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City of Pleasanton
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CITY CLERK
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2015
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CITY CLERK
CITY CLERK - TYPE
AGENDA REPORT
DOCUMENT DATE
4/21/2015
DESTRUCT DATE
15Y
DOCUMENT NO
1
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Vice Mayor Brown noted there were no speakers to address this item. <br /> MOTION: It was m/s by Olson/Narum to adopt the Resolution No. 15-737 accepting the Midyear FY <br /> • 2014-15 Operating Budget and amendments. Motion passed by the following vote: <br /> AYES: Councilmembers Narum, Olson, Pentin, Vice Mayor Brown <br /> NOES: None <br /> ABSENT: Mayor Thome <br /> 13. Consider adoption of a resolution accepting the Midyear FY 2014-15 Capital Improvement <br /> Program (CIP) budget and amending said budget accordingly <br /> Ms. Olson presented the Midyear CIP budget and related amendments. <br /> The sole recommended adjustment to the Sewer CIP is an increase in interest earnings of $39,400. <br /> The Parks CIP also saw an increase in interest earnings ($82,550) which is offset by a slight increase <br /> in expenditures ($3,000) to help fund the Bemal Property Improvements Phase 2 Reserve. The sole <br /> recommended adjustment to the Water CIP is a $125,000 increase in revenues related to an <br /> agreement with DSRSD for use of the city's recycled water. <br /> The Miscellaneous CIP saw several adjustments. Revenue adjustments of $346,595 include interest <br /> income of $30,600, $30,670 in Happy Valley Sewer and Water Connection fees, and $285,000 in loan <br /> proceeds from the California Energy Commission for the LED Street Lighting project. Expenditures are <br /> adjusted to reflect a $350,000 payment on the California Energy Commission loan. Transfer <br /> adjustments include $95,000 from the General Fund to pay a portion of the California Energy <br /> Commission loan and $32,000 to the General Fund for partial repayment on the golf course loan. <br /> The Streets CEP include revenue increases of $293,000, $82,750 of which is interest earnings and <br /> $210,543 of which is from freeway interchange fees from the City of Dublin. Staff is proposing to <br /> allocate these interchange fees to the future projects reserve. After minor adjustments to transfers and <br /> expenditures, the fund balance is projected to see a net increase of$63,926. <br /> Ms. Olson stated that her department has issued budget instructions to all departments in preparation <br /> for the next budget cycle. This next budget will focus in part with increasing the amount of funds <br /> allocated to repair and replacement as well as capital projects to reflect the city's intentional efforts to <br /> cut back in these areas during the recession. Her staff will meet with the City Manager and other <br /> departments the week of April 13`"to review their respective budget proposals. The Council is expected <br /> to hold budget workshops on May 19`" and/or June 2ntl, with a goal of adopting the budget on June 16th. <br /> Councilmember Narum recalled that the golf course loans had been paid off recently and requested <br /> clarification on the $32,000 transfer from the Miscellaneous CIP. <br /> Mr. Fialho explained that this is not related to the interest bearing construction debt that was paid off as <br /> she recalled. This transfer is for partial repayment of the initial investment in golf course infrastructure <br /> made by the General Fund. While he did not know the precise balance, he did say that it is still in the <br /> millions. <br /> Vice Mayor Brown noted there were no speakers to address this item. <br /> MOTION: It was m/s by Olson/Pentin to adopt Resolution No. 15-738 accepting the Midyear FY 2014- <br /> 15 Capital Improvement Program (CIP) budget and amendments. Motion passed by the following vote: <br /> City Council Minutes Page 6 of 9 March 17,2015 <br />
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