Loading...
HomeMy WebLinkAboutFY 2013-14 BUDGET - Financial Plan CITY OF PALM DESERT FINANCE DEPARTMENT STAFF REPORT REQUEST: CONSIDERATION OF THE ADOPTION OF THE CITY MANAGER'S AND EXECUTIVE DIRECTOR'S PROPOSED FINANCIAL PLAN FOR FISCAL YEAR 2013-2014 DATE: JUNE 27, 2013 CONTENTS: 1. Resolution No. 2013 - 47 (See item No. 2, City Budget) 2. Resolution No. 2013 - 48 (See item No. 3, Appropriations Limit) 3. Resolution No. HA— 58 (See item No. 4, Housing Authority) 4. Resolution No. 2013 - 49 (See item No. 5, Salary Resolution) 5. Out-of-State Trave! Memo (See item No. 6) Recommendation By Minute Motion: 1. Convene the Housing Authority meeting to conduct a joint public hearing on the proposed City and Housing Authority budgets; 2. Waive further reading and adopt Resolution No. 2013-47 , adopting a City program and financial plan for the Fiscal Year July 1, 2013,through June 30, 2014; 3. Adopt Resolution No. 2013-48, establishing the Appropriations Limit for the 2013-2014 Fiscal Year; 4. Waive further reading and adopt Resolution No. HA-58, adopting a Housing Authority program and financial plan for the Fiscal Year July 1, 2013, through June 30, 2014; 5. Waive further reading and adopt Resolution No. 201349 , setting the salary schedule, salary ranges and allocated classifications; ^ 6. Approve Out-of-State Travel as listed in attached memo; 7. Recess the Housing Authority meetings to the close of the City Council meeting. Backqround/Fiscal Impact Presented for your consideration are the proposed Fiscal Year 2013-2014 operational budget expenditures for the City of Palm Desert. This proposal meets all requirements of maintaining an enhanced level of public services while still being fiscally conservative. The economic downturn being experienced nationally impacts our budget, and as the City of Palm Desert prepares for the next fiscal year, we do so under the realization of the current economic condition. Staff Report Approve Financial Plan for FY 2013/2014 June 27, 2013 Page 2 of 2 Total General Fund revenues are anticipated to be $46,517,500, which is a three percent (3.3%) increase from the $45,048,100 in revenues collected during FY 2012-2013. Total General Fund expenses are anticipated to be $46,508,694, a three percent (3.25%) increase from the $45,044,042 in expenses during FY 2012-2013. Staff is cognizant that the budget process is dynamic and anticipates ongoing economic issues that will require monitoring as we progress through next fiscal year. Nonetheless, the City is committed to fiscal responsibility coupled with effective resource management to provide the highest level of service to the communiry. Attached are the necessary documents to approve the City and Housing Authority 2013-2014 Budget. The requested changes discussed at the 2013 Budget study sessions have been incorporated into these documents. Submitted By: P ul S. Gibson, Director of Finance hn M.Wohlmuth, City Manager/Exec. Dir. CITY COUNCTLv�'TION APPROVED DFNTED R CEIVED OTHE � 3 ai3 ���c'�:�o��• BY HOUSG AUTH -� G MEET G D � � ON � � ' �� AYES � NOEs: � � VERIFI�D BY: �� ABSENT: k AI�STAtiv: <7riginal on fi(e with City Clerk's Offic� VERIFIED BY: Original on File wit6 Ci lerk's Office * Adopted the Resolutions and approved Out-of-State Travel. 5-0 CITY OF PALM DESERT FINANCIAL PLAN FISCAL YEAR 2013-2014 Item 2 RESOLUTION NO. 2013- 4� A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF PALM DESERT, CALIFORNIA, ADOPTING A PROGRAM AND FINANCIAL PLAN FOR THE FISCAL YEAR JULY 1, 2013 THROUGH JUNE 30, 2014 WHEREAS, the City Council has received and considered the proposed Program and Financial Plan submitted by the City Manager on June 27, 2013; and WHEREAS, after due notice, the City Council held a public hearing on the proposed plan. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Palm Desert, California, that: 1. The amounts shown on Exhibit 1, "Estimated Revenues", are hereby accepted as the Estimated Revenues for the 2013-14 Fiscal Year for each fund and revenue source. 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 approve intra-departmental budgeted line item variations; additional appropriations or inter-departmental budget transfers will be specifically approved by further City Council action during the 2013-14 fiscal year as the need arises. 3. The amounts shown on Exhibit 3, "Continuing Appropriations, Existing Capital Projects", are hereby accepted as continuing appropriations from the 2012-13 Fiscal Year. The amounts included in this exhibit include all unexpended amounts from purchase orders and contracts encumbered by June 30, 2013. PASSED, APPROVED AND ADOPTED at the regular meeting of the Palm Desert City Council held on this 27'h day of June, 2013, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: JAN HARNIK, MAYOR ATTEST: RACHELLE D. KLASSEN, CITY CLERK CITY OF PALM DESERT, CALIFORNIA PALM DESERT ESTIMATED REVENUES, Exhibit 1 Actual Actual Budget Projected Budget CATEGORY/FUND FY 10-11 FY 11-12 FY 12-13 FY12-13 FY 13-14 General Fund(110): 1.Sales tax(forecaster-Pessimistic.8% and Optimistic 3.4%) 14,680,578 15,836,953 16,400,000 16,975,000 17,500,000 2.Transient occupancy tax(Includes Short Term Rentals 890 units) 7,421,769 8,085,225 8,000,000 8,350,000 8,425,000 3. Property tax(Prior Years-Lower Assessed Values) 4,776,795 4,369,884 4,543,000 4,543,000 4,670,000 4.Property Tax Increment(Former RDAj 1,455,800 1,350,000 903,000 903,000 5.Interest 8�Rental(Lower Int Rate,Energy,Co.Lease) 793,461 555,221 538,000 300,000 335,000 6.Transfers in(Gas Tax,Starvvood,Office Complex, Int.) 2,691,634 2,240,703 2,237,500 2,237,500 2,237,500 7.Franchises(Cable/Gas/Electric/Waste) 2,771,594 2,856,679 2,800,000 2,860,000 2,900,000 8.State subventions{VLF)-Increase based on PropeRy Tax) 3,801,144 3,458,835 3,671,000 3,386,000 3,490,000 9.Building/Subdivision2oning 1,081,501 1,051,314 891,500 1,270,000 1,350,000 10.Fees for Services/Reimb(Parkview,Assessment,LLD, Fines,Other) 2,442,114 1,229,994 1,182,100 1,142,000 1,142,000 11.Business license tax(lncludes Short Term License) 1,085,411 1,110,711 1,150,000 1,200,000 1,250,000 12.Timeshare mitigation fee(Marriott,Starvvood,Intrawest) 1,192,490 1,110,227 1,220,000 1,265,000 1,265,000 13.PIan checkfees 317,332 275,728 300,000 300,000 300,000 14. Property transfer tax 399,280 485,040 450,000 500,000 500,000 15.Other revenues(Delinquency/Litigation/Fines/Job Val./ROW/Bail) 706,075 752,485 315,000 235,000 250,000 Totals General Fund 44,161,178 44,874,799 45,048,100 45,466,500 46,517,500 Fire Tax Fund f230): 1.Structural FireTax 5,237,952 