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HomeMy WebLinkAboutBudget 2001-02City of Rancho Cucamonga
Rancho Cucamonga
Fire Protection District
Rancho Cucamonga
Redevelopment Agency
Fiscal Year 2001/02
Adopted Budget
City of Rancho Cucamonga
Community Summary
Budget
Fiscal Year 2001-02
Rancho Cucamonga
We are dedicated to creating
and maintaining a well-
balanced community that is a
safe and fulfilling place to live,
grow, work and play.
Table of Contents
Part I: General Budget Information
City Manager's Transmittal Letter .........................................
1
Understanding the Budget ...................................................
3
BudgetTerms.....................................................................
3
Organizational Values of the City of Rancho Cucamonga.........
4
About the City of Rancho Cucamonga ...................................
4
Services Provided to the Citizens of Rancho Cucamonga........
5
Organization Chart ........................'......................................
6
Where the Money Comes From .............................................
7
Major Revenue Sources.......................................................
8
Where the Money Goes ........................................................
9
Expenditures by Department ................................................
10
Part II: Governance................................................................. 11
Part III: Major Services
Public Safety.
Police................................................................................ 15
FireDistrict........................................................................ 17
Administrative Services.......................................................
19
Building& Safety ................................................................
21
Community Services...........................................................
23
Engineering and Public Works .............................................
25
Library...............................................................................
27
Planning............................................................................
29
Redevelopment...................................................................
31
Part IV: Capital Improvement Program .................................. 33
DATE: July 1, 2001
TO: Mayor and Members of the City Council
FROM: Jack Lam, City Manager
SUBJECT: Fiscal Year 2001-02 Budget
Overview of Fiscal Year 2001-02 Budgets: This memorandum shall provide an
overview, or highlight, of the fiscal year 2001-02 budget.
City General Fund Operations Budget Outlook: The City General Fund for the fiscal
year (FY) 2001-02 budget projects a 2.5% increase from the prior year. Revenue
increases to development related revenues account for the largest portion of this
increase followed by Franchise Fees, and Vehicle License Fees (VLF). Development
fee revenues are, of course, governed by AB 1600 usage and are directly assigned to
development related processing and planning programs. Sales Tax growth is
projected to be flat but stable after tremendous growth years in 1999 through 2001,
generally reflecting the same softening of the economy seen across the Nation.
Challenges for this next fiscal year will not only be addressing the service needs to
keep pace with the service demands of a growing community, but dealing with the
uncertainties and increasing costs due to the State's energy crisis, especially as FY
2001-02 will become the transition year of utility tax elimination. The City's reserves
remain healthy and the Budget tries to keep pace with the growing service demands
accompanied by continued physical growth of the City. Current population is 132,663.
Utility Tax Phase Out: The stated policy and goal of the City has been to reduce and
eventually phase out the utility tax. During FY 2000-01, the City Council expressed a
desire to eliminate the tax as soon as possible. The combination of replacement
revenue and budget adjustments made the attainment of total phase out close enough
that adding the reserve transition would accomplish the goal sooner even if it means a
leaner budget for programs in FY 2001-02. The projected budget for FY 2001-02
accommodates this direction by using a $585,740 reserve transition fund, and making
one-time budget adjustments for this year.
Goals and Priorities: The following summarizes the categories of goals as articulated
by the City Council. These major categories and their priority order are the guidelines
for the development of any budgetary and expenditure plan or strategy.
Public Safetv. Public Safety is the number one priority for expenditure of funds. This
category of goals includes the support of services, facilities, and equipment. The City has
continued to add police officers and equipment taking advantage of any available Federal
and State grant funds. Furthermore, funds have been expended in recent years to add
equipment and personnel to enhance Fire Services to meet these increased service needs
also. As the community continues to grow, the challenge will be to continue addressing these
increased needs that so affect the "quality of life" in Rancho Cucamonga and define our
community as a safe community.
Stable Finances/Economic Development. Economic Development is strong and City
budgets are always balanced. Reserve accounts remain fully funded and healthy, a tribute to
the Council's continued budgetary leadership and discipline. To the extent the City continues
its conservative budgeting practices and maintains adequate reserve funds, citizens will be
able to count on uninterrupted quality city services. This financial stability also sustains the
City's excellent bond ratings, creates stability for economic growth, allows the phase out of
the utility tax, and enables the City to modestly address growth in service needs.
Community/Cultural Services. Beyond public safety, there is continuing interest in the
community for expanding community/cultural services opportunities, specifically related to
expanded sports/recreational opportunities for youth and seniors, library services, and
community/performing arts. This is perceived to be an evolving community need that is also
supported by various needs assessments.
I am pleased to present this fiscal budget as our business plan for the City's future. Municipal
service is a 24-hour a day job and it is our goal to provide top customer service for the
community and its members who work and play in Rancho Cucamonga.
3
Understanding the Budget
The budget serves as the Citys business plan, which articulates the City's priorities in
delivering service to the community.
To be able to provide a full range of services to the citizens of Rancho Cucamonga, the
City must have the resources come from either the Citys general taxing power, its ability
to assess fees or charges, or from other external sources, such as Federal, State or
County governments. Most of the monies the City receives, such as property tax, sales
tax, vehicle license fees and other taxes and fees are accounted for in the General
Fund. These revenues are used to provide police and fire protection, recreational
facilities, and the maintenance of streets, storm drains and other infrastructure
throughout the City.
Budget Terms
Fund: A fiscal and accounting entity with a self -balancing set of accounts.
General Fund: Accounts for tax and other general purpose revenues as well as the
City's general government activities.
Operating Budget: A fiscal plan detailing current operating programs, including an
estimate of proposed expenditures and the proposed means to finance them.
Capital Improvement: A budget for the construction or development of a project
(street, park, building, etc.) of a long-term natureflife constructed for the public good.
Organizational Values
of the
City of Rancho Cucamonga
We, the members of the City Council, City Commissions, and the Professional Staff
of the City of Rancho Cucamonga, as stewards of the community resources, are
dedicated to creating and maintaining a well-balanced community that is a safe and
fulfilling place to live, grow, work and play. We believe that this quality of life is
achieved through our commitment to:
• People
• Service
• Leadership
• Professionalism
• Fiscal Responsibility
• Planning for the Future
About the City of Rancho Cucamonga
• Incorporated on November 22, 1977
• Council -Manager form of government
• Population: 132,663
• Area: 37.5 square miles
• 662 employees (full and part-time)
• 1 police station
• 5 fire stations
22 parks
• 1library
• 12,352 street lights
• 457 miles of streets
• 132 signals
Services Provided to the Citizens
of
Rancho Cucamonga
Public Safety: provides police services such as law enforcement and crime deterrence
activities; and fire protection services such as fire suppression, fire prevention/fire safety
education, paramedics and emergency preparedness.
Engineering and Public Works: provides engineering services; streets, sidewalks,
storm drains and other infrastructure maintenance; traffic management; street lighting;
fleet services; government buildings maintenance; and park maintenance.
Community Development: provides planning and building code enforcement services;
economic development and zoning.
Community Services: provides recreational programs including youth, adults and senior
services; sports; and cultural arts.
General Government: provides all legislative and general_ administration functions
including; policy development and implementation; investments; budgeting and financial
reporting; elections; employee relations; records management; data processing;
purchasing; and risk management.
Library Services: provides library services and support to the community.
5
Administrative
Services
City of Rancho Cucamonga
Organization Chart
City Council
City Manager
Building & Safety
I Community I
Services
Fire District
Police
City Clerk
Engineering
Library Services
PlanningI I Redevelopment I
Agency
WHERE THE MONEY COMES FROM
Estimated Operating Revenues
Taxes
$ 22,386,980
—Property tax: $2,440,500
—Sales tax: $13,949,810
Fire District
—Franchise fees: $5,801,640
23%
—Transientoccup. tax: $195,030
Licenses & Permits
3,602,320
Fines & Forfeits
484,680
Use of Money & Property
1,072,720
Charges for Services
3,570,740
Intergovernmental
7,178,850
Other
2,774,860
Subtotal - General Fund
41,071,150
Fire District - non General Fund
12,583,650
Library - non General Fund
1,941,590
Total Operating Revenues
$ 55,596,390
Charges for
Services
6°7
Inte vemmental Other
Fire District
5%
13%
23%
Use of Money
2%
Fines & Forfeits
Library
1%
3%
Licenses & Permits
Taxes
6%
41%
7
Major Revenue Sources
Rancho Cucamonga
Tauac account for 54% of General Fund revenues. This revenue source includes
property taxes, sales tax, transient occupancy tax, and franchise fees.
i is-Pnwac anti Pormits account for 9% of General Fund revenues. This revenue source
includes business licenses, bicycle licenses and building permits.
Finns anti Fnrfaitc account for 1% of General Fund revenues. This includes vehicle
code fines, parking citations, vehicle release fees, citations, proof of correction fees,
general ordinance fines and false alarm fees.
lisp of Money and Propeft revenues account for 3% of General Fund revenues and
include interest earnings, sale of machinery and equipment, sale of land and other
rental/lease revenues.
chargee far Aprwk-P¢ revenues account for 9% of General Fund revenues and are fees
charged to the public for a specific purpose and include: plan check fees, planning fees,
engineering fees, planning special service fees, engineering special service fees,
community services special program fees, emergency preparedness special program
fees, fingerprint fees, candidate filing fees and sale of printed material.
intargpvernmantai revenues account for 17% of General Fund revenues and are funds
received from other governmental agencies and include: motor vehicle in lieu fees,
homeowners' property tax relief, off highway license fees and grant funding from the
County Office of Emergency Services.
Other revenues account for 7% of General Fund revenues and include reimbursements
from special districts, the Redevelopment Agency, other funds and the Fire District;
D.A.R.E. program reimbursement; and a one-time usage of reserves.
FirP nistrict revenues are not part of the General Fund but are considered part of the
City's operating budget. The primary revenue sources for the Fire District include
property taxes (general levy and Mello Roos Community Facilities District 85-1), interest
earnings, plan check fees, reimbursement from the City and Redevelopment Agency and
supplementary funding from the City's General Fund and the Redevelopment Agency.
i i� revenues are not a part of the General Fund but are considered part of the City's
operating budget. These funds are received from the transfer of County Library Services,
entrepreneurial fees, fund raising and supplementary funding from the City's General
Fund and Capital Reserve Fund.
WHERE THE MONEY GOES
Governance
$ 1,220,150
Police
13,679,820
Fire District (partial funding)
1,403,490
Administrative Services
7,217,000
Building & Safety
3,059,390
Community Services
2,212,110
Engineering/Public Works
10,262,720
Planning
2,016,470
Subtotal - General Fund
41,071,150
Fire District - non General Fund 12,583,650
Library- non General Fund 1,941,590
Total Expenditures
Admin Svs
13%
Comm Svs
4%
Building
6%
9
Planning
4%
Governance
2%
Engineering/PW
18%
$ 55,596,390
Fire District
25%
Library
3%
Police
25%
0
Expenditures by Department
Rancho Cucamonga
Governance — provides overall policy direction and supervises and administers the
programs and services provided by all departments within the City.
Police — provides law enforcement services to the community.
Fire District — This primarily non -General Fund supported activity provides for fire
protection and emergency response with five fire stations located throughout the City.
Fire protection services include fire suppression, prevention/fire safety education,
paramedics and emergency preparedness.
Administrative Services — provides line departments and all customers internal
administrative services. Major responsibilities include administration, finance, treasury
management, personnel, risk management, purchasing, licensing, special districts
administration, geographic information systems and management information systems.
Building & Safety — provides services that protect the health and safety of the
community by enforcing compliance with the State mandated Uniform Codes of
Construction. These services include construction advisory services and complaint
reaction; plan checking and inspection services; and application of regulations
conditional to permit issuance.
Community Services — provides recreational programs including youth, adults and
seniors services; sports; special events; and cultural arts.
Enaineerina and Public Works — provides engineering and maintenance services for
all infrastructure assets including streets, sidewalks and storm drains, buildings, facilities,
parks and landscaping; traffic management; street lighting; and fleet services.
Library - This non -general fund supported activity provides quality library services for the
community.
Planning — provides planning, economic development and zoning services to the
community with an emphasis on maintaining a balanced, quality community.
10
GOVERNANCE
In order to provide the citizens of Rancho Cucamonga with the best possible
services, it is important to have a group of dedicated City Council members to
provide policy direction to staff to effectively implement the City Council goals and
objectives.
The following outlines those departments responsible for creating policy and
ensuring that the policies and programs are effectively and efficiently implemented.
The City Council consists of an elected Mayor and four City Council members
elected at -large by the citizens of Rancho Cucamonga to act as their
representatives at the city government level. The City Council develops public
policies, approves programs and allocates revenues to meet the needs of the City.
The City Council meets the first and third Wednesday of the month at City Hall to
discuss and vote on pertinent issues facing the City and its residents. In addition,
the City Council is responsible for appointing the City Manager, City Attorney and
certain boards and commissions.
The City Council also acts as the City's Redevelopment Agency and fire District
Board of Directors.
As the administrative head of the City government, the City Manager is appointed
by the City Council to enforce municipal laws, direct daily operations of the City,
and prepare and monitor the municipal budget. While the responsibility of the office
is to enforce all laws and ordinances, make recommendations to the City Council
concerning City issues, to supervise the operation of all City departments, and
inform the public and Council regarding City operations, its primary goal is to
ensure that the governmental processes succeed in maintaining and improving the
quality of life in Rancho Cucamonga.
The City Clerk is responsible for the duties relating to the official business of the
City Council. These duties include: keeping the minutes of City Council meetings,
compiling the agenda, processing Council agreements and maintaining all official
documents of the City.
11
Mayor
William J. Alexander
City of
Rancho Cucamonga
City Council
Mayor Pro Tem
Diane Williams
Councilmember Councilmember Councilmember
Paul Biane Grace Curatalo Bob Dutton
12
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SERVICES
14
Police Department
The current nationwide trend of falling crime does not diminish the fact that the
City of Rancho Cucamonga continues to have one of the lowest crime rates for
a city its size in the United States. The marked decline in the City's crime rate is
attributable to its economic growth and overall prosperity and the continuing
dedication the Police Department has to the Community Oriented Policing. The
Police Department has an active group of citizen volunteers who do not only
have a stake in the Department but also more importantly in the community
itself. The volunteer force is made up of over 100 Reserve Officers, Citizen
Volunteers and Police Explorers who serve to augment daily patrol and
investigative functions. Additionally, the Police Department maintains three
satellite offices and a mobile community center, which allows for the focusing of
resources to certain areas of the community as needed.
15
The addition of three Deputy Sheriff II positions.
➢ Additional patrol vehicles to supplement the growing personnel.
Continued commitment to community oriented policing by all
members of the Department, including 2 full time bicycle patrol
officers.
Continued emphasis on the "Every 15 Minutes" program.
Completion of Police facility expansion.
Police Department
Fiscal Year 2001-02
16
Fire District
The Fire District is responsible for providing and managing a variety of programs for
the efficient delivery of life safety, fire prevention and fire protection services.
Personnel are dedicated to the preservation of life and property in service to the
people of Rancho Cucamonga. The department's goal is to deliver these services
in an effective, efficient and professional manner, which will reflect improved fire
and safety for an enhanced quality of life to those they serve.
The delivery of fire department services is managed through divisional
responsibility consisting of administration, operations, personnel development, fire
safety and emergency preparedness.
17
Fire District - Operating Budget
Highlights
➢ Completion of the state of the art Fire Vehicle Maintenance Facility.
➢ Two current safety personnel qualified for paramedic and hazardous
material specialist stipends.
➢ Modernize self-contained breathing apparatus for improved firefighter
safety.
➢ Implementation of a community Automatic External Defibrillator
program.
➢ Modernization of fire records management system.
Other highlights funded by capital budgets include:
➢ Design and construction of new Fire Station 176 in the northeast
portion of the City.
➢ Replacement of water tender fire fighting vehicle.
➢ Design work for relocation of Fire Station 173 and training drill tower at
Fire Station 174.
Fre District - Operating Bu Liget
Fiscal Year 2001-01
18
Administrative Services Department
The mission of the Administrative Services Department is to support all City
Council, City Manager and City Line Departments. Its goal is to provide line
departments and all customers internal administrative services. Major
responsibilities include Administration, Finance, Treasury Management,
Personnel, Risk Management, Purchasing, Licensing, Special District
Administration, Geographical Information Systems and Management
Information Systems.
19
Administrative Services Department
Highlights
Development of the City's Information Technology Master Plan.
Implementation of new business license software.
➢ Facilitate the installation and operation of the first phase of the City's
fiber optic infrastructure in order to enhance the delivery of services to
the City's residents as well as future economic growth.
Continue providing on-going staff training through the Rancho
Cucamonga Training Academy.
Enhance the City's web site in order to accommodate public demands,
expectations, communication and business methods with the City's
web site.
Reduce loss and injuries through Citywide loss prevention and safety
programs.
Ac it irrshative Services Deparhterk
Fiscal Year 2001-02
'
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M02iirrZe�quvients
20
Building and Safety
The primary function of the Building and Safety Department is to protect the
health and safety of the community. This task is accomplished through
compliance with the State mandated Uniform Codes of Construction. The Fire
Prevention/New Construction and Code Enforcement Sections work together in
a coordinated effort with the Building and Safety Department to ensure
compliance with all Uniform Fire Code and Municipal Code Requirements for
Property Maintenance.
21
Building and Safety
Highlights
Expand services for contract Plan Checking and Inspections to
maintain a high level of customer service response commitments.
Additional staffing at the front counter to streamline the permitting
process.
Continue to enhance customer service through expanded use of
Tidemark permitting software.
Building and Safety Department
Fiscal Year 2001-0
22
Community Services Department
The Community Services Department provides a wide variety of programs,
services and facilities to the residents of Rancho Cucamonga to enhance the
quality of life for individuals of all ages. Department activities are coordinated
through the following Divisions: Administration, Youth and Adult Sports, Youth
and Family Programs, Special Events and Cultural Arts, and Senior and Human
Services Programs.
Many thousands of community members have benefited each year from
participating in activities conducted through the Department's Playschool
Programs (1-5 years), youth activities, Teen Center and excursions, adult classes,
sports programs and senior services. Many more residents enjoy picnics in the
parks, meeting room rentals and athletic field uses through facility reservations
coordinated by the Department. A number of special events, rentals and
commercial filming take place at the Epicenter Stadium each year. The
Department also assists dozens of community organizations in their mission with
facility usage and partnership efforts.
23
Community Services Department
Highlights
Expand the Departments computerized activity registration
resources to more effectively serve the residents.
➢ Continue to increase senior citizen recreation and human services
programs.
Increase collaborative partnerships with local school districts,
community non-profit organizations and private businesses.
➢ Full year of funding for mobile recreation program which provides
programs at school sites and in designated neighborhoods.
Full year of funding for Farmer's Market.
Completion of Performing Arts Feasibility Study.
Implementation of Community Services Departments website —
RCpark.com. The new website provides access to departmental
information including class schedules, calendar of events and job
opportunities.
Con unity Services Departnwnt
Fiscal Year 2001-02
Budget
$2,212,110
Full -Time
Equivalents
24.0
Part -Time
Employees
44.0
24
Engineering Department
The Engineering Department is charged with numerous activities related to
providing effective and efficient stewardship of the City's public works
infrastructure. This includes the design, construction, maintenance and
repair of our community s streets, storm drains, parks and facilities. The
Department's seven sections are identified below.
Administration provides management and fiscal support to all Engineering
sections and is responsible for the budgets for the City's landscape
maintenance and street lighting districts. Land Development is responsible
for reviewing and processing private development projects. Traffic
Management maintains, monitors and analyzes accident and traffic volume
records, makes recommendations for improving the City's traffic systems,
and designs and provides project management for traffic -related capital
projects such as signal installations. Project Management designs
infrastructure improvements to be constructed by the City and is responsible
for developing the City's annual Capital Improvement Program.
Construction Management is responsible for the City's inspection services,
ensuring quality construction by inspecting the City's capital projects and
public improvements installed by developers. The NPDES/Waste
Management section is responsible for the City's trash collection contracts,
recycling programs, and the monitoring and enforcement of federal
regulations regarding discharges into the public storm drain system. Public
Works is responsible for maintaining the City's streets, storm drains, curbs
and gutters, sidewalks, City -owned facilities and buildings, fleet vehicles and
equipment, parks, median landscaping, and qraffiti abatamant
25
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Hig
➢ The budget reflects administrative and technical support for the
Route 30 Task Force and continued implementation of the National
Pollutant Discharge Elimination System (NPDES): storm water
pollution prevention program.
➢ Traffic Management will administer the construction of new traffic
signals at Milliken Avenue and Vintage Drive and Etiwanda Avenue
and Victoria.
➢ Installation of the Hermosa Storm Drain from Church St. to Base Line
Road.
➢ The City's response to the State energy crisis included a
comprehensive program to install battery backup equipment on all
traffic signals citywide. This program will help ensure traffic safety in
the event of electricity blackouts.
➢ Engineering/Public Works is responsible for the budgets for the City's
eight street light districts as well as the landscape maintenance
districts (LMDs) including LMD 9, the newest district which was
formed this year. Careful fiscal management has resulted in no
assessment increases in the districts this fiscal year.
(For information on the various capital projects that the Engineering
Department has planned for the current fiscal year, please refer to
the section entitled "Capital Improvement Program" which follows
the department highlights).
Engineering Department
Fiscal Year 2001-02
26
-- —
Ubrar,,
Highlights
Limited increased funding for the Library's book collection.
Three new on-line databases and creation of electronic book collection.
➢ Implementation of full-sized book mobile.
"Books to the Homebound" program for seniors.
Telethon.
Continued planning for branch facility at the planned Victoria Gardens
Center.
Library Services
Fiscal Year 2001-02
28
Planning Department
The Planning Department creates and maintains an environment for
positive economic development opportunities resulting in a viable, quality
environment for living and working. The primary objectives of the Planning
Department are: to develop comprehensive plans to achieve this goal; to
implement the plans through efficient and effective management of growth
and review of all development proposals; and to maintain a balanced,
quality environment in developed areas of the community. This
Department also supports the City's Planning Commission.
29
planning
r iigilf:�z��
➢ Update various City Codes to align with the General Plan update.
➢ Consolidate Uniform Sign Programs and streamline the sign
entitlement process.
➢ Commercial growth has been steady and is expected to continue.
➢ Business retention and attraction will continue to result in
industrial expansion.
➢ Pacific Electric Trail master plan will be used to secure grants for
funding of improvements.
➢ Pursue various grant funding options for open space, parks, trails,
historic preservation and other public facilities.
• Special projects will include implementation of the Day Creek
Boulevard Landscape Master Plan, Foothill Boulevard Visual
Improvement Plan, and 1-15 Freeway Corridor Landscape Master
Plan.
Planning Department
Fiscal Year 200120
30
Redevelopment Agency
The Redevelopment Agency is a special fund not affiliated with the City's General
Fund. The Rancho Cucamonga Redevelopment Agency leads the City's
economic development efforts for attracting industrial, retail and office
development. As a result of the Agency's efforts, many businesses have chosen
Rancho Cucamonga as their place of business. Through the Agency's proactive
attraction and retention programs, our professionally trained staff assists
businesses directly and indirectly with site selection services, accelerated project
approval, employment screening and training, industrial development bond
financing, coordination with utility companies, and any other development or
recruitment needs a company may have.
31
Redevelopment Ac en CY
iiighlights
➢ Continue to focus on completing public improvements as identified in
the Redevelopment Plan, such as the Hermosa Storm Drain,
Etiwanda/San Sevaine Regional Flood Control Channel, Fire Vehicle
Maintenance Facility and installation of a fiber optic ring.
➢ Continue development of Victoria Gardens, a 1 million square foot retail
mall and office facility in east Rancho Cucamonga.
➢ Continue work on the Foothill Boulevard Corridor to revitalize and
maintain its economic viability, enhance the visual character of the
corridor through public improvements such as street widening and
installation of medians, improve traffic circulation and preserve the
historic nature of Foothill Boulevard/Route 66.
➢ Maintain the Agency's partnership with the Chamber of Commerce,
continue developing and work on the "Shop Rancho" campaign,
Business Appreciation Week and other programs that enhance our
retention and attraction efforts.
Redevelopment Agency
Fiscal Year 2001-02
32
Capital Improvement Program
The City's Capital Improvement program for fiscal year 2001-02 will
provide needed infrastructure improvements city-wide. The following is a
listing by category:
Beautification
$ 1,055,000
Drainage
5,671,000
Facilities
344,090
Miscellaneous
933,850
Parks
3,636,690
Railroad Crossings
667,000
Streets
5,603,000
Studies
425,000
Traffic
697,840
TOTAL
$ 19,233,470
33
A description of each category along with the respective projects planned for fiscal year
2001-02 are as follows:
Beautification. Beautification fees mitigate the aesthetic impacts associated with
proposed developments that are displacing open land. These funds are used for capital
projects involving new parkway and median island landscaping that serve to increase
the curb appeal of communities and provide for aesthetically enhanced transportation
corridors. Fiscal year 2001-02 projects include:
19th Street - Jasper Street to Hermosa Avenue - Landscape
south parkway $369,000
Arrow Route - Hellman Avenue to Archibald Avenue -
Landscape north parkway and Hellman Avenue - Arrow Route
to S/O Foothill Boulevard - Landscape east parkway $386,000
Camelian Street - 1,000' S/O Vivero to Vivero Street -
Landscape parkways $300,000
Drainage. Drainage fees mitigate the additional drainage impacts resulting from
proposed development altering natural ground surfaces by constructing paved roadways
that increase surface run-off. These funds are used to construct storm drain
improvements that decrease the likelihood of flooding on private property and improve
driving conditions during rainstorms. Fiscal year 2001-02 projects include:
Carnelian Street -N/O Vivero Street to N/O Base Line Road -
Install master plan storm drain, pavement rehabilitation, and
some street widening $1,450,000
Hermosa Avenue - N/O Church Street to N/O Base Line Road -
Install master plan storm drain, pavement rehabilitation, and
some street widening $4,221,000
34
Facilities. Community Development Block Grant monies, received from the State of
California, and the City's General Fund are used to construct new City facilities and
improvements associated with existing facilities. These improvements and new facilities
allow the City to provide the public with state-of-the-art facilities containing desirable
amenities at multiple locations throughout the city, thereby increasing both the quality of
service and accessibility to the local citizenry. Fiscal year 2001-02 projects include:
Senior Center (existing) - Renovation of the existing landscaping
and irrigation system $31,730
Senior Center (new) - Design new senior center $150,000
Senior Center (new) — Bank funds for construction of new facility $162,360
Miscellaneous. Miscellaneous capital projects include such items as wheelchair ramps,
sidewalk grinding and graffiti removal. These endeavors, that serve to increase the
accessibility and safety of existing pedestrian facilities and eliminate the blight associated
with graffiti, are funded from multiple sources. Fiscal year 2001-02 projects include:
• ADA Ramps and Driveways at various locations $228,240
• Developer Reimbursements - Reimburse funds to Developers for
construction of City Master planned transportation and drainage
facilities $659,000
Graffiti removal at various locations $22,370
Sidewalk grinding and repairs at various locations $24,240
Parks. Park fees are used to purchase new park sites, develop park sites, and upgrade
the facilities at existing parks so that the number and quality of the city's parks are able to
keep pace with the growing population and the increased desire for high-quality
recreation facilities equipped to support a diverse group of activities. fiscal year 2001-02
projects include:
Napa Street - Develop soccer fields on shared parking lot area
for Speedway $2,700,000
New Park - N/O Foothill Boulevard E/O Etiwanda Avenue -
Develop 5 acre park site $750,000
Old Town Park - Renovation of the existing tot lot $186,690
35
Railroad Crossings. Transportation fees mitigate the additional traffic impacts
resulting from proposed development and the associated growth in population and/or
business traffic. Railroad crossing projects constitute one of the various types of
transportation projects funded from these monies. These projects upgrade existing
railroad crossings and provide for a smoother ride that is less likely to result in
damage to traveling vehicles by retrofitting the pavement immediately adjacent to
rails with rubber surfaces and modifying the grade of railroad approaches, where
appropriate. Fiscal year 2001-02 projects include:
6th St - E/O Archibald - Upgrade RXR Spur crossing $517,000
Etiwanda Avenue - S/O Whittram Avenue - Upgrade SCRRA
RXR crossing $350,000
Streets. Transportation fees mitigate the additional traffic impacts resulting from
proposed development and the associated growth in population and/or business
traffic. These funds are used, often in combination with the city's allocation of State
Gas Tax revenue and State or Federal grant funds, to design and construct street
improvement projects such as street widenings and pavement rehabilitation.
Additional uses of these funds include the acquisition of additional rights-of-way and
construction of new transportation arterials. Fiscal year 2001-02 projects include:
6th Street - Hellman Avenue to Archibald Avenue - Pavement
Rehabilitation
$260,000
• 6th Street - Archibald Avenue to Hermosa Avenue - Pavement
Rehabilitation
$155,000
• 8th Street - Grove Avenue to Baker Street - Pavement
Rehabilitation of north half of street
$60,000
• 26th Street - Center Street to Haven Avenue - Rehabilitate
existing pavement
$100,000
• Amethyst Street - N/O Rte 30 to Hillside Road - Pavement
Rehabilitation
$351,000
• Base Line Road - West City Limits to Carnelian Street —
Pavement Rehabilitation
$10,000
• Base Line Road - Lyon St to Hellman Avenue - Pavement
Rehabilitation
$132,000
• Base Line Road @ 1-15 - Street widening and traffic signal
$500,000
• Base Line Road @ 1-15 - R/W acquisition for future
Interchange
$2,130,000
• Beryl Street - Cielito Street to 19th Street - Pavement
Rehabilitation
$95,000
• Bus Bays - Various locations
$120,000
36
•
Calle Vejar - Avenida Leon to Hellman Avenue and Avenida
Leon — Arrow Route to Calle Vejar - Reconstruct street and
add sidewalks and street lights
$35,000
•
Grove Avenue - 8th Street to Foothill Boulevard - Pavement
Rehabilitation
$10,000
•
Hermosa Avenue - WO Foothill Boulevard to Effen Street -
Widen east side
$10,000
■
Hermosa Avenue - Highland Avenue to Banyan Street -
Pavement Rehabilitation and some street widening
$10,000
•
Local Street Pavement Rehabilitation - Various locations
$605,000
•
Marine Avenue - Humboldt Avenue to 26th Street -
Pavement Rehabilitation
$10,000
•
Milliken Avenue - 4th Street to 7th Street - Street widening
and Pavement Rehabilitation 1
$780,000
•
Summit Avenue - Etiwanda Avenue to East Avenue -
$10,000
Pavement Rehabilitation
•
Terra Vista Parkway - Church Street to Spruce Street -
$130,000
Pavement Rehabilitation
Transportation Studies. Transportation fees mitigate the additional traffic
impacts resulting from proposed development and the associated growth in
population and/or business traffic. Transportation studies constitute one of the
various types of transportation projects funded from these monies. These
studies focus on major interchanges, intersections and citywide traffic patterns
in the interest of optimizing traffic flows and driver safety. Fiscal year 2001-02
projects include:
6th St @ 1-15 - Interchange project report and $350,000
environmental study
Residential Street Traffic Management Program $75,000
Traffic. Traffic -related capital projects construct new traffic signals and
upgrade existing signals in order to optimize traffic flows, reduce drive times,
improve vehicular accessibility and ensure driver safety.
