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15 ATTACHMENT 1
City of Pleasanton
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15 ATTACHMENT 1
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City of Pleasanton Operating Budget • FY 2023/24 - FY 2024/257 <br />To date, the City has allocated a total of $38.0 million toward a Section 115 Pension Trust Fund <br />administered by PARS (PARS Trust Fund), comprised of both short- and long-term investments.1 The <br />City Council also adopted policies that placed limits on the City’s ability to draw on the PARS Trust Fund <br />to ensure funds are available to make pension contributions during financially difficult times without <br />having to reduce City services. In addition, to the extent to which the City is able to not draw on the <br />PARS Trust Fund, the fund can grow through compounded investment earnings. As described in the <br />City’s 10-year General Fund Forecast in Appendix D, staff anticipates the City may need to draw on the <br />PARS Trust Fund to balance the budget in the out years. <br />Major Expenses – Non-Personnel <br />Non-personnel expenses include (1) utilities, (2) contractual services, (3) repairs and replacement of <br />the City’s equipment, facilities, streets, and parks, and (4) materials and supplies. Each major non- <br />personnel expense category is discussed separately below. <br />Utilities (Electricity, Phones, Garbage, Sewer and Water) <br />The FY 2023/24 and FY 2024/25 budget include minor adjustments compared to FY 2022/23 Modified <br />Budget based on current usage trends and expected rate increases. <br />Contractual Services <br />The City uses contractual services to support City operations including (1) building and grounds <br />maintenance, (2) engineering and architectural design, (3) temporary employment agency staff <br />to back fill vacancies until positions can be filled, (4) consultant support for planning studies, <br />(5) instructors for recreation classes, (5) and outside legal counsel. The City’s overall budget for <br />contractual services increased by $0.2 million or 1.3 percent in FY 2023/24 compared to FY 2022/23 <br />Modified Budget. Some of the increases include approximately $0.9 million one-time funding for <br />Planning contractual services, $0.2 million one-time funding over two years for revenue strategy <br />consultants, $0.1 million for various IT contracts, and $0.1 million increase to crossing guard contract <br />costs. Increases are offset by decreases and/or a removal of one-time funding from FY 2022/23. <br />Repairs and Replacement <br />General Fund allocations to City Repair and Replacement funds for the next two years are $5.0 million <br />annually. <br /> <br />Materials and Supplies <br />Materials and supplies include office supplies, small equipment, uniform costs, and data processing <br />equipment and software. The FY 2023/24 and FY 2024/25 Materials and Supplies budgets are $0.3 <br />million higher than the FY 2022/23 Modified Budget, due to additional supplies and equipment for <br />recreation and human services, as these programs continue to augment their offerings to move <br />toward a pre-COVID level of activities; various one-time equipment for Police and Fire; and minor <br />adjustments based on increased demand for office related supplies. <br />Insurance <br />The City’s general liability insurance premiums are projected to increase significantly in the next two <br />years based on recent industry trends. In FY 2022/23, the City’s premiums increased by 70.0 percent to <br />$3.3 million from $1.9 million in FY 2021/22. While estimated increases are included in the Budget, further <br />adjustments may be necessary once the City’s actual premiums are known. <br />1 The balance, as of March 31, 2023, with investment earnings is $45.0 million.
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