4,772,594 4,171,872 4,171,872 4,800,000 2. Prop.A. Fire Tax 2,134,244 2,122,210 2,329,908 2,200,000 2,200,000 3.Reimbursements 829,705 827,924 866,277 830,000 830,000 4.Interest Income 13,347 2,696 2,000 2,000 2,000 5. Fire Tax Reserves/Transfers In - 512,000 1,053,000 1,053,000 1,553,000 Totals Fire Tax Fund 8,215,248 8,237,424 8,423,057 8,256,872 9,385,000 TOTAL FIRE AND GENERAL FD 52,376,426 53,112,223 53,471,157 53,723,372 55,902,500 PALM DESERT ESTIMATED REVENUES, Exhibit 1 Actual Actual Budget Projected Budget CATEGORY/FUND FY 10-11 FY 11-12 FY 12-13 FY12-13 FY 13-14 Gas Tax Fund(211): 1.Gas Tax 1,291,282 1,435,135 2,123,601 2,123,601 1,383,800 2. Interest 4,872 2,039 11,200 2,000 11,200 Total Gas Tax 1,296,154 1,437,174 2,134,801 2,125,601 1,395,000 Traffic Safetv Fund(2101: 1.Vehicle Fines 184,793 169,868 174,000 174,000 174,000 2.Interest 1,710 303 1,000 300 1,000 Total Traffic Safetv Fund 186,503 170,171 175,000 174,300 175,000 Measure A Fund(2131: 1.Sales Tax 1,875,080 2,298,986 2,050,000 2,300,000 2,478,000 2.Reimbursements/Intergovernmental 1,002,461 760,245 5,634,700 5,572,253 3. Interest 148,770 41,600 125,000 41,600 45,000 Total Measure A Fund 3,026,311 3,100,831 7,809,700 2,341,600 8,095,253 Housinq Mitiqation Fund(2141: 1.Development Fee 15,759 12,476 - 14,882 56,000 2.Other Revenue(Loan/Note Receivable) 514,137 120,000 120,000 120,000 2. Interest 32,405 16,172 12,000 16,000 3,000 Total Housinq Mitiqation Fund: 562,301 148,648 132,000 30,882 179,000 CDBG Block Grant Fund(220): 1.CDBG Block Grant 556,412 274,940 390,462 390,462 318,700 2.Reimbursements(Program Income) - - - 2,500 3. Interest 254 229 400 400 300 TOtal CDBG Fund 556,666 275,169 390,862 390,862 321,500 Child Care Proqram(2281 1.Child Care Fee 19,232 20,557 - 11,678 - 2.interest 10,613 2,967 12,000 3,000 3,000 Total Child Care Fund 29,845 23,524 12,000 14,678 3,000 PALM DESERT ESTIMATED REVENUES, Exhibit 1 Actual Actual Budget Projected Budget CATEGORY/FUND FY 10-11 FY 11-12 FY 12-13 FY12-13 FY 13-14 Public Safetv Grant Fund(229): 1. Federal Grants 92,426 63,406 - 29,151 - 2.State Grants 108,021 110,420 100,000 100,000 100,000 3.Interest - 22 - Total Public Saferi Fund 200,447 173,848 100,000 129,151 100,000 New Construction Tax Fund(2311: 1.Development Fee 129,262 117,063 148,000 130,000 136,000 2. Interest 19,549 1,064 1,000 1,000 1,000 Total New Construction Fund 148,811 118,127 149,000 131,000 137,000 Drainaae Facilitv Fund(2321: 1.Development Fee 7,060 2,200 4,000 - 30,000 2. Reimbursements 205,470 25,175 - 3.Interest 37,872 3,795 35,000 4,000 2,000 Tota) Drainaqe FacilitV Fund 250,392 31,170 39,000 4,000 32,000 Park&Recreation Fund(233): 1. Reimbursements/Fee 67,305 208,500 - 5,000 - 2. Interest 10,768 2,500 7,000 2,500 2,000 Total Park& Recreation Fund 78,073 211,000 7,000 7,500 2,000 Siqnalization Fund(234): 1.Development Fee 6,484 45,987 13,000 5,000 6,500 2. Reimbursements 129,587 15,300 195,500 36,360 3. interest 4,425 1,060 2,500 1,000 500 Total Siqnalization Fund 140,496 62,347 211,000 6,000 43,360 Fire Facilities Fund(235?: 1. Development Fee 48,459 38,448 44,000 70,000 48,400 2. Interest 4,465 1,146 5,000 1,500 1,000 Total Fire Facilities Fund 52,924 39,594 49,000 71,500 49,400 Waste Recvclinq Fund(2361: 1.Waste Recycling Fee 512,282 310,000 310,000 75,000 90,000 2. Reimbursements 26,257 - - - 3. Interest 40,960 10,000 45,000 1,000 10,000 Total Waste Recvclinq Fund 579,499 320,000 355,000 76,000 100,000 PALM DESERT ESTIMATED REVENUES, Exhibit 1 Actual Actual Budget Projected Budget CATEGORY/FUfYD FY 10-11 FY 11-12 FY 12-13 FY12-13 FY 13-14 Enerqv Independence Proqram(237): 1.Special Assessments 422,080 419,281 642,000 642,000 668,453 2. Reimbursements 3,422 6,120 - 10,000 3. Interest 25,805 7,127 30,000 2,000 6,000 Total Waste RecvcUnq Fund 451,307 432,528 672,000 654,000 674,453 Air Glualitv Mana4ement Fund(238): 1.Air Quality Fee 56,718 61,604 60,000 60,000 60,000 2. Interest 1,859 589 2,000 1,000 600 Total Air(lualitv Fund 58,577 62,193 62,000 61,000 60,600 Art in Public Places Fund(4361: 1.Development Fee 38,417 144,110 155,000 155,000 109,000 2. Interest 14,856 2,973 15,000 3,000 2,500 Total AIPP Fund 53,273 147,083 170,000 158,000 111,500 Golf Course MatnUlmqrov Fund(4411: 1.Time Share Mitigation&Amenity Fees 958,704 991,221 1,127,892 1,157,405 1,165,189 2.interest 29,435 25,709 10,000 - 5,000 Total Golf Course Maint. Fund 988,139 1,016,930 1,137,892 1,157,405 1,170,189 A�uatic Center Fund(242): 1.Other Revenue - 1,665,553 620,450 640,000 629,900 2.Transfer In(General Fund) - 613,556 684,421 684,421 680,234 3.Interest - 2,996 - o a ua ic en er - 2,282,105 1,304,871 1,324,421 1,310,134 PALM DESERT ESTIMATED REVENUES, Exhibit 1 Actual Actual Budget Projected Budget CATEGORY/FUND FY 10-11 FY 11-12 FY 12-13 FY12-13 FY 13-14 Retiree Health Fund(576): 1.General Fund Contribution 640,119 362,868 - 400,000 2. Interest 18,464 4,324 20,000 5,000 3,000 Total Retiree Health Fund 658,583 367,192 20,000 405,000 3,000 EI Paseo Merchant Fund(2711: 1. EI Paseo Merchant Fee(Business License) 193,426 200,000 220,000 250,000 250,000 2010 Ca�ital Proiect Reserve(400): 1.State, Federai,CVAG Reimb.,Other Rev. 349,925 229,862 454,000 200,000 76,000 2. Interest 292,002 38,384 30,000 30,000 10,000 Total Capital Proiect Fund 641,927 268,246 484,000 230,000 86,000 CP Parks Fund(4301: 1.Reimbursements - 2. Interest 139,047 1,474 1,500 1,500 1,000 Total Parks Fund 139,047 1,474 1,500 1,500 1,000 CP Drainaae Fund(420): 1. Interest 57,863 3,535 25,000 2,000 3,000 Total Drainaqe Fund 57,863 3,535 25,000 2,000 3,000 CP Siqnal Fund(440): 1. Reimbursements - 255,149 - 177,550 - 2. Interest 2,319 600 2,000 1,000 500 Total Siqnal Fund 2,319 255,749 2,000 178,550 500 CP Library Fund(452): 1.General Fund Transfers In 340,000 299,000 375,000 375,000 125,000 Total Library Fund 340,000 299,000 375,000 375,000 125,000 Buildina MaPntenance Fund(450): 1.General Fund Transfer In 1,000,000 41,300 91,400 91,400 91,000 2. Interest 28,210 7,134 20,000 7,000 5,000 Total Buildina Maintenance Fund 1,028,210 48,434 111,400 98,400 96,000 PALM DESERT ESTIMATED REVENUES, Exhibit 1 Actual Actual Budget Projected Budget CATEGORY/FUND FY 10-11 FY 11-12 FY 12-13 FY12-13 FY 13-14 Proaertv Maintenance Citv/RDA Fund(4511: i.lnterest&Rent 41,000 88,235 94,000 - Total Propertv Maint.Citv/RDA Fund 41,000 88,235 94,000 - - Debt Service Funds(Various 300'sl 1.Transfer In/Taxes 10,835,077 9,895,023 9,902,954 9,902,954 9,819,678 Total Debt Service Funds 10,835,077 9,895,023 9,902,954 9,902,954 9,819,678 Parkview Office Complex Fund(5101 1. RenULeases