37
Emergency traffic signal controller replacement
Emergency vehicle preemption system for the Route 210
traffic signals, year 4 of a 5 year program
Interconnect traffic signals on Base Line Road from Alta
Cuesta Drive to Spruce Avenue
Interconnect traffic signals - no specific location
Rehabilitate traffic signal - internally illuminate street name
signs
Signal - 19th Street at Archibald Avenue - Install left turn
phase
Signal - Carnelian at La Vine - Install left turn phase
Signal - Etiwanda Avenue at Victoria Street - Install traffic
signal
Signal - Etiwanda Avenue at Etiwanda Intermediate School -
Install pedestrian crossing signal
Signal - Milliken Avenue at Vintage Drive - Install traffic
signal
$30,000
$12,000
$220,000
$20,840
$20,000
$50,000
$25,000
$130,000
$60,000
$130,000
38
The City of Rancho Cucamonga is dedicated to pro-
viding its citizens quality public services which en-
hance the lives of all. The 2001-02 Budget provides
the tools the City will need to move into a bright future.
For more information on the City of Rancho Cuca-
monga please contact City Hall:
10500 Civic Center Drive
Rancho Cucamonga, CA 91730
(909) 477-2700
website: www.ci.rancho-cucamonga.ca.us
39
Rancho Cucamonga
A World Class Community
Your City's Leaders q to r): Back row—Bob Dutton, Councilmember;
William J. Alexander, Mayor; Paul Biane, Councilmember; Front row—
Grace Curatalo, Councilmember; Diane Williams, Mayor Pro Tem
Ffc
SL700404
RANCHO CUCAMONGA
CITY MANAGER'S OFFICE
Memorandum
DATE: July 1, 2001
TO: Mayor and Members of the City Council
FROM: Jack Lam, City Manager
SUBJECT: Fiscal Year 2001-2002 Budget
Overview of FY 2001-2002 Budgets: This memorandum shall provide an overview, or
highlight of the FY 2001-2002 budgets. Transmitted herein are the following budgets:
City General Fund $ 41,071,150
Fire District $ 14,677,450-
Library
4,677,450Library Services $ 1,941,590
Redevelopment Agency $ 48,726,065
Capital Improvement Program $ 27,784,290
Special Funds $ 25,223,780
City General Fund Operations Budget Outlook: The City General Fund for the FY
2001-2002 budget projects a 2.5% increase from the prior year. Revenue increases to
development related revenues account for the largest portion of this increase followed
by Franchise Fees, and Vehicle License Fees (VLF). Development fee revenues are, of
course, governed by AB 1600 usage and are directly assigned to development related
processing and planning programs. Sales Tax growth is projected to be flat but stable
after tremendous growth years in 1999 through 2001, generally reflecting the same
softening of the economy seen across the Nation.
Challenges for this next fiscal year will not only be addressing the service needs to keep
pace with the service demands of a growing community, but dealing with the
uncertainties and increasing costs due to the State's energy crisis, especially as FY
2001-2002 will become the transition year of utility tax elimination.
Includes $5,094,210 Mello Roos funding ($1,677,840 from prior year reserves to fund Station 176).
The City's reserves remain healthy and the Budget tries to keep pace with the growing
service demands accompanied by continued physical growth of the City. Current
population is 132,663.
Utility Tax Phase Out: The stated policy and goal of the City has been to reduce and
eventually phase out the utility tax. For the past five years, the utility tax reduction has
been done on an annual basis determined by an adopted formula that incorporates any
revenue increases in four major categories: sales tax, VLF, franchise fees, and property
tax. Furthermore, any utility tax receipts over and above the amount budgeted from the
prior year was factored into the formula and provided an additional reduction factor. As
a result, the tax has been reduced each year since 1995. In the current fiscal year, the
City Council expressed a desire to eliminate the tax as soon as possible. The
combination of replacement revenue and budget adjustments made the attainment of
total phase out close enough that adding the reserve transition would accomplish the
goal sooner even if it means a leaner budget for programs in FY 2001-2002. The
projected budget for FY 2001-2002 accommodates this direction by using a $585,740
reserve transition fund, and making one-time budget adjustments for this year. The
"logic" model has met the City's goals of a logical and gradual phase out of the utility tax
while allowing some new revenue to help address the growth needs in the community,
and providing financial stability since 1993.
Goals and Priorities: The following summarizes the categories of goals as articulated .
by the City Council. These major categories and their priority order are the guidelines
for the development of any budgetary and expenditure plan or strategy. Any staff
recommendations follow these priorities.
• Public Safety
• Stable Finances/Economic Development
• Community/Cultural Services
Public Safety. Public Safety is the number one priority for expenditure of funds. This
category of goals includes the support of services, facilities, and equipment. The City
has continued to add police officers and equipment taking advantage of any available
Federal and State grant funds. Furthermore, funds have been expended in recent years
to add equipment and personnel to enhance Fire Services to meet these increased
service needs also. As the community continues to grow, the challenge will be to
continue addressing these increased needs that so affect the "quality of life" in Rancho
Cucamonga and define our community as a safe community.
• Law Enforcement. The spirit of service is alive and well in Rancho Cucamonga.
Along with the high level of service provided by the Sheriff's Department, there is
active community involvement and support for the City and the Department. The
ii
Sheriff's Reserves, Citizen Patrol, Citizen Equestrian Units, and Sheriff's
Explorers are very active and volunteer literally thousands of hours yearly to the
efforts of the Department and the City. The vast majority of these enthusiastic
volunteers are residents of Rancho Cucamonga, and thus, has a stake in the
community they serve.
The Sheriff's Department's high level of service, encompasses not only patrol,
but also other specialized units that serve to keep the City a place of safe living.
The Solution -Oriented Policing Unit (S.O.P.) dedicates several officers and a
supervisor to the idea and reality of community-based policing. This Unit also
includes a dedicated Bicycle -Enforcement Team (B.E.T.), which proactively
attacks crime problems throughout the City, often before they occur. Coupled
with this is a Crime Prevention Unit, which interacts in the community in areas of
Neighborhood Watch, Business Watch, Rape Prevention and Crime Free Multi -
housing Programs.
Continued development and population growth will require continued growth in
police services. In the past several years, the City has been able to take
advantage of Federal and State COPS Grants to help fund this service growth.
Even though these grants require a local match and are transitioned to full local
funding over a sliding scale three-year period of time for each grant, the City has
benefited to the extent that the need for new officers continues.
Rancho Cucamonga was successful in receiving supplemental COPS grants in
the past. However, with the change in Federal Administration, no new federal
funding will, or may be available for new officers. But for the next several years,
the City must complete the transition to permanent funding for officers hired
under the COPS program in the past. Full local funding for each increment of
prior COPS personnel is $500,000 per grant. Without new federal funding, the
current budget proposes the addition of three (3) new officers as well as two (2)
new patrol vehicles to supplement the new personnel. These will be all locally
funded.
Last fiscal year, the County settled a three-year labor contract with its deputies.
This next fiscal year will be the first full year in which additional labor costs must
be reflected in the budget (7% for safety and 3% for general).
The "Every 15 Minutes" program continues to be a success and has a dramatic
and powerful impact on the serious consequences of drunk driving. The program
was first introduced at Etiwanda High School in 1999, at Rancho Cucamonga
High School in 2000, and at Alta Loma High school in 2001. The program will be
presented again at Etiwanda High School for 2002.
The needed expansion of the Police Facility as described in the FY 2000-2001
budget is progressing as scheduled. An architectural firm has been selected and
it is anticipated that plans will be completed and ready for construction in FY
2001-2002. This project also had to be preceded by the expansion of the Civic
Center parking lot to the east of the police building to accommodate police and
i;i
city vehicles. Parking lot construction is currently underway with completion in
the current fiscal year.
• Fire District. The Fire District budget consists of its General Fund and Mello
Roos 85-1 and 88-1. The Fire District General Fund continues to require revenue
from City sources to balance. Prior year support of $885,940 will continue;
however, the Fire District is requesting an additional $250,830 to meet its service
goals for Fiscal Year 2001-2002. These funds now represent 12.3% of the
District's General Fund, excluding utilization of prior year reserves. Independent
of this support, and the utilization of $308,050 of prior year reserves, District
General Fund revenues have increased by 4.4%.
The Fire District's budget for Fiscal Year 2001-2002 continues to reflect growth in
service levels commensurate with our growing community. The much anticipated
completion of the state of the art Fire Vehicle Maintenance Facility will provide
improved emergency vehicle maintenance programs with its expected
operational date of August 2001.
The budget funds the following: the addition of two (2) more paramedics and
hazardous material specialist stipends to further improve both of these
emergency response programs; the modernization of the self contained
breathing apparatus to replace the existing equipment for improved firefighter
safety; the implementation of a community Automatic External Defibrillator 10
(AED),program to provide a vital tool for improving citizen heart failure
survivability; and the conversion to a modern fire management information
system will improve data collection, record keeping, and analysis in order to
implement improved service delivery programs.
The Community Facilities District No. 88-1 budget includes, funding for land
acquisition, facility design, construction, apparatus and equipment for the
proposed Fire Station No. 176. Land acquisition and station design work is
currently in progress for the fire station to serve Northeastern Rancho
Cucamonga. Plans are currently underway to fund fire station personnel and
operational costs for this new station during the following Fiscal Year.
The RDA Fire Fund 505 budget provides funding for a replacement water tender
for improved capability in suppressing various types of fire incidents. Also, the
initial design work associated with the future development for relocation of our
temporary Baseline Fire Station 173 and a training drill tower to be located at
Jersey Fire Station No. 174 will begin.
The private/public partnership, which resulted in the First Responder Agreement
with the ambulance provider, continues to be a success in providing cost-
effective paramedic services. The decrease in response times and the provision
iv
of advanced life support (ALS) paramedics at emergency scenes continue to be
a valuable life saving service for our community.
• Animal Control. The City contracts with San Bernardino County to operate the
City Animal Shelter in 1996 and service has been excellent. The involvement of
the volunteer resources has also been outstanding. Since opening in 1996, our
shelter has been open five days a week (Tuesday — Saturday). Because of its
success, there was a demand for expanded service and the FY 2000-2001
budget added two days of service to complete a full week of service availability.
The shelter initiated the new service in the second half of this current fiscal year
and will the FY 2001-2002 budget reflects the first full year of seven-day
operations. This expanded service helps our Animal Shelter maintain an
adoption rate for dogs above 50%.
Stable Finances/Economic Development. Economic Development is strong and City
budgets are always balanced. Reserve accounts remain fully funded and healthy, a
tribute to the Council's continued budgetary leadership and discipline. To the extent the
City continues its conservative budgeting practices and maintains adequate reserve
funds, citizens will be able to count on uninterrupted quality city services. This financial
stability also sustains the City's excellent bond ratings, creates stability for economic
growth, allows continued utility tax reduction, and enables the City to modestly address
growth in service needs.
• Engineering. Development projects processed through the Engineering Division
remained high again this year, with next year's activity projected to continue at
the same level. The additional development is reflected by increased contract
plan check and inspection services paid for through processing fees.
Engineering staff continues to work closely with our citizens, SANBAG and
Caltrans to minimize the inevitable impacts upon our community caused by the
on-going construction of Route 30/210.
• Building and Safety. Building Activity in the City is now at record levels. This
activity is spread across the broad spectrum of residential, commercial, and
industrial construction. Building and Safety is expanding the use of contract
services in the FY 2001-2002 budget to maintain a high level of customer service
response commitments. In cooperation with the Fire District the Fire
Construction Services Unit of Building and Safety has been reorganized to
expand the service capabilities in both plan review and inspection activities.
During the past year Automated Permitting through the implementation of
Tidemark Solutions became a reality. In the coming year new elements of the
software will be introduced giving the public greater access to Building and
Safety information.
• Planning. This year has been a steady continuation of last year's development
activity, with a continued growth in applications by 4.5 percent over the previous
year. Many projects are now in the construction phase. This growth has been
balanced in type and location within the community. This is an indication of a
strong but balanced economy for the City. Public counter contacts continue to
run at an average of 500 — 600 per month.
Two critical annexations were successfully processed in the Sphere of Influence
with a likely third before July. Continued efforts this year have opened doors and
discussions are continuing to bring positive possibilities of additional future
annexations in 2002.
This year's activity on the General Plan Update and the accompanying special
studies for Fire, Police, Library, and Community Services proved that the
community has matured well and the goals for the next 20 years will enhance the
City's already strong presence in the Inland Empire.
• Public Works/City Facilities. The high rate of development activity in the City
continues to increase the area of responsibility within the landscape maintenance
and street light maintenance districts. Public Works staff is still expanding the
Calsense computerized irrigation system, resulting in the conservation of water
as well as labor resources. These efforts have helped offset increased costs for
water and electricity in the LMDs. However, the City cannot escape the added
costs of utilities due to the State's Energy Crisis.
A web -based computerized service order request (SOR) system was installed at
the library and is being used to report facilities needs to maintenance staff on-
line. It is also being utilized internally among public works staff for concrete, tree
trimming, and traffic signal services. This has enhanced response time and the
ability to track requests more effectively. Based on the success of the system,
the computerized SOR program will be expanded to other city facilities next year.
• Capital Improvements Program (CIP): The city has an ambitious Capital
Improvement Program for FY 2001-2002 CIP. Some of the major CIP projects
include the installation of the Hermosa Storm Drain from Church Street to Base
Line Road, a project to install storm drain, rehabilitate the pavement and widen
Carnelian Street from Vivero to Base Line, and a proect to widen the street and
rehabilitate the pavement on Milliken Avenue from 4t Street to 7th Street. New
traffic signals will be installed next year at Etiwanda Avenue & Victoria and at
Milliken Avenue & Vintage Drive. The $895,000 received from Assembly Bill
2928, the Traffic Congestion Relief Plan, is funding several new street
rehabilitation projects throughout the community, including 6th Street, Terra Vista
A
Parkway, and 26th Street. Over $350,000 of these funds will also be used to
rehabilitate various local streets citywide.
Park development projects included in the FY 2001-2002 budget include
development of 6 soccer fields through a public/private partnership on the east
side of the City, a grant application for the Pacific Electric Trail project, and the
renovation of the tot lot at Old Town Park.
• Assessment District Budget Outlook: Assessment Districts, for the ninth year,
receive no rate increases and remain with level "A" service levels. The biggest
challenge for the future will be how to cope with the dramatic increases in utility
costs as the result of the State Energy Crisis. These costs are imposed by
outside forces and cannot be easily passed on because of Prop 218 constraints.
These costs currently chip away at reserves and within a 3-4 year period of time;
there will be a need to visit the issue of how to pay for these costs in the future,
otherwise service levels must be adjusted downward, or be subsidized by the
General Fund.
• Redevelopment Agency: The Redevelopment Agency is a special fund not
affiliated with the City's General Fund. The Agency's goal is fostering economic
development and revitalization. This next fiscal year, the Agency will continue its
focus on completing public improvements identified in the Redevelopment Plan
that improve flood control, traffic circulation, and public safety facilities within the
Project Area. Completion of these public improvements will also remove barriers
to private investment, thus enhancing economic development opportunities within
the Project Area.
The Agency recently entered into a partnership with a development team to
construct over 1 million sq. ft. of retail and office in the east portion of the City.
The proposed Victoria Gardens retail project is planned as an outdoor main
street retail district that will bring vital sales tax revenue to the City. Included in
the retail project will be a community building that will provide library and cultural
art programs and services. The project will also provide a large central plaza
space for outdoor civic programming and events. The Agency's partnership will
provide a 16.5% rate of return.
Foothill Boulevard continues to be a priority for the Agency. This corridor is
integral to the success of our city's economic development and retail growth.
The Agency will focus on public improvements for the section of Foothill
Boulevard between Vineyard and Grove Avenues. Design work for this area will
be completed at the end of 2002 with construction of the improvements planned
for 2003. The Agency will also be considering strategies and working with
interested lenders for developing business loan programs to support businesses
that want to expand and/or improve their property.
vi;
The Agency will also be undertaking an aggressive capital improvement
campaign following a successful completion of a Tax Allocation Bond sale. The
proceeds of the bond issue will be used for improvements on Foothill Boulevard,
development of a fiber optic ring within the industrial area, and design and
construction of the 1-15 and Arrow Route interchange.
Northtown Housing Development Corporation, a local non-profit housing
developer will be developing a 96 -unit affordable senior housing through a
combination of Agency, State and local funding sources. First time homebuyer
programs have expanded this past year and are expected to continue to be well
utilized as a result of the low interest rates. The partnership with the Chamber of
Commerce will continue and will include an on-going focus on the "Shop Rancho"
campaign and Business Appreciation Week.
• Administrative Services: Administrative Services supports all internal
functions, which are vital to the operation of all other City departments. It
oversees automation, technology, personnel systems, as well as financial
services.
In the area of information technology, the focus for FY 2001-2002 will be the
development of the City's Information Technology Master Plan; researching
options to address the high tech infrastructure network needs of our community
and surrounding cities; and the implementation of new business license software.
The Information Technology (IT) Master Plan will become a living document that
will be updated and enhanced from time to time to provide a guide to the City's
future technology development. The IT Master Plan is designed to: 1) identify
information technology to meet internal and external customer needs; 2) develop
a strategy to implement and link the existing and future new technology
infrastructure to meet the organization and community's needs; and 3) identify
ways to build business technology into the City's infrastructure to attract and
retain the high tech business community. We will also be evaluating additional
services that we can provide to our citizens and businesses through the internet
(e -government).
The Business License Division is "gearing up" to upgrade its system with state-
of-the-art business license software. Once implemented, the software will: 1)
streamline the various procedures performed in the division and expedite the
processing of business license applications and renewals; 2) provide
management information about the business community such as business types
and Standard Industrial Classification (SIC) codes; and 3) link with other data
sets, including sales tax, property tax, building permits, telephone directories, etc.
The new software is expected to be operational in the Fall of 2001.
The Department will continue to oversee the installation of conduit and fiber optic
cabling as the City enters Phase I of its planned implementation. Currently fiber
conduit installation runs from Haven Avenue along Foothill Boulevard to
Rochester Avenue and from Foothill Boulevard to Vineyard Avenue. Phase I will
involve running fiber optic cable from City Hall to the Library, Fire Station #2, the
Senior Center and the City Yard. With the installation of future phases of fiber
optic cable, it is anticipated to connect City Hall with all 14 off-site locations. The
fiber optic cable can carry both voice and data traffic, including Internet, thereby
reducing the cost of telecommunications in the long run. In the future, such a
network can provide for features such as video conferencing. In addition to
benefiting the City directly, the City's fiber optic cabling will benefit the Inland
Empire as a whole through the combined efforts of entities such as the
Community Partners of the Inland Empire Economic Partnership.
Focus will continue on providing increased staff training. The City of Rancho
Cucamonga Training Academy will be entering its third year of operation. The
Academy's mission is to provide employees the opportunity for personal and
professional development. For FY 2001-2002, the Academy has planned four
quarters of training for its supervisory personnel as well as general employees.
Topics include empowering your workforce/motivation and influence skills;
performance evaluation training/tools; conflict management skills; and dealing
with difficult personalities in the workplace/constructive communication skills.
Executive management workshop trainings will also be held. Furthermore, in
order to further enhance the City's customer service, a special steering
committee, comprised of all levels of employees, will be formed so that the City
can bring customer service to the next level.
The Department also oversees the Vehicle and Equipment Replacement Fund
and the Computer/Equipment Replacement Fund, which are internal service
funds designed to amortize the cost of vehicles, heavy equipment, and office
equipment as well as computer equipment over their respective useful lives. This
approach is similar to that taken by private corporations to ensure a systematic
and cost efficient ability to replace vehicles or equipment in the future. As part of
the City's down streaming program, the Department will facilitate the upgrading of
approximately 127 personal computers during FY 2001-2002 through the use of
these funds.
Community/Cultural Services. Beyond public safety, there is continuing interest in the
community for expanding community/cultural services opportunities, specifically related
to expanded sports/recreational opportunities for youth and seniors, library services,
and community/performing arts. This is perceived to be an evolving community need
that is also supported by various needs assessments.
ix
• Community Services: Next fiscal year will see the continuation of the many •
successful activities in the department, which hosted over 3 million visits to
programs and facilities during the past year.
Community special events coordinated by the department have been very
successful. This year's budget will permit the actual production and delivery of
exciting marketing programs for the department and the Epicenter Sports and
Entertainment Complex. The plans have been developed during this fiscal year
and will include new brochures, web sites, videos and a personalized marketing
program aimed at increasing community activities and rental opportunities at the
Epicenter.
The summer of 2001 will be the first season of community programming in the
new Joint Use Recreation Facility at Alta Loma High School. The facility includes
a state-of-the-art dance room, classrooms and exercise facilities. This facility
was constructed during the past year in a cooperative effort between the City and
the Chaffey Joint Union High School District.
Funding in the Recreation Fund budget will allow the production of two or three
Community Theater productions in partnership with Alta Loma High School in the
school theater. The community's first community production of "Annie" is
scheduled for July, 2001. 0
The budget will also provide a full year of funding for the Kids Mobile and
Farmer's Market.
• Library Services: The Library Services Budget is a separate Budget that gets its
revenues from the transfer of County Library Services and entrepreneurial fees
and fundraising. Library revenues have seen modest growth in the past year,
thanks to stabilized local funding and an increase in State funds available for
library programs.
This year's library budget is based upon six goals outlined in the Library Master
Plan, developed by the Library Board and approved by the City Council in Fall of
2000. The top three priorities of service in 2001-2002, designed to address
immediate needs raised in a recent public survey, are: to continue to provide
service excellence at every public service desk, to expand the book collection
and to expand on-line access to all library services. The budget proposal
addresses these priorities by a very modest increase in the book and materials
budget, and the addition of three new on-line databases and creation of an
electronic book collection.
X
• The remaining two goals for 2001-2002, designed to help mitigate the load of
rising demand for services within limited space, are: to develop outreach services
and to maximize the use of the existing library facility.
Funding for Bookmobile Services represents strong support for the outreach
program. Budgeted partly by grant funds and library income, the Bookmobile
program is fully funded for the first full year of service. While a temporary vehicle
was obtained in 2001 to allow the program to begin service and fulfill grant
commitments, the full sized bookmobile is budgeted for 2001-2002. As part of
the outreach program, services to Seniors is emphasized in this year's budget
proposal, as a "Books to the Homebound" program is developed along with
rotating book collections to senior housing centers. These services designed to
assist our frail seniors also help to mitigate the overcrowding at the Archibald
Library.
To help maximize the use of the Archibald facility, a remodeling project is
budgeted through Redevelopment funds to reconfigure the staff work area on the
second floor to make work patterns more efficient and better accommodate staff
operations.
In terms of revenues, the Library continues to be aggressive in seeking grant
funds as well as promoting the successful Library Telethon event. It will be
searching for ways to expand revenues through programming, classes and the
use of the Library Foundation in the year ahead.
• City Management
Public Information/Communications with our Community: The budget
includes funding for the publication of a "first-ever' Annual Report; a report to our
citizens on the City's programs and accomplishments during the past 2000-2001
Fiscal Year. This Annual Report that will be distributed through the Grapevine is
part of a broader program of communicating with our residents on the projects,
services, and activities that are occurring in Rancho Cucamonga.
The City also anticipates expanded programming on our RCTV 3 during the
upcoming year, through additional City -created videos on various aspects of City
operations as well as programming provided through a partnership with California
Sate University, San Bernardino.
Community Development Technical Services Fund: Development activity in
industrial/commercial as well as residential continues at a high level with the
accompanied need to address community development issues in the community as well
. as review development applications by providing a high level of technical service. A
Community Development Technical Services Fund of $550,000 governed by AB 1600
A
requirements will be utilized by all departments for additional contract services as a
result of customer service, project, and processing needs. FY 2000-2001 needs were
$480,000. These contract services are funded through service fees.
Energy Crisis. As of the date of this memorandum, the energy crisis continues with no
apparent solution in sight. During Fiscal Year 2000-2001, the City has spent nearly one
million dollars in total unbudgeted, energy-related costs. The acquisition of emergency
back-up generators, related switching gear, occupancy sensors, and back-up energy
packs for traffic signals in the City, as well as coping with increased energy costs have
the been the result. Fortunately, the City's stable reserves enabled the City to
accommodate these costs.
It is anticipated that the PUC will soon make decisions that will dramatically increase
electrical rates further. This will have a ripple affect on other utilities that rely upon
electricity to provide these services. Any such additional costs will become a further
burden of the City. In spite of any best efforts by the City to conserve and otherwise cut
the use of energy, the fact remains that there will continue to be more unexpected
costs. All increased continuing costs will have an ongoing negative impact on the City's
operating budgets. There may be more unanticipated costs during the budget year.
Conclusion: The local economy continues to expand and our community continues to
grow as well as the service needs of the community. These service needs run the
gamut from public safety to maintenance services. Guided by City Council priorities, the
budget enables Rancho Cucamonga to sustain those services we already have and
enhances those which have been planned for expansion or have been dictated by our
evolving community such as law enforcement, fire and rescue, recreation, and
maintenance services. Rancho Cucamonga's fiscal health is stable, its fiscal reserves
are healthy, and the budget has been structured to enable the total phase out of the
utility tax.
The phase out of the tax will mean less funds to address many needed service
enhancements during the transition year, but fulfills the City's long standing commitment
to have the tax eliminated.
While there is a general softening in parts of the national economy, Rancho
Cucamonga's local economy remains relatively stable. The obvious unknown is where
the energy crisis will lead us. Increasing energy costs, especially in the lighting and
other special districts are having a negative affect on the reserves of those districts and
prompt a need to review how to deal with those costs.
The longer the energy crisis continues, the more vulnerable local revenues become.
The City must be vigilant in protecting local government revenue from the whims of the
State. While it has been an effort in the past to do so, during the energy crisis, it has
become an absolute imperative to protect local control.
•
Xii
CITY OF RANCHO CUCAMONGA
GENERAL FUND BUDGET
FISCAL YEAR 2001/02
TABLE OF CONTENTS
PAGE
Description of Revenue Sources ....................................................
General Fund Estimated Revenues......................................................... VIII
General Fund Expenditure Summary ...................................................... X
General Fund Expenditure Detail:
001-001
Non -Departmental General .....................................................
1
001-002
Non -Departmental Personnel ...................................................
4
001-101
City Council...............................................................................
7
001-102
City Manager........................:...................................................
10
001-103
City Clerk..................................................................................
15
001-104
Animal Control Services...........................................................
20
001-105
Emergency Preparedness........................................................
23
001-201
Administrative Services............................................................
28
001-204
Business Licensing...................................................................
32
001-205
City Facilities.............................................................................
36
001-206
Finance Department.................................................................
40
001-207
Geographic Information Systems .............................................
45
001-209
Management Information Systems ...........................................
50
001-210
Personnel..................................................................................
56
PAGE
001-211 Purchasing................................................................................ 60
001-212
Risk Management.....................................................................
64
001-213
Treasury Management..............................................................
68
001-301
Community Development - Administration ...............................
71
001-302
Building and Safety...................................................................
76
001-303
Engineering - Administration.....................................................
81
001-304
Engineering: Construction Management ..................................
86
001-305
Engineering: Development Management .................................
89
001-306
Engineering: NPDES................................................................
93
001-307
Engineering: Project Management ...........................................
97
001-308
Engineering: Traffic Management .............................................
101
001-312
Facilities Maintenance
104
..............................................................
001-313
Integrated Waste Management ................................................
109
001-314
Planning....................................................................................
112
001-315
Planning Commission...............................................................
117
001-316
Street and Park Maintenance ...........................................
120
001-317
Vehicle and Equipment Maintenance .................................
127
001-401
Community Services - Administration .......................................
132
001-420
Parks and Recreation Commission ..........................................
137
001-501
Fire District - Administration......................................................
139
001-701
Police........................................................................................
142
001-801
Redevelopment Agency - Administration ..................................
148
0
CITY OF RANCHO CUCAMONGA
General Fund
Revenue Account Information
I. TAXES
PROPERTY TAX - C/Y SECURED (1001000-4101)
This account represents taxes imposed on real property (land and permanently
attached improvements, such as buildings) within the City. The current tax rate is
2.8318%.
PROPERTY TAX - C/Y UNSECURED (1001000-4102)
This account represents taxes imposed on tangible personal property located
within the City. The rate is 2.8318%.
PROPERTY TAX - P/Y SECURED & UNSECURED (1001000-4103)
This account represents property taxes that were delinquent in the year they were
assessed, but were eventually paid.
PROPERTY TAX - PENALTIES/INTEREST (1001000-4104)
This account represents penalties and interest collected on delinquent property
taxes.
SUPPLEMENTAL TAXES (1001000-4105)
This account represents any property related tax not originally included in the initial
property tax levy. Typically, this tax is a result of reassessment of property.
UNITARY TAX (1001000-4106)
This account represents .3839% of operating utility property taxes.
PROPERTY TRANSFER TAX (1001000-4107)
This account provides for amounts received from the County Recorder for
recordation of deeds. The City receives 50% of the related fees.
UTILITY USERS FEE (1001000-4115)
In prior years, this account represented the city's tax on telephone (not including long
distance carriers), water, gas and electricity, with a "cap" of $17,590 for
industrial/business users with high utility usage. The tax was reduced from
2.46% to 0% effective August 1, 2002.
SALES & USE TAXES (1001000-4120)
This account represents the amount received (1% of the 7.75% collected by the
State) from merchants on sales and taxable services within the City of Rancho
Cucamonga.
PROP 172'/2 CENT SALES TAX (1001000-4121)
This account represents the amount received for the City's proportionate share of the
1/2 % of the 7.75% sales tax collected by the State and passed through to the County
of San Bernardino. This portion of the City's sales tax revenues must be used
exclusively for public safety services.
TRANSIENT OCCUPANCY TAX (1001000-4125)
This account provides for amounts received from hotel and motel operators in the
City and constitutes a 10% tax on each room.
FRANCHISE FEE -GAS & ELECTRIC (1001000-4130)
This account provides for amounts received for the privilege granted by the City
permitting the continuing use of public property such as poles and lines for public
utility use. The 2% received is based on gross receipts.
FRANCHISE FEE -RESIDENTIAL REFUSE (1001000-4131)
This account provides for amounts received for the privilege of operating residential
refuse collection services in the City. The 15.75% received is based on gross
receipts.
FRANCHISE FEE -COMMERCIAL REFUSE (1001000-4132)
This account provides for amounts received for the privilege of operating commercial
refuse collection services in the City. The 15.75% received is based on gross
receipts.
FRANCHISE FEE -CABLE TV (1001000-4133)
This account provides for amounts received for the privilege of operating cable TV
services within the City. The 5% received from Charter Communications and
Adelphia are based on gross receipts.
II. LICENSES & PERMITS
BUSINESS LICENSES (1001000-4201)
This account provides for monies received from the issuance of business licenses
based on gross receipts/payroll or a flat fee depending on the type of business.
BICYCLE LICENSES (1001000-4202)
This account provides for monies received for bicycle licenses at $3.00 per
license.
BUILDING PERMITS (1001000-4207)
This account provides for revenues received from contractors/builders based on
flat fees for the issuance of building permits. 0
0
U
OTHER LICENSES & PERMITS (1001000-4220)
This account provides for amounts received from contractors builders, businesses,
etc., for the issuance of permits for compliance re -inspection fees, temporary
occupancy permits, plan check duplication and temporary connection of utilities.
The fee starts at $30.00.
III. FINES & FORFEITS
VEHICLE CODE FINES (1001000-4301)
This account provides for amounts received from the San Bernardino County court
system and remitted to the City for Penal Code violations. Fines are based on the
type of violation.
PARKING CITATIONS (1001000-4302)
This account represents amounts received for parking violations within the City
which vary from $15.00 to $255.00.
