthly 10,918 11,464 12,038 12,640 13,272 13,935 14,423 14,985
Hourly 62.99 66.14 69.45 72.92 76.57 80.39 83.21 86.45
65 Annual 134,298 141,012 148,063 155,466 163,239 171,401 177,400 184,319
Monthly 11,191 11,751 12,339 12,956 13,603 14,283 14,783 15,360
Hourly 64.57 67.79 71.18 74.74 78.48 82.40 85.29 88.61
66 Annual 137,655 144,538 151,765 159,353 167,320 175,686 181,836 188,927
Monthly 11,471 12,045 12,647 13,279 13,943 14,641 15,153 15,744
Hourly 66.18 69.49 72.96 76.61 80.44 84.46 87.42 90.83
67 Annual 141,096 148,151 155,559 163,337 171,503 180,079 186,381 193,650
Monthly 11,758 12,346 12,963 13,611 14,292 15,007 15,532 16,138
Hourly 67.83 71.23 74.79 78.53 82.45 86.58 89.61 93.10
68 Annual 144,624 151,855 159,448 167,420 175,791 184,581 191,041 198,492
Monthly 12,052 12,655 13,287 13,952 14,649 15,382 15,920 16,541
Hourly 69.53 73.01 76.66 80.49 84.51 88.74 91.85 95.43
Page 5 of 6 w 2.3% COLA effective April 2021
City of Palm Desert
Grade/Step Table
Effective July 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
Legacy Range Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8Salary Range
145 69 Annual 148,239 155,651 163,434 171,606 180,186 189,195 195,817 203,454
Monthly 12,353 12,971 13,619 14,300 15,015 15,766 16,318 16,954
Hourly 71.27 74.83 78.57 82.50 86.63 90.96 94.14 97.81
70 Annual 151,945 159,543 167,520 175,896 184,690 193,925 200,712 208,540
Monthly 12,662 13,295 13,960 14,658 15,391 16,160 16,726 17,378
Hourly 73.05 76.70 80.54 84.57 88.79 93.23 96.50 100.26
71 Annual 155,744 163,531 171,708 180,293 189,308 198,773 205,730 213,754
Monthly 12,979 13,628 14,309 15,024 15,776 16,564 17,144 17,813
Hourly 74.88 78.62 82.55 86.68 91.01 95.56 98.91 102.77
72 Annual 159,638 167,619 176,000 184,800 194,040 203,742 210,873 219,098
Monthly 13,303 13,968 14,667 15,400 16,170 16,979 17,573 18,258
Hourly 76.75 80.59 84.62 88.85 93.29 97.95 101.38 105.34
73 Annual 163,628 171,810 180,400 189,420 198,891 208,836 216,145 224,575
Monthly 13,636 14,317 15,033 15,785 16,574 17,403 18,012 18,715
Hourly 78.67 82.60 86.73 91.07 95.62 100.40 103.92 107.97
74 Annual 167,719 176,105 184,910 194,156 203,864 214,057 221,549 230,189
Monthly 13,977 14,675 15,409 16,180 16,989 17,838 18,462 19,182
Hourly 80.63 84.67 88.90 93.34 98.01 102.91 106.51 110.67
75 Annual 171,912 180,508 189,533 199,010 208,960 219,408 227,088 235,944
Monthly 14,326 15,042 15,794 16,584 17,413 18,284 18,924 19,662
Hourly 82.65 86.78 91.12 95.68 100.46 105.48 109.18 113.43
CM Annual 265,000 City Manager --per contract dated 3-1-2021
Hourly 127.40
CC Annual 24,915 City Council
Per Meeting 50 Housing Authority Meetings
The 2.3% COLA calculated on each of the hourly salary steps effective with pay periods ending after April 1, 2021 may result in de
minimus differences due to rounding versus the payroll system generated pay schedule. The Director of Finance may need to make minor
rounding adjustments to this schedule during implementation.
Page 6 of 6 w 2.3% COLA effective April 2021
City of Palm Desert
Grade/Step Table
Effective July 2021
FY 2021-2022EXHIBIT "A"RESOLUTION NO. 2021-47
[This page has intentionally been left blank.]
CITY OF PALM DESERT
FINANCE DEPARTMENT
INTEROFFICE MEMORANDUM
To: Todd Hileman, City Manager
O
From: Janet M. Moore, Director of Finance/City Treasurer �
Date: June 24, 2021
�
Subject: Authorization of Out-of-State Travel in FY 2021/2022 budget� A
Ua�
The FY 2021 /2022 budget includes out-of-state travel for the departments li e� t�lo
trips are for attendance at national conferences or professional organizati s�fpWh
City or department head is a member. Staff requests approval for the following meetings
and attendees:
Admin. Seroices
Building & Safety
City Clerk
City Council
City Manager
Community
Developmenf
Economic Dev
International City
Construction Exam
Center
Int'I Institute of Municipal
Clerks
InPI Council of Shopping
Centers
International City
Managers Assn
Int'I Council of Shopping
Centers
Americans for the Arts
Conference
Managers Assn
InPI Council of Shopping
Centers
__.. __ __
Int I Economic
I Govemmen( Finance
Finance ' Officers Association
' Government Investmenl
' Officers Association
Porlland, OR ! Director of Administrative Services
_ __. __ _ _
Las Vegas NV ' Supervising Plans Examiner
_ __. __ _
Q
A�
$3,200
S2,000
Liitle Rock, AR : City Clerk or Deputy City Clerk ,$3,500
_ _ , _ _ ._. , __
Las Vegas NV ', Councilmembers (2) ' 52,800
S2,800
City Manager $3,200
Portland, OR ', Assistant City Manager ;$3,200
Las Vegas. NV ' Dir. of Community Development
�s Advocate
$2,800
$3,000
Portland, OR ', Director of Economic Development '', $3,200
_. .
Las Vegas, NV Director of Economic Development �2,800
', Business Advocate ', $2,800
TN
, Austin, TX ' Director of Finance
' Depujy Direcfor
Las Vegas, NV Direclor of Finance or
' i DeputV Treasurer
�������� ';, $3,000
', 54.000
$2,aoo
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