of Buildings 1,015,707 1,222,972 1,290,970 1,361,531 1,248,810 2. Interest 26,101 6,794 1,500 8,500 12,000 Total Parkview Office Fund 1,041,808 1,229,766 1,292,470 1,370,031 1,260,810 Eauiament Realacement Funds(530): 1.General&Fire Fund Transfer In 124,352 - 286,000 286,000 220,000 2. Interest 52,594 38,170 40,000 10,000 10,000 Total Equip. Realacement Fund t76,946 36,170 326,000 296,000 230,000 Landscape&Liahtina Districts(272-299): 1.Transfer In 40,704 70,000 77,000 77,000 77,000 2.Taxes 302,771 308,106 317,213 317,213 337,719 3. Interest 4,911 - - Total Landscape&Liqhtinq 348,386 378,106 394,213 394,213 414,719 Business Imqrovement Districts(272-2991: 1.Taxes 400,965 429,379 454,551 454,551 467,977 2. Interest - - - Total Business ImDrovement 400,965 429,379 454,551 454,551 467,977 Desert Willow Golf Fund(5201: 1.Golf Course 7,329,956 7,635,367 7,731,423 7,500,000 7,734,590 2 Resturant Revenue 1,983,632 2,314,665 2,463,260 2,500,000 2,517,349 3. Interest - - - Total Desert Willow Fund 9,313,588 9,950,032 10,194,683 10,000,000 10,251,939 Housinq Fund(8701: 1.Transfers In&Interest 19,053,112 296,338 850,646 717,091 773,261 Total Housinq Fund 19,053,112 296,338 850,646 717,091 773,261 $ � � � � i ���fi�ES�� �Q � � :� -�, e� �:� � � � �'°� ��°� t��F �L 0 �`�IQ ,Pi��P IAT a ,' � � 1 ; � , . .;�� ` k�� .�;�. �bF��IS E` ;tl���-2�`��� ,�° �. DEPARTMENT TITLE APPROPRIATIONS FY 2013-2014 GENERAL FUND City Council 238,653 City Clerk 940,496 Elections - Legislative Advocacy 36,500 City Attorney 244,000 Legal Special Services 335,000 City Manager 1,058,555 Special Programs 417,517 Finance 1,952,219 Independent Audit 63,000 Human Resources 502,011 General Services 587,000 Information Technology 818,917 Unemployment Insurance 50,000 I nsu rance 539,000 Interfund Transfers 2,746,234 Police Services 17,392,606 Animal Regulation 250,606 P.W-St LighUTraffic Sfry 263,380 Public Works- Admin 2,665,593 Public Works-Street Maint 2,624,295 PW-Street Resurfacing/Striping/Storm Drain/Parking/Curb & Gutter 1,275,000 PW-Corp. Yard 65,500 PW-Equipment 410,000 PW-Public Bldg-Opr/Maint. 593,184 PW-Portola Community Center 67,755 NPDES-Storm Water Permit 60,000 Community Promotions 655,125 Marketing 956,877 Visitors Information Center 367,159 Building & Safery 1,625,826 Economic Development 755,417 Planning & Community Dev 1,979,935 PW- Civic Center Park 926,710 PW- Park Maintenance 743,000 PW-Landscape Services 1,671,624 Outside A enc Fundin 630,000 TOTAL GENERAL FUND 46,508,694 �� �;� ,�$ �X Exhibit.�- R�S,�2013- � ; � � � , ,, � � � � n�� CI'�'Y ��xP��IU�I�ESE�iT APP�if3�R1ATtON��a k� ��. �� � =� :� FOR6 FISCA�'YEA�'�2Q13-2Q14 ` ' 4n4� FUND NAME APPROPRIATIONS FY 2013-2014 TRAFFIC SAFETY 175,000 GAS TAX 1,395,000 MEASURE A 2,200,000 HOUSING MITIGATION FEE 500,000 COMMUNITY DEVELOPMENT 332,000 PUBLIC SAFETY GRANTS 101,500 PROP A FIRE TAX 9,872,809 NEW CONSTRUCTION TAX 100,000 DRAINAGE FACILITY 500,000 PARK AND REC 124,000 SiGNALIZATiON 1 i4,380 FIRE FACILITY FUND 75,000 WASTE RECYCLING FEES 1,057,961 ENERGY INDEPENDENCE PROGRAM '*' 627,545 AIR QUALITY MGMT 38,500 AQUATIC CENTER 1,360,134 PARK & RECREATION 20,000 CHILD CARE PROGRAM 138,000 BUILDING MAINTENANCE - 2010 PLAN RESERVES 1,117,623 SIGNALIZATION 24,380 DRAINAGE 290,000 LI BRARY 358,500 ART IN PUBLIC PLACES 406,082 ENTERPRISE FUND - PARKVIEW OFFICE COMPLEX *'* 1,579,500 ENTERPRISE FUND - DESERT WILLOW 10,983,791 EQUIPMENT REPLACEMENT FUND 677,000 GOLF COURSE IMPROVEMENTS 1,228,500 HOUSING SET ASIDE FUND 773,261 RETIREE HEALTH 930,000 � ,� �;: ..�. Exhib��2 - RESn�� 20i 3- . ' C��11:�PI��.M I�ES��tT APPi�4PR1AT10NS � ; �y .�; , � ,.., �,u ���: F�R F{SC�YE�CR 2Q13-�01��� , . FUND NAME APPROPRIATIONS FY 2013-2014 DEBT SERVICE FUNDS Debt Service - 94-2 Sunterrace 85,485 Debt Service - 94-3 Merano 112,751 Debt Service - CFD 98-1 Canyons of Bighorn 106,335 Debt Service - 01-1 Silver Spur Undergrounding 184,347 Debt Service - Highlands Undergrounding 135,677 Debt Service - 04-02 SECTION 29 1,954,825 Debt Service - CFD 91-1 A Indian Ridge 1,175,930 Debt Service - CFD Univ. Park 4,598,685 P.D. Financing Auth - RDA - P.D. Financin Auth - Ci 1,495,513 TOTAL 9,849,548 SPECIAL ASSESSMENT FUNDS EL PASEO MERCHANTS 250,000 LANDSCAPE & LIGHTING ZONES 329,511 BUSINESS IMPROVEMENT DISTRICT 424,212 TOTAL SPECIAL ASSESSMENT 1,003,723 "'* The Energy Independence Program Fund has appropriated $500,000 for debt payment, and the Parkview Office Complex has appropriated $531,000 for FRV cushion. CITY OF PALM DESERT Exhibit 3 CAPITAL IMPROVEMENT PROGRAM NO.2013- EXISTING PROJE�CTS IN FISCAL YEAR 2012-13 CONTINUED TO FY 2013-2014 PROJECT TITLE ESTIMATED ACCOUNT FUNDING FY 2012-13 PROJECT NUMBERS SOURCES to FY13-14 TOTAL FOR •SE8 NOTE LIFE OF PROJECT Generel Fund 110 Street Resurfacing Continuing 110-4311-433.33-20 General Fund 1,220,000 ADA Curb Ramp Modifications Continuing 110-4312-433.33-20 General Fund 60,727 Parking Lot Malntenance Continuing 110-4313-433.33-20 General Fund 76,352 Gas Tax Fund 211 Street Resurfacing Continuing 211-4311-433.33-20 Gas Tax Fund 211 565,170 Street Resurfacing-1 B 739,630 211-4311-d33.39-16 Gas Tax Fund 211 739,630 Measure A Fund 213 Street Resurfacing Continuing 213-4311�33.3340 Measure A Fund 213 207,428 Portolall-10 Interchange ROW/Design 74,500,000 213-4351-433.40-01 Measure A Fund 213 120,000 BNdge Inspection Program Continuing 213-4359-433.40-01 Measure A Fund 213 100,000 Monterey lmprovement-FW to CC 6,500,000 213-4368-433.40-01 Measure A Fund 213 4,500,000 Fred Waring 8 Monterey Ave.Tum Pockets 3,122,710 213�383-433.40-01 Measure A Fund 213 2,833,943 Fred Waring Turn Pocket Hwy 111 775,000 213-4384-433.40-01 Measure A Fund 213 656,181 Monterey Ave Ramp Modification 12,000,000 213-4389-433.40-01 Measure A Fund 213 8,623,191 Nouslna Mlt/aat/on Fund 214 None CDBG Fund 220 None - Childcare Fund 228 City Childcare Facility 1,500,000 228-4800-454.40-01 Childcare Fund 228 1,339,650 Public Safetv Police Grants Fund 229 None New Construction Tan Fund 231 PS Art Museum Upgrades 70,000 231-4164-415.40-01 New ConsVuction Tax FD 231 18,973 Sheriff Substation roof replacement 350,000 231-4164-415.40-01 New Construction Tax FD 231 41,873 ADA Retrofit Cu►b&Gutter Continuing 231-4312-433.40-0i New Construction Tax FD 231 100,000 City-Wide Parking Lots Development 100,000 231-4313-433.33-20 New Construction Tax FD 231 41,475 DralnaQe Fund 232 Fred Waring 8 Monterey Ave.Turn Pockets 390,000 232-4383-433.40-01 Drainage Fund 232 384,961 Park 8 Rec Fac111Ues Fund 233 Clvic Center Park Improvements Continuing 233-4674-454.40-01 Park 8 Rec Fac.FD 