VEHICLE RELEASE FEE (1001000-4306)
• This account represents amounts received for the costs associated with towing and
releasing stored or impounded vehicles. The fee is $75.00 per vehicle.
CITATION PROOF OF CORRECTION FEE (1001000-4307)
This account represents amounts received for proof of correction violations. The fee
is $15.00 per citation. This fee does not apply to persons residing or working within
the City of Rancho Cucamonga or citations issued by the Rancho Cucamonga Police
Department.
GENERAL ORDINANCE FINES (1001000-4308)
This account provides for amounts received from the San Bernardino County court
system for City Ordinance violations. Fines are based on the type of violation.
IV. MISCELLANEOUS
INTEREST EARNINGS (1001000-4401)
This account represents the General Fund's share of the interest earned on the City's
pooled cash and investments.
SALE OF FIXED ASSETS (1001000-4440)
This account is used to reflect the proceeds of any sale of the City's machinery and
equipment. This revenue source occurs infrequently.
RETURNED ITEM CHARGE (1001000-4564) .
This account provides for amounts received for checks returned by financial
institutions due to various reasons. The fee is $10.00 per returned check.
SALE OF PRINTED MATERIALS (1001000-4570)
This account provides for amounts received for the purchase of the City's annual
budget, the City's annual financial report and photocopies of agendas, minutes, etc.
Cost varies from $0.25 to $160.00. There is a minimum charge of $1.00 for copies of
1-3 pages.
SALE OF TAXABLE ITEMS (1001000-4571)
This account is used to reflect the proceeds of any sale of the recycling program
supplies, i.e., composters, etc.
OTHER REVENUE (1001000-4901)
This account is used to reflect non-recurring sources of revenue as well as revenues
received that are not applicable to any existing account.
V. INTERGOVERNMENTAL
MOTOR VEHICLE IN LIEU (1001000-4701)
This account provides for amounts received from the State of California for vehicle
license fees (VLF) collected. All motor vehicles are subject to a license fee equal to
2% of a vehicle's market value. Of the fees collected, 24.33% is distributed to
counties to fund programs transferred to local government as part of the 1991 shift
known as realignment. The remaining 75.67% is distributed to cities and counties,
except for a relatively small amount that is used to pay the cost of collecting and
distributing the tax. Most of the non -realignment VLF is divided equally between
cities and counties and then distributed on the basis of population. 18.75% of the
non -realignment funds are distributed through special payments, primarily to cities
that levied low or no property taxes prior to Proposition 13. The City of Rancho
Cucamonga qualifies as such a city.
OFF-HIGHWAY LICENSE FEES (1001000-4705)
This account provides for the amounts received from State collected taxes on off-
highway vehicles and is allocated based on population.
HOMEOWNERS PROPERTY TAX RELIEF (1001000-4710)
This account provides for amounts received from the County of San Bernardino
which were reimbursed by the State of California due to the Homeowners
Exemption. The monies are put into the County pool and allocated by way of the AB
8 formula.
IV
0 VI. CHARGES FOR SERVICE
FALSE ALARM FEE (1001000-4309)
This account provides for amounts received from businesses and homeowners
pertaining to service charges for false alarms. During any given fiscal year the
charges are as follows: Third false alarm: $25.00, Fourth: $50.00, Fifth: $75.00,
Sixth and subsequent false alarms: $100.00.
BOOKING FEES REIMBURSEMENT (1001000-4311)
This account provides for amounts received from the County of San Bernardino for
reimbursement of booking fees. As of March 1998, the fee is $159.72.
PLAN CHECK FEES (1001000-4501)
This account represents the amounts received from developers for the review of plans
and projects to ensure conformance with City standards and policy. The fees vary
based on the complexity of the project.
BUILDING & SAFETY SPECIAL SERVICES FEES (1001000-4507)
This account represents reimbursements from developers if plan checks need to be
sent to an outside consultant. Fees are based on building valuation.
• PLANNING FEES (1001000-4508)
This account provides for fees collected for planning costs related to processing and
entitlement. The fees are based on a graduated fee basis, a flat fee basis, or a time -
and -material basis.
PLANNING DEPARTMENT SPECIAL PROGRAM FEES (1001000-4509)
This account represents reimbursements received from developers for various
studies requested. Fees vary depending on the type of study.
ENGINEERING FEES (1001000-4510)
This account provides for fees collected for engineering costs related to
applications, map and improvement plan check fees, public works construction and
oversize loads. The fees are based on a graduated fee basis or a flat fee.
ENGINEERING SPECIAL SERVICES FEES (1001000-4511)
This account represents reimbursements from developers if plan checks need to be
sent to an outside consultant. Fees are based on the size of plan check required.
COMMUNITY SERVICES SPECIAL PROGRAM FEES (1001000-4521)
This account represents special program reimbursements received from
businesses, service clubs and private donations to offset costs for concerts in the park,
equipment for the Senior Center, etc.
V
EMERGENCY PREPAREDNESS SPECIAL PROGRAM FEES (1001000-4525)
This account represents special program reimbursements received from
organizations requesting CERT classes. Fees vary depending on class size.
D.A.R.E. PROGRAM PROMOTIONS & CONTRIBUTIONS (1001000-4530)
This account represents proceeds from D.A.R.E. related fundraisers; sale of T-shirts,
key chains and other D.A.R.E. related merchandise and outside contributions
for D.A.R.E. activities.
FINGERPRINT FEES (1001000-4560)
This account provides for monies received for the fingerprinting fee of
$10.00 per card.
CANDIDATES FILING FEES (1001000-4563)
This account provides for amounts received from prospective candidates to have
their statements printed on the ballot. This amount is then sent to the Registrar of
Voters to offset the cost of the printing.
D.A.R.E. PROGRAM RERVIBURSEMENT (1001000-4910)
This account provides for program reimbursements received from schools
participating in the D.A.R.E. program. The amounts vary from year to year.
VII. OTHER
REIMBURSEMENT FROM SPECIAL DISTRICT (1001000-4911)
This account includes all reimbursements made to the General Fund from any of
the City's special districts, such as the Assessment Districts, Street Lighting
Districts, Landscape Maintenance Districts, etc. These reimbursements reflect the
administrative overhead costs borne by the General Fund and reimbursed by the
special districts.
REIMBURSEMENT FROM RDA (1001000-4911)
This account is set aside to account for all reimbursements received from the
Redevelopment Agency. These reimbursements represent the Redevelopment
Agency's reimbursement to the General Fund for the payroll costs of staff working
on Redevelopment Agency projects. Beginning in fiscal year 2001/02, these costs
were charged directly to the Redevelopment Agency.
REIMBURSEMENT FROM FIRE DISTRICT (1001000-4911)
This account is established to account for the payroll costs of City staff whose
responsibilities are related to Fire District functions. Examples would include the
Fire District Finance staff who are City employees with their payroll costs being
reimbursed by the Fire District. Beginning with fiscal year 2001/02, these costs are
charged directly to the Fire District.
VI
REIMBURSEMENT FROM OTHER FUNDS (1001000-4911)
This account is established to account for all reimbursements received from any
other fund administered by the City (i.e., the Special Funds) exclusive of
the special districts funds noted above. These reimbursements reflect the
administrative and general overhead costs borne by the General Fund and
reimbursed by other special revenue funds.
NON -ABATED REIMBURSEMENTS (1001000-4914)
This account reflects reimbursements received from any source not reflected
elsewhere in the revenue accounts and not directly attributable to a specific
expenditure.
Budgedgfrvaccts/02
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
4Vnd: GENERAL FUND (001)
4101
Budgeted
Budgeted
Revenue
1,500,750
Revenue
Revenue
Estimate
95,240
Fiscal Year
Fiscal Year
Fiscal Year
Obiect/Description
1999/2000
2000/01
2001/02
11
TAXES (4100)
4101
Property Taxes-CY Secured
1,465,650
1,574,360
1,500,750
4102
Property Taxes-CY Unsecured
83,930
95,240
100,910
4103
Property Taxes-PY Sec & Unsec
101,000
104,430
97,220
4104
Property Taxes-Penalties/Int.
77,910
73,170
81,600
4105
Property Taxes -Supplemental
10,440
25,130
55,760
4106
Property Taxes -Unitary
131,740
128,850
125,550
4107
Property Transfer Tax
396,160
365,820
478,710
4115
Utility User's Fees
4,396,890
3,453,310
0
4120
Sales and Use Tax
11,935,000
13,906,830
13,660,000
4121
Prop 172 -Half Cent Sales Tax
194,270
252,290
289,810
4125
Transient Occupancy Tax
158,160
187,890
195,030
4130
Franchise Fee -Gas & Electric
1,496,670
1,540,340
2,674,420
4131
Franchise Fee-Resid. Refuse
941,850
1,005,330
1,069,140
4132
Franchise Fee -Comm. Refuse
971,610
999,840
1,225,300
4133
Franchise Fee -Cable
589,300
770,280
832,780
TOTAL FOR TAXES:
22,950,580
24,483,110
22,386,980
LICENSES & PERMITS (4200)
4201
Business Licenses
1,100,000
1,210,000
1,475,000
4202
Bicycle License
100
110
20
4207
Building Permits
860,000
1,430,000
2,100,000
4220
Other Licenses & Permits
21,000
31,000
27,300
TOTAL FOR LICENSES & PERMITS:
1,981,100
2,671,110
3,602,320
FINES & FORFEITURES (4300)
4301 Vehicle Code Fines
213,660
274,330
226,160
4302 Parking Citations
100,000
100,000
100,000
4306 Vehicle Release Fees
125,000
100,000
116,800
4307 Citation Proof of Corr Fees
1,000
1,690
1,500
4308 General Ordinance Fines
15,000
33,720
32,550
4309 False Alarm Fees
8,000
4,000
7,500
4310 Loud Party Ordinance Fines
170
170
170
4311 Booking Fees Reimbursement
1,500
2,740
0
TOTAL FOR FINES & FORFEITURES:
464,330
516,650
484,680
USE OF MONEY & PROPERTY (4400)
4401 Interest Earnings
430,000
700,000
1,020,000
4419 Other Rental/LeaseIncome
0
0
24,330
4440 Sale of Fixed Assets
500
500
28,390
TOTAL FOR USE OF MONEY & PROPERTY:
430,500
700,500
1,072,720
CHARGES FOR SERVICES (4500)
4501 Plan Check Fees
565,000
600,000
1.200 000
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Fund: GENERAL FUND (001)
Budgeted Budgeted Revenue
Revenue Revenue Estimate
Fiscal Year Fiscal Year Fiscal Year
Obiect/Descriotion 1999/2000 2000/01 2001/02
4508
Planning Fees
400,000
600,000
700,000
4509
Planning- Special Services Fee
200,000
200,000
200,000
4510
Engineering Fees
700,000
955,000
1,220,000
4511
Engineering - Special Services
200,000
50,000
100,000
4521
C/S Special Program Fees
45,750
48,030
39,000
4525
Emergency Prep Spec Prog Fees
32,500
17,000
16,000
4530
DARE Program Promo & Cont
1,000
170
0
4560
Fingerprint Fees
33,000
15,000
12,000
4563
Candidates Filing Fees
0
6,720
0
4564
Returned Item Charge
650
640
620
4570
Sale of Printed Materials
67,200
71,600
82,950
4571
Sale of Taxable Items
280
240
170
TOTAL FOR CHARGES FOR SERVICES:
2,245,380
2,564,400
3,570,740
INTERGOVERNMENTAL (4700)
4701
Motor Vehicle In -Lieu Fees
5,276,840
6,338,660
7,103,830
4705
Off -Highway License Fees
1,900
1,340
2,520
4710
Homeowners Property Tax Relief
61,500
60,950
59,400
4745
Other Intergov'tl Reimbursemnt
San Bernardino County OES
0
0
13,100
TOTAL FOR INTERGOVERNMENTAL:
5,340,240
6,400,950
7,178,850
OTHER (4900)
4901
Other Revenue
8,370
10,000
9,410
4910
DARE Program Reimbursement
102,910
116,450
120,000
4911
Reimbursement from Other Funds
Fire District Reimbursement
137,480
147,610
0
RDA Reimbursement
872,800
845,340
0
Reimbursement from Other Funds
393,320
614,540
1,011,220
Special District Reimbursement
790,670
905,460
956,280
Subtotal for: 4911
2,194,270
2,512,950
1,967,500
4914
Non -Abated Reimbursements
72,280
89,000
92,210
TOTAL FOR OTHER:
2,377,830
2,728,400
2,189,120
TRANSFER IN (8000)
8999
Transfer In From Fund Balance
0
0
585,740
TOTAL FOR TRANSFER IN:
0
0
585,740
TOTAL FOR GENERAL FUND:
35,789,960
40,065,120
41,071,150
•
W
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND, DIVISION
001 GENERAL FUND
001 NON -DEPARTMENTAL GENERAL
002 NON -DEPARTMENTAL PERSONNEL
101 CITY COUNCIL
102 CITY MANAGER
103 CITY CLERK
104 ANIMAL CONTROL SERVICES
105 EMERGENCY PREPAREDNESS
201 ADMIN SRVCS-ADMINISTRATION
204 BUSINESS LICENSES
205 CITY FACILITIES
206 FINANCE
207 GEOGRAPHIC INFORMATION SYSTEMS
209 MANAGEMENT INFORMATION SYSTEM
210 PERSONNEL
211 PURCHASING
212 RISK MANAGEMENT
213 TREASURY MANAGEMENT
301 COMMUNITY DEV -ADMINISTRATION
302 BUILDING AND SAFETY
303 ENGINEERING -ADMINISTRATION
304 ENGINEERING -CONSTRUCTION MGT
305 ENGINEERING -DEVELOPMENT MGT
306 ENGINEERING - NPDES
307 ENGINEERING -PROJECT MGT
308 ENGINEERING -TRAFFIC MGT
312 FACILITIES MAINTENANCE
313 INTEGRATED WASTE MGMT.
314 PLANNING
315 PLANNING COMMISSION
316 STREET AND PARK MAINT.
317 VEHICLE AND EQUIP. MAINT.
401 COMMUNITY SRVCS-ADMINISTRATIOP
420 PARK AND RECREATION COMMISSION
501 FIRE ADMINISTRATION
701 POLICE -ADMINISTRATION
801 RDA ADMINISTRATION
TOTAL FOR GENERAL FUND:
2,249,820
1999/2000
2000/01
2001/02
Fund/Description
Adopted
Adopted
Adopted
Division/Description
Budget
Budget
Budget
001 GENERAL FUND
001 NON -DEPARTMENTAL GENERAL
002 NON -DEPARTMENTAL PERSONNEL
101 CITY COUNCIL
102 CITY MANAGER
103 CITY CLERK
104 ANIMAL CONTROL SERVICES
105 EMERGENCY PREPAREDNESS
201 ADMIN SRVCS-ADMINISTRATION
204 BUSINESS LICENSES
205 CITY FACILITIES
206 FINANCE
207 GEOGRAPHIC INFORMATION SYSTEMS
209 MANAGEMENT INFORMATION SYSTEM
210 PERSONNEL
211 PURCHASING
212 RISK MANAGEMENT
213 TREASURY MANAGEMENT
301 COMMUNITY DEV -ADMINISTRATION
302 BUILDING AND SAFETY
303 ENGINEERING -ADMINISTRATION
304 ENGINEERING -CONSTRUCTION MGT
305 ENGINEERING -DEVELOPMENT MGT
306 ENGINEERING - NPDES
307 ENGINEERING -PROJECT MGT
308 ENGINEERING -TRAFFIC MGT
312 FACILITIES MAINTENANCE
313 INTEGRATED WASTE MGMT.
314 PLANNING
315 PLANNING COMMISSION
316 STREET AND PARK MAINT.
317 VEHICLE AND EQUIP. MAINT.
401 COMMUNITY SRVCS-ADMINISTRATIOP
420 PARK AND RECREATION COMMISSION
501 FIRE ADMINISTRATION
701 POLICE -ADMINISTRATION
801 RDA ADMINISTRATION
TOTAL FOR GENERAL FUND:
2,249,820
2,910,130
2,683,310
131,200
106,200
101,200
100,980
100,980
100,700
524,330
555,080
753,080
392,680
446,860
366,370
339,550
385,340
390,490
215,320
226,790
213,790
349,610
362,330
383,670
185,900
197,660
199,760
1,356,000
1,307,610
1,420,470
555,850
614,630
650,930
244,860
244,760
317,100
1,524,490
1,797,880
1,906,720
273,940
275,880
287,650
196,800
251,370
270,890
141,370
181,600
179,960
4,830
5,470
5,040
222,970
221,940
0
2,047,630
2,704,770
3,059,390
352,190
339,740
351,840
530,530
517,730
615,510
962,560
1,128,860
1,397,000
405,470
443,960
461,870
117,620
125,360
130,190
223,020
200,330
209,440
1,552,920
1,905,640
1,882,410
525,270
552,460
633,770
1,502,020
1,792,060
1,999,330
17,250
17,250
17,140
3,125,530
3,736,280
3,696,890
783,490
923,870
883,800
1,797,230
2,011,870
2,205,630
5,890
5,710
6,480
137,960
147,610
0
11,820,080
12,473,770
13,289,330
872,800
845,340
0
35,789,960
40,065,120
41,071,150
I"
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: GENERAL FUND (001)
: NON -DEPARTMENTAL GENERAL (001)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
20,200
22,200
22,200
24,200
24,200
5105
Mileage
21,000
21,000
25,800
25,800
25,800
5160
Membership Dues
31,000
34,980
36,540
49,200
49,200
5200
Operations & Maintenance
5,000
8,500
9,060
9,500
9,500
5300
Contract Services
569,420
748,970
792,070
431,980
431,980
5410
Automobile Insurance
22,500
22,000
18,320
20,000
20,000
5411
Fire Insurance
12,000
5,600
5,200
5,600
5,600
5416
General Liability Insurance
47,500
67,500
34,600
35,000
35,000
5505
Booking Fees
465,000
470,000
400,000
400,000
400,000
5510
Property Tax Admin. Fee
41,000
44,000
44,000
44,000
44,000
5700
Interest Expense
0
0
6,330
0
0
5702
Long -Term Debt Repayment
0
0
61,470
0
0
9281
Transfer Out -Fire Fund
646,000
885,940
885,940
1,136,770
1,136,770
9282
Transfer Out -CFD 85-1
0
52,930
52,930
52,930
52,930
9290
Transfer Out -Library Fund
0
50,000
50,000
38,620
38,620
9700
Transfer Out -Sports Complex
369,200
476,510
575,540
409,710
409,710
TOTAL FOR OPERATIONS & MAINTENANCE:
2,249,820
2,910,130
3,020,000
2,683,310
2,683,310
TOTAL FOR DIVISION 001: 2,249,820 2,910,130 3,020,000 2,683,310 2,683,310
11
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (00 1) OPERATIONS & MAINTENANCE (5100) DETAIL
)ivision: NON -DEPARTMENTAL GENERAL (001)
5160 Membership Dues
California Contract Cities
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
600
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
7,000
San Bernardino Assoc. Gov'ts
2,500
3,230
3,300
Annual Mtgs w/Legislative Advo
1,100
1,100
1,100
1,100
1,100
CLOUT & Chamber Of Commerce
2,900
2,900
2,900
2,900
2,900
Misc Legislative Mtgs As Req
2,200
2,200
2,200
2,200
2,200
Team Building & Goal Workshops
5,000
5,000
5,000
5,000
5,000
Year End Employees Meeting
9,000
11,000
11,000
13,000
13,000
Total for Travel, Meetings & Training:
20,200
22,200
22,200
24,200
24,200
5105 Mileage
21,000
21,000
25,800
25,800
25,800
Total for Mileage:
21,000
21,000
25,800
25,800
25,800
5160 Membership Dues
California Contract Cities
400
400
560
600
600
League Of California Cities
12,000
12,600
14,400
26,600
26,600
National League Of Cities
4,000
6,650
6,910
7,000
7,000
San Bernardino Assoc. Gov'ts
2,500
3,230
3,300
3,300
3,300
So CA Association of Gov'ts
6,000
6,000
5,440
5,600
5,600
We -Tip
6,100
6,100
5,930
6,100
6,100
Total for Membership Dues:
31,000
34,980
36,540
49,200
49,200
5200 Operations & Maintenance
27,600
75,600
91,600
78,000
78,000
Council/Commission Pamphlets
1,500
1,500
1,500
1,500
1,500
False Alarm Mgmt
1,000
1,000
1,000
1,000
1,000
Foil Seals -Official City Docum
0
2,500
3,060
3,000
3,000
Volunteer Program
2,500
3,500
3,500
4,000
4,000
Total for Operations & Maintenance:
5,000
8,500
9,060
9,500
9,500
5300 Contract Services
8UU Mhz (Debt Srvc,Arbitrage)
143,250
152,000
127,520
80,930
80,930
Audit Services
55,000
55,000
45,900
46,000
46,000
Chamber Of Commerce
2,400
2,400
2,400
2,400
2,400
City Annual Report
0
0
20,000
20,000
20,000
City Attorney
135,000
150,000
100,000
100,000
100,000
Etwnda Hist Fire & Security
1,000
1,000
1,000
1,000
1,000
Internet Technical Support
15,000
15,000
15,000
15,000
15,000
Legislative Advocate
27,600
75,600
91,600
78,000
78,000
Miscellaneous
5,000
5,000
5,000
5,000
5,000
National Management Assoc
2,500
2,500
0
0
0
Professional Services
50,000
50,000
50,000
50,000
50,000
Program Contingency
92,980
206,820
300,000
0
0
Security Lines
19,350
19,350
19,350
19,350
19,350
Sheriff Reserve Installation
4,000
4,300
4,300
4,300
4,300
Special Audit Services
16,340
10,000
10,000
10,000
10,000
Total for Contract Services:
569,420
748,970
792,070
431,980
431,980
5410 Automobile Insurance 22,500 22,000 18,320 20,000 20,000
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
GENERAL FUND (001)
1i: NON -DEPARTMENTAL GENERAL (001)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Total for Automobile Insurance: 22,500 22,000 18,320 20,000 20,000
5411 Fire Insurance
nouer Ana macnmery insurance
9,500
3,500
3,100
3,500
3,500
Employee Fidelity & Notary
2,100
2,100
2,100
2,100
2,100
Public Official Bond, Notary
400
0
0
0
0
Total for Fire Insurance:
12,000
5,600
5,200
5,600
5,600
5416 General Liability Insurance
excess Ltaoumty insurance 47,500 67,500 34,600 35,000 35,000
Total for General Liability Insurance: 47,500 67,500 34,600 35,000 35,000
5505 Booking Fees 465,000 470,000 400,000 400,000 400,000
Total for Booking Fees: 465,000 470,000 400,000 400,000 400,000
5510 Property Tax Admin. Fee 41,000 44,000 44,000 44,000 44,000
Total for Property Tax Admin. Fee: 41,000 44,000 44,000 44,000 44,000
Interest
800 Mhz Del
Service
P
Total for Interest Expense: 0 0 6,330
5702
Long -Term Debt Repayment
800 Mhz Debt Service
0
0
61,470
0
0
9281
Total for Long -Term Debt Repayment:
Transfer Out -Fire Fund
0
646,000
0
885,940
61,470
885,940
0
1,136,770
0
1,136,770
9282
Total for Transfer Out -Fire Fund:
Transfer Out -CFD 85-1
646,000
0
885,940
52,930
885,940
52,930
1,136,770
52,930
1,136,770
52,930
9290
Total for Transfer Out -CFD 85-1:
Transfer Out -Library Fund
0
0
52,930
50,000
52,930
50,000
52,930
38,620
52,930
38,620
9700
Total for Transfer Out -Library Fund:
Transfer Out -Sports Complex
0
369,200
50,000
476,510
50,000
575,540
38,620
409,710
38,620
409,710
Total for Transfer Out -Sports Complex:
369,200
476,510
575,540
409,710
409,710
TOTAL FOR OPERATIONS & MAINTENANCE:
0
2,249,820 2,910,130 3,020,000 2,683,310 2,683,310
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d
)i : GENERAL FUND (001) : NON -DEPARTMENTAL PERSONNEL (002)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adapted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5037
Long -Term Disability
5038
Life Insurance
5050
Medicare
5051
Unemployment Insurance
5052
Workers' Compensation
5053
Workers' Compensation Claims
5054
Deferred Compensation (457)
5060
Tuition Reimbursement
5061
Management Development
5065
Coffee Fund
TOTAL FOR PERSONNEL SERVICES:
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
5,000
5,000
8,000
10,000
10,000
100,000
75,000
50,000
65,000
65,000
1,200
1,200
1,200
1,200
1,200
106,200
81,200
59,200
76,200
76.200
OPERATIONS & MAINTENANCE
5285 Safety Gear & Equipment 25,000 25,000 25,000 25,000 25.000
TW FOR OPERATIONS & MAINTENANCE: 25,000 25,000 25,000 25,000 25.000
TOTAL FOR DIVISION 002: 131,200 106,200 84,200 101,200 101.200
H
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
PERSONNEL SERVICES (5000) DETAIL
Fund: GENERAL FUND (001)
Division: NON -DEPARTMENTAL PERSONNEL (002)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object
Object Description
Budget
Budget
Actual
Rcmd
Budget
5031
Medical Insurance
0
0
0
0
0
Total for Medical Insurance:
0
0
0
0
0
5033
Dental Insurance
0
0
0
0
0
Total for Dental Insurance:
0
0
0
0
0
5034
Optical Insurance
0
0
0
0
0
Total for Optical Insurance:
0
0
0
0
0
5035
P.E.R.S.
0
0
0
0
0
Total for P.E.R.S.:
0
0
0
0
0
5037
Long -Term Disability
0
0
0
0
0
Total for Long -Term Disability:
0
0
0
0
0
5038
Life Insurance
0
0
0
0
0
Total for Life Insurance:
0
0
0
0
0
5050
Medicare
0
0
0
0
0
Total for Medicare:
0
0
0
0
0
5051
Unemployment Insurance
0
0
0
0
0
Total for Unemployment Insurance:
0
0
0
0
0
5052
Workers' Compensation
0
0
0
0
0
Total for Workers' Compensation:
0
0
0
0
0
5053
Workers' Compensation Claims
0
0
0
0
0
Total for Workers' Compensation Claims:
0
0
0
0
0
5054
Deferred Compensation (457)
0
0
0
0
0
Total for Deferred Compensation (457):
0
0
0
0
0
5060
Tuition Reimbursement
5,000
5,000
8,000
10,000
10,000
Total for Tuition Reimbursement:
5.000
5,000
8,000
10,000
10,000
5061
Management Development
100,000
75,000
50,000
65,000
65,000
Total for Management Development:
100,000
75,000
50,000
65,000
65,000
5065
Coffee Fund
1,200
1,200
1,200
1,200
1,200
Total for Coffee Fund:
1,200
1,200
1,200
1,200
1,200
TOTAL FOR PERSONNEL SERVICES: 106,200 81,200 59,200 76,200 76,200
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
4 nd: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
nd: GENERAL FUND (001)
n: NON -DEPARTMENTAL PERSONNEL (002)
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
25,000 25,000 25,000 25,000 25,000
ig
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
5285 Safety Gear & Equipment
Total for Safety Gear & Equipment:
Adopted
Budget
2S,000
25,000
Adopted
Budget
25,000
25,000
Estimated
Actual
25,000
25,000
Manager
Rcmd
25,000
25,000
Adopted
Budget
25,000
25,000
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
25,000 25,000 25,000 25,000 25,000
ig
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F oil: GENERAL FUND (001)
t: CITY COUNCIL (101)
TOTAL FOR DIVISION 101: 100,980 100,980 92,680 100,700 100 700
Is
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
53,200
53,200
53,200
53,200
53,200
5030 Fringe Benefits
19,680
19,680
19,680
19,680
19,680
TOTAL FOR PERSONNEL SERVICES:
72,880
72,880
72,880
72,880
72,880
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
16,640
16,640
13,340
16,640
16,640
5105 Mileage
1,500
1,500
500
1,500
1,500
5200 Operations & Maintenance
6,680
6,680
4,680
6,680
6,680
5300 Contract Services
3,000
3,000
1,000
3,000
3,000
5415 General Liability Charges
280
280
280
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
28,100
28,100
19,800
27,820
27,820
TOTAL FOR DIVISION 101: 100,980 100,980 92,680 100,700 100 700
Is
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: City Council
DIVISION: City Council
FUND: 001
COST CENTER: 101
OBJECT
5000
#
PERSONNEL - FULL TIME
FY 2000/01
Fiscal Year 2001/02
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth. I Funded
Mayor
Council Members
100%
400%
100%
400%
100% 100%
400% 400%
100%
400%
F GENERAL FUND (001)
q* CITY COUNCIL (101)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
5200 Operations & Maintenance
��.......a auu nug, LLvu1KJ
Office Supplies
31000 3,000 2,000 3,000 3,000
3,050 3,050 21050 3,050 3,050
Printing 630 630 630 630 630
Total for Operations & Maintenance: 6,680 6,680 4,680 6,680 6,680
5300 Contract Services
""r.ntr'"lGOts
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Estimated
Manager
Adopted
3,000
3,000
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
Total for General Liability Charges:
280
280
280
Council Committee Meetings
1,200
1,200
1,200
1,200
1,200
League of CA Cities -Annual Mtg
2,400
2,400
2,400
2,400
2,400
League of CA Cities -Other
2,500
2,500
2,500
2,500
2,500
League of CA Cities/Inland Emp
700
700
700
700
700
Legislative Meetings
2,400
2,400
2,400
2,400
2,400
Local Gov't Commission Mtgs
400
400
400
400
400
Local Meetings As Required
1,000
1,000
1,000
1,000
1,000
Nat'l League of Cities -Annual
4,800
4,800
0
3,300
3,300
Rails to Trails Conservancy
500
500
2,000
2,000
2,000
S.B. County Associated Gov'ts
740
740
740
740
740
Total for Travel, Meetings & Training:
16,640
16,640
13,340
16,640
16,640
5105 Mileage
Local Meetings As Required
1,500
1,500
500
1,500
1,500
Total for Mileage:
1,500
1,500
500
1,500
1,500
5200 Operations & Maintenance
��.......a auu nug, LLvu1KJ
Office Supplies
31000 3,000 2,000 3,000 3,000
3,050 3,050 21050 3,050 3,050
Printing 630 630 630 630 630
Total for Operations & Maintenance: 6,680 6,680 4,680 6,680 6,680
5300 Contract Services
""r.ntr'"lGOts
3,000
3,000
1,000
3,000
3,000
Total for Contract Services:
3,000
3,000
1,000
3,000
3,000
5415 General Liability Charges
280
280
280
p
0
Total for General Liability Charges:
280
280
280
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
E
28,100 28,100 19,800 27,820 27,820
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
D*:
GENERAL FUND (001)
D : CITY MANAGER (102)
0
TOTAL FOR DIVISION 102: 524,330 555,080 571,850 753,080 753,080
10
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
339,140
362,610
376,340
515,570
515,570
5030 Fringe Benefits
125,480
134,170
134,170
190,760
190,760
TOTAL FOR PERSONNEL SERVICES:
464,620
496,780
510,510
706,330
706,330
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
12,750
13,600
13,600
13,600
13,600
5105 Mileage
9,610
9,610
10,690.
