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purchase of water by $1.9 million. She reported staff will be bringing an item to the City Council on <br /> March 15 to look at implementing the drought rates it had approved in 2015. <br /> Director Olson reported the Sewer Operations and Maintenance Fund shows a decrease in revenues <br /> and noted there are increases in expenditures. She reported the Golf Fund shows a $400,000 increase <br /> in revenue and a $192,000 increase in expenses for staff. She recommends looking at the surplus at <br /> the year-end and looking to repay the General Fund loan to the Golf Fund. Lastly, she reported a <br /> $135,000 decrease in revenues in the Internal Services Funds and a $656.000 increase in expenses. <br /> Councilmember Balch noted the pressure on the City s Operating Budget will be relieved by the large <br /> return from CaIPERS last year. He inquired how quickly the City will realize the impact of that relief. <br /> Director Olson explained that CaIPERS reported these numbers and has adjusted operations over the <br /> last several years to be more conservative. <br /> Councilmember Testa reported she attended a CaIPERS workshop where they announced the 21% <br /> return. She advised they noted at the time they indicated the return will make an impact. Director Olson <br /> reported she attended a CaIPERS webinar and they anticipated savings. She explained nothing is <br /> happening for the next 3 to 4 years but then the savings will be realized. <br /> Councilmember Testa inquired about the $600,000 coming from the COVID Reserve. Director Olson <br /> explained it was part of the $1 million allocated General Fund Surplus in FY 20/21 to help departments <br /> recover pandemic-related expenses. She confirmed they were not related to the ARPA funds. <br /> Councilmember Narum inquired why staff is recommending allocating $5.3 million to the CIP Reserve <br /> instead of backfilling the Repair and Replacement Fund. Director Olson advised that backfilling the <br /> Repair and Replacement Fund is an option. She believes the Repair and Replacement Fund will be <br /> rebuilt quickly according to the financial plan at $20 million. She noted the amount is a policy decision. <br /> Councilmember Arkin inquired if the $400,000 for the Crisis Response Program is at risk. Director <br /> Olson advised it is sitting in a separate reserve and is not at risk. <br /> Councilmember Arkin inquired about the General Fund loan to the Golf Fund. Director Olson explained <br /> the loan was to finance supporting infrastructure for the Golf Course. She advised the balance is $5.5 <br /> million. <br /> Councilmember Arkin noted the Sewer Operations and Maintenance Fund balance is 44% which is <br /> outside of the City policy of the maximum 40%. Director Olson advised the Water Committee is <br /> conducting a rate study and the balance of the fund is included in the rate study. <br /> Mayor Brown expressed surprise regarding the net decrease in expenditures for Zone 7 water and <br /> inquired if that means residents are already cutting back on water usage. Director Olson advised it is a <br /> reflection of cutbacks to date and anticipated cutbacks through year-end. <br /> Mayor Brown inquired about the $27,500 contribution to the Pleasanton Unified School District's <br /> (PUSD) Solar Panel Project. Interim City Manager Brian Dolan advised the previous City Manager <br /> agreed to contribute to the project. <br /> Mayor Brown reported she and Councilmember Testa attended a Livermore/Pleasanton Liaison <br /> Committee and noted there was a contingency for Livermore Airport studies. Interim City Manager <br /> Dolan advised there is a consultant on board who is reviewing the materials. <br /> Mayor Brown Mayor Brown opened public comment. There being no speakers. the public comment <br /> period was closed. <br /> City Council Minutes Page 4 of 12 March 1. 2022 <br />