233 187,833 Traf/ic Slanals Fund 234 Vehicle Speed Feedback Signs 140,000 234-4250-422.40-01 Signalization FD 234 140,000 Traffic Signal Maintenance Project 240,000 234-4250-422.40-01 Signalization FD 234 240,000 Fire Facllides Fund 235 New NoRh Sphere Fire Station 3,504,271 235-4270-422.40-01 Fire Facilities Fund 235 734,606 Recvclina Fund 236 Street Resuriacing Continuing 236-4311-433.33-20 Recycling Fund 236 160,000 Enerpv Indeaendence Loan Fund 237 Loans Continuing 237-4511�11.36-97 Energ Independence FD237 2,300,000 CITY OF PALM DESERT Exhibit 3 CAPITAL IMPROVEMENT PROGRAM NO.2013- EXISTING PROJECTS IN FISCAL YEAR 2012-13 CONTINUED TO FY 2013-2014 PROJECT TITLE ESTIMATED ACCOUNT FUNDING FY 2012-13 PROJECT NUMBERS SOURCES to FY13-14 TOTAL FOR 's��� LIFE OF PROJECT Alr Quallri Mqmt Fund 238 None - Golf Course Maintenance None - Caaltal Prol Reserve Fund 400 Strategic Plan�Energy Conservation 100,000 400-4130-411.30-90 Year 2010 Fund 400 90,001 Zoning Plan 150,000 400-4470�12.30-90 Year 2010 Fund 400 30,878 Alessandro Improvements 5,681,708 400�1341-433.40-01 Year 2010 Fund 400 397,220 Mid Valley Bike Path 5,800,000 400-4544-433.40-01 Year 2010 Fund 400 273,755 Major Landscaping Projects Continuing 400-4614-433.40-01 Year 2010 Fund 400 216,184 Drainaae FaciliUes Fund 420 Various Drainage Improvements ConGnuing 420-4291-433.40-01 Drainage Facilities FD 420 - CP Parks 8 Rec Facllides Fund 430 Legends Fields Columns 15,000 430-4638�54.40-01 Park 8�Rec Fac.FD 430 15,000 Civic Center Park Improvements Continuing 430-4674-454.40-01 Paric 8�Rec Fac.FD 430 57,482 AR In Publlc Places Fund 436 None - CP Sianalizatlon Fund 440 LED Indication Replacement Program Continuing 440�250-422.40-01 Signalization FD 440 75,000 Buildlna Maintenance Fund 430 Sheriff Substation HVAC Replacement 1,200,000 450�161-415.40-01 Building Maintenance FD 450 1,142,072 Fire Station No.33&71 Roof Replacements 360,000 450-4220-454.40-01 Building Maintenance FD 450 26,240 Eaulament Renlacement Fund 530 ONE Solution Enterphse Software 318,660 530-4190-415.40-40 Equipment Replacement 35,895 TOTAL EXISTING PROJECTS $ 27,751,720 • NOTE: APPROPRIATIONS AND/OR ENCUMBRANCES FOR REBUDGET/CARRYOVER FROM FISCAL YEAR 2012-13 TO 2013-14 " NOTE:DUE TO TIMING OF EVENTS,NO CONTRACT HAS BEEN OBTAINED,HOWEVER,FUNDS NEED TO BE CARRIED OVER TO PREVENT SHORTING IN COMING FISCAL YEAR. Continuing appropriations are amounts which have been appropriated in FY 2012-13 and are not expected to 6e expended by June 30,2013. These lunds are primarily for capital budgets and specific programs that overlap fiscal years. When authorized, continuing appropriafion amounts are added to the new fiscal year budget amounts in order to track all approved spending. The exact amounf ol appropriations lor carryover in each/und indicated will be determined at the end ol the�iscal year dunng the preparation of(�nancia/statements. This amount will include. 1)purchase ortiers and contracts encumbered totals and 2)unencumbered balances as of June 30,2013 for appropriations approved by the City Council through the last meeting in June,2013. AMOUNTS ARE SUBJECT TO CHANGE DUE TO PROJECTS APPROVEO BY COUNCIL PRIOR TO JUNE 30,2013 Note:Above amounts are as of January,2013 CITY OF PALM DESERT APPROPRIATIONS LIMIT FISCAL YEAR 2013-2014 Item 3 RESOLUTION NO. 2013- 4s A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF PALM DESERT, CALIFORNIA, ESTABLISHING THE APPROPRIATIONS LIMIT FOR THE 2013-2014 FISCAL YEAR 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 Fiscal Year 2013-2014 has been performed by the Finance Department based on available information and is on file with the Finance Department and available for public review; WHEREAS, Finance staff will recalculate the Appropriations Limit for respective fiscal periods including Fiscal Year 2013-2014, 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 Ciry of Palm Desert Appropriations Limit is hereby established as $105,168,991 for 2013-2014 Fiscal Year. PASSED, APPROVED AND ADOPTED at the regular meeting of the Palm Desert Ciry Council held on this 27th day of June 2013, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: JAN HARNIK, MAYOR ATTEST: RACHELLE D. KLASSEN, CITY CLERK CITY OF PALM DESERT, CALIFORNIA CITY OF PALM DESERT FISCAL YEAR 2013-2014 APPROPRIATIONS LIMIT CALCULATION Article XIII B of the Califomia 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 Califomia 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. 2012-13 APPROPRIATION LIMIT 99,046,238 PRIOR YEAR'S CALCULATION B. ADJUSTMENT FACTORS 1. POPULATION % POPULATION%CHANGE 1.01 STATE DEPT OF FINANCE POPULATION CONVERTED TO RATIO (1.01+100)/100 1.0101 CALCULATED 2. INFLATION% USING % CHANGES IN CALIF PER CAPITA PERSONAL INCOME PER CAPITA %CHANGE 5.12 STATE DEPT OF FINANCE PER CAPITA CONVERTED TO RATIO (5.12+100)/100 1.0512 CALCULATED 3. CALCULATION OF FACTOR FOR FY 13-14 1.0618 61*B2 C. 2013-14 APPROPRIATIONS LIMIT BEFORE ADJUSTMENTS 105,168,991 83`A D. OTHER ADJUSTMENTS 0 CA�CULATED E. 2013-2014 APPROPRIATIONS LIMIT 105,168,991 C+D F. APPROPRIATIONS SUBJECT TO LIMIT 36,922,936 CALCULATED G. OVER/UNDER LIMIT 68,246,055 F-E PALM DESERT HOUSING AUTHORITY FINANCIAL PLAN FISCAL YEAR 2013-2014 Item 4 RESOLUTION HA- 58 A RESOLUTION OF THE CITY COUNCIL OF THE HOUSING AUTHORITY OF PALM DESERT, CALIFORNIA, ADOPTING A PROGRAM AND FINANCIAL PLAN FOR THE FISCAL YEAR JULY 1, 2013 THROUGN JUNE 30, 2014 WHEREAS, the Housing Authority has received and considered the proposed Program and Financial Plan submitted by the Executive Director on June 27, 2013; and WHEREAS, after due notice, the Housing Authority held a public hearing on the proposed plan. NOW, THEREFORE, BE IT RESOLVED by the Palm Desert Housing Authority Board of the City of Palm Desert, California, that: 1. The amounts shown on Exhibit 1, "Estimated Revenues," are hereby accepted as the Estimated Revenues for the 2013/2014 Fiscal Year for each fund and revenue source. 2. The amounts shown on Exhibit 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-departmental budgeted line item variations; additional appropriations or inter-departmental budget transfers will be specifically approved by further Housing Authority action during the 2013/2014 Fiscai Year as the need arises. 