10,690
10,690
5152 Computer Software
540
550
1,100
500
500
5160 Membership Dues
4,030
3,120
3,280
3,280
3,280
5161 Publications & Subscriptions
0
0
0
2,000
2,000
5200 Operations & Maintenance
12,050
11,500
5,880
9,500
9,500
5251 Depreciation - Vehicles
2,400
4,350
4,350
2,180
2,180
5281 Depreciation - Equipment
170
0
0
0
0
5300 Contract Services
15,000
15,000
15,000
5,000
5,000
5415 General Liability Charges
560
570
570
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
57,110
58,300
54,470
46,750
46,750
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
2,600
0
6,870
0
0
0 TOTAL FOR CAPITAL OUTLAY:
2,600
0
6,870
0
0
0
TOTAL FOR DIVISION 102: 524,330 555,080 571,850 753,080 753,080
10
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administration
DIVISION: City Manager
FUND: 001
COST CENTER: 102
11
0
0
0
FY 2001/02
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERS NNEL - FULL TIME
City Manager
65%
65%
65%
65%
65%
Deputy City Manager
80%
80%
80%
80%
80%
Asst. To City Manager
100%
100%
100%
100%
100%
Asst. To City Manager
65%
0%
0%
0%
0%
Management Analyst 1
100%
0%
0%
0%
0%
Management Analyst 11
0%
100%
100%
100%
100%
Management Analyst III
0%
100%
100%
100%
100%
Executive Assistant
0%
100%
100%
100%
100%
Office Specialist 11 '
0%
100%
100%
100%
100%
Office Specialist 1
0%
100%
100%
100%
100%
ALSO SEE:
RDA (2620-8011
City Manager
25%
25%
25%
25%
250,0
Intear. Waste Mgmt. (1001-313)
City Manager
10%
10%
10%
10%
10%
Deputy City Manager
20%
20%
20%
20%
200.
Asst. To City Manager
35%
0%
0%
0%
00,
*Transferred from Comm. Development (1001-301)
11
0
0
0
If
GENERAL FUND (001)
n: CITY MANAGER (102)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
5105 Mileage
Auto Allowance
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
10,440
Adopted
Adopted
Estimated
Manager
Adopted
Object ObiectDescription
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
10,690
5152 Computer Software
200
0
0
American Society of Public Adm
250
100
100
100
100
ICMA Best Practices Workshop
0
1,000
1,000
1,000
1,000
Inland Empire Urban Mgrs -Local
400
400
400
400
400
International City Mgmt Assoc
1,800
1,800
1,800
1,800
1,800
League of CA Cities
1,600
1,600
1,600
1,600
1,600
League of CA Cities Mgr Mtg
1,000
1,000
1,000
1,000
1,000
League of CA Cities -Inland Emp
700
700
700
700
700
Local Meetings As Required
2,500
2,500
2,500
2,500
2,500
Municipal Mgmt Assistants Mtgs
1,700
1,700
1,700
1,700
1,700
Nat'l Assoc Telecom. Ofcrs/Adm
1,000
1,000
1,000
1,000
1,000
Nat'l League of Cities -Annual
1,800
1,800
1,800
1,800
1,800
Total for Travel, Meetings & Training:
12,750
13,600
13,600
13,600
13,600
5105 Mileage
Auto Allowance
9,360
9,360
10,440
10,440
10,440
Reimbursement
250
250
250
250
250
Total for Mileage:
9,610
9,610
10,690
10,690
10,690
5152 Computer Software
200
0
0
0
0
E -Mail Client
20
0
0
0
0
MS Client Access License
150
0
0
0
0
MS Office 2000 Pro
270
0
0
0
0
Memory Upgrade
0
550
550
500
500
Virus Checking Utility
100
0
550
0
0
Total for Computer Software:
540
550
1,100
500
500
5160 Membership Dues
American Inst of Cert Planners
250
370
370
370
370
American Society of Public Adm
400
300
400
400
400
CA Assoc of Public Info Ofcrs
100
130
130
130
130
Gov't Finance Officers Assoc
200
0
0
0
0
Int'I City Management Assoc
2,760
2,000
2,000
2,000
2,000
Municipal Mgmt Assistants
120
160
200
200
200
Nat'l Assoc Telecom Ofcrs&Adm
100
60
80
80
80
RC Chamber of Commerce
100
100
100
100
100
Total for Membership Dues:
4,030
3,120
3,280
3,280
3,280
5161 Publications & Subscriptions 0 0 0 2,000 2,000
Total for Publications & Subscriptions: 0 0 0 2,000 2,000
5200 Operations & Maintenance
IF Memory Upgrade
550
0
0
0
0
Office Supplies
7,500
7,500
3,880
7,500
7,500
Printing and Postage
2,000
2,000
1,000
2,000
2,000
Publications
2,000
2,000
1,000
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: CITY MANAGER (102)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Total for Operations & Maintenance: 12,050 11,500 5,880 9,500 9,500
5251 Depreciation - Vehicles 2,400 4,350 4,350 2,180 2,180
Total for Depreciation - Vehicles: 2,400 4,350 4,350 2,180 2,180
5281 Depreciation - Equipment 170 0 0 0 0
Total for Depreciation - Equipment: 170 0 0 0 0
5300 Contract Services
Contingent Projects 15,000 15,000 15,000 5,000 5,000
Total for Contract Services: 15,000 15,000 15,000 5,000 5,000
5415 General Liability Charges 560 570 570 0 0
Total for General Liability Charges: 560 570 570 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 57,110 58,300 54,470 46,750 46,750
0
0
0
nd: GENERAL FUND (001)
n: CITY MANAGER (102)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
TOTAL FOR CAPITAL OUTLAY:
•
E
M
6,870 0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5605 Capital Outlay -Computer Equip
HP 8500 DN Color Laser Printer
0
0 3,780
0
Standard Computer
2,600
0 3,090
0
0 0
Total for Capital Outlay -Computer Equip:
2,600
0 6,870
0 0
TOTAL FOR CAPITAL OUTLAY:
•
E
M
6,870 0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F : GENERAL FUND (001)
)i: CITY CLERK (103)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5105
Mileage
5152
Computer Software
5160
Membership Dues
5200
Operations & Maintenance
5281
Depreciation - Equipment
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
190,040
202,400
203,800
179,840
179,840
1,500
1,500
750
1,500
1,500
38,190
40,480
40,480
40,480
40,480
73,750
78,530
78,530
70,180
70,180
303,480
322,910
323,560
292,000
292,000
3,410
4,560
4,560
4,560
4,560
4,200
4,200
4,800
4,800
4,800
650
0
370
0
0
1,100
1,210
1,210
1,260
1,260
38,900
50,250
51,150
48,250
48,250
6,360
0
0
0
0
33,700
62,500
164,240
15,500
15,500
880
1,230
1,230
0
0
89200
123,950
227,560
74,370
74,370
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip 0 0 6,600 0 0
0 TOTAL FOR CAPITAL OUTLAY: 0 0 6,600 0 0
TOTAL FOR DIVISION 103: 392,680 446,860 557,720 366,370 366,370
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administration
DIVISION: City Clerk
FUND: 001
COST CENTER: 103
16
40
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Records Manager/City Clerk
90%
90%
90%
90%
90%
Deputy City Clerk
100%
100%
100%
100%
100%
Secretary'
100%
0%
0%
0%
0%
Records Coordinator"
0%
0%
0%
0%
0%
Office Specialist II
100%
100%
100%
100%
100%
Office Specialist 1
50%
50%
50%
50%
50%
ALSO SEE:
Inteor. Waste Mamt (001-313)
City Clerk/Records Manager
10%
10%
10%
10%
10%
Redevel. Aaencv (2-620-801)
Office Specialist 1
50%
50%
50%
50%
50%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Records Clerk'.
200%
300%
200%
200%
200%
Records Coordinator"
100%
100%
100%
100%
100%
'Position is now Executive Assistant position in
in City Manager's office
" Part Time Positions Hired To Fill Records
Coordinator Full Time Position
16
40
0
nd: GENERAL FUND (001)
> : CITY CLERK (103)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Elec Timer for Council Chamber
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
0
Budget
Budget
Actual
Rcmd.
Budget
5100 Travel, Meetings & Training
0
28.000
Microfilm Supplies
Municipal Code Update
5,�
5,000
5,000
Assoc of Records Mgrs Adminstr
410
Municipal Codes
5,000
5,750
5,750
City Clerk's Assoc of CA Mtg
5,750
410
410
410
410
Cont Education Public Official
1,100
1 600
1,600
1,600
1,600
Local Meetings As Required
780
1,300
1,300
1,300
1,300
New Law Seminar
100
100
100
100
100
Southern CA City Clerk's Assoc
700
700
700
700
7W
Total for Travel, Meetings & Training:
320
450
450
450
450
3,410
4,560
4,560
4,560
4,560
5105 Mileage
T
0
Auto Allowance
4,200
4,200
4,800
4,800
4,800
Total for Mileage:
4,200
4,200
4,800
4,800
4,800
5152 Computer Software
Software
540
0
370
0
Zip Drive
110
0
0
Total for Computer Software:
650
0
0
0
0
370
0
0
160 Membership Dues
IF Assoc of Records Managers
450
480
City Clerk's Assoc of CA
250
480
500
500
Int'l Institute of Muni Clerks
280
280
290
290
National Notary Association
350
400
400
420
420
50
50
50
50
50
Total for Membership Dues:
1,100
1,210
1,210
1,260
1,260
5200 Operations & Maintenance
Elec Timer for Council Chamber
0
0
0
0
0
Fax Machine
0
0
500
0
Legal Advertising
20,000
0
30,000
400
30,000
0
28,000
0
28.000
Microfilm Supplies
Municipal Code Update
5,�
5,000
5,000
5,000
5.000
Municipal Codes
5,000
5,750
5,750
5,750
5,750
Office Supplies
1,500
1,500
1,500
1,500
1,500
State Code Updates
4,900
5,000
5,000
5,000
5,000
2,500
3,000
3,000
3,000
3,000
Total for Operations & Maintenance:
38,900
50,250
51,150
48,250
48,250
5281 Depreciation - Equipment
Supplemental Depreciation
6,360
0
T
0
0
0
otal for Depreciation -Equipment.
6,360
0
0
0
0
5300 Contract Services
•Bonded Records Disposal
Election (May/November 2000)
Maintenance Agreements (Equip)
P)
Microfilm Conversion
2,000
0
2,000
20,000
2,000
25,000
2,000
20,000
2,000
107,050
2,000
35,580
2,000
0
2,000
10,000
2,000
0
2,000
10,000
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
Division: CITY CLERK (103)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Off-site Storage (Vital Rcrds)
1,500
1,500
1,500
1,500
1,500
Update City Code Bks/Internet
8,200
12,000
16,110
0
0
Total for Contract Services:
33,700
62,500
164,240
15,500
15,500
_5415 General Liability Charges 880 1.230 1,230 0 0
Total for General Liability Charges: 880 1,230 1,230 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
89,200 123,950 227,560 74,370 74,370
M
i
DfF d: GENERAL FUND (001)
: CITY CLERK (103)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
Color Printer 0 0 3,780 0 0
Standard PC for Counter 0 0 2,820 0 0
Total for Capital Outlay -Computer Equip: 0 0 6,600 0 0
TOTAL FOR CAPITAL OUTLAY:
0
s
0 0 6,600 0 0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GENERAL FUND (001)
00: ANIMAL CONTROL SERVICES (104)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5203
O & M/Complex Maintenance
5281
Depreciation - Equipment
5300
Contract Services
5400
Telephone Utilities
5401
Gas Utilities
5402
Water Utilities
5403
Electric Utilities
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
5,000
5,000
4,000
5,000
5,000
12,650
12,650
12,650
12,650
12,650
540
670
670
340
340
273,400
318,600
282,000
324,600
324,600
4,400
4,400
4,400
4,400
4,400
3,200
3,200
3,200
3,200
3,200
4,000
4,000
4,000
4,000
4,000
33,000
33,000
33,000
36,300
36,300
3,360
3,820
3,820
0
0
339,550
385,340
347,740
390,490
390,490
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip 0 0 7,000 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 7,000 0 0
0
TOTAL FOR DIVISION 104: 339,550 385,340 354,740 390,490 390,490
j% f
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
)ivision: ANIMAL CONTROL SERVICES (104) •
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
mib, ncpan m maintenance 5,000 5,000 4,000 5,000 5,000
Total for Operations & Maintenance: 5,000 5,000 4,000 5,000 5,000
5203 O & M/Complex Maintenance
rviatm tnatenais et supplies 12,650 12,650 12,650 12,650 12,650
Total for O & M/Complex Maintenance: 12,650 12,650 12,650 12,650 12,650
5281 Depreciation - Equipment 540 670 670 340 340
Total for Depreciation - Equipment: 540 670 670 340 340
5300 Contract Services
contingency:Animal Control Sry
30,000
30,000
0
5,000
5,000
County Animal Control Services
62,700
107,900
62,700
62,700
62,700
County Animal Shelter Services
180,700
180,700
218,300
255,900
255,900
Xerox Copier
0
0
1,000
1,000
1,000
Total for Contract Services:
273,400
318,600
282,000
324,600
324,600
5400
Telephone Utilities
4,400
4,400
4,400
4,400
4,400
Total for Telephone Utilities:
4,400
4,400
4,400
4,400
4,400
5401
Gas Utilities
3,200
3,200
3,200
3,200
3,200
Total for Gas Utilities:
3,200
3,200
3,200
3,200
3,200
5402
Water Utilities
4,000
4,000
4,000
4,000
4,000
Total for Water Utilities:
4,000
4,000
4,000
4,000
4,000
5403
Electric Utilities
33,000
33,000
33,000
36,300
36,300
Total for Electric Utilities:
33,000
33,000
33,000
36,300
36,300
5415
General Liability Charges
3,360
3,820
3,820
0
0
Total for General Liability Charges:
3,360
3,820
3,820
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 339,550 385,340 347,740 390,490 390,490
0
21
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
nd: GENERAL FUND (001) CAPITAL OUTLAY (5600) DETAIL
n: ANIMAL CONTROL SERVICES (104)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
Computers for animal shelter 0 0 7,000 0 0
Total for Capital Outlay -Computer Equip: 0 0 7,000 0 0
TOTAL FOR CAPITAL OUTLAY:
0
11
0 0 7,000 0 0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: GENERAL FUND (001)
0: EMERGENCY PREPAREDNESS (105)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5005 Overtime Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
102,640
106,630
106,630
101,580
101,580
0
0
0
2,000
2,000
37,980
39,450
39,450
37,580
37,580
140,620
146,080
146,080
141,160
141.160
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
1,860
2,360
1,610
2,360
2,360
5150
Office Supplies & Equipment
0
0
0
3,150
3,150
5152
Computer Software
0
0
0
2,520
2,520
5160
Membership Dues
280
280
280
280
280
5161
Publications & Subscriptions
0
0
0
5200
Operations & Maintenance
24,330
27,330
22,650
500
25,500
500
25,500
5205
O & M/Reimbursable
15,500
16,400
2,000
6,000
6,000
5251
Depreciation - Vehicles
130
230
230
120
120
5281
Depreciation - Equipment
1,280
1,330
1,330
670
670
5300
Contract Services
3,580
3,590
3,590
3,730
3,730
5303
Contract Serv/Reimbursable
17,000
17,000
10,000
10,000
10,000
5320
Hazardous Waste Removal
10,000
10,000
10,000
10,000
10,000
5415
General Liability Charges
740
790
790
0
0
T*L FOR OPERATIONS & MAINTENANCE:
74,700
79,310
52,480
64,830
64,830
CAPITAL OUTLAY
5603
Capital Outlay -Equipment
0
1,400
1,400
0
0
5605
Capital Outlay -Computer Equip
0
0
0
7,800
7,800
TOTAL FOR CAPITAL OUTLAY:
0
1,400
1,400
7,800
7,800
TOTAL FOR DIVISION 105: 215,320 226,790 199,960 213,790 213,790
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administration
DIVISION: Emergency Preparedness
FUND: 001
COST CENTER: 105
OBJECT
5000
#
PERSONNEL -FULL TIME
FY 2001/02
Fiscal Year
2001/02
Adopted
Budget
Dept.
Request
Mgr.
Rcmds.
Adopted
Budget
Auth.
Funded
Emergency Preparedness Coordinator
Emergency Preparedness Specialist
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
5005
PERSONNEL -OVERTIME
5010
PERSONNEL - PART TIME
24
0
CITY OF RANCHO CUCAMONGA
0
0
0
FISCAL YEAR 2001/02 BUDGET
2.520
Total for Computer Software:
0
OPERATIONS & MAINTENANCE (5100) DETAIL
0
2,520
Fund: GENERAL FUND (001)
160 Membership Dues
I *n: EMERGENCY PREPAREDNESS (105)
Coordinated Emerg Mgmt Org
120
120
120
120
120
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
160
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
400
400
EE CERT Training Supplies
0
0
FEMA Recovery Course
500
500
0
0
0
FEMA/OES Disaster Planning
0
0
750
0
0
Food For Volunteers/EOC-Active
500
1,000
0
750
750
Local Prof Emergency Planners
100
100
100
100
100
SCESA Annual Meeting
500
500
500
500
500
So Calif Emerg Prep Program
100
100
100
100
100
So Calif Emerg Services Assoc
160
160
160
160
160
St Fire Marshall "Instructor'
0
0
0
750
750
Total for Travel, Meetings & Training:
1,860
2,360
1,610
2,360
2,360
5150 Office Supplies & Equipment
Office Supplies 0 0 0 3,150 3,150
Total for Office Supplies & Equipment: 0 0 0 3,150 3,150
5152 Computer Software
Software for EOC Notebooks
0
0
0
2,520
2.520
Total for Computer Software:
0
0
0
2,520
2.520
160 Membership Dues
Coordinated Emerg Mgmt Org
120
120
120
120
120
So Calif Emerg Services Assoc
160
160
160
160
160
Total for Membership Dues:
280
280
280
280
280
5161 Publications & Subscriptions
0
0
0
500
500
Total for Publications & Subscriptions:
0
0
0
500
500
5200 Operations & Maintenance
CERT Prog Conv to Power Point
0
0
0
300
410
CSTI-EOC Training for Staff
6,000
6,000
3,000
6,000
6.000
City Emergency Supplies
6,000
6,000
6,000
6,000
6.(X10
Cribbing Materials & Tools
0
0
0
400
400
EE CERT Training Supplies
0
0
0
1,500
1.300
Office Supplies ll)
3,150
3,150
3,150
0
0
Postage for CERT Newsletter
0
0
500
1,000
I.(X)(I
Printing-EOC Standard Op Proc
1,880
1,880
1,500
1,800
1.800
Public Education Materials
5,000
8,000
8,000
8,000
8,000
Publications/Subscriptions
500
500
500
0
0
SEMS Manuals
1,500
1,500
0
0
0
SEMS Training Materials
300
300
0
300
300
Scanner hook-up to Computer
0
0
0
200
200
M i I ) Moved to object 5150 in FY 2001/02
Total for Operations & Maintenance:
24,330
27,330
22,650
25,500
25,500
25
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
'vision: EMERGENCY PREPAREDNESS (105)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Obiect Object Description Budget Budget Actual Rcmd Budget
5205 O & M/Reimbursable
CERT Hard-hats
0
0
0
1,250
1,250
CERT Student Notebooks
0
0
0
2,250
2,250
CERT Vests
0
0
0
2,500
2,500
Community Programs/Contrib
14,000
14,000
0
0
0
EE CERT Training Supplies 11 }
1,500
1,500
2,000
0
0
Slide Conversion to IPEG
0
300
0
0
0
Storage Containers
0
200
0
0
0
Upgrade to Sound System
0
400
0
0
0
Total for O & M/Reimbursable:
15,500
16,400
2,000
6,000
6,000
5251 Depreciation - Vehicles
130
230
230
120
120
Total for Depreciation - Vehicles:
130
230
230
120
120
5281 Depreciation - Equipment
1,280
1,330
1,330
670
670
Total for Depreciation - Equipment:
1,280
1,330
1,330
670
670
5300 Contract Services
Maintenance on Generator
500
500
500
500
500
Pager Rentals
700
700
700
700
700
Radio Equipment Maintenance
2,080
2,090
2,090
2,230
2,230
Xerox Maintenance
300
300
300
300
300
Total for Contract Services:
3,580
3,590
3,590
3,730
3,730
5303 Contract Serv/Reimbursable
CERT Instructors
17,000
17,000
10,000
10,000
10,000
Total for Contract Serv/Reimbursable:
17,000
17,000
10,000
10,000
10,000
5320 Hazardous Waste Removal
10,000
10,000
10,000
10,000
10,000
Total for Hazardous Waste Removal:
10,000
10,000
10,000
10,000
10,000
5415 General Liability Charges
740
790
790
0
0
Total for General Liability Charges:
740
790
790
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
74,700 79,310 52,480 64,830 64,830
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
_CAPITAL OUTLAY
Fund: GENERAL FUND (001)
(56001 DETAIL
EMERGENCY PREPAREDNESS (105)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Object Object Description Budget
Adopted
Estimated
Manager
Adopted
Budget
Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
Combination TVNCR-Mgmt & PIG 0
600
800
Fax Machine(2)-EDC and PIO 0
800
600
0
0
Total for Capital Outlay -Equipment: 0
1,400
1,400
0
0
0
0
5605 Capital Outlay -Computer Equip
Notebooks for EOC (3) 0
0
0
Total for Capital Outlay -Computer Equip: 0
7,800
7,800
0
0
7,800
7,800
TOTAL FOR CAPITAL OUTLAY:
C]
0 1,400 1,400 7,800 .7,800
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: GENERAL FUND (001)
ADMIN SRVCS-ADMINISTRATION (201)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Obiect/Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
216,670
226,290
237,300
242,160
242,160
5005 Overtime Salaries
600
600
300
300
300
5010 Part Time Salaries
28,770
30,210
30,210
30,210
30,210
5030 Fringe Benefits
82,760
86,450
86,450
92,320
92,320
TOTAL FOR PERSONNEL SERVICES:
328,800
343,550
354,260
364,990
364,990
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5,550
4,750
2,450
4,550
4,550
5105 Mileage
5160 Membership Dues
4,700
4,700
5,300
5,300
5,300
5161 Publications & Subscriptions
500
0
500
250
500
500
5200 Operations & Maintenance
8,300
0
8,580
0
8,300
300
8,000
300
8,000
5281 Depreciation - Equipment
70
60
60
30
5415 General Liability Charges
190
190
190
0
30
0
TOTAL FOR OPERATIONS & MAINTENANCE:
19,310
18,780
16,550
18,680
18,680
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
1,500
0
0
0
0
TOTAL FOR CAPITAL OUTLAY: 1,500 0 0 0 0
TOTAL FOR DIVISION 201: 349,610 362,330 370,810 383,670 383,670
LiS
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Administration
FUND: 001
COST CENTER: 201
29
0
0
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT #
Budget
Request
Budget
Auth. Funded
5000
PERSONNEL - FULL TIME
Administrative Srvcs. Director
30%
30%
30% 30%
30%
Administrative Secretary
100%
100%
100% 100%
100%
Office Specialist II
100%
100%
100% 100%
100%
Office Services Clerk
100%
100%
100% 100%
100%
Management Analyst II
100%
100%
100% 100%
100%
Administrative Services Manager
40%
40%
40% 40%
40%
ALSO SEE:
Redevel. Agency (2-620-801)
Administrative Srvcs. Director
20%
20%
20% 20%
20%
Business License (001-2041
Administrative Services Manager
20%
20%
20% 20%
20%
Risk Management (001-212)
Administrative Services Manager
20%
20%
20% 20%
20%
Personnel (001-2101
Administrative Srvcs. Director
40%
40%
40% 40%
40%
Administrative Services Manager
20%
20%
20% 20%
20%
Special Dist. Admin. (Fund 100)
Administrative Srvcs. Director
10%
10%
10% 10%
10%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Receptionist
400%
400%
400% 400%
400%
29
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
d: GENERAL FUND (001)
D : ADMIN SRVCS-ADMINISTRATION (201)
Publications &
Publications n n n ,
I otal for Publications & Subscriptions: 0 0 0 300 300
5200 Operations & Maintenance
inumcipai measurers Assoc
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
Total for Operations & Maintenance:
8,300
8,580
8,300
CALPELRA
1,000
1,000
600
1,000
1,000
CMTA
750
750
350
550
550
Comdex
500
500
0
500
500
Employee Relations Institute
1,000
1,000
0
1,000
1,000
League of CA Cities
800
0
0
0
0
Legislative Meetings
1,500
1,500
1,500
1,500
1,500
Total for Travel, Meetings & Training:
5,550
4,750
2,450
4,550
4,550
5105 Mileage
Auto Allowance
4,200
4,200
4,800
4,800
4,800
Reimbursement (Mail and Misc)
500
500
500
500
500
Total for Mileage:
4,700
4,700
5,300
5,300
5,300
5160 Membership Dues
CALPELRA
0
150
0
150
150
CSMFO & CMTA
500
350
250
350
350
Total for Membership Dues:
500
500
250
500
500
Publications &
Publications n n n ,
I otal for Publications & Subscriptions: 0 0 0 300 300
5200 Operations & Maintenance
inumcipai measurers Assoc
0
280
0
0
0
Office Supplies
8,000
8,000
8,000
8,000
8,000
Publications
300
300
300
0
0
Total for Operations & Maintenance:
8,300
8,580
8,300
8,000
8,000
5281 Depreciation - Equipment 70 60 60 30 30
Total for Depreciation - Equipment: 70 60 60 30 30
5415 General Liability Charges 190 190 190 0 0
Total for General Liability Charges: 190 190 190 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
19,310 18,780 16,550 18,680 18,680
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) CAPITAL OUTLAY (5600) DETAIL
Division: ADMIN SRVCS-ADMINISTRATION (201)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Fax Machine 1,500 0 0 0 0
Total for Capital Outlay -Equipment: 1,500 0 0 0 0
TOTAL FOR CAPITAL OUTLAY:
1,500 0
31
9
11
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GENERAL FUND (001)
Dan: BUSINESS LICENSES (204)
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip 0 0 2,600 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 2,600 0 0
0
TOTAL FOR DIVISION 204: 185,900 197,660 195,600 199,760 199.760
32
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNELSERVICES
5000 Regular Salaries
126,810
130,950
127,700
134,050
134,050
5010 Part Time Salaries
3,000
5,000
5,000
5,000
5,000
5030 Fringe Benefits
46,980
48,550
48,550
49,700
49,700
TOTAL FOR PERSONNEL SERVICES:
176,790
184,500
181,250
188,750
188,750
OPERATIONS &MAINTENANCE
5100 Travel, Meetings & Training
800
800
100
800
800
5105 Mileage
300
300
100
200
200
5160 Membership Dues
60
100
90
100
100
5200 Operations & Maintenance
7,500
7,500
7,000
7,500
7,500
5251 Depreciation - Vehicles
0
3,780
3,780
11890
1.890
5281 Depreciation - Equipment
60
60
60
30
30
5300 Contract Services
300
490
490
490
490
5415 General Liability Charges
90
130
130
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
9,110
13,160
11,750
11,010
11,010
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip 0 0 2,600 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 2,600 0 0
0
TOTAL FOR DIVISION 204: 185,900 197,660 195,600 199,760 199.760
32
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Business License
FUND: 001
COST CENTER: 204
33
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONN F TIM
Business License Clerk
100%
100%
100%
100%
100%
Business License Program Coordinator
100%
100%
100%
100%
100%
Business License Technician
100%
100%
100%
100%
100%
Administrative Services Manager
20%
20%
20%
20%
20%
ALSO SEE:
Services
Admin. (001-2011
Administrative Services Manager
40%
40%
40%
40%
40%
Risk Management (001-211)
Administrative Services Manager
20%
20%
20%
20%
20%
Personnel (001-210)
Administrative Services Manager
20%
20%
20%
20%
20%
5010
PERSONNEL - PART TIM
Office Specialist I (File Clerk)
100%
100%
100%
100%
100%
33
0
Fund: GENERAL FUND (001)
*n: BUSINESS LICENSES (204)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (51001 DETAIL
Reimbursement 300 300 100 200 200
Total for Mileage: 300 300 100 200 200
5160 Membership Dues
..� nusmcss iax Assoc 60 100 90 100 100
Total for Membership Dues: 60 100 90 100 100
5200 Operations & Maintenance
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted Estimated
Budget Actual
Manager
Rcmd
Adopted
Budget
5100 Travel, Meetings & Training
3,000
3,000
Training
2,000
CA Muni Business Tax Assoc Qtr
CMBTA Annual Meeting
Total for Travel, Meetings & Training:
100
700
100 100
700 0
100
700
100
700
800
800
800 100
800
5105 Mileaee
7,500
Reimbursement 300 300 100 200 200
Total for Mileage: 300 300 100 200 200
5160 Membership Dues
..� nusmcss iax Assoc 60 100 90 100 100
Total for Membership Dues: 60 100 90 100 100
5200 Operations & Maintenance
Total for Depreciation - Vehicles: 0 3,780 3,780 1,890 1,890
5281 Depreciation - Equipment 60 60 60 30 30
Total for Depreciation - Equipment: 60 60 60 30 30
5300 Contract Services
Auto Folder Service Contract
300
2,500
2,000
2,500
2,500
Printing and Forms
3,000
3,000
3,000
3,000
3,000
Training
2,000
2,000
2,000
2,000
2,000
Total for Operations & Maintenance:
7,500
7,500
7,000
7,500
7,500
Total for Depreciation - Vehicles: 0 3,780 3,780 1,890 1,890
5281 Depreciation - Equipment 60 60 60 30 30
Total for Depreciation - Equipment: 60 60 60 30 30
5300 Contract Services
Auto Folder Service Contract
300
250
250
250
250
Haines Criss Cross Directory
0
240
240
240
240
Total for Contract Services:
300
490
490
490
490
5415 General Liability Charges 90 130 130 0 0
Total for General Liability Charges: 90 130 130 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
11
9,110 13,160 11,750 11,010 11,010
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001) .
Division: BUSINESS LICENSES (204)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
HP Laser.Printer 0 0 2,600 0 0
Total for Capital Outlay -Computer Equip: 0 0 2,600 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 2,600
0
35
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: GENERAL FUND (001)
n: CITY FACILITIES (205)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5281
Depreciation - Equipment
5300
Contract Services
5400
Telephone Utilities
5401
Gas Utilities
5402
Water Utilities
5403
Electric Utilities
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
160,760
167,760
160,260
170,260
170,260
19,160
34,380
34,380
17,190
17,190
186,380
268,520
268,520
280,520
280,520
285,000
285,000
250,000
250,000
250,000
34,000
34,000
46,000
46,000
46,000
30,000
30,000
30,000
39,000
39,000
475,000
475,000
515,000
617,500
617,500
11,900
12,950
12,950
0
0
1,202,200
1,307,610
1,317,110
1,420,470
1,420,470
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 153,800 0 5,520 0 0
TOTAL FOR CAPITAL OUTLAY: 153,800 0 5,520 0 0
TOTAL FOR DIVISION 205:
•
1,356,000 1,307,610 1,322,630 1,420,470 1420 470
36
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: CITY FACILITIES (205)
37
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd.
