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Tadashi Yamaoda expressed support for the funding of the new skateboard park. He explained these <br /> types of recreation projects do not typically receive state funding. He noted it has been a long time <br /> coming to get a full skateboard park in the City. <br /> Michael Petersen reported he runs the Farmers Market on West Angela Street and expressed support <br /> for any park that gets updated. <br /> Sam Isola expressed support for a new skate park. He advised the skate park has been on the agenda <br /> and noted there will never be a perfect time to build a skate park. He encouraged the City Council to <br /> name it the David Lambert Skate Park. <br /> Andrew Lambert noted skate parks are typically overlooked and advised it was supposed to be built in <br /> 2014. He echoed Mr. Yamaoda's comments that these types of projects do not typically receive state <br /> funding. He stated he speaks on behalf of the over 30 youth that expressed support of the skate park <br /> and would like the skate park before the picnic area and the shade structure. <br /> Dustin advised he was on the original board in the early 1990s. He noted residents were told if the park <br /> stayed nice the City would build a better skatepark. He expressed his support for funding the skatepark. <br /> Mayor Brown closed the public hearing. <br /> BUDGET WORKSHOP <br /> 1. Review of FY 2022/23 Mid-Term Operating and Capital Improvement Project draft budget <br /> Interim Finance Director Mahin Shah presented the Fiscal Year 2022/23 Mid-Term Budget Update. She <br /> noted the main goal is to maintain fiscal sustainability and manage the City's reserves at a level that <br /> matches City policy while funding essential City services. <br /> Interim Finance Director Shah presented an overview of the City Budget and reported there was an <br /> increase in the General Fund of $3.7 million, a reduction of $1.3 million in Enterprise Funds, an <br /> increase of $2.9 million in Internal Service Funds, and an increase of $1 million in Special Revenue <br /> Funds. She provided an overview of Revenues by categories and advised the largest source of <br /> revenue for the City is taxes which includes Property Taxes, Sales Tax, Transit Occupancy Tax (TOT), <br /> and Vehicle License Fee, of which most belong to the General Fund. She advised the second largest <br /> category is Utilities including Water and Sewer which make up 23% of revenues and are managed by <br /> Enterprise Funds. <br /> Interim Finance Director Shah reported staff is proposing an increase in both revenues as well as <br /> expenditures. She advised that based on an analysis of different revenue categories there is an <br /> additional $5.4 million in revenues, an additional $3.7 million in expenditures, and a transfer of $1.7 <br /> million based on increased revenues and expenditures. She advised the General Fund is made up of <br /> different kinds of Property Taxes, Sales & Use Taxes, Other Taxes, Development Service Fees, <br /> Recreation Fees, and Other Revenue and noted they will all be increasing. She reported the largest <br /> increase is in Sales & Use Taxes by $1.9 million followed by Property Taxes at $1.6 million which pays <br /> for 59% of General Fund revenues. <br /> Interim Finance Director Shah provided a brief overview of Operating Expenditures. She reported an <br /> increase in Personnel Expenditures of $1.2 million and noted it makes up 72% of General Fund <br /> Expenditures. She advised that the biggest increase in Materials & Supplies of $3.7 million. She <br /> explained the personnel cost increase is due to wage increases, pension increases, temporary salaries, <br /> and the new Livermore-Pleasanton Fire Department JPA Approved Fire Battalion Chief position for <br /> which the City is 50% responsible for funding. She reported non-personnel cost increases of $2.47 <br /> City Council Minutes Page 2 of 11 May 31,2022 <br />