3. The amounts shown on Exhibit 3, "Continuing Appropriations, Existing Capital Projects," are hereby accepted as continuing appropriations from the 2012-13 Fiscal Year. The amounts included in this exhibit include all unexpended amounts from purchase orders and contracts encumbered by June 30, 2013. PASSED, APPROVED AND ADOPTED at the regular meeting of the Palm Desert and Housing Authority held on this 27`h day of June, 2013, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: JAN HARNIK, MAYOR ATTEST: RACHELLE D. KLASSEN, CITY CLERK CITY OF PALM DESERT, CALIFORNIA PALM DESERT ESTIMATED REVENUES. Exhibit 1 Actual Actual Budget Projected Budget CATEGORY/FUND FY 10-11 FY 11-12 FY 12-13 FY12-13 FY 13-14 Housinq Authoritv Fund(8711: 1. Rent fm Apartments/Interest 4,874,904 7,430,220 4,857,852 5,100,668 5,195,199 2. ReimbursemenUTransfers 111,162 - - Total Housinq AuthoritY Fund 4,986,066 7,430,220 4,857,852 5,100,668 5,195,199 �: � � �, "` " � Exhiait�'HA , � : �<. � �� ., e , .� ; , N � ... R�LIU� D�S�R��IC�US�1C�At�°i'H�RITI�APPR�3PE��A�`IONS� ' � ��: , � � p ' �g0�F'�SCAL 1��� 2Q1�=20i 4 � � „ ��:_ & �� �.n. FY 2013-2014 Housing Authority 7,432,413 TOTAL ALL FUNDS (Includes Transfers Out to Other Funds) 101,894,844 HOUSING AUTHORITY Exhibit 3 CAPITAL IMPROVEMENT PROGRAM HA- EXISTING PROJECTS IN FISCAL YEAR 2012-13 CONTINUED TO FY 2013-2014 PROJECT TITLE ESTIMATED ACCOUNT FUNDING FY 2012-13 PROJECT NUMBERS SOURCES to FY13-14 TOTAL FOR 'SEE NOTE LIFE OF PROJECT RDA Palm Dese►t Housinq Auth Fund 871""' Laguna Palms Capital 388,930 871-8610�66.40-01 Housing Authoriry FD 871 364,764 LagunB Palms ReplaCement Continuing 871-8610-466.33-11 Housing Authority FD 871 2,732 One Quail PIeCe ReplaCement Continuing 871-8660-466.33-11 Housing Authority FD 871 433,430 California Villas Capital 443,679 871-8680�66.40-01 Housing Authority FD 871 441,234 California Vtllas Replacement Continuing 871-8680-466.33-11 Housing Authoriry FD 871 46,414 Carlos Ortega Vlllas Capital 20,000,000 871-8691-466.40-01 Housing Authority FD 871 19,652,600 Desert POinte ReplaCement Continuing 871-8630-466.33-11 Housing Authority FD 871 326,086 Catallna ReplaCement Continuing 871-8620�66.33-11 Housing Authority FD 871 74,852 Las Serenas Replacement Continuing 871-8640-466.33-11 Housing Authoriry FD 871 404,554 PueblOs ReplaCement Continuing 871-8670-466.33-11 Housing Authority FD 871 29,831 Palm Village ReplaCement Continuing 871-8692-466.33-11 Housing Authority FD 871 4,617 Candlewood ReplaCement Continuing 871-8693-466.33-11 Housing Authority FD 871 10,654 Sagecrest Capital 610,851 871-8695�66.40-01 Housing Authoriry FD 871 610,851 Sagecrest Improvements 114,447 871-8695�66.40-50 Housing Authority FD 871 114,447 TOTAL EXISTING PROJECTS $22,517,066 " NOTE: APPROPRIATIONS AND/OR ENCUMBRANCES FOR REBUDGET/CARRYOVER FROM FISCAL YEAR 2012-13 TO 2013-14 Continurng appropriations are amounts which have been appropnated in FY 2012-13 and are not expected to be expended 6y June 30,2013. These/unds are primari/y for capital budgets and specific programs that oveAap nscal years. When authorized, continuing appropriation amounts a�e added to the new fiscal year budget amounts in order to track aU approved spending. The exact amount of appropriations for canyover rrt each fund rndicated wr!!be determined at the end of the fiscal year during the preparation of financial statements. This amount will include: 1)purchase orders and conhacts encumbered totals and 2)unencumbered ba/ances as of June 30, 2013 for appropriations approved 6y the Agency through the last meeting in June, 2013. AMOUNTS ARE SUBJECT TO CHANGE DUE TO PROJECTS APPROVEO BY COUNCIL PRIOR TO JUNE 30,2013 Note:Above amounts are as of January,2013 •••DUE TO THE CURRENT AND POSSIBLE FUTURE IMPACTS OF AB1X 26,PROJECTS LISTED A3 CARRYOVERS WILL ONLY BE FUNDED TO THE EXTENT THAT MONIES ARE AVAILABLE FOR THE PURPOSE OR PROJECT NOTED. CITY OF PALM DESERT SALARY RESOLUTION & SALARY SCHEDULE FISCAL YEAR 2013-2014 Item 5 RESOLUTION NO. 2013- 49 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF PALM DESERT, CALIFORNIA, RESCINDS RESOLUTION NO. 2012-53 AND ESTABLISHES ALLOCATED CLASSiFICATIONS, SALARY SCHEDULE, AND SALARY RANGES, "EXHIBIT A", FOR THE PERIOD OF July 1, 2013THROUGH JUNE 30, 2014. 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 employer - employee relations Ordinance No. 1042; and WHEREAS, the City of Palm Desert has reached agreement and entered into a Memorandum of Understanding with the employees represented by the Palm Desert Employees Organization, for the period June 23, 2011, through June 30, 2014; and WHEREAS, "EXHIBIT A" is consistent with the MOU/Agreement between the Palm Desert Employees Organization and the City of Palm Desert. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF PALM DESERT AS FOLLOWS: SECTION I - SALARY SCHEDULE, RANGES 8� ALLOCATED CLASSIFICATIONS All employees shall be classified and shall receive compensation for services performed. This compensation shall be in accordance with the established salary schedule and salary ranges for their respective classification as shown below. 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 Ciry employees. SALARY RESOLUTION NO. 4�_ AUTHORIZED POSITIONS FY 2013/2014 SECTION I Deuartment I Division FTE Ctassification Sa� Authorized Rans�e City Manager 1 1 Risk Manager 129 1 Sr.Management Analyst 127 1 Sr. Management Analyst-OR- 127 Management Analyst II-OR- 123 1 B Management Analyst I 120 Administrative Secretary 113 1 Human Resources (3) Human Resources Director-OR- 139 Human Resources Manager 131 1 Human Resources Technician 113 2 City Clerk 139 1 Deputy City Clerk 118 1 Administrative Secretary(City Council) 113 1 Records Technician 113 1 O�ce Assistant II-OR- 104 2 O�ce Assistant I 100 ''• ' Director of Special Programs 137 1 Recycling Technician 113 1 Administrative Secretary 113 1 Office Assistant II-OR- 104 1 O�ce Assistant I 100 Director of Finance/City Treasurer 145 1 Accounting/Investments Assistant Finance Director 135 1 Deputy City Treasurer 127 1 Senior Financial Analyst 127 1 Management Analyst II-OR- 123 1 Management Analyst I 120 Administrative Secretary 113 1 O�ce Assistant 11-OR- 104 1 Office Assistant I 100 Payroll (1) Accounting Technician II 118 1 Accounts Payable (1) Accounting Technician II 118 1 Accounts Receivable (1) Accounting Technician II 11g 1 Purchasing/Fixed Assets (1) Accounting Technician II 118 1 Business License (1) Sr. Office Assistant(Business License) 107 1 Information Technology (4) Information Systems Manager 135 1 G.I.S.Technician 114 1 Information Systems Technician 114 2 SALARY RESOLUTION NO. 49 AUTHORIZED POSITIONS FY 201312014 SECTION I De�artment/Division FTE Classification Sa� Authorized Ranae • � •• Director of Community Development 144 1 Community Development/ (6) Principal Planner 135 1 Planning Associate Planner-OR- 127 