Budget
5200 Operations & Maintenance
Bulk Mail Permit
480
480
480
480
480
DSS Service
330
330
330
330
330
Lobby Furniture
0
0
0
10,000
10,000
Medical Supplies
500
0
0
0
0
Office Supplies
75,000
78,000
70,500
70,500
70,500
P.O. Box Rental
450
450
450
450
450
Postage
72,000
74,000
74,000
74,000
74,000
Telephone-Adds,Moves,Changes
8,000
10,000
10,000
10,000
10,000
UPS Pick -Up
4,000
4,500
4,500
4,500
4,500
Total for Operations & Maintenance:
160,760
167,760
160,260
170,260
170,260
5281 Depreciation - Equipment
19,160
34,380
34,380
17,190
17,190
Total for Depreciation - Equipment:
19,160
34,380
34,380
17,190
17,190
5300 Contract Services
AIV Equipment Maint/Council
6,000
6,500
6,500
6,500
6,500
Binding Machine Maintenance
630
630
630
630
630
Cable Upgrade City Hall Netwrk
850
0
0
0
0
Copy Equipment Service Maint
79,000
149,000
149,000
171,000
171,000
Fax Machine Maintenance
940
2,000
2,000
2,000
2,000
Landscape Service/Materials
22,000
23,000
23,000
23,000
23,000
Office Machines Maintenance
3,700
3,900
3,900
3,900
3,900
Package Mailing
5,000
5,000
5,000
5,000
5,000
Postage Equip Meter Rent/Maint
2,330
2,440
2,440
2,440
2,440
Space Savers
530
550
550
550
550
Sports Equipment Maintenance
400
500
500
500
500
Telephone Special Projects
0
10,000
10,000
0
0
Telephone System Maintenance
65,000
65,000
65,000
65,000
65,000
Total for Contract Services:
186,380
268,520
268,520
280.520
280,520
5400 Telephone Utilities
285,000
285,000
250,000
250,000
250,000
Total for Telephone Utilities:
285,000
285,000
250,000
250,000
250,000
5401 Gas Utilities
34,000
34,000
46,000
46,000
46,000
Total for Gas Utilities:
34,000
34,000
46,000
46,000
46,000
5402 Water Utilities
30,000
30,000
30,000
39,000
39,000
Total for Water Utilities:
30,000
30,000
30,000
39,000
39,000
5403 Electric Utilities
475,000
475,000
515,000
617,500
617,500
Total for Electric Utilities:
5415 General Liability Charges
475,000
11,900
475,000
12,950
515,000
12,950
617,500
0
617,500
0
•
Total for General Liability Charges:
11,900
12,950
12,950
0
0
37
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
DOF d: GENERAL FUND (001)
: CITY FACILITIES (205)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
TOTAL FOR OPERATIONS & MAINTENANCE:
1,202,200 1,307,610 1,317,110 1,420,470 1,420,470
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001)
Division: CITY FACILITIES (205)
11
1999/2000
Fiscal Year
2000/01
Fiscal Year
2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description Budget
Budget
Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
City -Wide High Volume&Spot Cpr
150,000
0
0
0 0
Panaboard (2)
3,800
0
0
0 0
Video Camera, RCA 36 Multi
0
0
5,520
0 0
Total for Capital Outlay -Equipment:
153,800
0
5,520
0 0
TOTAL FOR CAPITAL OUTLAY: 153,800 0 5,520
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
D*:
GENERAL FUND (001)
D : FINANCE (206)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5005 Overtime Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5105
Mileage
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
5281
Depreciation - Equipment
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
357,410
383,300
401,850
425,080
425,080
4,000
8,000
19,000
4,000
4,000
12,510
24,980
9,300
13,800
13,800
132,490
144,070
144,070
158,520
158,520
506,410
560,350
574,220
601,400
601,400
7,240
6,320
3,900
6,380
6,380
4,300
4,400
4,900
4,900
4,900
1,370
1,320
1,180
1,290
1,290
0
0
0
1,800
1,800
24,570
23,990
21,700
21,110
21,110
230
300
300
150
150
7,600
17,410
33,490
13,900
13,900
450
540
540
0
0
45,760
54,280
66,010
49,530
49,530
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip 3,680 0 0 0 0
0 TOTAL FOR CAPITAL OUTLAY: 3,680 0 0 0 0
TOTAL FOR DIVISION 206: 555,850 614,630 640,230 650,930 650,930
s
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Finance
FUND: 001
COST CENTER: 206
41
0
is
E
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth. Funded
5000
PERSONNEL - FULL TIME
Finance Officer
75%
75%
75% 75%
75%
Budget Analyst
100%
100%
100% 100%
100%
Senior Accountant
10%
10%
10% 10%
10%
Accounting Services Supervisor
100%
100%
100% 100%
100%
Account Clerks
300%
300%
300% 300%
300%
Account Clerk
100%
100%
100% 100%
100%
Account Technician -Payroll
100%
100%
100% 100%
100%
Revenue Clerk
100%
100%
100% 100%
100%
ALSO SEE:
Redevel. Agency (2-620-801)
Finance Officer
10%
10%
10% 10%
10%
Senior Accountant
80%
80%
80% 80%
80%
Senior Account Technician
100%
100%
100% 100%
100%
Account Technician
100%
100%
100% 100%
100%
Integrated Waste Mamt (001-3131
Finance Officer
15%
15%
15% 15%
15%
CDBG (Fund 2041
Sr. Accountant
10%
10%
10% 10%
10%
Fire District (3-281-5051
Senior Accountant
100%
100%
100% 100%
100%
Account Clerk
100%
100%
100% 100%
100%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART-TIME
Account Clerk
100%
100%
100% 100%
100%
41
0
is
E
Fund: GENERAL FUND (001)
*n: FINANCE (206)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Auto Allowance 4,200
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Total for Mileage: 4,300
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
8,000
CA Muni Treasurer's Assoc
30
30
80
Bi -Tech Users Group -Nat'l Mtg
0
1,570
0
100
0
100
Bi -Tech Users Group-Westem Rg
0
Gov't Finance Officers Assoc
700
1,600
1,600
CA State Muni Finance Ofcr Mtg
1,200
1,570
1,300
1,600
1,600
1,600
CMTA Training
690
460
300
1,300
1,300
CSAC/League Legislative Seminr
600
620
0
0
460
460
Gov't Finance Ofcrs Assoc Mtg
1,500
0
0
620
620
Miscellaneous Meetings
800
800
0
2,000
0
800
0
800
USC Financial Leadership Smnar
2,450
0
0
0
0
0
Total for Travel, Meetings & Training:
7,240
6,320
3,900
6,380
6,380
5105 Mileawe
Auto Allowance 4,200
4,200
4,800
4,800
4,800
Reimbursement 100
200
100
100
100
Total for Mileage: 4,300
4,400
4,900
4,900
4,900
5160 Membership Dues
. mencan institute or UYAs
170
120
120
120
120
American Payroll Association
170
170
170
170
170
BSNUG (Bi -Tech Users' Group)
0
0
100
8,000
8,000
CA Muni Treasurer's Assoc
30
30
80
100
100
CA State Muni Finance Officers
100
100
0
100
0
100
0
100
Gov't Finance Officers Assoc
700
700
690
700
700
Local Memberships
200
200
0
100
100
Total for Membership Dues:
1,370
1,320
1,180
1,290
1,290
5161 Publications & Subscriptions
24,570
23,990
21,700
21,110
21,110
Other Publications
0
0
0
400
400
Technical Reference Services
0
0
0
1,400
1,400
Total for Publications & Subscriptions:
0
0
0
1,800
1,800
5200 Operations & Maintenance
CA Muni Statistics (CAFR)
400
400
400
400
400
Forms (AP and Payroll related)
6,050
6,040
6,040
5,030
5,030
Office and Computer Supplies
8,280
8,000
8,000
8,000
8,000
Pager Service
220
180
80
80
80
Printing (CAFR and Budget)
5,000
4,600
4,000
4,000
4,000
Required Technical Training
3,000
3,000
1,000
3,000
3,000
Technical Reference Services
1,120
1,270
1,680
0
0
Training -American Payroll Assn
500
500
500
600
600
Total for Operations & Maintenance:
24,570
23,990
21,700
21,110
21,110
Total for Depreciation - Equipment:
230 300 300
42
150 150
150
150
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: FINANCE (206)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5300 Contract Services
Contract Accounting Staff
0
10,000
28,080
0
0
Office/Computer Equip Maint
500
500
500
500
500
Payroll System Training/Prgmg
2,000
2,000
0
0
0
Property Tax Consultant (50%) { 1 }
0
0
0
8,400
8,400
Sales and Use Tax Consultant
5,100
4,910
4,910
5,000
5,000
f } Also see RDA -Administration (Fund
620)
Total for Contract Services:
7,600
17,410
33,490
13,900
13,900
5415 General Liability Charges
450
540
540
0
0
Total for General Liability Charges:
450
540
540
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
45,760
54,280
66,010
49,530
49,530
EN
DO
d: GENERAL FUND (001)
n: FINANCE (206)
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
Color Laserjet Printer HP4500 3,680 0 0 0 0
Total for Capital Outlay -Computer Equip: 3,680 0 0 0 0
TOTAL FOR CAPITAL OUTLAY: 3,680
ZZ
no
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) ANNUAL BUDGET SUMMARY
DW: GEOGRAPHIC INFORMATION SYSTEMS (207)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5150
Office Supplies & Equipment
5152
Computer Software
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
TOTAL FOR CAPITAL OUTLAY:
TOTAL FOR DIVISION 207:
114,350
130,080
128,400
182,540
182,540
42,310
48,130
48,130
67,540
67,540
156,660
178,210
176,530
250,080
250,080
3,000
3,550
3,550
10,650
10,650
0
0
0
500
500
0
0
0
3,000
3,000
340
340
340
340
340
0
0
0
300
300
34,680
30,000
31,250
17,000
17,000
49,310
32,000
47,790
35,230
35,230
870
660
660
0
0
88,200
66,550
83,590
67,020
67,020
0
0
1,500
0
0
0
0
1,500
0
0
244,860 244,760 261,620 317,100 317,100
GIS
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Geographic Information Systems
FUND: 001
COST CENTER: 207
9
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT #
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
GIS/Special Districts Supervisor
50%
50%
50%
50%
50%
GIS Technician
90%
90%
90%
90%
90%
GIS Analyst
90%
90%
90%
90%
90%
GIS Technician
25%
25%
25%
25%
25%
GIS Technician
0%
100%
100%
100%
100%
ALSO SEE:
Special Dist. Admin. (Fund 100)
GIS/Special Districts Supervisor
GIS Technician
50%
10%
50%
10%
50%
10%
50%
10%
50%
104;
GIS Analyst
10%
10%
10%
10%
1000
GIS Technician
75%
75%
75%
75%
75%
5005
PERSONNEL -OVERTIME
5010
PERSONNEL -PART TIME
9
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: GENERAL FUND (001)
l n: GEOGRAPHIC INFORMATION SYSTEMS
(207)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
ARCIMS Training (1)
0
0
0
2,000
2,000
Arc/Info 8.0 Training (1)
0
0
0
5,000
5,000
CA Geographic Info Assoc Mtngs
500
500
500
500
500
CA/NV/HI User Group Meeting
300
300
300
350
350
Environment Sys Research Inti
2,000
2,500
2,500
2,500
2,500
Urban Regional Info Sys Assoc
200
250
250
300
300
{ 1) Moved from 5200 FY 2001/02
Total for Travel, Meetings & Training:
3,000
3,550
3,550
10,650
10,650
5150 Office Supplies & Equipment
0
0
0
500
500
Total for Office Supplies & Equipment:
0
0
0
500
500
5152 Computer Software
Oracle Licenses ( 1 )
0
0
0
3,000
3,000
(1) Moved from 5200 FY 2001/02
Total for Computer Software:
0
0
0
3,000
3,000
5160 Membership Dues
CA Geographic Info Assoc
200
200
200
200
200
Urban Regional Info Sys Assoc
140
140
140
140
140
Total for Membership Dues:
340
340
340
340
340
5161 Publications & Subscriptions
Periodicals
0
0
0
100
100
Publications
0
0
0
200
200
Total for Publications & Subscriptions:
0
0
0
300
300
5200 Operations & Maintenance
Arc View Upgrades (city-wide)
5,000
5,500
5,500
6,000
6,000
Arc/Info 8.0 Training (1)
1,500
4,500
1,000
0
0
GIS Day Materials
0
0
1,000
1,000
1,000
HP Plotter Supplies/Vellum
7,590
3,000
3,000
3,000
3,000
Intro To Parcel Editr Training
0
2,450
2,450
0
0
Map Objects Training
1,500
1,500
1,500
0
0
Office Supplies
350
350
500
0
0
Oracle Licenses 12)
4,190
2,500
2,500
0
0
Parcel Edtr Configure Support
0
3,300
3,300
0
0
Parcel Edtr Training Materials
0
800
800
0
0
Periodicals
100
100
100
0
0
Plotter Supplies
6,000
6,000
6,000
7,000
7,000
Reproductions
100
0
0
0
0
Spatial Data Engine
6,850
0
0
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: GEOGRAPHIC INFORMATION SYSTEMS (207)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Spatial Data Engine Training 1,500 0 3,600 0 0
( 1) Moved to 5100 FY 2001/02
{ 2 } Moved to 5152 FY 2001/02
Total for Operations & Maintenance: 34,680 30,000 31,250 17,000 17,000
5300 Contract Services
SSRI Maintenance
18,250
21,500
23,500
24,500
24,500
ESRI Program Development
6,000
7,500
7,500
7,500
7,500
GIS Contract Employees
20,800
0
13,560
0
0
HP Plotter Maintenance
4,260
0
0
0
0
Parcel Editor Tech Supp/Maint
0
3,000
3,230
3,230
3,230
Total for Contract Services:
49,310
32,000
47,790
35,230
35,230
5415 General Liability Charges 870 660 660 0 0
Total for General Liability Charges: 870 660 660 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 88,200 66,550 83,590 67,020 67,020
W.
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (01)1) _CAPITAL OUTLAY (5600) DETAIL
*n: GEOGRAPHIC INFORMATION SYSTEMS (207)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Descr%pGm Budget Budget Actual Rcmd Budget
5605 Capital Ouday-Computer Equip
21 -inch Monitor 0 0 1,500 0 0
Total for Capital Ootlay_Computer Equip: 0 0 1,500 0 0
TOTAL FOR CAPITAL OUTLAY:
•
11
0 0 1,500 0 0
M8
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: GENERAL FUND (001)
n: MANAGEMENT INFORMATION SYSTEMS (209)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5005 Overtime Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5150
Office Supplies & Equipment
5152
Computer Software
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
5281
Depreciation - Equipment
5283
Depreciation -Computer Equip
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
476,940
533,110
573,900
669,210
669,210
8,800
11,730
11,730
11,730
11,730
176,470
197,250
197,250
247,610
247,610
662,210
742,090
782,880
928,550
928,550
3,000
4,580
6,180
61,980
61,980
0
0
0
7,500
7,500
0
76,880
87,690
116,770
116,770
1,300
1,100
6,130
5,980
5,980
0
0
0
1,400
1,400
115,900
72,550
108,720
32,000
32,000
2,230
2,200
2,200
1,100
1,100
210,250
336,970
336,970
252,720
252,720
521,060
551,060
651,030
498,720
498,720
8,540
10,450
10,450
0
0
862,280
1,055,790
1,209,370
978,170
978,170
CAPITAL OUTLAY
603 Capital Outlay -Equipment 0 0 300 0 0
605 Capital Outlay -Computer Equip 0 0 26,920 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 27,220 0 0
TOTAL FOR DIVISION 209:
11
1,524,490 1,797,880 2,019,470 1,906,720 1,906,720
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Management Information Systems
FUND: 001
COST CENTER: 209
51
•
0
10
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL -FULL TIME
Information System Analyst
100%
100%
100%
100%
100%
Information System Analyst
100%
100%
100%
100%
100%
Senior Information System Analyst
100%
100%
100%
100%
100%
Information System Manager
100%
100%
100%
100%
100%
Information Systems Specialist
100%
100%
100%
100%
100%
Office Specialist II
200%
200%
200%
200%
200%
Information Systems Specialist
100%
100%
100%
100%
100%
Senior Information Systems Specialist
100%
100%
100%
100%
100%
Information Systems Specialist
100%
100%
100%
100%
100%
Management Analyst II
0%
100%
100%
100%
100%
Secretary
0%
100%
100%
100%
100%
5005
PERSONNEL - OVERTIME
51
•
0
10
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: GENERAL FUND (001)
D : MANAGEMENT INFORMATION SYSTEMS (209)
Total for Travel, Meetings & Training: 3,000 4,580 6,180 61,980 61,980
& Equipment 0
Total for Office Supplies & Equipment: 0 0 0 7,500 7,500
5152 Computer Software
Interconnect For SQL
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
11,000
Adopted
Adopted
Estimated
Manager
Adopted
Obiect Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
2,800
MS SQL Server w/5 Clients
0
1,330
1,330
Bi -Tech Software National Mtg
0
790
0
790
790
Bi -Tech Western Regional Mtg
0
790
0
790
790
Comdex
650
650
3,650
2,000
2,000
Gov't Technology Annual Mtg
1,950
1,950
1,950
2,000
2,000
MISAC
0
0
180
200
200
Miscellaneous Meetings
400
400
400
400
400
Oracle Annual User Conference
0
0
0
2,000
2,000
Oracle Systems Training(2)
0
0
0
15,500
15,500
Software Training Video(2)
0
0
0
750
750
Tidemark User Group Meeting
0
0
0
800
800
Training on Word/Excel/Outlook
0
0
0
17,250
17,250
UNDUAdv Adm/AIX Syst Training
0
0
0
10,000
10,000
Windows NT Training(2)
0
0
0
9,500
9,500
Total for Travel, Meetings & Training: 3,000 4,580 6,180 61,980 61,980
& Equipment 0
Total for Office Supplies & Equipment: 0 0 0 7,500 7,500
5152 Computer Software
Interconnect For SQL
0
10,960
15,960
11,000
11,000
Internet Utilities
0
7,500
7,500
7,500
7,500
MS Interconnector License
0
2,740
2,740
2,800
2,800
MS SQL Server w/5 Clients
0
1,330
1,330
2,120
2,120
MS Sequel Server (150 users)
0
0
0
18,600
18,600
MS Sequel Server (50 users)
0
6,200
6,200
0
0
McAfee Virus Control
0
0
200
0
0
Microsoft Site Server
0
4,400
4,400
3,530
3,530
Oracle Real -Time Diagnostic
0
0
0
4,000
4,000
Software Upgrades
0
43,750
49,360
67,220
67,220
Total for Computer Software:
0
76,880
87,690
116,770
116,770
5160 Membership Dues
Arc View User Group
200
200
200
200
200
Computer Users Group
250
250
250
250
250
Innovation Groups (e-gov't)
0
0
5,000
5,000
5,000
Municipal Data Proc Dir Assoc
150
150
180
180
180
Novell Users Group
200
0
0
0
0
Oracle Users Group
150
150
150
150
150
Subscriptions
150
150
150
0
0
URISA User Group
200
200
200
200
200
Total for Membership Dues:
1,300
1,100
6,130
5,980
5,980
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: MANAGEMENT INFORMATION SYSTEMS (209)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description Budget
Budget Actual
Rcmd
Budget
5161 Publications & Subscriptions
Fiber Optic Patch Panel
0
9,500
Software Books 0
0 0
300
300
Subscriptions 0
0 0
1,100
1,100
Total for Publications & Subscriptions: 0
0 0
1,400
1,400
5200 Operations & Maintenance
Cables, Connectors & Misc Rprs
5,000
5,000
5,370
5,000
5,000
Fiber Optic Patch Cables
0
4,800
4,800
0
0
Fiber Optic Patch Panel
0
9,500
9,500
0
0
Fiber Optic Rack
0
3,500
3,500
0
0
Gov't Technology Annual Mtg
2,000
2,500
2,500
0
0
MS 2 YR Back Office Client AC
23,210
0
0
0
0
MS Office 97 Pro Upgrade ADV
6,440
0
0
0
0
Manage Wise Network Analyzer
0
0
0
4,000
4,000
Office Supplies
7,300
7,300
7,300
0
0
Oracle Systems Training(2)
7,750
15,500
15,750
0
0
PC Computer Maintenance Parts
0
0
34,060
20,000
20.000
Software Books
300
300
300
0
0
Software Training Video(2)
500
750
750
0
0
Software Upgrades ( 1)
40,000
0
0
0
0 0
Subscriptions
900
900
900
0
0
Tapes & CD ROM Supplies
3,000
3,000
3.000
3,000
3.000
UNDUAdv Adm/AD{ Sys Training (2)
10,000
10,000
10,000
0
0
Windows NT Training(2)
9,500
9,500
10,990
0
0
{ I Moved to acct 5152
Total for Operations & Maintenance:
115,900
72,550
108,720
32,000
32.000
5281 Depreciation - Equipment
2,230
2,200
2,200
1,100
1 1(K)
Total for Depreciation - Equipment:
2,230
2,200
2,200
1,100
1.100
5283 Depreciation -Computer Equip
210,250
336,970
336,970
252,720
25:-"20
Total for Depreciation -Computer Equip:
210,250
336,970
336,970
252,720
:51-20
5300 Contract Services
ADSM Maintenance
8,500
8,500
8,500
8,500
15-500
Anti Virus Maintenance
19,500
19,500
19,500
19,500
19500
Downsueaming Tech Support
50,000
30,000
27,140
30,000
30.000
Empire Computer (Laser Fiche)
0
0
16,050
16,000
16.000
Groupwise Maintenance
14,000
14,000
0
0
0
IBM - Hardware Maintenance
16,000
16,000
36,000
25,000
25,000
Labexpert Maintenance
6,500
6,500
6,500
6,500
6,500
MS Office Pro Maintenance
25,000
25,000
25,000
25,000
25,000
NT Backoffice Server Maint
15,000
15,000
15,000
15,000
15,000
Novell System Administration
16,000
16,000
0
0
0
Off Site Data Storage
2,700
2,700
6,790
5,670
5,670
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
d: GENERAL FUND (001)
D: MANAGEMENT INFORMATION SYSTEMS (209)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
PC Computer Maintenance
50,000
50,000
34,150
30,000
30,000
RT Lawrence Corp
13,360
13,360
0
0
0
Software Maintenance
88,550
88,550
88,550
88,550
88,550
Technical Support Services
150,000
200,000
321,900
200,000
200,000
Training on Word, Excel, Outlk ( 1)
17,250
17,250
17,250
0
0
Windows 95/NT Maintenance
28,700
28,700
28,700
29,000
29,000
Total for Contract Services:
521,060
551,060
651,030
498,720
498,720
5415 General Liability Charges
8,540
10,450
10,450
0
0
Total for General Liability Charges:
8,540
10,450
10,450
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
10
862,280 1,055,790 1,209,370 978,170 978,170
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001)
it ision: MANAGEMENT INFORMATION SYSTEMS (209)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Motorola 800 mhz Radio 0 0 300 0 0
Total for Capital Outlay -Equipment: 0 0 300 0 0
5605 Capital Outlay -Computer Equip
Firewall Network Router (RDA) 0 0 26,920 0 0
Total for Capital Outlay -Computer Equip: 0 0 26,920 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 27,220
0
55
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: GENERAL FUND (001)
n: PERSONNEL (210)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5005 Overtime Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5105
Mileage
5160
Membership Dues
5200
Operations & Maintenance
5281
Depreciation - Equipment
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
•
142,800
143,630
135,400
150,600
150,600
2,400
2,400
2,400
2,400
2,400
52,840
53,140
53,140
55,720
55,720
198,040
199,170
190,940
208,720
208,720
1,500
1,500
1,630
2,400
2,400
100
100
100
100
100
250
400
350
450
450
42,000
47,000
65,500
55,000
55,000
1,100
1,950
1,950
980
980
30,200
25,000
20,000
20,000
20,000
750
760
760
0
0
75,900
76,710
90,290
78,930
78,930
TOTAL FOR DIVISION 210: 273,940 275,880 281,230 287,650 287,650
56
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Personnel
FUND: 001
COST CENTER: 210
57
0
1]
L J
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Administrative Services Director
40%
40%
40%
40%
40%
Personnel Services Coordinator
70%
70%
70%
70%
70%
Benefits Technician
100%
100%
100%
100%
100%
Personnel Clerk
50%
50%
50%
50%
50%
Administrative Services Manager
20%
20%
20%
20%
20%
ALSO SEE:
Redevel. Agency (2-620-801)
Administrative Services Director
20%
20%
20%
20%
20%
Administrative Services (001-201)
Administrative Services Director
30%
30%
30%
30%
30%
Administrative Services Manager
40%
40%
40%
40%
40%
Business License (001-2041
Administrative Services Manager
20%
20%
20%
20%
20%
Risk Management (001-212)
Administrative Services Manager
20%
20%
20%
20%
20%
Fire District (3-281-5051
Personnel Clerk
50%
50%
50%
50%
50%
Air Quality Improvement Grant (Fund 105)
Personnel Services Coordinator
30%
30%
30%
30%
30%
Special Dist. Admin. (Fund 100)
Administrative Services Director
10%
10%
10%
10%
10%
5005
PERSONNEL -OVERTIME
57
0
1]
L J
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
�d: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
n: PERSONNEL (2 10)
Reimbursement
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
100
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
12,000
CALPERA
150
150
200
CALPERA
700
700
850
900
900
Cal PERS Annual Conference
0
Int'I Personnel Mgmt Assoc
100
200
150
League of CA Cities Labor Inst
700
0
700
680
700
700
Local Personnel Meetings
100
100
0
700
700
450
450
Oral Review Boards
100
100
100
Total for Travel, Meetings & Training:
1,500
1,500
1,630
2,400
2,400
5105 Mileaee
12,000
Pre -Employment Physicals
5,000
5,000
15,000
Reimbursement
100
100
100
100
100
Total for Mileage:
100
100
100
100
100
5160 Membership Dues
12,000
12,000
12,500
12,000
12,000
CALPERA
150
150
200
200
200
Inland Area Personnel Mgmt
0
150
500
0 _
500
0
500
Int'I Personnel Mgmt Assoc
100
200
150
150
150
New Position Contingency
5,000
100
0
100
100
Total for Membership Dues:
250
400
350
450
450
5200 Operations & Maintenance
Battalion Chief Recruit/Exam
0
10,000
5,000
5,000
5,000
Employee Service Awards
12,000
12,000
12,500
12,000
12,000
Fair Labor Standards Act Hndbk
600
600
0
Miscellaneous Supplies
500
500
500
0 _
500
0
500
New Employee Supplies
200
200
200
200
200
New Position Contingency
5,000
0
0
Office Supplies
1,400
1,400
2,000
0
1,800
0
1,800
Oral Review Boards
500
500
700
700
700
Personnel/Legal Advertising
5,000
5,000
15,000
12,000
12,000
Pre -Employment Physicals
5,000
5,000
15,000
10,000
10,000
Printing
1,000
1,000
1,800
4,000
4,000
Publications
800
800
800
800
800
Recruitment and Examinations
3,000
3,000
3,000
3,000
3,000
State Records Check
7,000
7,000
9,000
5,000
5,000
Total for Operations & Maintenance:
42,000
47,000
65,500
55,000
55,000
5281 Depreciation - Equipment
1,100
1,950
1,950
980
980
Total for Depreciation - Equipment:
1,100
1,950
1,950
980
980
5300 Contract Services
a.. rcn.wccs rrui aervlces 30,200 25,000 20,000 20,000 20,000
Total for Contract Services: 30,200 25,000 20,000 20,000 20,000
Total for General Liability Charges: 750 760 760
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: PERSONNEL (2 10)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
TOTAL FOR OPERATIONS & MAINTENANCE: 75,900 76,710 90,290 78,930 78,930
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GENERAL FUND (001)
D& PURCHASING (211)
0 TOTAL FOR DIVISION 211: 196,800 251,370 269,860 270,890 270.890
0
01
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
136,540
173,520
110,000
188,660
188,660
5030 Fringe Benefits
50,520
64,200
64,200
69,800
69,800
TOTAL FOR PERSONNEL SERVICES:
187,060
237,720
174,200
258,460
258,460
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
2,100
5,100
5,100
5,100
5,100
5105 Mileage
400
400
200
200
200
5152 Computer Software
0
910
910
0
0
5160 Membership Dues
350
420
420
450
450
5200 Operations & Maintenance
6,680
6,680
6,680
6,680
6,680
5281 Depreciation - Equipment
110
0
0
5300 Contract Services
0
0
79,100
0
0
0
0
5415 General Liability Charges
100
140
140
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
9,740
13,650
92,550
12,430
12,430
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
0
0
3,110
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
3,110
0
0
0 TOTAL FOR DIVISION 211: 196,800 251,370 269,860 270,890 270.890
0
01
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Purchasing
FUND: 001
COST CENTER: 211
OBJECT
5000
#
PERSONNEL - FULL TIME
FY 2000/01
Fiscal Year
2001/02
Adopted
Budget
Dept.
Request
Mgr.
Rcmds.
Adopted
Budget
Auth.
Funded
Purchasing Manager
Purchasing Clerk
Junior Buyer
Buyer
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
61
0
0
nd: GENERAL FUND (001)
D : PURCHASING (211)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
5160 Membership Dues
CA Assoc Pubic Purchsng Offcls 200 270 270 290 290
Nat'l Assoc Purchasing Officls 150 150 150 160 160
Total for Membership Dues: 350 420 420 450 450
10200 Operations & Maintenance
Advertising Bid Notices
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
2,000
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
100
Printing Forms (P.O.'s, etc)
3,000
3,000
3,000
CA Assoc Public Purchasing Ofc
1,800
1,800
1,800
1,800
1,800
Local Assoc Pub Purchasing Ofc
300
300
300
300
300
NEC System Admin Training
0
3,000
3,000
3,000
3,000
Total for Travel, Meetings & Training:
2,100
5,100
5,100
5,100
5,100
5105 Mileage
0
Total for Depreciation - Equipment:
110
0
0
Reimbursement
400
400
200
200
200
Total for Mileage:
400
400
200
200
200
5152 Computer Software
0
Total for Contract Services:
0
0
79,100
Standard Software, PC Anywhere
0
910
910
0
0
Total for Computer Software:
0
910
910
0
0
5160 Membership Dues
CA Assoc Pubic Purchsng Offcls 200 270 270 290 290
Nat'l Assoc Purchasing Officls 150 150 150 160 160
Total for Membership Dues: 350 420 420 450 450
10200 Operations & Maintenance
Advertising Bid Notices
2,000
2,000
2,000
2,000
2,000
Office Supplies
1,050
1,050
1,050
1,050
1,050
Postage
100
100
100
100
100
Printing Forms (P.O.'s, etc)
3,000
3,000
3,000
3,000
3,000
Telephone Directories
300
300
300
300
300
Thomas Register
230
230
230
230
230
Total for Operations & Maintenance:
6,680
6,680
6,680
6,680
6,680
5281 Depreciation - Equipment
110
0
0
0
0
Total for Depreciation - Equipment:
110
0
0
0
0
5300 Contract Services
Contract Purchasing Services
0
0
79,100
0
0
Total for Contract Services:
0
0
79,100
0
0
5415 General Liability Charges
100
140
140
0
0
Total for General Liability Charges:
100
140
140
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
9,740 13,650 92,550 12,430 12,430
Fund: GENERAL FUND (001)
)ivision: PURCHASING (211)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
0
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
Notebook Computer 0 0 3,110 0 0
Total for Capital Outlay -Computer Equip: 0 0 3,110 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 3,110
0
0
Flmd: GENERAL FUND (00 1)
n: RISK MANAGEMENT (212)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Ohiect/Description
Adopted
Adopted
Estimated
Manager
Adopted
800
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
18,050
5281 Depreciation - Equipment
70
60
60
5000 Regular Salaries
66,240
69,920
70,100
73,710
73,710
5030 Fringe Benefits
24,510
25,870
25,870
27,270
27,270
TOTAL FOR PERSONNEL SERVICES:
90,750
95,790
95,970
100,980
100,980
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
1,300
2,100
1,100
2,100
2,100
5160 Membership Dues
450
500
450
800
800
5200 Operations & Maintenance
9,300
19,300
16,050
18,050
18,050
5281 Depreciation - Equipment
70
60
60
30
5300 Contract Services
39,000
63,000
43,000
58,000
30
58,000
5415 General Liability Charges
500
850
850
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
50,620
85,810
61,510
78,980
78,980
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
0
0
1,050
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
1,050
0
0
TOTAL FOR DIVISION 212:
0
141,370 181,600 158,530 179,960 179,960
M
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Risk Management
FUND: 001
COST CENTER: 212
K,
40
0
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT #
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Risk Management Coordinator
100%
100%
100%
100%
100%
Administrative Services Manager
20%
20%
20%
20%
20%
ALSO SEE:
Administrative Services (001-2011
Administrative Services Manager
40%
40%
40%
40%
40%
Business License (001-2041
Administrative Services Manager
20%
20%
20%
20%
20%
Personnel (001-210)
Administrative Services Manager
20%
20%
20%
20%
20%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
K,
40
0
Fund: GENERAL FUND (001)
*n: RISK MANAGEMENT (212)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
5160 Membership Dues
Insurance Education Assoc.
