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ATTACHMENT A <br />THE CITY OF <br /> <br />pL£AS, NTON <br /> <br />Date: <br /> <br />To: <br /> <br />From: <br /> <br />Subject: <br /> <br /> MEMORANDUM <br /> <br />May 20, 2005 <br /> <br />Mayor and City Council <br /> <br />Nelson Fialho, City Manager <br /> <br />Capital Improvement Program for Fiscal Years 2005-06 to Fiscal Years 2008-09 <br /> <br />I. INTRODUCTION AND OVERVIEW OF CIP PROCESS <br /> <br />This Capital Improvement Program (CIP) has been prepared to provide the City Council and the <br />community with information necessary to identify capital improvement needs, projects and reserves for <br />the next four years. Consistent with the City's two-year Budget, it is recommended that the first two <br />years of the CIP be adopted and that funds be appropriated to cover the projects included in these two <br />years. The projects included in the final two years of the CIP are tentative based on currently identified <br />needs and revenue projections and as such, are subject to revision to accommodate changes in priorities <br />and/or expected funding levels. As part of the ongoing budget-monitoring program, staff will conduct a <br />thorough review of the Capital Improvement Program at the end of fiscal year 2005-06 (as part of the <br />Mid-Term Budget process) and will provide the City Council with any recommended changes to projects <br />and revenues. <br /> <br />Because a significant portion of the total revenue available to the CIP is derived from development <br />related fees assessed on new development and other sources not directly related to ongoing City revenue, <br />the status of the economy, state and federal programs and policies and the amount of local development <br />activity during the next several years will play a major role in the City's ability to finance projects <br />included in this program. As a result, as approved in our 2004-05 Mid-Term CIP, revenue from <br />projected development fees collected in calendar year 2004 are being used to fund projects in fiscal year <br />2005-06. Likewise, development fees projected for fiscal year 2006-07 projects are based on fees <br />projected in calendar year 2005. This conservative approach assures that funds are on hand prior to <br />beginning any significant work on a project. <br /> <br />To assure that there is adequate funding for the recommended 2006-07 projects, staff will refrain from <br />incurring costs on new projects until after approval of the Mid-Term Budget when any revenue <br />adjustments are approved. Staff will however, continue working on existing projects which have <br />received partial funding and approvals in previous years. By utilizing the above method, the City avoids <br />project funding shortfalls resulting from less than anticipated revenues and minimizes the impact of <br />having to stop a project due to lack of funding. <br /> <br /> <br />