2 Assistant Planner 123 Administrative Secretary 113 1 Senior O�ce Assistant 107 1 Art in Public Places (2) Management Analyst II 123 1 B Public Arts Technician 113 1 Code Compliance (6) Code Compliance Supervisor 123 1 Code Compliance Offcer II-OR- 118 4 Code Compliance Officer I 114 Code Compliance Technician 113 1 �- Public Works Administration (16) Director of Public Works 145 1 City Engineer 139 1 Transportation Engineer 130 1 Senior Engineer/City Surveyor 130 1 Senior Engineer-OR- 129 1 Associate Engineer 127 Project Administrator 127 1 Assistant Engineer 125 1 Project Coordinator 121 1 Public Works Inspector II-OR- 120 3 Public Works Inspector I 118 Capital Improvement Projects Technician 113 1 Administrative Secretary 113 1 Accounting Technician(Public Works) 113 1 Office Assistant II-OR- 104 1 O�ce Assistant I 100 Clerical Assistant 90 1 Landscape Services (6) Landscape Manager 129 1 Landscape Specialist 121 1 Senior Landscape Inspector 121 1 Landscape Inspector II-OR- 118 3 A �andscape Inspector I 114 Public Works-Corporation Yard Streets Maintenance (16) Maintenance Services Manager 130 1 Streets Maintenance Supervisor 121 1 Senior Maintenance Worker 111 2 Equipment Operator I 109 3 Maintenance Worker II-OR- 106 7 Maintenance Worker I 101 Laborer 87 2 B SALARY RESOLUTION NO. 49 AUTHORIZED POSITIONS FY 201312014 SECTION I Deaartment/Division FTE Classification Ra� Authorized —� Traffic Signal Maintenance (3) Traffic Signal Specialist 121 1 Traffic Signal Technician II 118 Engineering Technician II-OR- 118 1 Engineering Technician I 113 Traffic Signal Technician II 118 1 Butiding Operations/ Maintenance (3) Building Maintenance Supervisor 114 1 Maintenance Worker II-OR- 106 2 Maintenance Worker I 101 � � � Director of Building 8 Safety 140 1 Superoising Plans Examiner 123 1 Building Permit Specialist II-OR- 118 2 Building Permit Specialist I 111 Building Inspector II-OR- 118 4 A Building Inspector I 114 Administrative Secretary 113 1 Building&Safety Technician 111 1 O�ce Assistant II-OR- 104 1 O�ce Assistant I 100 • • � •' Director of Economic Development 137 1 Economic Development Manager 134 1 Marketing and Tourism Manager 131 1 Economic Development Technician II-OR- 118 1 Economic Development Technician I 114 Visitor Center Supervisor 114 1 B Customer Service Clerk(full-time) 87 1 Customer Service Clerk(part-time)- 1.3 FTE 87 2 •'�• = • Director of Housing 140 1 B Management Analyst II-OR- 123 1 Management Analyst I 120 Sr. Management Analyst-OR- 127 Management Analyst II 123 1 B Housing Programs Technician 113 2 TOTAL ALLOCATED POSITIONS 116 Total FTE=115.3 Footnotes: A:Reduction in number of allocated positions due to attrition as noted in FY 2012/2013 salary resolution. B:Reclassifications-as per White Paper FY 2013/2014 budget Resolution 2013 - 49 - Salary Resolution SECTION II - EXEMPT PERSONNEL The following positions 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. The positions designated as Group A have a higher level of responsibility and authority and among other things, these positions require spending numerous extra hours at meetings, conferences and work. Group A: City Manager City Clerk City Engineer Director of Building & Safety Director of Community Development Director of Economic Development Director of Finance/City Treasurer Director of Housing Director of Public Works Director of Special Programs The foNowing positions 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. The positions designated as Group B are professional in nature and among other things; these positions require spending occasional extra hours at meetings, conferences and work. Group B: Assistant Finance Director Economic Development Manager Assistant Engineer Human Resources Manager Assistant Planner Marketing and Tourism Manager Associate Engineer Landscape Manager Associate Planner Management Analyst I/II Building Maintenance Supervisor Maintenance Services Manager Code Compliance Supervisor Principal Planner Deputy City Treasurer Project Administrator Resolution 2013 - 49 - Salary Resolution Risk Manager Supervising Plans Examiner Senior Engineer Streets Maintenance Supervisor Senior Engineer/City Surveyor Transportation Engineer Senior Financial Analyst Visitor Information Center Supervisor Senior Management Analyst SECTION III - MILEAGE REIMBURSEMENT The mileage reimbursement rate to employees required to use their personal car on City business shall be set by Council and conform to current Internal Revenue Service guidelines. SECTION IY - OTHER COMPENSATION Employees may be eligible for post employment retirement benefits as follows: • A Retiree Health Service Stipend is proscribed in Resolution 2008-02. In accordance with that resolution, employees hired prior to December 31, 2007, receive benefits under Tier One, while qualifying emp�oyees hired after January 1, 2008, receive benefits under Tier Two. • The City contracts with the California Public Employees Retirement System (CaIPERS) to provide pension benefits to qualifying employees. Employees hired prior to August 31, 2011, receive benefits under the 2.7% @ 55 formula and employees hired after September 1, 2011, receive benefits under the 2% @ 55 formula, and those hired after January 1, 2013, receive benefits under the 2% @ 62 formula. While this resolution establishes the ranges and gross salary for certain positions in the classified service for the City of Palm Desert, there are other benefits both tangible and intangible that are not addressed in this document. Unless referenced otherwise, all benefits in place on June 30, 2013, will continue as constituted. Resolution 2013 - 49 - Salary Resolution SECTION V This resolution is effective upon adoption. The provisions relating to salary and other compensation shall be effective and where applicable, accrue on, and from July 1, 2013. PASSED, APPROVED AND ADOPTED by the Palm Desert City Council this day of June 2013 by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: ATTEST: JAN HARNIK, MAYOR APPROVED: RACHELLE KLASSEN, CITY CLERK CITY OF PALM DESERT CITY OF PALM DESERT Resolution 2013- [�g_ SCHEDULE OF SALARY RANGES AND CLASSIFICATIONS Attachment"A" Effective 7/1/2013-6/30h 4 5% 5% 5% 5% 5% 7.5% POSIT1oN CLASSIFlCATION GRADE Ste 1 Ste 2 Ste 3 Ste 4 Ste 5 Ste 6 Ste 7 10001 Cit Mana er/Executive Director of RDA 1 117.32 , ; 1 City Council Member 999 1,912.50 l __ �_ i 1 Housing Board Member _ 30 per meeting attended(Maximum 4 meetin s per month) ---�- - --_. _... 