Public Agency Risk Managers
Public Agency Safety Managers
Public Risk and Insurance Mgmt
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
5100 Travel, Meetings & Training
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
Local Public Agency Risk Mgrs
Public Agency Risk Mgr Assoc
Public Risk and Insurance Mgmt
Total for Travel, Meetings & Training:
300
1,000
0
300
1,000
800
300
0
800
300
1,000
800
300
1,000
800
2,100
1,300
2,100
1,100
2,100
5160 Membership Dues
Insurance Education Assoc.
Public Agency Risk Managers
Public Agency Safety Managers
Public Risk and Insurance Mgmt
0
50
0
400
0
50
50
400
0
50
50
350
300
50
50
400
300
50
50
400
Total for Membership Dues:
450
500
450
800
800
5200 Operations & Maintenance
City Sponsored First Aid/CPR
2,500
2,500
2,500
2,500
2,500
Office Supplies
1,000
1,000
1,000
1,000
1,000
Printing
500
500
500
500
500
Risk Mgmt Insurance Education
0
1,000
750
750
750
Safety Programs
2,000
11,000
8,000
10,000
10,000
Safety Supplies, First Aid Kts
2,300
2,300
2,300
2,300
2,300
Training Videos
1,000
1,000
1,000
1,000
1,000
Total for Operations & Maintenance:
9,300
19,300
16,050
18,050
18,050
5281 Depreciation - Equipment
70
60
60
30
30
Total for Depreciation - Equipment:
70
60
60
30
30
5300 Contract Services
DOT Drug Test/Fit For Duty
0
10,000
5,000
10,000
10,000
Employee Assistance Program
26,500
28,000
28,000
28,000
28,000
Enviro Hygiene, Ergonomist Etc
0
5,000
5,000
5,000
5,000
Investigations
0
10,000
5,000
10,000
10,000
Liability Administration
2,500
0
0
0
0
Loss Control Consultant
10,000
10,000
0
5,000
5,000
Total for Contract Services:
39,000
63,000
43,000
58,000
58,000
5415 General Liability Charges
500
850
850
0
0
Total for General Liability Charges:
500
850
850
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
50,620 85,810 61,510 78,980 78,980
M
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001)
Division: RISK MANAGEMENT (212)
TOTAL FOR CAPITAL OUTLAY: 0 0 1,050
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd. Budget
5605 Capital Outlay -Computer Equip
Digital Camcorder
0
0 1,050
0 0
Total for Capital Outlay -Computer Equip:
0
0 1,050
0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 1,050
0
Fund: GENERAL FUND (001)
D* TREASURY MANAGEMENT (213)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
TOTAL FOR DIVISION 213: 4,830 5,470 4,040 5,040 5,040
11
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
PERSONNEL SERVICES
5000 Regular Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
610
230
610
230
610
230
610
230
610
230
840
840
840
840
840
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5160 Membership Dues
5161 Publications & Subscriptions
5200 Operations & Maintenance
5300 Contract Services
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
1,850
200
0
1,000
900
40
1,850
380
0
1,050
1,300
50
550
350
0
950
1,300
50
1,600
350
200
750
1,300
0
1,600
350
200
750
1,300
0
4,200
3,990
4,630
3,200
4,200
TOTAL FOR DIVISION 213: 4,830 5,470 4,040 5,040 5,040
11
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: City Treasurer
FUND: 001
COST CENTER: 213
OBJECT
5000
#
PERSONNEL - FULL TIME
FY 2001/02
Fiscal Year
2001/02
Adopted
Budget
Dept.
Request
Mgr.
Rcmds.
Adopted
Budget
Auth.
Funded
Treasurer
100%
1000/0
100%
100%
100%
M`
0
9
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
*n: TREASURY MANAGEMENT (213)
TOTAL FOR OPERATIONS & MAINTENANCE:
L
3,990 4,630 3,200 4,200 4,200
70
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
5100 Travel, Meetings & Training
CA Municipal Treasurer's Assoc
League of CA Cities Annual Mtg
Sympro-Fixed Income Training
550
800
500
550
800
500
550
0
0
550
800
250
550
800
250
Total for Travel, Meetings & Training:
1,850
1,850
550
1,600
1,600
5160 Membership Dues
CA Municipal Treasurer's Assoc
Gov't Finance Officers Assoc
200
0
200
180
200
150
200
150
200
150
Total for Membership Dues:
200
380
350
350
350
5161 Publications & Subscriptions
Publications
0
0
0
200
200
Total for Publications & Subscriptions:
0
0
0
200
200
5200 Operations & Maintenance
Interactive Data -Valuation Mkt
Office Supplies
_ Publications
500
200
300
550
200
300
550
200
200
550
200
0
550
200
0
Total for Operations & Maintenance:
1,000
1,050
950
750
750
5300 Contract Services
Software MaintlSympro
900
1,300
1,300
1,300
1,300
Total for Contract Services:
900
1,300
1,300
1,300
1,300
5415 General Liability Charges
40
50
50
0
0
Total for General Liability Charges:
40
50
50
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
L
3,990 4,630 3,200 4,200 4,200
70
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GENERAL FUND (001)
COMMUNITY DEV -ADMINISTRATION (301)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager Adopted
Budget
Budget
Actual
Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
142,120
145,960
60,910
0
0
5030 Fringe Benefits
52,580
54,010
54,010
0
0
TOTAL FOR PERSONNEL SERVICES:
194,700
199,970
114,920
0
0
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
7,550
8,800
8,800
0
5105 Mileage
4,200
4,200
2,410
0
0
0
5160 Membership Dues
2,190
2,200
610
0
0
5200 Operations & Maintenance
13,800
6,550
6,550
0
0
5300 Contract Services
250
0
299,960
0
0
5415 General Liability Charges
280
220
220
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
28,270
219970
318,550
0
0
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
0
0
97,120
0
TOTAL FOR CAPITAL OUTLAY:
0
0
97,120
0
0
0
TOTAL FOR DIVISION 301:
0
222,970
221,940
530,590
0
0
/1
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development FUND: 001
DIVISION: Administration COST CENTER: 301
72
FY 2000/01
Fiscal Year 2001/02
OBJECT #
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth.
I Funded
5000
PERSONNEL - FULL TIME
Community Development Director
90%
90%
0%
0%
0%
Office Specialist II '
100%
0%
0%
0%
0%
ALSO SEE:
Redevel. Agency (2620801)
Community Development Director
10%
10%
0%
0%
0%
'Transferred to City Manager's Office
72
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
nd: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
n: COMMUNITY DEV -ADMINISTRATION (301)
5160 Membership Dues
`"'"r
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0 0
Object Object Description
Adopted
Adopted
Estimated
Manager Adopted
American Society of Public Adm
150
Budget
Budget
Actual
Rcmd Budget
0
5100 Travel, Meetings & Training
150
0 0
0
ICMA
920
920
American Planning Association
1,500
1,500
1,500
0
0
CLOUT
500
500
500
0
0
Council/Planning Comm Meetings
750
750
750
0
0
League Of CA Cities -Comm Devlp
1,200
600
600
0
League Of California Cities
800
900
900
0
0
0
MMASC Annual Meeting
300
300
300
0
0
Rails To Trails Annual Meeting
11000
0
0
Tidemark Software User Group
0
3,500
3,500
0
0
0
0
Various Mtg-Chamber, Inland Em
1,500
750
750
0
0
Total for Travel, Meetings & Training:
7,550
8,800
8,800
0
0
5105 Mileage
Auto Allowance
4,200
4,200
2,410
0
0
Total for Mileage:
4,200
4,200
2,410
0
0
5160 Membership Dues
`"'"r
0
110
110
0 0
American Planning Association
350
350
350
0
American Society of Public Adm
150
150
0
0
Congress New Urbanism
0
150
150
0 0
0
ICMA
920
920
0
0
0 0
SPAM (Society Public Adm Mgmt)
0
20
0
0
Urban Land Institute
770
500
2,500
0 0
0
0
0 0
Total for Membership Dues:
2,190
2,200
610
0 0
5200 Operations & Maintenance
Census
4,000
0
0
0
0
Central Park
3,500
0
0
0
0
Office Supplies
3,500
3,500
3,500
0
0
Pager Service (1)
0
250
250
0
0
Postage
300
300
300
0
0
Printing/Publications
2,500
2,500
2,500
0
0
( I } Previously in acct 5300
Fatal for Operations & Maintenance: 13,800 6,550 6,550 0 0
5300 Contract Services
contract community Lev Service
Pager Service
Tidemark Implementation
0
250
0
0
0
0
50,690
0
249,270
0
0
0
0
0
0
Total for Contract Services:
250
0
299,960
0
0
5415 General Liability Charges
280
220
220
0
0
73
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: COMMUNITY DEV -ADMINISTRATION (301)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Total for General Liability Charges: 280 220 220
TOTAL FOR OPERATIONS & MAINTENANCE: 28,270 21,970 318,550
74
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) CAPITAL OUTLAY
(5600) DETAIL
D: COMMUNITY DEV-ADMINISTRATION (301)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Object Object Description Budget
Adopted
Budget
Estimated
Manager Adopted
Actual
Rcmd Budget
5605 Capital Outlay-Computer Equip
Computers/Printers (Tidemark) 0
0
Laptops/Paimtops (Tidemark) 0
25,000
0
0
SQL Server for Comm. Dev. 0
0
23,750
0
0
e-Gov't Server for Permits 0
0
20,050
0
0
Total for Capital Outlay-Computer Equip: 0
0
28,320
0
0
0
97,120
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
0 0 97,120 0 0
DWF nd: GENERAL FUND (001)
BUILDING AND SAFETY (302)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
1,222,740
1,365,800
1,362,250
1,491,070
1,491,070
5005 Overtime Salaries
0
0
20,000
0
0
5030 Fringe Benefits
452,410
505,350
505,350
551,700
551,700
TOTAL FOR PERSONNEL SERVICES:
1,675,150
1,871,150
1,887,600
2,042,770
2,042,770
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
2,950
3,100
3,100
10,600
10,600
5105 Mileage
4,200
4,200
4,800
4,800
4,800
5160 Membership Dues
1,330
1,330
1,330
1,480
1,480
5200 Operations & Maintenance
33,450
35,500
35,500
23,500
23,500
5251 Depreciation - Vehicles
2,680
9,690
9,690
4,850
4,850
5281 Depreciation - Equipment
880
1,470
1,470
740
740
5300 Contract Services
148,300
725,320
824,520
970,650
970,650
5303 Contract Serv/Reimbursable
175,000
20,000
0
0
0
5415 General Liability Charges
3,690
8,010
8,010
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
372,480
808,620
888,420
1,016,620
1,016,620
CAPITAL OUTLAY
5604 Capital Outlay -Vehicles
0
25,000
25,000
0
0
0 TOTAL FOR CAPITAL OUTLAY:
0
25,000
25,000
0
0
TOTAL FOR DIVISION 302:
2,047,630 2,704,770 2,801,020 3,059,390 3,059,390
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Building & Safety
FUND: 001
COST CENTER: 302
77
0
0
FY 2001/02
Fiscal Year 2001/02
OBJECT #
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Building & Safety Official
100%
100%
100%
100%
100%
Plan Check Manager/Fire
100%
100%
100%
100%
100%
Bldg. Inspector Supervisor
100%
70%
70%
70%
70%
Plan Check Manager/Building
100%
100%
100%
100%
100%
Senior Plans Examiner/Fire
100%
100%
100%
100%
100%
Senior Plans Examiner/Building
90%
90%
90%
90%
90%
Plans Examiner
100%
100%
100%
100%
100%
Sr. Building Inspector
100%
100%
100%
100%
100%
Sr. Building Inspector
100%
100%
100%
100%
100%
Sr. Building Inspector
70%
1000/0
100%
100%
100%
Building Inspector
500%
500%
500%
500%
500%
Administrative Secretary
100%
100%
100%
100%
100%
Public Service Technician II
200%
200%
200%
200%
200%
Public Service Technician 1
100%
100%
100%
100%
100%
Office Specialist 11
200%
200%
200%
200%
200%
Code Enforcement Supervisor
100%
100%
100%
100%
100%
Code Enforcement Officer
200%
200%
200%
200%
200%
Public Service Technician 1
100%
100%
100%
100%
100%
Code Enforcement Officer
100%
100%
1000/0
100%
100%
Sr. Building Inspector
100%
100%
100%
100%
100%
Plans Examiner
0%
100%
0%
0%
0%
Public Service Technician 1
0%
100%
100%
100%
100%
ALSO SEE:
CDBG (Fund 204)
Sr. Building Inspector
30%
0'/G
0%
0%
0%
Senior Plans Examiner/Building
10%
10%
10%
10%
10%
Bldg. Inspector Supervisor
0%
30%
30%
30%
30%
5010
PERSONNEL - PART TIME
77
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: GENERAL FUND (001)
n: BUILDING AND SAFETY (302)
{ 1) Moved from 5200 FY 2001/02
(2) Moved from Division 301
Total for Travel, Meetings & Training: 2,950 3,100 3,100 10,600 10,600
5105 Mileage
Auto Allowance 4,200 4,200 4,800 4,800 4,800
Total for Mileage: 4,200 4,200 4,800 4,800 4,800
5160 Membership Dues
American Assoc Of Code Enf Ofc
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
100
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
350
Int'I Assoc Of Electrical Insp
100
100
100
CA Bldg Officials Business Mtg
900
1,200
2,000
1,000
1,000
Code Enf & Fire Prevention Mtg
550
500
500
500
500
Computer Training (1)
0
0
0
5,000
5,000
ICBO Code Development Mtg
1,000
1,000
0
1,000
1,000
Local Meetings
500
400
600
600
600
Tidemark Software User Group (2)
0
0
0
2,500
2,500
{ 1) Moved from 5200 FY 2001/02
(2) Moved from Division 301
Total for Travel, Meetings & Training: 2,950 3,100 3,100 10,600 10,600
5105 Mileage
Auto Allowance 4,200 4,200 4,800 4,800 4,800
Total for Mileage: 4,200 4,200 4,800 4,800 4,800
5160 Membership Dues
American Assoc Of Code Enf Ofc
100
100
100
100
100
California Building Officials
350
350
350
500
500
Int'l Assoc Bldg Ofcls & Plumb
350
350
350
350
350
Int'I Assoc Of Electrical Insp
100
100
100
100
100
Local Chapters
130
130
130
130
130
National Fire Protection Assoc
100
100
100
100
100
So CA Assoc of Code Enf Olds
200
200
200
200
200
Total for Membership Dues:
1,330
1,330
1,330
1,480
1,480
5200 Operations & Maintenance
Batteries For Vehicle Radios
Books/Publications-Codes/Tech
Computer Training [I)
Office Supplies
Postage
Printing: Pamphlets/Booklets
Printing: Permit Forms
Technical Software Updates
Technical Training/Code Update (1)
(1) Moved to 5100 FY 2001/02
2,200
2,000
2,000
2,000
2,000
1,000
1,000
8,500
1,500
1,500
4,400
5,000
5,000
0
0
5,500
5,500
5,500
9,000
9,000
2,500
2,500
2,500
0
0
4,500
4,500
3,470
0
0
7,500
9,000
7,030
11,000
11,000
1,850
2,000
500
0
0
4,000
4,000
1,000
0
0
Total for Operations & Maintenance: 33,450 35,500 35,500 23,500 23,500
5251 Depreciation - Vehicles
2,680
9,690
9,690
4,850
4,850
Total for Depreciation - Vehicles:
2,680
9,690
9,690
4,850
41850
281 Depreciation - Equipment
880
1,470
1,470
740
740
Total for Depreciation - Equipment:
880
1,470
1,470
740
740
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001)
OPERATIONS & MAINTENANCE (51 (K)) DETAIL
Division: BUILDING AND SAFETY (302)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
color miner Maintenance
0
2,000
2,000
2,000
2,000
Contract Bldg Inspector Srvcs
0
200,000
225,000
275,000
275,000
Contract Dev Review Services
0
0
54,200
0
0
Contract Fire Plan Check Srvcs
0
50,000
50,000
125,000
125,000
Conver Of Plans To Electronic
0
0
10,000
0
0
Equip Maint: Microfilm Rdr/Ptr
800
800
800
800
800
Equip Maint: Spot Copiers
2,000
2,000
2,000
2,000
2,000
Equip Maint: Typewriter/Calc
750
750
750
750
750
Misc Plan Checking
0
15,000
15,000
0
0
Nuisance Abatement
15,000
15,000
15,000
60,000
60,000
Radio Equipment Maintenance
4,750
4,770
4,770
5,100
5,100
Rehab/Abatement Program
40,000
40,000
40,000
40,000
40,000
SBRDO County Weed Abatement
20,000
20,000
20,000
20,000
20,000
Structural Plan Check Services
0
310,000
320,000
375,000
375,000
West Valley Vector Control Dst
65,000
65,000
65,000
65,000
65,000
Total for Contract Services:
148,300
725,320
824,520
970,650
970,650
5303 Contract Serv/Reimbursable
Contract Bldg Inspector Srvcs
40,000
0
0
0
0
Misc Plan Checking
7,500
0
0
0
0
Plan Check Fees
77,500
0
0
0
0
Reimb Bldg Inspector Services
0
20,000
0
0
0
Structural Plan Check Srvcs
50,000
0
0
0
0
Total for Contract Serv/Reimbursable:
175,000
20,000
0
0
0
5415 General Liability Charges
3,690
8,010
8,010
0
0
Total for General Liability Charges:
3,690
8,010
8,010
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
372,480 808,620 888,420 1,016,620 1,016,620
Fund: GENERAL FUND (001)
*n: BUILDING AND SAFETY (302)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Obiect Description Budget Budget Actual Rcmd Budget
5604 Capital Outlay -Vehicles
Ford Explorer (Sr Bldg Insp) 0 25,000 25,000 0 0
Total for Capital Outlay -Vehicles: 0 25,000 25,000 0 0
TOTAL FOR CAPITAL OUTLAY:
0 25,000 25,000 0 0
K
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
F d: GENERAL FUND (001) ANNUAL BUDGET SUMMARY
D: ENGINEERING - ADMINISTRATION (303)
0 TOTAL FOR DIVISION 303:
11
352,190 339,740 1,818,460 351,840 351.840
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
228,780
219,060
236,590
236,160
236,160
5030 Fringe Benefits
84,650
81,050
81,050
87,380
87,380
TOTAL FOR PERSONNEL SERVICES:
313,430
300,110
317,640
323,540
323,540
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5,360
5,360
5,360
5,360
5,360
5105 Mileage
4,200
4,200
4,800
4,800
4,800
5160 Membership Dues
910
940
990
990
990
5200 Operations & Maintenance
11,170
11,170
21,980
11,170
11,170
5281 Depreciation - Equipment
1,450
3,170
3,170
1,580
1,580
5300 Contract Services
14,400
14,400
681,730
4,400
4,400
5415 General Liability Charges
370
390
390
0
TOTAL FOR OPERATIONS & MAINTENANCE:
37,860
39,630
718,420
28,300
0
28,300
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
900
0
774,300
0
0
5605 Capital Outlay -Computer Equip
0
0
8,100
0
TOTAL FOR CAPITAL OUTLAY:
90 0
0
782,400
0
0
0
0 TOTAL FOR DIVISION 303:
11
352,190 339,740 1,818,460 351,840 351.840
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Engineering - Administration
FUND: 001
COST CENTER: 303
PR
9
0
0
FY 2000/01
Fiscal Year 2001/02
OBJECT #
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth. Funded
5000
PERSONNEL - FULL TIME
City Engineer
35%
35%
35% 35%
35%
Deputy City Engineer
25%
25%
25% 25%
25%
Finance Specialist
100%
100%
100% 100%
100%
Management Analyst II
100%
0%
0% 0%
0%
Office Specialist II
65%
65%
65% 65%
65%
Office Specialist II
25%
25%
25% 25%
25%
Secretary
65%
65%
65% 65%
65%
Sr. Administrative Secretary
25%
25%
25% 25%
25%
Associate Engineer
0%
100%
100% 100%
100%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
PR
9
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
*d:n
GENERAL FUND (00 1) n: ENGINEERING - ADMINISTRATION (303)
Total for Travel, Meetings & Training:
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
5,360
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
4,800
Total for Mileage:
4,200
4,200
4,800
American Pub] Wrks Assoc -Local
350
350
350
350
350
American Publ Wrks Assoc -Nat'l
1,700
1,700
1,700
1,700
1,700
American Society Civil Engnrs
210
210
210
210
210
American Society Publc Admnstr
100
100
100
100
100
City/County Engineers Meeting
400
400
400
400
400
Committee, Comm & Board Mtgs
500
500
500
500
500
Institute Of Tmsprt Engineers
500
500
500
500
500
League Of CA Cities-Gen'I Scm
800
800
800
800
800
League Of CA Cities -Pubic Wrks
800
800
800
800
800
Total for Travel, Meetings & Training:
5,360
5,360
5,360
5,360
5,360
5105 Mileage
1,700
1,700
1,700
1,700
1,700
Auto Allowance
4,200
4,200
4,800
4,800
4,800
Total for Mileage:
4,200
4,200
4,800
4,800
4,800
5160 Membership Dues
420
420
420
420
420
APWA-Nat'l & So CA Chapters
300
300
300
300
300
ASCE-Nat'l & SBRDO/Riverside
250
250
250
250
250
ASPA
100
100
100
100
100
City/County Eng-SBRDO/Rivrsde
30
30
30
30
30
ITE -Nat'l, LA & SBRDO/Rivrsde
150
150
150
150
150
MMASC
50
50
100
100
100
Notary
30
60
60
60
60
Total for Membership Dues:
910
940
990
990
990
5200 Operations & Maintenance
AutoCAD for Design Group
0
0
6,870
0
0
Blueprint Machine Supplies
1,700
1,700
1,700
1,700
1,700
Copies Of Recorded Maps -County
500
500
500
500
500
Film & Processing
500
500
500
500
500
Microfiche Machine Supplies
420
420
420
420
420
Microfiche Maps From County
400
400
400
400
400
Mylars & Mylar Duplicates
500
500
500
500
500
Notary Supplies
50
50
50
50
50
Office Supplies
6,000
6,000
9,940
6,000
6,000
Printing & Publications
500
500
500
500
500
Reproduction City Maps/Blueprt
500
500
500
500
500
Updated Assessor Map Pages
100
100
100
100
100
Total for Operations & Maintenance:
11,170
11,170
21,980
11,170
11,170
ocoi acy. ccrauun - Gywpmen[ 1,4:)u J,1 lu 3,170 1,580 1,580
` Total for Depreciation - Equipment: 1,450 3,170 3,170 1,580 1,580
5300 Contract Services
Blueprint Machine Maintenance 1,100 1,100 1,100 1,100 1,100
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Contract Employee
0
0
6,060 0
Fiber Optic Installation
0
0
600,000 0
Install Traf Sig Battery Bk -up
0
0
70,000 0
Management Study
10,000
10,000
0 0
Microfiche Maintenance
1,800
1,800
1,800
1,800
1,800
Photocopier Maintenance
1,500
1,500
2,770
1,500
1,500
Total for Contract Services:
14,400
14,400
681,730
4,400
4,400
5415 General Liability Charges
370
390
390
0
0
Total for General Liability Charges:
370
390
390
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 37,860 39,630 718,420 28,300 28,300
9
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
nd: GENERAL FUND (WI)
n: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd Budget
5603 Capital Outlay -Equipment
Fax Machine Upper Level
0
0
300
0
0
Pool Digital Camen-Eng
900
0
0
0
0
Standby Generators (2)
0
0
120,000
0
0
Traffic Signal Battery Bk -up
0
0
654,000
0
0
Total for Capibd Outlay -Equipment:
900
0
774,300
0
0
5605 Capital Outlay -Computer Equip
4 Scanners (City Clerk)
0
0
8,100
0
0
Total for Capital Outlay -Computer Equip:
0
0
8,100
0
0
TOTAL FOR CAPITAL OUTLAY: 900 0 782,400
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: GENERAL FUND (001)
n: ENGINEERING - CONSTRUCTION MGT (304)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
343,730
334,840
365,600
388,060
388,060
5005 Overtime Salaries
2,000
2,000
5,000
2,000
2,000
5030 Fringe Benefits
127,180
123,270
123,270
143,580
143,580
TOTAL FOR PERSONNEL SERVICES:
472,910
460,110
493,870
533,640
533,640
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
750
750
750
750
750
5160 Membership Dues
150
150
0
50
50
5200 Operations & Maintenance
3,000
3,000
4,150
3,000
3,000
5281 Depreciation - Equipment
150
150
150
70
70
5300 Contract Services
53,000
53,000
63,590
78,000
78,000
5415 General Liability Charges
570
570
570
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
57,620
57,620
69,210
81,870
81,870
TOTAL FOR DIVISION 304:
530,530
517,730
563,080
615,510
615,510
0
ff1
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Engineering - Construction Mgmt.
FUND: 001
COST CENTER: 304
ME
P
CT #
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
Auth. Funded
F5000
PERS NNEL -FULL TIME
Budget
Request
Budget
Public Works Engineer
90%
100%
100% 100%
100%
Supervising Public Works Inspector
100%
100%
100% 100%
100%
Supervising Public Works Inspector
100%
100%
100% 100%
100%
Public Works Inspector II
50%
50%
50% 50%
50%
Public Works Inspector II
1000%
100%
100% 100%
100%
Public Works Inspector II
60%
60%
60% 60%
60%
Junior Engineer
65%
65%
65% 65%
65%
Engineering Technician
80%
80%
80% 80%
80%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
ME
P
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
4OPERATIONS & MAINTENANCE (5100) DETAIL
F nd: GENERAL FUND (001)
D: ENGINEERING - CONSTRUCTION MGT (304)
5300 Contract Services
Contractor Inspector 50,000 50,000 60,590 75,000 75.000
k Surveys, Testing, Inspections 3,000 3,000 3,000 3,000 3.000
Total for Contract Services: 53,000
53,000 63,590 78,000 78.000
5415 General Liability Charges 570 570 570 0 0
Total for General Liability Charges: 570 570 570 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
57,620 57,620 69,210 81,870 81.870
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
Construction Inspectors Assoc
250
250
250
250
250
Project Management Meetings
500
500
500
500
500
Total for Travel, Meetings & Training:
750
750
750
750
750
5160 Membership Dues
Construction Inspectors Assoc
150
150
0
50
50
Total for Membership Dues:
150
150
0
50
50
5200 Operations & Maintenance
Field Supplies
3,000
3,000
4,150
3,000
3.000
Total for Operations & Maintenance:
3,000
3,000
4,150
3,000
3,000
5281 Depreciation - Equipment
150
150
150
70
70
Total for Depreciation - Equipment:
150
150
150
70
70
5300 Contract Services
Contractor Inspector 50,000 50,000 60,590 75,000 75.000
k Surveys, Testing, Inspections 3,000 3,000 3,000 3,000 3.000
Total for Contract Services: 53,000
53,000 63,590 78,000 78.000
5415 General Liability Charges 570 570 570 0 0
Total for General Liability Charges: 570 570 570 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
57,620 57,620 69,210 81,870 81.870
Fund:
DOn:
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
GENERAL FUND (001)
ENGINEERING - DEVELOPMENT MGT (305)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
496,870
614,570
606,270
578,630
578,630
0
0
20,000
29,630
29,630
183,840
227,390
227,390
214,680
214,680
680,710
841,960
853,660
822,940
822,940
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
740
740
740
740
740
5152 Computer Software
0
0
590
0
0
5160 Membership Dues
1,020
1,020
1,020
1,020
1,020
5200 Operations & Maintenance
2,300
2,300
3,360
2,300
2,300
5300 Contract Services
75,000
230,000
563,630
470,000
470,000
5303 Contract Serv/Reimbursable
200,000
50,000
177,410
100,000
100,000
5415 General Liability Charges
2,790
2,840
2,840
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
281,850
286,900
749,590
574,060
574,060
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
0
0
2,010
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
2,010
0
0
0 TOTAL FOR DIVISION 305:
•
962,560 1,128,860 1,605,260 1,397,000 1,397,000
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development FUND: 001
DIVISION: Engineering -Development Mgmt. COST CENTER: 305
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
5000
PER NNEL - FULL TIME
Budget
Request
Budget
Assistant Engineer
100%
100%
100%
100%
100%
Assistant Engineer
100%
100%
100%
100%
100%
Assistant Engineer
100%
100%
100%
100%
100%
Assistant Engineer
55%
55%
55%
55%
55%
Associate Engineer
100%
100%
100%
100%
100%
Associate Engineer
60%
60%
60%
60%
60%
Associate Engineer
100%
100%
100%
100%
100%
Engineering Aide
100%
100%
100%
100%
100%
Engineering Technician
100%
100%
100%
100%
100%
Senior Civil Engineer
100%
100%
100%
100%
100%
Senior Civil Engineer
80%
0%
0%
0%
0%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Senior Civil Engineer
0%
100%
100%
100%
100%
.N
i
0
•
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (51001 DETAIL
und: GENERAL FUND (001)
n: ENGINEERING - DEVELOPMENT MGT (305)
5160 Membership Dues
ASCE-San Bernardino/Riverside
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
170
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
60
Flood Plain Management Assoc
100
100
100
American -Society Of C.E. Mtg
150
150
150
150
150
City/County Engineers Meeting
140
140
140
140
140
Right of Way Assoc Meeting
200
200
200
200
200
Subdivision Map Act Seminar
250
250
250
250
250
Total for Travel, Meetings & Training:
740
740
740
740
740
5152 Computer Software
Software STD Personal Computer
0
0
590
0
0
Total for Computer Software:
0
0
590
0
0
5160 Membership Dues
ASCE-San Bernardino/Riverside
170
170
170
170
170
Calif Parks & Rec Society
260
260
260
260
260
City County Engineer-SBRDO/RIV
60
60
60
60
60
Flood Plain Management Assoc
100
100
100
100
100
Registered Civil Engineer
200
200
200
200
200
Right -Of -Way Association
170
170
170
170
170
Urban Forestry Council
60
60
60
60
60
Total for Membership Dues:
5200 Operations & Maintenance
1,020 1,020 1,020 1,020 1,020
11611 "1J
200
200
200
200
200
Office Supplies
1,200
1,200
2,260
1,200
1,200
Publications & Ref. Manuals
400
400
400
400
400
Special Materials & Supplies
500
500
500
500
500
Total for Operations & Maintenance:
2,300
2,300
3,360
2,300
2,300
5300 Contract Services
rum cnecK services 75,000 230,000 563,630 470,000 470,000
Total for Contract Services: 75,000 230,000 563,630 470,000 470,000
5303 Contract Serv/Reimbursable
Fee Supported Consultants 200,000 50,000 177,4!0 1()0,000 100,000
Total for Contract Serv/Reimbursable: 200,000 50,000 177,410 100,000 100,000
5415 General Liability Charges 2,790 2,840 F 2,840 0 0
Total for General Liability Charges: 2,790 2,840 2,840 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 281,850 286,900 749,590 574,060 574,060
LJ
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001)
Division: ENGINEERING - DEVELOPMENT MGT (305)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
Std Personal Computer 0 0 2,010 0 0
Total for Capital Outlay -Computer Equip: 0 0 2,010 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 2,010
A
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: GENERAL FUND (001)
: ENGINEERING - NPDES (306)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5005 Overtime Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5160
Membership Dues
5200
Operations & Maintenance
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
196,700
211,050
215,250
230,930
230,930
10,000
15,000
15,000
15,000
15,000
72,780
78,090
78,090
85,440
85,440
279,480
304,140
308,340
331,370
331,370
500
500
500
500
500
2.000
2,000
30
0
0
40,000
40,000
48,170
40,000
40,000
56,000
69,700
84,500
90,000
90,000
990
1,120
1,120
0
0
99,490
113,320
134,320
130,500
130,500
CAPITAL OUTLAY
5604 Capital Outlay -Vehicles 26,500 26,500 26,500 0 0
TOTAL FOR CAPITAL OUTLAY: 26,500 26,500 26,500 0 0
TOTAL FOR DIVISION 306: 405,470 443,960 469,160 461,870 461,870
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Engineering - NPDES
FUND: 001
COST CENTER: 306
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
F5000
PERSONNEL - FULL TIME
Budget
Request
Budget
NPDES Inspector
100%
100%
100%
100%
100%
Equipment Operator
100%
100%
100%
100%
100%
Maintenance Supervisor
20%
20%
20%
20%
20%
Equipment Operator
100%
100%
100%
100%
100%
Equipment Operator
100%
100%
100%
100%
100%
Maintenance Worker
100%
100%
100%
100%
100%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
0
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
DW: ENGINEERING - NPDES (306)
5300 Contract Services
ucu: 'er[ 0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
2.000
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
84,500
90,000
90,000
ESRI Training
500
500
500
500
500
Total for Travel, Meetings & Training:
500
500
500
500
500
5160 Membership Dues
Confined Spaces/Gas Detc Cert
2,000
2,000
30
0
0
Total for Membership Dues:
2,000
2,000
30
0
0
5200 Operations & Maintenance
Materials, Supplies, Uniforms
20,000
20,000
20,000
20,000
20,000
Public Education & Training
20,000
20,000
28,170
20,000
20,000
Total for Operations & Maintenance:
40,000
40,000
48,170
40,000
40,000
5300 Contract Services
ucu: 'er[ 0
0
0
2,000
2.000
NPDES Permit 50,000
66,700
81,500
85,000
85,000
Testing Lab 6,000
3,000
3,000
3,000
3.000
Total for Contract Services: 56,000
69,700
84,500
90,000
90,000
Total for General Liability Charges:
TOTAL FOR OPERATIONS & MAINTENANCE:
Ell
1,120 1,120
1,120 1,120
U
99,490 113,320 134,320 130,500 130.500
ai
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001)
Division: ENGINEERING - NPDES (306)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5604 Capital Outlay -Vehicles
1
Street Sweeper Pmt 5of5 FYE 01 26,500 26,500 26,500 0 0
Total for Capital Outlay -Vehicles: 26,500 26,500 26,500 0 0
TOTAL FOR CAPITAL OUTLAY: 26,500 26,500 26,500
11
is
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: GENERAL FUND (001)
D : ENGINEERING - PROJECT MGT (307)
TOTAL FOR DIVISION 307: 117,620 125,360 131,990 130,190 130,190
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
81,760
87,410
77,910
90,980
90,980
5030 Fringe Benefits
30,250
32,340
32,340
33,660
33,660
TOTAL FOR PERSONNEL SERVICES:
112,010
119,750
110,250
124,640
124,640
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
100
100
400
100
100
5152 Computer Software
0
0
3,620
0
0
5160 Membership Dues
450
450
0
450
450
5200 Operations & Maintenance
5,000
5,000
5,540
5,000
5,000
5300 Contract Services
0
0
9,500
0
0
5415 General Liability Charges
60
60
60
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
5,610
5,610
19,120
5,550
5,550
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
0
0
220
0
0
5605 Capital Outlay -Computer Equip
0
0
2,400
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
2,620
0
0
TOTAL FOR DIVISION 307: 117,620 125,360 131,990 130,190 130,190
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development FUND: 001
DIVISION: Engineering - Project Mgmt. COST CENTER: 307
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
Budget
Request
Budget
PERSONNEL -FULL TIME
Senior Civil Engineer
20%
20%
20%
20%
20%
Associate Engineer
20%
20%
20%
20%
20%
Associate Engineer
20%
20%
20%
20%
20%
Assistant Engineer
20%
20%
20%
20%
20%
Assistant Engineer
20%
20%
20%
20%
20%
Engineering Technician
20%
20%
20%
20%
20%
Assistant Engineer
20%
20%
20%
20%
20%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
M.