1_ �. _ 10006 ;Dir. of Finance/CitY Treasurer 145 ___ 65.65 68.91 72.38 � 75.99 79.78 ' 83.78 :_ 90.06 � I 10011 Director of Public Works 145 � 65.65 68.91 72.38 75.99 79.78 83.78 90.06 10009 i Director of Communit Develo ment 144 64.04 67.24 70.59 � 74.13 77.85 8i.73 ' 87.86 142 60.95 � 63.99 , 67.19 70.55 74.07 77.79 83.60 , � 141 59.47 62.43 ' 65.58 � 68.84 72.28 ' 75.90 81.60 � 10010 Director of Buildin &Safet 140 58.01 ' 60.90 63.96 67.16 70.50 74.03 79.60 � � 10014 Director of Housin 140 58.01 60.90 � 63.96 67.16 � 70.50 , 74.03 ; 79.60 10015 City Clerk 139 56.60 59.45 62.41 65.52 68.80 72.24 � 77.66 � 10018 Cit En ineer 139 56.60 59.45 ' 62.41 65.52 68.80 � 72.24 77.66 138 55.20 57.98 60.87 63.93 67.13 70.47 75.78 i � 10022 Director of Economic Development ; _ 137 53.88 56.57 ' S9.39 . 62.37 65.46 68.76 I _73.91 �� i 10016 ,Diri ector of S ecial Pr rams 137 53.88 56.57 � 59.39 62.37 65.46 68.76 73.91 ; 136 ' S2.56 55.18 57.96 60.84 63.90 ; 67.09 � 72.12 20028 I Information System Manager 135 51.27 ' 53.85 � 56.54 59.35 62.32 65.43 � 70.35 -- -- - - -- -- - --.-� . . _ _ _ 20060 ,�Assistant to the City Manager 135 5127 . 53.85 56.54 � 59.35 62.32 65.43 70.35 - --- ---.... - -- - -- - ---� - �- � � ---�- -� , �- 20066 Assistant Finance Director 135 I 51.27 53.85 56.54 59.35 ' 62.32 65.43 70.35 - -- - - T - - -- --- - 20075 Princi al Planner 135 ' 51.27 53.85 56.54 59.35 62.32 65.43 70.35 20071 134 50.03 � 52.54 ' 55.16 , 57.93 60.82 � 63.87 68.66 , _.._.. _ _.. - _.._ ..-� - -- -•-- I 20074 Economic Develo ment Mana er 134 50.03 52.54 55.16 � 57.93 60.82 63.87 68.66 133 48.80 ' 5124 53.82 56.51 59.33 62.30 66.98 � 132 I 47.63 50.01 � 52.51 � 55.13 57.90 60.79 65.35 ---� - ----- ---- - - _.. .- - - ------- -.. 20030 Redevelopment Manager _ _ 131 ; 46.46 ' 48.78 51.21 _53.77 56.46 59.28 63.72 � 20034 �Human Resources Manager � 131 � 46.46 48.78 51.21 53.77 56.46 i 59.28 I 63.72 _.._-t - - - - ---- 20051 131 46.46 48.78 , 51.21 , 53.77 56.46 59.28 i 63.72 _ -- ---- --- -- - , - 20061 Tourism and Marketin Mana er 131 � 46.46 48.78 ' S1.21 , 53.77 ' 56.46 59.28 ; 63.72 CITY OF PALM DESERT Resolution 2013- 49 SCHEDULE OF SALARY RANGES AND CLASSIFICATIONS Attachment"A" Effective 7/1/2013-6/30/14 5% 5% 5% 5% 5% 7.5% POSITION CLASSIFICATION GRADE Ste 1 Ste 2 Ste 3 Ste 4 Ste 5 Ste 6 Ste 7 . � 20006 Transportation Engineer 130 45.34 ' 47.59 , 49.97 52.47 55.10 57.85 62.18 - - -- - - --- -- I -- 20009 Maintenance Services Manager � 130 ' 45.34 � 47.59 .49.97 52.47 55.10 57.85 62.18 _. �- _ _ -- -- - - - -- - - , � 20056 Senior En ineer/Cit Surve or 130 45.34 47.59 �� 49.97 52.47 55.10 57.85 , 62.18 20008 Senior En ineer __ � 129 44.22 � 46.43 , 48.76 51.18 � 53.75 56.� 60.67 r- -- - - - --_� . _. _ - I __ 20017 Risk Mana�er __ �9 44.22 46.43 48.76 51.18 53.75 56.43 60.67 _.. �._ _ � �_ _ ._. _.. _. _ 20048 �Landsca e Mana er 129 44.22 � 46.43 �. 48.76 51.18 � 53.75 56.43 I 60.67 � 128 � 43.14 , 45.28 47.54 j 49.93 52.43 55.04 59.17 , 20013 Senior Management Analyst __ , 127 42.08 44.20 46.41 � 48.74 � 51.16 � 53.73 57.75 _____ _ _ , __ __ __ , _ 1 20015 Associate Planner 127 42.08 , 44.20 46.41 ' 48.74 51.16 53.73 57.75 _. _.. --- - - - - , - - -- - - - 20019 I 127 42.08 ; 44.20 I 46.41 48.74 51.16 53.73 ' S7.75 20035 Associate Engineer 127 _ 42.08 ! 44.20 I_ 46.41 � 48.74 51.16 53.73�7.75 - -- _ i _ ._�... . _ _ 20036 Project Administrator 127 42.08 44.20 . 46.41 48.74 51.16 � 53.73 57.75 - -- -- -- -- - - � -- - -- � --- 20064 Deputy City Treasurer _ I 127_ � 42.08 ' 44.20 _ 46.41 � 48.74 ; 51.16 �_ 5_ 3.73 i 57.75_ - - �- �- i I 20067 Senior Financial Analyst 127 ; 42.08 44.20 46.41 48.74 51.16 53.73 l_ 57.75 -- ---- - �- - 20076 127 I 42.08 44.20 , 46.41 i 48.74 51.16 53.73 I 57.75 , i 20018 �Assistant En ineer 125 40.07 42.06 ' 44.19 46.40 48.73 51.15 54.99 ' 124 39.08 41.04 43.11 � 45.25 � 47.51 49.89 53.61 � 20077 __�Code Compliance Supervisor _ 123 _ 38.13 40.05 42.04 I 44.15 _46.36 I 48.67 ' S2.31 � ► � f � _ 20012 Supervising Plan Examiner __ _ _ 123 �38.13 i _ 40.05 42.04 44.15 46.36 I 48.67 i 52.31 i _. I . ' 20020 Management Analyst II __ 123 I _ 38.13 40.05 , 42.04 44.15 46.36 I 48.67 52.31 -- - � _ � f � _ , �-� �-- . 20021 Assistant Planner 123 ', 38.13 40.05 42.04 44.15 46.36 . 48.67 52.31 122 37.20 39.06 41.00 43.04 45.20 47.47 , 51.03 ; ' , ' 20023 Streets Maintenance Supervisor _ 121 _ 36.29 , 38.11 40.02 42.00 44.12 46.33 49.79 - �-- 30002 'Accountant I I 121 , 36.29 38.11 ' 40.02 42.00 44.12 46.33 49.79 --. _.... __.._ _-- - _... -. --- -- - 30061 'Landscape Specialist I 121 � 36.29 ' 38.11 40.02 42.00 44.12 46.33 49.79 _ _� - - - -- -- - �- - � � � 30063 �Senior Code Compliance Officer _ � 121 36.29 i 38.11 40.02 � 42.00 � 44.12 46.33 � 49.79 � � ' � ; 30082 �Traffic Signal Specialist 121 36.29 38.11 . 40.02 42.00 I 44.12 � 46.33 I 49.79 - P� r -- ..�- -I - � -�- ---�--- , - 3��ii •�ct Coo�inzt�r 121 3G.29 38.11 4�.�2 42.H 44.12 4G.33 49.79 CITY OF PALM DESERT Resolution 2013-�� SCHEDULE OF SALARY RANGES AND CLASSIFICATIONS Attachment"A" Effective 7/1/2013-6/30h4 5% 5% 5% 5% 5% 7.5% POSITION CLASSIFlCATION GRADE Ste t Ste 2 Ste 3 Ste 4 Ste 5 Ste 6 Ste 7 30090 'Senior Landsca e Ins ector 121 36.29 38.11 40.02 42.00 44.12 i 46.33 I 49.79 � 20058 �Management Analyst I _ 120 � 35.41 � 37.18 39.04 40.96 � 43.01 45.18 48.57 30076 Public Works Ins ector II � 120 35.41 37.18 39.04 40.96 43.01 45.18 48.57 � 119 34.54 ; 36.27 38.09 . 39.98 � 41.97 44.07 47.38 30006 Public Works Inspector I 118 33.69 35.37 � 37.15 39.02 40.94 � 42.99 46.22 - - - - -- - -- �- -�-- - ---- -- 30008 Buildin�Inspector II �y 118 33.69 35.37 37.15 � 39.02 j 40.94 42.99 46.22 --� -- - � - ----�- --- � � 30009_ Building Permit Specialist II 118 33.69 � 35.37 37.15 39.02_;_ 40.94 � 42.99 . 46.22 -- ,._� ._ , . 30011 Accountant I 118�33.69 35.37 i _37.15 � 39.02 40.94 42.99 46.22 , --� -- 30012 Code Compliance Officer II � 118 , 33.69 35.37 37.15 39.02 ; 40.94 ' 42.99 ; 46.22 30016 _ Engineerin Technician II 118 ___ 33.69 � 35.37 ; 37.15 � 39.02 40.94_ 42.99 46.22 � _ � 30075 Landscape Inspector II � 118 33.69 � 35.37 37.15 39.02 40.94 ' 42.99 � 46.22 --- - - -- -- -- 30080 �Accounting Technician II 118 33.69 35.37 37.15 I 39.02 40.94 42.99 � 46.22 --- - -- -- --- - � - -.._. _ i .._ 30081 _Traffic Signal Technician II __ �18 _ 33.69; _35.37 37.15 39.02 � 40.94 � 42.99 46.22 � f ---� �- � 30084 Deputy Ci Clerk 118 33.69 35.37 �. 37.15 � 39.02 �: 40.94 � 42.99 . 46.22 - -- - -ry - - -- -� . -.- - 30087 Economic Develo ment Technician II ; 118 33.69 � 35.�37.15 ! 39.02 . 40.94 42.99 ' 46.22 i 117 32.88 � 34.52 I 36.25 38.07 39.95 41.95 45.10 � _ . 