0
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
F nd: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
: ENGINEERING - PROJECT MGT (307)
5152 Computer Software
AES Hydrology Software 0 0 900 0 0
Autodesk Civil Design(4) 0 0 720 0 0
Land Developmnt Desktop VIP(4) 0 0 2,000 0 0
Total for Computer Software: 0 0 3,620 0 0
5160 Membership Dues
APWA Dues
ASCE-SBRDO/Riverside
100 100 0 100 100
170 170 0 170 170
Registered Civil Engineers 180 180 0 180 180
Total for Membership Dues: 450 450 0 450 450
5200 Operations & Maintenance
k`- ) 1,800 1,800 1,800 1,800 1,800
'N—
Total for Operations & Maintenance: 5,000
5300 Contract Services
5,000 5,540 5,000 5,000
Contract Employee 0 0 9,500 0 0
Total for Contract Services: 0 0 9,500 0 0
5415 General Liability Charges 60 60 60 0 0
Total for General Liability Charges: 60 60 60 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 5,610 5,610 19,120 5,550 5,550
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted Estimated
Manager Adopted
Budget Actual
Rcmd Budget
5100 Travel, Meetings & Training
APWA Meeting
100
100 400
100 100
Total for Travel, Meetings & Training:
100
100 400
100 100
5152 Computer Software
AES Hydrology Software 0 0 900 0 0
Autodesk Civil Design(4) 0 0 720 0 0
Land Developmnt Desktop VIP(4) 0 0 2,000 0 0
Total for Computer Software: 0 0 3,620 0 0
5160 Membership Dues
APWA Dues
ASCE-SBRDO/Riverside
100 100 0 100 100
170 170 0 170 170
Registered Civil Engineers 180 180 0 180 180
Total for Membership Dues: 450 450 0 450 450
5200 Operations & Maintenance
k`- ) 1,800 1,800 1,800 1,800 1,800
'N—
Total for Operations & Maintenance: 5,000
5300 Contract Services
5,000 5,540 5,000 5,000
Contract Employee 0 0 9,500 0 0
Total for Contract Services: 0 0 9,500 0 0
5415 General Liability Charges 60 60 60 0 0
Total for General Liability Charges: 60 60 60 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 5,610 5,610 19,120 5,550 5,550
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
und: GENERAL FUND (001)
Division: ENGINEERING - PROJECT MGT (307)
TOTAL FOR CAPITAL OUTLAY: 0 0 2,620
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budget
Budget
Actual
Rcmd. Budget
5603 Capital Outlay -Equipment
Compact Flash Mem Camera Card
0
0
220
0
0
Total for Capital Outlay -Equipment:
0
0
220
0
0
5605 Capital Outlay -Computer Equip
CD ROM Read/Write (6)
0
0
1,200
0
0
LaserJet 2500 CM Printer
0
0
1,200
0
0
Total for Capital Outlay -Computer Equip:
0
0
2,400
0
0
TOTAL FOR CAPITAL OUTLAY: 0 0 2,620
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GENERAL FUND (001)
*n: ENGINEERING - TRAFFIC MGT (308)
OPERATIONS & MAINTENANCE
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
920
4,260
5,870
700
0
0
11,750
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
209,440
5000 Regular Salaries
5030 Fringe Benefits
153,050
136,380
148,850
144,300
144,300
56,630
50,460
50,460
53,390
53,390
TOTAL FOR PERSONNEL SERVICES:
209,680
186,840
199,310
197,690
197,690
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5160 Membership Dues
5200 Operations & Maintenance
5280 Equip Operations & Maint
5300 Contract Services
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
870
1,160
5,480
700
5,000
130
13,340
920
1,260
5,480
700
5,000
130
13,490
920
1,260
9,680
700
0
130
12,690
920
4,260
5,870
700
0
0
11,750
920
4,260
5,870
700
0
0
11,750
TOTAL FOR DIVISION 305:
223,020
200,330
212,000
209,440
209,440
1]
101
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Engineering -Traffic Mgmt.
FUND: 001
COST CENTER: 308
102
0
F
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth. Funded
5000
PERSONNEL -FULL TIME
Traffic Engineer
55%
55%
55% 55%
55%
Associate Engineer
30%
30%
30% 30%
30%
Assistant Engineer
70%
70%
70% 70%
70%
Engineering Aide
70%
70%
70% 70%
70%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL- PARTTIME
102
0
F
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
F nd: GENERAL FUND (001)
20
20
20
20
20
D: ENGINEERING - TRAFFIC MGT (308)
250
250
250
250
250
Institute Of Tmsprt Engineers
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
900
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
3,000
Traffic Signal Association
30
30
30
City Traffic Engineers Meeting
80
80
80
80
80
Illuminating Engineer Society
100
100
100
100
100
Inst of Tmsprt Engineers Mtgs
300
350
350
350
350
RiversidetSBRDO Traffic Engrs
300
300
300
300
300
Traffic Signal Assoc Meetings
90
90
90
90
90
Total for Travel, Meetings & Training:
870
920
920
920
920
5160 Membership Dues
City Traffic Engineers
20
20
20
20
20
Illuminating Engineer Society
250
250
250
250
250
Institute Of Tmsprt Engineers
800
900
900
900
900
Riverside/SBRDO Traffic Eng
60
60
60
60
60
Street Light Association
0
0
0
3,000
3,000
Traffic Signal Association
30
30
30
30
30
Total for Membership Dues:
1,160
1,260
1,260
4,260
4,260
5200 Operations & Maintenance
0 IES Lighting Handtool & CD ROM
0
0
0
350
350
IES Roadway Lighting
0
0
0
40
40
Materials,Drftg,Field Supplies
600
600
600
600
600
Office & Field Supplies
2,000
2,000
6,200
2,000
2,000
Professional Training
2,680
2,680
2,680
2,680
2,680
Publications
200
200
200
200
200
Total for Operations & Maintenance:
5,480
5,480
9,680
5,870
5,870
5280 Equip Operations & Maint
Maintenance
700
700
700
700
700
Total for Equip Operations & Maint:
700
700
700
700
700
5300 Contract Services
Consultant -Traffic Model Updte
5,000
5,000
0
0
0
Total for Contract Services:
5,000
5,000
0
0
0
5415 General Liability Charges
130
130
130
0
0
Total for General Liability Charges:
130
130
130
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 13,340 13,490 12,690 11,750 11,750
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F it: GENERAL FUND (001)
): FACILITIES MAINTENANCE (312)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNELSERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5160
Membership Dues
5204
O & M/Facilities
5252
Emergency & Routine Veh Rent
5281
Depreciation - Equipment
5300
Contract Services
5304
Contract Serv/Facilities
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
5603 Capital Outlay -Equipment
50 Capital Project
TOTAL FOR CAPITAL OUTLAY:
0
491,970
534,270
479,100
504,210
504,210
25,000
100,000
100,000
100,000
100,000
58,450
58,500
58,500
58,500
58,500
187,290
202,950
202,950
191,830
191,930
762,710
895,720
840,550
854,540
854,540
520
520
520
520
520
211,440
217,440
427,440
187,940
187,940
5,000
5,000
5,000
5,000
5,000
0
8,410
8,410
4,210
4,210
22,000
80,000
80,000
82,400
82,400
522,000
683,600
891,800
747,800
747,800
7,610
9,950
9,950
0
0
768,570
1,004,920
1,423,120
1,027,870
1,027,870
8,000
5,000
5,850
0
0
7,500
0
20,000
0
0
6,140
0
0
0
0
21,640
5,000
25,850
0
0
TOTAL FOR DIVISION 312: 1,552,920 1,905,640 2,289,520 1,882,410 1,882,410
104
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Facilities Maintenance
FUND: 001
COST CENTER: 312
105
0
0
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth. Funded
5000
PERSONNEL -FULL TIME
Facilities Supervisor
90%
90%
90% 90%
90%
Building Maintenance/Worker
200%
200%
200% 200%
200%
Building Maintenance/Worker
100%
100%
100% 100%
100%
Maintenance Supervisor
10%
10%
10% 10%
10%
Maintenance Worker
20%
20%
20% 20%
20%
Maintenance Worker (Lions East)
100%
100%
100% 100%
100%
Maintenance Coordinator
100%
100%
100% 100%
100%
Maintenance Coordinator
90%
90%
90% 90%
90%
Maintenance Worker
200%
200%
200% 200%
200%
Maintenance Coordinator
100%
100%
100% 100%
100%
Maintenance Worker
100%
100%
100% 100%
100%
Maintenance Worker
100%
100%
100% 100%
100%
Maintenance Worker
100%
100%
0% 0%
0%
Lead Maintenance Worker
100%
100%
0% 0%
0%
5005
PERSONNEL -OVERTIME
Facilities On -Call
5010
PERSONNEL - PART TIME
Seasonal Maintenance Workers
200%
200%
200% 200%
200%
Seasonal Maint. Workers (Lions East)
100%
100%
100% 100%
100%
Seasonal Maint. Workers (RCFSC))
200%
200%
200% 200%
200%
105
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: GENERAL FUND (001)
n: FACILITIES MAINTENANCE (312)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5160 Membership Dues
BOMA
520
520
520
520
520
Total for Membership Dues:
520
520
520
520
520
5204 O & M/Facilities
800 Mhz Supplies
6,500
6,500
6,500
0
0
Card Key Replacements
3,000
3,000
3,000
0
0
Fasteners
41000
10,000
10,000
0
0
Filter Replacements
10,000
10,000
10,000
0
0
General Maint & Repairs
55,000
55,000
115,000
55,000
55,000
Glass Replacements
4,000
4,000
4,000
4,000
4,000
Keying Supplies
2,000
4,000
4,000
4,000
4,000
Maintenance Supplies
115,000
115,000
115,000
115,000
115,000
Plumbing Supplies
6,000
6,000
6,000
6,000
6,000
Rental Equipment
3,500
3,500
3,500
3,500
3,500
Safety Training Programs (1 }
2,000
0
0
0
0
Supplemental 2000/01 Projects
0
0
150,000
0
0
Water/Fire Service
440
440
440
440
440
{ 1) Beginning 2000/01 Included in
1001212
Total for O & M/Facilities:
211,440
217,440
427,440
187,940
187,940
5252 Emergency & Routine Veh Rent
Facilities -Tools & Equipment
5,000
5,000
5,000
5,000
5,000
Total for Emergency & Routine Veh Rent:
5,000
5,000
5,000
5,000
5,000
5281 Depreciation - Equipment
0
8.410
8,410
4,210
4,210
Total for Depreciation - Equipment:
0
8,410
8,410
4,210
4,210
5300 Contract Services
Metrolink Sta & Expansion Sec { 1)
22,000
80,000
80,000
82,400
82,400
{ 1 } Also See Fd 105
Total for Contract Services:
22,000
80,000
80,000
82,400
82,400
5304 Contract Serv/Facilities
800 Mhz Radio Maintenance
2,000
4,000
4,000
4,000
4,000
Air Con/Mech Equip Prev Maint
6,000
6,000
6,000
6,000
6,000
Alarm Monitoring
20,000
25,000
25,000
29,000
29,000
Ansul Fire System Maintenance
1,200
1,200
1,200
1,200
1,200
Hall Lighting Retrofit
0
0
30,000
0
0
.City
City Hall Occupancy Sensors
0
0
6,000
0
0
Civic Center Parking Control
23,000
23,000
23,000
25,000
25,000
EDDY Current Testing
5,000
5,000
5,000
5,000
5,000
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: FACILITIES MAINTENANCE (312)
E
TOTAL FOR OPERATIONS & MAINTENANCE: 768,570 1,004,920 1,423,120 1,027,870 1,027,870
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
Electrical Contract Service
30,000
30,000
30,000
30,000
30,000
Elevator Service
10,600
11,000
11,000
11,000
11,000
Fire Extinguisher Service
4,500
4,500
4,500
5,500
5,500
Fire/Life Safety Testing
2,000
2,000
2,000
2,000
2,000
Generator Service
2,400
4,400
4,400
4,400
4,400
Glass Replacement
2,000
4,000
4,000
4,000
4,000
HVAC
120,000
126,000
126,000
129,000
129,000
Inspect/Replce City Lght Poles
10,000
6,000
6,000
6,000
6,000
Janitorial Contract
100,000
225,000
225,000
225,000
225,000
Landscape Maintenance -Library
6,600
6,800
7,000
7,000
7,000
Lghtng Maint Rout/Emerg Repair
60,000
60,000
60,000
60,000
60,000
Lions Sewer Line Replacement
0
0
10,000
0
0
Miscellaneous Services
5,700
5,700
5,700
5,700
5,700
Painting Service
18,000
7,500
7,500
7,500
7,500
Pest Control Service
8,000
10,000
10,000
10,000
10,000
Plumbing Service
8,900
9,000
9,000
91000
9,000
Re -keying Locksmith Services
4,500
4,500
4,500
4,500
4,500
Re -paint Exterior Handrails
0
10,000
10,000
0
0
Roof/Facade Cleaning
4,000
4,000
4,000
4,000
4,000
Security System Maint & Repair
35,000
35,000
35,000
35,000
35,000
Structural/Roof
6,000
6,000
6,000
6,000
6,000
Supplemental Facility Work
0
0
150,000
50,000.
50,000
System Furniture Maintenance
10,000
10,000
20,000
30,000
30,000
Uninterruptible Power Supply
5,000
6,000
8,000
0
0
Water Treatment -Cooling Tower
6,600
7,000
7,000
7,000
7,000
Window/Door Repairs
5,000
25,000
25,000
25,000
25,000
Total for Contract Serv/Faciliities:
522,000
683,600
891,800
747,800
747,800
5415 General Liability Charges
7,610
9,950
9,950
0
0
Total for General Liability Charges:
7,610
9,950
9,950
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 768,570 1,004,920 1,423,120 1,027,870 1,027,870
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
nd: GENERAL FUND (ow)
n: FACILITIES MAINTENANCE (312)
5603 CapitalOutlay-Equipment
In -House Janitorial Start-up
7,500
0
Standby Generator (1) 0 0 20,000 0 0
Total for Capital Outlay -Equipment: 7,500 0 20,000 0 0
5650 Capital Project 6,140 0 0 0 0
Total for Capital Project: 6,140 0 0 0 0
TOTAL FOR CAPITAL OUTLAY:
0
•
21,640 5,000 25,850
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Descrmtion
Budget
Budget
Actual
Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
Battery Back-up E& W Lions
8,000
0
0
0 0
CSD Registration Room
0
5,000
5,850
0 0
Total for Capital Outlay -Bldg Imprvments:
8,000
5,000
5,850
0 0
5603 CapitalOutlay-Equipment
In -House Janitorial Start-up
7,500
0
Standby Generator (1) 0 0 20,000 0 0
Total for Capital Outlay -Equipment: 7,500 0 20,000 0 0
5650 Capital Project 6,140 0 0 0 0
Total for Capital Project: 6,140 0 0 0 0
TOTAL FOR CAPITAL OUTLAY:
0
•
21,640 5,000 25,850
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: GENERAL FUND (001)
>: INTEGRATED WASTE MGMT. (313)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5105
Mileage
5160
Membership Dues
5200
Operations & Maintenance
5300
Contract Services
5415
General Liability Charges
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
265,960
282,520
285,600
344,880
344,880
0
15,000
15,000
15,000
15,000
15,000
15,000
15,000
15,000
15,000
99,760
105,880
105,880
128,960
128,960
380,720
418,400
421,480
503,840
503,840
1,500
2,000
2,000
2,000
2,000
840
840
960
960
960
280
390
390
470
470
63,000
53,000
65,150
50,000
50.000
2,500
1,500
1,500
1,500
1,500
1,430
1,330
1,330
0
0
75,000
75,000
75,000
75,000
75.000
144,550
134,060
146,330
129,930
129,930
TOTAL FOR DIVISION 313: 525,270 552,460 567,810 633,770 633.770
109
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development FUND: 001
DIVISION: Integrated Waste Management COST CENTER: 313
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL • FULL TIME
Integrated Waste Coordinator
100%
100%
100%
100%
100%
City Manager
10%
10%
10%
10%
10%
Deputy City Manager
20%
20%
20%
20%
20%
City Engineer
25%
25%
25%
25%
25%
City Planner
10%
10%
10%
10%
10%
City Clerk
10%
10%
10%
10%
10%
Finance Officer
15%
15%
15%
15%
15%
Principal Planner
25%
25%
25%
25%
25%
Assistant To City Manager
35%
0%
0%
0%
0%
Sr. Administrative Secretary
75%
75%
75%
75%
75%
Deputy City Engineer
25%
25%
25%
25%
25%
Traffic Engineer
10%
10%
10%
10%
10%
Environmental Program Analyst
0%
100%
100%
100%
100%
5005
PERSONNEL -OVERTIME
Re: Hazardous Material Disposal
5010
PERSONNEL - PART TIME
Maintenance Tech
100%
110
100%
100%
100%
100%
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) _OPERATIONS & MAINTENANCE (5100) DETAIL
1W: INTEGRATED WASTE MGMT. (313)
5105 Mileage
a.-evm,o�rol.wuv�
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
960
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
2,000
APWA
100
100
100
CA Resource Recycling Assoc
1,000
1,000
1,000
1,000
1,000
Local Meetings
500
1,000
1,000
1,000
1,000
Total for Travel, Meetings & Training:
1,500
2,000
2,000
2,000
2,000
5105 Mileage
a.-evm,o�rol.wuv�
840
840
960
960
960
Total for Mileage:
840
840
960
960
960
5160 Membership Dues
1,000
1,000
2,000
2,000
2,000
APWA
100
100
100
180
180
CA Resource Recycling Assoc
80
20,000
33,150
18,000
18,000
SWANA
2,500
190
190
190
190
Recycling Bins -Resident Compst
100
100
100
100
100
Total for Membership Dues:
280
390
390
470
470
5200 Operations & Maintenance
Awards Business Recycling
20,000
10,000
10,000
10,000
10,000
Office Supplies
1,000
1,000
2,000
2,000
2,000
Printing & Postage
7,000
7,000
7,000
7,000
7,000
Promotionals/EnviroLeaming
20,000
20,000
33,150
18,000
18,000
Recycling Bins-Comm/Industrial
2,500
0
0
Recycling Bins -Resident Compst
2,500
5,000
5,000
0
5,000
0
5,000
Special Proj-Gmts/feachers
10,000
10,000
8,000
8,000
8,000
Total for Operations & Maintenance:
63,000
53,000
65,150
50,000
50,000
5300 Contract Services
Software Maint @ Learning Ctr
2,500
1,500
1,500
1,500
1,500
Total for Contract Services:
2,500
1,500
1,500
1,500
1,500
5415 General Liability Charges
1, 430
1,330
1,330
0
0
Total for General Liability Charges:
11430
1,330
1,330
0
0
5501 AdminJGeneral Overhead
75,000
75,000
75,000
75,000
75,000
Total for AdminJGeneral Overhead:
75,000
75,000
75,000
75,000
75,000
TOTAL FOR OPERATIONS & MAINTENANCE:
0
144,550 134,060 146,330 129,930 129,930
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GENERAL FUND (001)
*n: PLANNING (314)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5105
Mileage
5152
Computer Software
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
5281
Depreciation - Equipment
5283
Depreciation -Computer Equip
5300
Contract Services
5303
Contract Serv/Reimbursable
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
848,190
970,280
948,500
1,033,580
1,033,580
31,440
29,700
29,700
29,700
29,700
314,460
359,590
359,590
383,010
383,010
1,194,090
1,359,570
1,337,790
1,446,290
1,446,290
7,250
5,750
5,200
7,240
7,240
4,770
4,770
5,350
5,370
5,370
3,410
2,010
8,850
0
0
1,290
1,470
1,400
1,410
1,410
0
0
0
810
810
30,200
31,150
30,620
33,800
33,800
810
1,150
1,150
580
580
1,400
2,180
2,180
1,640
1,640
50,610
179,710
562,710
302,190
302,190
200,000
200,000
486,210
200,000
200,000
2,990
4,300
4,300
0
0
302,730
432,490
1,107,970
553,040
553,040
AMCAPITAL OUTLAY
602 Capital Outlay -Bldg Imprvments 0 0 4,500 0 0
5605 Capital Outlay -Computer Equip 5,200 0 9,700 0 0
TOTAL FOR CAPITAL OUTLAY: 5,200 0 14,200 0 0
TOTAL FOR DIVISION 314: 1,502,020 1,792,060 2,459,960 1,999,330 1,999,330
112
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Planning
FUND: 001
COST CENTER: 314
113
•
0
i
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
City Planner
80%
80%
80%
80%
80%
Principal Planner
75%
75%
75%
75%
75%
Principal Planner
80%
80%
80%
80%
80%
Associate Planner
490%
490%
490%
490%
490%
Senior Planner
100%
100%
100%
100%
100%
Assistant Planner
200%
200%
200%
200%
200%
Assistant Planner
100%
100%,
100%
100%
100%
Planning Technician
100%
100%
100%
100%
100%
Planning Technician
100%
100%
100%
100%
100%
P.C. Secretary
100%
100%
100%
100%
100%
Secretary
100%
100%
100%
100%
100%
Office Specialist 1
90%
90%
90%
90%
90%
Office Specialist II
190%
190%
190%
190%
190%
Office Specialist II
100%
100%
100%
100%
100%
ALSO SEE:
CDBG (Fund 2041
Associate Planner
100%
100%
100%
100%
100%
Associate Planner
10%
10%
10%
10%
10%
Planning Specialist
100%
100%
100%
100%
100%
City Planner
10%
10%
10%
10%
10%
Principal Planner
20%
20%
20%
20%
20%
Office Specialist 1
10%
10%
10%
10%
10%
Office Specialist II
10%
10%
10%
10%
10%
Integrated Waste Mgmt (1001-3131
City Planner
10%
10%
10%
10%
10%
Principal Planner
25%
25%
25%
25%
25%
Community Devel. (1001-301)
Office Specialist II
100%
100%
100%
100%
100%,
5010
PERSONNEL - PART TIME
Planning Aides
300%
300%
300%
300%
300%
113
•
0
i
If
GENERAL FUND (001)
n: PLANNING (314)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
5105 Mileage
Auto Allowance 4,200 4,200 4,800 4,800 4,800
Reimbursement 570 570 550 IM ;7n
Total for Mileage: 4,770 4,770 5,350 5,370 5,370
5152 Computer Software
Arc View Licenses
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0 0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
30
250
0 0
MS Client Access License
300
Arc View Users Training
1,500
0
0
0
0
Design Review Committee Mtgs
400
400
400
400
400
League of California Cities
800
800
800
800
800
League of Cities Planning Comm
1,010
1,010
1,100
1,010
1,010
Local Preservation Meeting
50
50
50
50
50
Rails To Trails
1,000
1,000
0
1,490
1,490
State APA Annual Meeting
1,340
1,340
1,700
1,340
1,340
State Preservation Meeting
1,150
1,150
1,150
1,150
1,150
Tidemark User Conference
0
0
0
1,000
1,000
Total for Travel, Meetings & Training:
7,250
5,750
5,200
7,240
7,240
5105 Mileage
Auto Allowance 4,200 4,200 4,800 4,800 4,800
Reimbursement 570 570 550 IM ;7n
Total for Mileage: 4,770 4,770 5,350 5,370 5,370
5152 Computer Software
Arc View Licenses
1,640
1,400
4,200
0 0
Chameleon NFS
690
0
1,040
0 0
Crystal Report Upgrade
0
0
270
0 0
E -Mail Client
40
30
250
0 0
MS Client Access License
300
170
150
0 0
MS Office 2000 Pro
540
300
2,140
0 0
Project 2000
0
0
240
0 0
Virus Checking Utility
200
110
560
0 0
Total for Computer Software:
3,410
2,010
8,850
0 0
5160 Membership Dues
APA Membership
1,230
1,410
1,360
1,350
1,350
Nat'l Trust For Historic Prsry
30
30
20
30
30
Rails To Trails
30
30
20
30
30
Total for Membership Dues:
1,290
1,470
1,400
1,410
1,410
5161 Publications & Subscriptions
APA
0
0
0
60
60
Subscriptions/Books
0
0
0
750
750
Total for Publications & Subscriptions:
0
0
0
810
810
5200 Operations & Maintenance
Advertising & Posting
8,000
8,000
10,590
11,400
11,400
Computer Paper & Supplies
1,000
1,000
1,000
1,000
1,000
Design Awards Prgrm & Supplies
1,500
1,500
0
1,500
1,500
Filing Cabinets (9)
1,800
0
0
0
0
Hist Presv/Planning Comm/CC
2,200
2,200
2,200
2,200
2,200
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (51001 DETAIL
Fund: GENERAL FUND (001)
Division: PLANNING (314)
0
5300 Contract Services
Aerial Photographs
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
Office Supplies
7,000
7,000
8,200
7,000
7,000
Photographic Supplies
1,500
1,500
1,500
1,500
1,500
Printing -General Plan
5,000
7,500
0
7,500
7,500
Printing-Notices,Postcards,etc
700
700
700
700
700
Printing -Zoning & Other Maps
1,000
1,000
1,000
1,000
1,000
Subscription/Books
500
750
750
0
0
Work Chairs
0
0
4,680
0
0
Total for Operations & Maintenance:
30,200
31,150
30,620
33,800
33,800
5281 Depreciation - Equipment
810
1,150
1,150
580
580
Total for Depreciation - Equipment:
810
1,150
1,150
580
580
5283 Depreciation -Computer Equip
1,400
2,180
2,180
1,640
1,640
Total for Depreciation -Computer Equip:
1,400
2,180
2,180
1,640
1,640
5300 Contract Services
Aerial Photographs
25,000
0
12,960
0
0
Contract Planning Service
0
110,000
116,660
110,000
110,000
Copier Maintenance
500
500
500
500
500
Environmental Rev Processing
0
50,000
99,040
150,000
150,000
GIS Mapping
0
0
50,000
0
0
General Plan Upgrade
0
0
219,260
0 .