116 32.07 33.67 _35.35 37.11 ; 38.99 , 40.92 ' 44.00 _ � -- � - -- - - - -- ' 115 31.29 32.87 34.51 ' 36.24 � 38.05 39.94 42.94 20072 Building Maintenance Supervisor 114 30.53 32.05 . 33.66 35.33 � 37.10 38.97 ; 41.88 ._�-•- -- ----�- i __ _.... �. .- 30014 Code Compliance Officer I 114 30.53 32.05 33.66 35.33 37.10 38.97 41.88 , __ _ __ _ ; __ j _ _ , ,_ .�. 30015 Building Inspector I _ 114 � _ 30.53 �_ 32.05 33_66 35.33 ' __37.10 38.97 41.88 -� - -- - - � _ 30045 �Landscape Inspector I _ _ �114 30_53 ' 32.05 33.66 35.33 37.10 i 38.97 � 41.88 . - , - - - 30047 �Economic Development Technician I 114 30.53 32.05 � 33.66 35.33 37.10 38.97 41.88 � � � 30056_ Information Systems Technician 114 30.53 ' 32.05 33.66 , 35_33 37.10 _38.97 41.88 . �-..-- - . �_._ _ _ 30085 +GIS Technician __ 114 ! 30.53 : 32.05 , 33.66 I 35.33 37.10 38.97 41.88 - - --- - - ___ __ _ ...-- --- _ _ I � � 20078 �Visitor Center Su ervisor 114 30.53 32.05 33.66 , 35.33 37.10 38.97 ` 41.88 30005��EngineeringTechnicianl 113 29.77 �. 3127 � 32.82 � 34.48 . 36.19 38.01 40.86 - � � -- --� _._; _. .. 30018 �Human Resources Technician 113 29.77 31.27 ' 32.82 I 34.48 36.19 38.01 40.86 CITY OF PALM DESERT Resolution 2013- 49 SCHEDULE OF SALARY RANGES AND CLASSIFICATIONS Attachment"A" Effective 7/1/2013-6/30/14 5% 5% 5% 5% 5% 7.5% POSI710N CLASSIFlCATION GRADE Ste 1 Ste 2 Ste 3 Ste 4 Ste 5 Ste 6 Ste 7 ' 30019 Accountin�Technician I 113 � 29.77 ' 31.27 32.82 34.48 i 36.19 38.01 40.86 --� -- _ - - -- --- �- -- -- 30020 Administrative Secreta 113 ' 29.77 31.27 � 32.82 34.48 36.19 38.01 � 40.86 -- - -- ry -- - --- -� - - - -- � � � � � � 30048 Records Technician 113 29.77 31.27 32.82 34.48 � 36.19 ! 38.01 40.86 - - - - -. -� .. _.. . -- -- 30064 Code Compliance Technician ' 113 29.77 31.27 32.82 ' 34.48 36.19 38.01 40.86 -- -.._ _.._.-� - - -�- - 30074 Housing Programs Technician 113 I 29.77 31.27 �. 32.82 34.48 i 36.19 38.01 40.86 -- �- � --- -+ - -- - - _. _._ ---� - 30077 Public Arts Technician 113 29.77 31.27 32.82 1 34.48 36.19_' 38.01 40.86 --- - ----- - --- .._ .. _�- -- - - -- 30083 'Capital Improvement Projects Technician _ 113 _ 29.77 31.27 32.82 __34.48 36_19 38.01 40.86 -- - - - - -� I- i - - -- 30089 Recyclin T�cian '' 113 29.77 ' 31.27 32.82 34.48 �: 36.19 38.01 40.86 �12 I 29.06 30.50 32.02 33.63 35.29 i 37.07 � 39.83 j 30021 Senior Maintenance Worker 111 28.37 ' 29.77 : 31.27 ' 32.82 34.48 ' 36.19 ; 38.90 30023 Building Permit Specialist _111 28.37 ' 29.77 3127 32.82 ' 34.48 36.19 � 38.90 --�.. - ------ - -�---. _ _ --- �--. � . , 30086__ Building and Safety Technician � 111 28.37 29.77 31.27 ' 32.82 34.48 36.19 38.90 -- -- - -- --- -- _ � � 30053 E ui ment O erator II 111 28.37 ; 29.77 31.27 � 32.82 34.48 . 36.19 38.90 I 110 27.66 29.06 30.50 32.02 33.63 35.29 ' 37.96 30052 I E ui ment O erator I I 109 27.00 28.36 29.75 31.25 � 32.79 34.46 � 37.03 108 26.32 27.64 29.03 : 30.48 . 32.00 � 33.60 36.12 - - - -. .- - - - - -... �. ..-- --�-- - • - � -- - , � � i� 30026 Senior Office Assistant 107 25.68 26.99 28.34 29.74 31.24 � 32.78 35.24 _. , _ -- - - �_ . _. _ . -- - -- - - 30097�- 107 �� 25.68 l_ 26.99 '� 28.34 . 29.74 I 31.24 . 32.78 35.24 ---. _ ._ _ _ ...�__ - -� _ .. �-- - I I 30029 Maintenance Worker II __ 106 ' 25.03 26.30 27.62 29.00 _30.45 I 31.97_� 34.36 - � - , � 30051 Rece tionist 106�25.03 � 26.30 ': 27.62 2� 30.45 , 31.97 ' 34.36 I 30028 105 24.44 � 25.66 26.95 28.31 29.71 31.19 , 33.53 30030 �Office Assistant II 104 23.85 25.03 � 26.30 27.62 � 29.00 30.45 32.72 103 23.29 24.44 25.65 26.94 28.29 � 29.70 31.93 � 102 I 22.71 23.83 ' 25.01 26.28 27.60 : 28.97 31.14 30036 �Maintenance Worker I 101 22.15 23.26 . 24.43 25.64 � 26.93 : 28.28 ; 30.41 30035 �,Office Assistant I 100 21.60 � 22.71 23.83 � 25.01 � 26.28 27.60 � 29.66 � , 30098 'Clerical Assistant ' 90 16.83 17.68 18.55 19.48 20.46 21.48 23.09 30095 I Laborer 87 1224 12.85 � 13.49 14.17 I� 14.88 � 15.63 16.72 _ . - - -f------ --� --�- � - 30096 Customer Service Clerk- Full Time I 87 12.24 ; 12.85 13.49 14.17 14.88 15.63 16.72 CITY OF PALM DESERT Resolution 2013- 49 SCHEDULE OF SALARY RANGES AND CLASSIFICATIONS Attachment"A" Effective 7/1/2013-6/30/14 5% 5% 5% 5% 5% 7.5% POSITION CLASSIFlCATION GRADE Ste 1 Ste 2 Ste 3 Ste 4 Ste 5 Ste 6 Ste 7 � 45001 Customer Service Clerk-Part Time 87 12.24 12.85 13.49 : 14.17 14.88 15.63 , 76.72 50014 �Risk Mana er Y Rated 50 66.32 � 50015 �Code Com liance Officer II Y Rated 52 46.93 CITY OF PALM DESERT FISCAL YEAR 2013-2014 OUT OF STATE TRAVEL Item 6 CITY OF PALM DESERT FINANCE DEPARTMENT STAFF REPORT Request: Authorization of Out-of-State Travel in FY 2013/2014 budget Submitted by: Paul S. Gibson, Director of Finance/City Treasurer Date: June 27, 2013 The FY 2013/2014 budget includes out-of-state travel for the departments listed below. The trips are for attendance at nationa! conferences of professional organizations of which the City or department head is a member. Staff requests approval for the following meetings and attendees: _ . _ _ . Deaartment ' Orqanization Destination Attendee : : . ;_ __ _ _. _ _ _ : _ _ __.._ Building & Safety ICC Annual Business Mtg ' Atlantic City, NJ Director of Building and Safety , _ _ _ _ _ _ __ City Clerk IIMC Milwaukee, WI City Clerk or Deputy City Clerk .___ _ � __ _; __ __ .. _ : _ ....._. _ _ _ City Council ; ICSC � Las Vegas, NV Councilmember _ __ . __. _ _ _ __ : City Manager ICMA Annual Conference Boston, MA ; Management Analyst/ Public � Information Officer, Sr. Mgmt Analyst _.__ _ __ _ _ _ . : . _.._.._ _. ; Community Dev. Americans for the Arts Conference Nashville, TN Public Art Coordinator _ . _ _ _ . _ __ __ _._ ; Economic Dev. ICSC Las Vegas, NV Economic Development Manager . ___ __ _ .. . _. : _ _ _ Public Works ITE Western District Conf. Phoenix, AZ Director of Public Works and ' Transportation Engineer ITE Annual Meeting Boston, MA Director of Public Works or Transportation Engineer APWA Congress Chicago, IL Director of Public Works, City Engineer or Senior Engineer ICMA Annual Conference ' Boston, MA Director of Public Works ASCE Civic Engineering Conf. Charlotte, NC Director of Public Works, City Engineer or Senior Engineer Irrigation Show & Education Conf. Austin, TX Landscape Manager Autodesk University Las Vegas, NV Transportation Engineer& Sr. Engineer California Land Surveyor Assn. Reno, NV City Engineer& City Surveyor , _._ __ _ _ ___ ._._ . ___ _ ___ Special Programs National Community Development Milwaukee, WI Director of Special Programs Assn. or Boston, MA __ _._.. _ ___ . _ _ __ Sub ' ed by: Approval: Paul S. Gibson, Finance Director John M. Wohlmuth, City Manager PSG:nmo