0
Historic Landmark Sign Program
20,000
0
0
0
0
Historic Pres & Document Conv
0
0
18,000
0
0
LAFCO Fees
0
0
8,650
0
0
Mail Box Historic Monuments
0
0
11,110
0
0
Misc Grant Application Writing
0
0
0
15,000
15,000
Misc Studies (Seismic, Noise)
3,000
3,000
3,000
3,000
3,000
Office Equip Repair/Maint
500
500
500
500
500
Pac Elec Trail Grant Appl
0
0
0
0
0
Pager Service
210
80
140
200
200
Planning & HPC Minutes
1,400
1,400
1,300
1,400
1,400
SB Vly Multi -Species Habitat
0
14,230
21,590
21,590
21,590
Total for Contract Services:
50,610
179,710
562,710
302,190
302,190
5303 Contract Serv/Reimbursable
Various Arborist, Cultural,etc 200,000 200,000 486,210 200,000 200,000
Total for Contract Serv/Reimbursable: 200,000 200,000 486,210 200,000 200,000
5415 General Liability Charges 2,990 4,300 4,300 0 0
Total for General Liability Charges: 2,990 4,300 4,300 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 302,730 432,490 1,107,970 553,040 553,040 •
Fund: GENERAL FUND (001)
D*: PLANNING (314)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
Cabinet Upgrades Front Counter 0 0 1,500 0 0
Cabinetry for Computer Room 0 0 3,000 0 0
Total for Capital Outlay -Bldg Imprvments: 0 0 4,500 0 0
5605 Capital Outlay -Computer Equip
DeskJet Printers
0
0
3,990
0
0
Notebook Computers (2)
0
0
5,710
0
0
PC (Standard) w/Monitor
5,200
0
0
0
0
Total for Capital Outlay -Computer Equip:
5,200
0
9,700
0
0
TOTAL FOR CAPITAL OUTLAY:
0
5,200
116
14,200
F nd: GENERAL FUND (001)
1 : PLANNING COMMISSION (315)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5200 Operations & Maintenance
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
TOTAL FOR DIVISION 315:
10,800
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
110
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
10,410
11,100
11,100
17,250
17,250
5000 Regular Salaries
6,040
6,040
6,040
6,040
6,040
TOTAL FOR PERSONNEL SERVICES:
6,040
6,040
6,040
6,040
6,040
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5200 Operations & Maintenance
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
TOTAL FOR DIVISION 315:
10,800
10,800
10,000
10,800
10,800
300
300
300
300
300
110
110
110
0
0
11,210
11,210
10,410
11,100
11,100
17,250
17,250
16,450
17,140
17,140
11/
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Dev./Planning
DIVISION: Planning Commission
FUND: 001
COST CENTER: 315
OBJECT
5000
#
PERSONNEL - FULL TIME
FY 2000/01
Fiscal Year
2001/02
Adopted
Budget
Dept.
Request
Mgr.
Rcmds.
Adopted
Budget
Auth.
Funded
Commissioners
500%
500%
500%
500%
500%
118
i
0
i
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (51001 DETAIL
Fund: GENERAL FUND (001)
*n: PLANNING COMMISSION (315)
5200 Operations & Maintenance
Misc Supplies & Printing 300 300 300 300 300
Total for Operations & Maintenance: 300 300 300 300 300
541.5 General Liability Charges 110 110 110 0 0
Total for General Liability Charges: 110 110 110 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
r1
L J
E
11,210 11,210 10,410 11,100 11,100
119
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
CA Preservation Foundation Mtg
3,450
3,450
2,100
3,450
3,450
League Of CA Cities Planners
3,230
3,230
3,330
3,230
3,230
Pre -Agenda & Misc Meetings
100
100
100
100
100
State APA
4,020
4,020
4,470
4,020
4,020
Total for Travel, Meetings & Training:
10,800
10,800
10,000
10,800
10,800
5200 Operations & Maintenance
Misc Supplies & Printing 300 300 300 300 300
Total for Operations & Maintenance: 300 300 300 300 300
541.5 General Liability Charges 110 110 110 0 0
Total for General Liability Charges: 110 110 110 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
r1
L J
E
11,210 11,210 10,410 11,100 11,100
119
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: GENERAL FUND (001)
n: STREET AND PARK MAINT. (316)
1999/2000
Fiscal Year
2000/01
Fiscal Year
2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5152
Computer Software
5160
Membership Dues
5200
Operations & Maintenance
5250
Vehicle Operations & Maint.
5251
Depreciation - Vehicles
5252
Emergency & Routine Veh Rent
5280
Equip Operations & Maint
5281
Depreciation - Equipment
5300
Contract Services
5320
Hazardous Waste Removal
5400
Telephone Utilities
0402
Water Utilities
403
Electric Utilities
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5600 Capital Outlay -Land
5602 Capital Outlay -Bldg Imprvments
5603 Capital Outlay -Equipment
5604 Capital Outlay -Vehicles
833,840
973,330
973,330
1,047,130
1,047,130
30,000
100,000
100,000
100,000
100,000
76,000
76,000
76,000
76,000
76,000
315,360
366,970
366,970
394,280
394,280
1,255,200
1,516,300
1,516,300
1,617,410
1,617,410
2,950
2,950
2,950
5,350
5,350
0
0
8,900
0
0
10,330
10,450
10,450
11250
11,250
469,430
514,700
542,370
542,870
542,870
0
0
1,850
0
0
89,050
165,700
165,700
82,850
82,850
13,000
16,500
16,500
16,500
16,500
18,500
18,000
31,070
18,000
18,000
18,550
40,610
40,610
20,290
20,290
1,037,280
1,108,580
1,252,340
1,183,680
1,183,680
22,800
22,770
24,820
22,770
22,770
2,600
2,730
2,730
2,730
2,730
97,000
101,850
101,850
104,400
104,400
18,000
18,900
18,900
20,790
20,790
17,990
20,240
20,240
0
0
1,817,480
2,043,980
2,241,280
2,031,480
2,031,480
0
0
557,500
0
0
0
22,000
96,500
0
0
10,000
7,000
13,430
48,000
48,000
11,850
0
10,450
0
0
5605 Capital Outlay -Computer Equip
0
0
170
0
0
5650 Capital Project
31,000
147,000
147,000
0
0
TOTAL FOR CAPITAL OUTLAY:
52,850
176,000
825,050
48,000
48,000
TOTAL FOR DIVISION 316: 3,125,530 3,736,280 4,582,630 3,696,890 3,696,890
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Maintenance -Public Works
FUND: 001
COST CENTER: 316
121
s
0
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Public Works Manager
80%
80%
80%
80%
80%
Parks/Landscape Maint. Supt.
20%
20%
20%
20%
20%
Streets/Storm Drain Maint. Supt.
70%
70%
70%
70%
70%
Secretary
100%
100%
100%
100%
100%
Office Specialist II
100%
100%
100%
100%
100%
Maint. Supr. (Parks - Cont.)
10%
10%
10%
10%
10%
Maint. Supr. (Parks - Trees)
100%
100%
100%
100%
100%
Maint. Supr. (Parks - West)
65%
65%
65%
65%
65%
Maint. Supr. (Streets)
55%
55%
55%
55%
550/,
Sr. Maint. Worker (Civic Center)
100%
100%
100%
100%
100%
Sr. Maint. Worker (Irr. - East)
100%
100%
100%
100%
100%
Sr. Maint. Worker (Irr. - West)
100%
100%
100%
100%
100%
Maintenance Coordinator (Facilities)
65%
65%
65%
65%
65%
Lead Maint. Worker (Streets)
45%
45%
45%
45%
45%
Lead Maint. Worker (Streets)
90%
90%
90%
90%
90%
Lead Maint. Worker (Streets)
10%
10%
10%
10%
10%
Maintenance Coordinator
55%
55%
55%
55%
550/c
Maint. Worker (Fac. -Citywide)
65%
65%
65%
65%
65076
Maint. Worker (Facilities -Parks)
65%
65%
65%
65%
65%
Maint. Worker (Irr.-West)
100%
100%
100%
100%
100%
Maint. Worker
100%
100%
100%
100%
100%
Maint. Worker (Parks - West)
100%
100%
100%
100%
100%
Maint. Worker (Parks - West)
70%
70%
70%
70%
70%
Maint. Worker (Streets)
90%
90%
90%
90%
90%
Maint. Worker (Streets)
10%
10%
10%
10%
10%
Maint. Worker (Streets)
30%
30%
30%
30%
30%
Maint. Worker (Streets)
10%
10%
10%
10%
10%
Maint. Worker (Streets)
10%
10%
10%
10%
10%
Maint. Worker (Streets)
80%
80%
80%
80%
80%
Maint. Worker
40%
40%
40%
40%
40%
PAGE 1 OF 2
121
s
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Maintenance - Public Works
FUND: 001
COST CENTER: 316
OBJECT
#
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
Auth. Funded
Budget
Request
Budget
5000
PERSONNEL - FULL TIME
Maint. Worker
10%
10%
10% 10%
10%
Maint. Worker (Trees)
65%
65%
65% 65%
65%
Maint. Worker (Trees)
40%
40%
40% 40%
40%
Inventory Spec. Equip. Materials
40%
0%
0% 0%
0%
Maint. Supr. (Parks - East)
10%
10%
10% 10%
10%
Engineering Aide
100%
100%
100% 100%
100%
Maintenance Worker (Parks Contract Support)
15%
15%
15% 15%
15%
Maintenance Worker
10%
10%
10% 10%
10%
Maintenance Worker
10%
10%
10% 10%
10%
Sr. Maint. Worker
10%
10%
10% 10%
10%
Sr. Maint. Worker
55%
55%
55% 55%
55%
Management Analyst II
20%
20%
20% 20%
20%
Associate Engineer
20%
20%
20% 20%
20%
Public Works Safety & Inventory Coordinator
0%
40%
40% 40%
40%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Seasonal Maint. Tech. (Citywide)
2300%
2300%
2300% 2300%
2300%
PAGE 2 OF 2
122
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE 151001 DETAIL
Division: STREET AND PARK MAINT. (316)
�1
L_ A
5152 Computer Software
veru meet Maint Sweeping Softw 0 0 8,900 0 0
Total for Computer Software: 0 0 8,900 0 0
5160 Membership Dues
CA Agric & Pesticide Assoc's
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
700
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
1.500
Forklift Certification
500
500
500
Irrigation Training
0
1,200
1,200
1,200
1,200
JD Equipment Operator Training
0
0
0
2,400
2,400
Maint Supt's Assoc Annual Mtgs
800
800
800
800
800
Maint Supt's Assoc Meetings
600
600
600
600
600
Nat'l Playground Safety Inti
1,250
0
0
0
20
Traffic Control Supry Assoc
300
350
350
350
0
350
Total for Travel, Meetings & Training:
2,950
2,950
2,950
5,350
5,350
5152 Computer Software
veru meet Maint Sweeping Softw 0 0 8,900 0 0
Total for Computer Software: 0 0 8,900 0 0
5160 Membership Dues
CA Agric & Pesticide Assoc's
650
700
700
700
700
Certified Applicators License
700
700
700
700
700
Class "A" Drvrs Lic,Tmg,Test
1,500
1,500
1,500
1,500
1.500
Forklift Certification
500
500
500
500
500
Int'I Signal Maint Assoc
150
150
150
150
150
Int'I Society Of Arboriculture
700
700
700
1,000
1.000
Irrigation Association
100
100
100
100
100
Maint Superintendent Assoc
200
200
200
200
200
National Arbor Day Foundation
10
20
20
20
20
Prof Grounds Mgmt Society
150
150
150
150
150
SB County Dept Of Agriculture
30
80
80
80
80
Sports Turf Managers Assoc
80
90
90
90
90
State Mandated Dig/Alert USA
4,300
4,300
4,300
4,800
4.800
Street Tree Seminar Assoc
300
300
300
300
VX)
Traffic Control Certification
750
750
750
750
150
Traffic Control Suprvsrs Assoc
150
150
150
150
150
Traffic Signal Association
60
60
60
60
t.(t
Total for Membership Dues:
10,330
10,450
10,450
11,250
I I .:50
5200 Operations & Maintenance
Blueprint Machine Supplies
1,500
0
0
500
500
DMV Fees: Class "A" Drvrs Lics
1,000
1,000
1,000
1,000
1.000
General Film Processing
1,500
0
0
0
0
General Office Supplies
7,500
0
0
0
0
Materials & Uniforms: Civic Ct
10,000
10,000
10,000
10,590
10.590
Materials & Uniforms: Parks
16,000
18,500
18,500
19,600
19.600
Materials & Uniforms: Pkwy/Med
13,700
12,200
12,200
12,920
12,920
Materials & Uniforms: Streets
360,000
408,000
435,670
432,220
432,220
Materials & Uniform: Trees
15,700
17,500
17,500
18,540
18,540
OSHA Crew Safety Training
6,030
6,000
6,000
6,000
6,000
State Req Training -Pesticide
6,500
6,500
6,500
6,500
6,500
Warehouse Stock
30,000
35,000
35,000
35,000
35,000
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: GENERAL FUND (001)
: STREET AND PARK MAINT. (316)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Total for Operations & Maintenance: 469,430 514,700 542,370 542,870 542,870
5250 Vehicle Operations & Maint. 0 0 1,850 0 0
Total for Vehicle Operations & Maint.: 0 0 1,850 0 0
5251 Depreciation - Vehicles 89,050 165,700 165,700 82,850 82,850
Total for Depreciation - Vehicles: 89,050 165,700 165,700 82,850 82,850
5252 Emergency & Routine Veh Rent
Landscape
3,000
4,000
4,000
4,000
4,000
Maintenance Streets
10,000
12,500
12,500
12,500
12,500
Total for Emergency & Routine Veh Rent:
13,000
16,500
16,500
16,500
16,500
5280 Equip Operations & Maint 18,500 18,000 31,070 18,000 18,000
Total for Equip Operations & Maint: 18,500 18,000 31,070 18,000 18,000
5281 Depreciation - Equipment 18,550 40,610 40,610 20,290 20,290
Total for Depreciation - Equipment: 18,550 40,610 40,610 20,290 20,290
Contract Services
wry r ara Lanascape contract
7,300
7,500
7,500
7,700
7,700
Concrete Contract
162,000
200,000
343,760
240,000
240,000
County Parkway Weed Abatement
15,000
21,700
21,700
21,700
21,700
Electrical Safety Upgrades/Irr
13,600
0
0
0
0
Field Maint Agrmt-Etwda&Centrl
7,500
7,500
7,500
7,500
7,500
Gen'I City Landscape Contract
350,180
367,300
367,300
367,300
367,300
Gen'l Consultants-Survey,Soils
5,400
5,400
5,400
5,400
5,400
Landscape Plant Material Repl
5,000
5,000
5,000
5,000
5,000
Lions Park Landscape Contract
17,800
18,300
18,300
18,850
18,850
Office Equipment Service
3,000
3,000
3,000
3,000
3,000
Plumbing, Electrical,Unif Rent
19,000
18,000
18,000
25,000
25,000
Radio Equipment Maintenance
19,600
19,680
19,680
21,030
21,030
Repeater Station Rental
200
200
200
200
200
Routine/Emergency Street Reprs
97,500
105,000
105,000
105,000
105,000
SPRR R/W Clean/Maint-Rev Suppt
58,000
25,000
25,000
25,000
25,000
Safety Training Prog:Fed & St
40,000
30,000
30,000
30,000
30,000
Security System Maint-Cardkey
0
10,000
10,000
10,000
10,000
Security/Alarm Monitoring
0
11,000
11,000
11,000
11,000
Sports Light Maint & Equipment
0
30,000
30,000
30,000
30,000
Transfer Site Rent (State ROW)
7,200
10,000
10,000
0
0
Tree Maintenance Contract
209,000
214,000
214,000
250,000
250,000
Total for Contract Services:
1,037,280
1,108,580
1,252,340
1,183,680
1,183,680
Hazardous Waste Removal
EPA ID Verification Manifest 900 700 700 700 700
Hazardous Waste Gen Fee 600 150 150 150 150
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001)
OPERATIONS & MAINTENANCE (5100) DETAIL Division: STREET AND PARK MAINT. (316) .
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Hazardous Waste Hauling
20,000
20,000
22,050
20,000
20,000
SB Cnty Fire Hazardous Div Fee
200
820
820
820
820
Service Station Gasoline Fee
550
550
550
550
550
Underground Storage Tanks Fees
550
550
550
550
550
Total for Hazardous Waste Removal:
22,800
22,770
24,820
22,770
22,770
5400 Telephone Utilities
2,600
2.730
2,730
2,730
2,730
Total for Telephone Utilities:
2,600
2,730
2,730
2,730
2,730
5402 Water Utilities
97,000
101,850
101,850
104,400
104,400
Total for Water Utilities:
97,000
101,850
101,850
104,400
104,400
5403 Electric Utilities
18,000
18,900
18,900
20,790
20,790
Total for Electric Utilities:
18,000
18,900
18,900
20,790
20,790
_5415 General Liability Charges
17,990
20,240
20,240
0
0
Total for General Liability Charges:
17,990
20,240
20,240
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
1,817,480 2,043,980 2,241,280 2,031,480 2,031480
0
Fund: GENERAL FUND (001)
*n: STREET AND PARK MAINT. (316)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
(I)Fd131=40%
12) Fds 130, 131, 133, 134 = 20% ea
Total for Capital Outlay -Equipment:
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Adopted
0
0
0
0
F-250 Pick -Up -25% 11)
Street Sweeper
Vibratory Compactor -Pmt 5 of 5
6,800
0
5,050
Rcmd
Budget
5600 Capital Outlay -Land
0
0
0
11) Fds 40,41&46=25% Each
Land for Corporate Yard Expan
0
0
557,500
0
0
Total for Capital Outlay -Land:
0
0
557,500
0
0
5602 Capital Outlay -Bldg Imprvments
9th St Yard Mezzanine Imprvmts
0
22,000
29,000
0
CNG Planning
0
0
67,500
0
0
0
Total for Capital Outlay -Bldg Imprvments:
0
22,000
96,500
0
0
5603 Capital On Uy -Equipment
4 -Wheel Gator w/Graffiti Unit
0
0
0
28,500
28,500
Chipper Mulcher- 60% ( 1 )
0
7,000
7,000
0
0
Misc. Small Hand Tool(Concrete
0
0
0
Push Blower (Asphalt Crew)
0
0
600
0
0
0
Safety Equipment
10,000
0
630
0
0
0
Skid Sprayer, Reel & Hose
0
0
3,650
0
0
Trailer for Gator(Graffitti)
0
0
0
7,000
7,000
Trailer -Mounted Arrow Boards
0
0
0
10,500
10,500
.Trash Pump Asphalt Crew
0
0
0
. 2,000
2,000
Trimmer & Blower City Hall
0
0
950
0
0
Vicon Spreader(20%)(2)
0
0
600
0
0
(I)Fd131=40%
12) Fds 130, 131, 133, 134 = 20% ea
Total for Capital Outlay -Equipment:
10,000
7,000
13,430
48,000
48,000
5604 Capital Outlay -Vehicles
0
0
0
0
170
170
0
0
0
0
F-250 Pick -Up -25% 11)
Street Sweeper
Vibratory Compactor -Pmt 5 of 5
6,800
0
5,050
0
0
0
6,300
4,150
0
0
0
0
0
0
0
11) Fds 40,41&46=25% Each
Total for Capital Outlay -Vehicles:
11,850
0
10,450
0
0
5605 Capital Outlay -Computer Equip
Total for Capital Outlay -Computer Equip:
0
0
0
0
170
170
0
0
0
0
5650 Capital Project
Total for Capital Project:
31,000
31,000
147,000
147,000
147,000
147,000
0
0
0
0
TOTAL FOR CAPITAL OUTLAY: 52,850 176,000 825,050 48,000 48,000
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: GENERAL FUND (001)
VEHICLE AND EQUIP. MAINT. (317)
1999/2000
Fiscal Year
2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object/Description Budget
Budget
Actual
Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5200
Operations & Maintenance
5250
Vehicle Operations & Maint.
5251
Depreciation - Vehicles
5255
Gasoline
5256
Diesel Fuel
5280
Equip Operations & Maint
5281
Depreciation - Equipment
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
186,370
199,590
158,340
221,700
221,700
8,000
8,000
8,000
8,000
8,000
0
41,600
41,600
41,600
41,600
68,960
74,680
74,680
82,860
82,860
263,330
323,870
282,620
354,160
354,160
1,750
2,050
2,050
2,050
2,050
65,930
66,400
70,140
66,400
66,400
122,300
122,300
146,460
122,300
122,300
101,450
154,670
154,670
77,330
77,330
130,000
160,000
160,000
82,000
82,000
0
0
0
87,000
87,000
6,500
6,500
9,900
6,500
6,500
13,170
22,140
22,140
11,060
11,060
60,000
60,000
79,730
75,000
75,000
5,010
5,940
5,940
0
0
506,110
600,000
651,030
529,640
529,640
AAPITAL OUTLAY
03 Capital Outlay -Equipment 14,050 0 8,450 0 0
5605 Capital Outlay -Computer Equip 0 0 15,480 0 0
TOTAL FOR CAPITAL OUTLAY: 14,050 0 23,930 0 0
TOTAL FOR DIVISION 317: 783,490 923,870 957,580 883,800 883,800
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Maint. - Vehicle & Equipment
FUND: 001
COST CENTER: 317
128
10
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Mechanic
100%
0%
0%
0%
0%
Mechanic
100%
100%
100%
100%
100%
Mechanic
100%
100%
100%
100%
100%
Mechanic
100%
100%
100%
100%
100%
Inventory Spec. Equip. Materials
60%
0%
0%
0%
0%
Fleet Supervisor
0%
100%
100%
100%
100%
Public Works Safety & Inventory Coordinator
0%
60%
60%
60%
60%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Seasonal Maintenance Workers (Fleet)
200%
200%
200%
200%
200%
128
10
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
D: VEHICLE AND EQUIP. MAINE. (317)
Object Object Description
5100 Travel, Meetings & Training
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Budget
Adopted Estimated
Budget Actual
Manager Adopted
Rcmd Budget
ASE Certification Training
State Req Modular Comp Analyzr
Stete Fleet Maint Meeting
Total for Travel, Meetings & Training:
400
400
950
1,750
700
400
950
2,050
700
400
950
2,050
700
400
950
2,050
700
400
950
2,050
5200 Operations & Maintenance
Alarm System For Shop Truck
All Data Reader Updates
All Data -Computer Shop Manual
Compartment Lighting Rd Trk
Fractional Drill Bit Set
Gas Boy Update (Y2K)
Mt 1 S
650
0
0
'00
45,000
650
0
0
0
0
500
1,400
1,400
1,400
1,400
450
0
0
0
0
380
0
0
0
0
2,000
0
n
n
..
a ena s, olvents & Uniforms
40,000
45,000
48,740
45,000
45,000
Too] Storage Drawers
3,300
0
0
21,330
21,330
Warehouse Stock
18,000
20,000
20,000
0
20,000
0
20,000
Total for Operations & Maintenance:
65,930
66,400
70,140
66,400
66,400
Vehicle Operations & Maint.
Fleet Maintenance
Total for Vehicle Operations & Maint.: 122,300 122,300 146,460 122,300 122,300
5251 Depreciation - Vehicles
Depreciation
Depreciation-NPDES
62,160
112,000
112,000
56,000
56,000
5256 Diesel Fuel
Total for Diesel Fuel:
39,290
42,670
42,670
21,330
21,330
Total for Depreciation - Vehicles:
101,450
154,670
154,670
77,330
77,330
5255 Gasoline
Gasoline, Diesel & Lubricants
Total for Gasoline:
130,000
130,000
160,000
160,000
160,000
160,000
82,000
82,000
82,000
82,000
5256 Diesel Fuel
Total for Diesel Fuel:
0
0
0
0
0
0
87 000
87,000
87,000
87,000
5280 Equip Operations & Maint
Total for Equip Operations &Maim
6,500
6,500
6,500
6,500
9,900
9,900
6,500
6,500
6 500
6,500
5281 Depreciation - Equipment
Depreciation
Depreciation-NPDES
Total for Depreciation - Equipment:
3,010
10,160
13,170
6,230
15,910
22,140
6,230
15,910
22,140
3,110
7,950
11,060
3,110
7,950
11,060
I Contract Services
oU,000 60,000 79,730 75,000 75,000
129
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: VEHICLE AND EQUIP. MAINT. (317)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd. Budget
Total for Contract Services: 60,000 60,000 79,730 75,000 75,000
5415 General Liability Charges 5,010 5,940 5,940 0 0
Total for General Liability Charges: 5,010 5,940 5,940 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 506,110 600,000 651,030 529,640 529,640
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
GENERAL FUND (001) CAPITAL OUTLAY
(5600) DETAIL
�d:
n: VEHICLE AND EQUIP. MAINT. (317)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Ohject Object Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager Adopted
Rcmd
Budget
5603 Capital Outlay -Equipment
5 -Spectra 800 Mhz RadiosfVehcl
13,000
0
0
Axle Grease Container For Shop
1,050
0
0
0
0
Scanner for Fleet
0
0
8,450
0
0
0
0
Total for Capital Outlay -Equipment:
14,050
0
8,450
0
0
5605 Capital Outlay -Computer Equip
Bar Code Readers (3)
0
0
8,550
0
0
Bar Code Thermal Printer
0
0
2,600
0
0
Computer for Fleet
0
0
4,330
0
0
Total for Capital Outlay -Computer Equip:
0
0
15,480
0
0
TOTAL FOR CAPITAL OUTLAY:
14,050 0 23,930 0 0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: GENERAL FUND (001)
> : COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
804,980
909,150
909,150
1,024,820
1,024,820
5005
Overtime Salaries
0
0
0
5,000
5,000
5010
Part Time Salaries
266,800
329,810
307,770
313,540
313,540
5030
Fringe Benefits
306,810
350,770
350,770
392,870
392,870
5161
TOTAL FOR PERSONNEL SERVICES:
1,378,590
1,589,730
1,567,690
1,736,230
1,736,230
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
7,760
10,550
10,500
13,990
13,990
5105
Mileage
6,000
6,110
6,860
7,300
7,300
5152
Computer Software
0
0
3,180
0
0
5160
Membership Dues
2,960
3,660
3,710
3,960
3,960
5161
Publications & Subscriptions
0
0
0
1,800
1,800
5200
Operations & Maintenance
155,540
159,160
165,900
171,060
171,060
5205
O & M/Reimbursable
45,750
46,150
0
0
0
5251
Depreciation - Vehicles
0
4,190
4,190
2,090
2,090
5281
Depreciation - Equipment
4,170
4,440
4,440
2,220
2,220
5300
Contract Services
182,910
167,860
239,490
227,980
227,980
5303
Contract Serv/Reimbursable
0
0
42,500
39,000
39,000
5415
General Liability Charges
4,050
4,020
4,020
0
0
*L FOR OPERATIONS & MAINTENANCE:
409,140
406,140
484,790
469,400
469,400
CAPITAL OUTLAY
5603
Capital Outlay -Equipment
9,500
0
5,500
0 "
0
5604
CapitalOutlay-Vehicles
0
16,000
50,000
0
0
5605
Capital Outlay -Computer Equip
0
0
10,140
0
0
TOTAL FOR CAPITAL OUTLAY:
9,500
16,000
65,640
0
0
TOTAL FOR DIVISION 401:
1,797,230
2,011,870
2,118,120
2,205,630
2,205,630
132
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Services
DIVISION: Administration
FUND: 001
COST CENTER: 401
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
FundedBudget
Budget
Request
5000
PERSONNEL - FULL TIME
Community Services Director
100%
100%
100%
100%
100%
Recreation Superintendent
100%
100%
100%
100%
100%
Management Analyst II
1000/0
0%
0%
0%
0%
Management Analyst III
0%
100%
100%
100%
100%
Community Services Technician
200%
200%
200%
200%
200%
Administrative Secretary
100%
100%
100%
100%
100%
Recreation Supervisor
400%
400%
400%
400%
400%
Recreation Coordinator
100%
100%
100%
100%
100%
Recreation Coordinator
100%
100%
100%
100%
100%
Rec Coordinator (Spec. Evnts & Fundraising)
50%
50%
50%
50%
50%
Recreation Coordinator (Lion's East)
100%
100%
100%
100%
100%
Office Specialist II
200%
300%
300%
300%
300%
Recreation Coordinator (Teens)
50%
50%
50%
50%
50%
Community Services Marketing Manager
100%
100%
100%
100%
100%
Recreation Coordinator
0%
200%
100%
100%
100%
ALSO SEE:
Recreation Fund (1250401
Recreation Coordinator
50%
50%
50%
50%
50%
Recreation Coordinator
50%
75%
75%
75%
75%
Office Specialist II
50%
50%
50%
50%
50%
Office Specialist 11 (Registration)
100%
50%
100%
100%
100%
Recreation Coordinator (Teens)
50%
50%
50%
50%
50%
Recreation Coordinator
200%
200%
200%
200%
200%
Sports Complex (1700201)
Recreation Coordinator
100%
100%
100%
100%
100%
Recreation Coordinator
50%
25%
25%
25%
25%
Office Specialist 11
50%
50%
50%
50%
50%
5005
PERSONNEL -OVERTIME
5010
PERSONNEL - PART TIME
P/T Recreation Staff (PERS Eligible)
600%
800%
800%
800%
800%
P/T Recreation Staff
3700%
3700%
3700%
3700%
3700%
133
s
0
Auto Allowance 4,200
CITY OF RANCHO CUCAMONGA
4,800
4,800
4,800
Local Mileage 1,800
FISCAL YEAR 2001/02 BUDGET
2,060
2,500
2,500
OPERATIONS & MAINTENANCE (5100) DETAIL
6,110
6,860
Fund: GENERAL FUND (001)
7,300
930
0
0
Quark Desktop Publishing
*n: COMMUNITY SRVCS-ADMINISTRATION (401)
0
1,800
0
0
Virus Checking Utility (4)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
0
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
So CA Municipal Athletic Fed
150
180
180
CA Parks & Recreation Society
300
2,040
1,520
2,100
2,100
Congress Nat'l Rec & Parks
3,480
2,810
520
2,840
2,840
Film Commission
0
0
0
0
0
General Meetings
1,000
1,800
5,530
500
2,500
500
2,500
IAAM Assembly Mgrs Meeting
0
1,200
1,400
750
750
League Of CA Cities/CS Divsn
1,090
1,200
0
1,090
1,090
League Of California Cities
800
300
0
1,110
1,110
Revenue School
0
0
0
1,300
1,300
Western Arts Alliance
1,090
1,200
1,530
1,800
1,800
Total for Travel, Meetings & Training: 7,760
10,550
10,500
13,990
13,990
5105 Mileaee
23,950
0
23,950
Senior Programs
17,240
14,460
Auto Allowance 4,200
4,200
4,800
4,800
4,800
Local Mileage 1,800
1,910
2,060
2,500
2,500
Total for Mileage: 6,000
6,110
6,860
7,300
7,300
5152 Computer Software
Exchange Client Access Lic (4)
0
0
120
0
0
NT 4.0 Client Access Lic (4)
0
0
90
0
0
Office 2001 Professional(4)
0
0
930
0
0
Quark Desktop Publishing
0
0
1,800
0
0
Virus Checking Utility (4)
0
0
240
0
0
Total for Computer Software:
0
0
3,180
0
0
5160 Membership Dues
Am. Marketing Assoc.
0
0
0
50
CA Parks & Recreation Society
600
1,100
1,150
1,120
50
1,120
IAAM
0
600
600
600
600
Misc Dues To Prof Organization
1,640
760
760
760
760
Nat'l Parks & Recreation Assoc
400
0
0
Performing Art Association
0
850
850
0
850
0
So CA Municipal Athletic Fed
150
180
180
180
850
Western Art Alliance
170
170
170
400
180
400
Total for Membership Dues:
2,960
3,660
3,710
3,960
3,960
5161 Publications & Subscriptions
0
0
0
1,800
1,8
Total for Publications & Subscriptions:
0
0
0
-
1,800
1,800
5200 Operations & Maintenance
CSD Administration
72,800
92,430
87,690
96,010
96,010
Cultural/Performing Arts
120
0
0
0
Events Programs
35,030
24,370
26,480
23,950
0
23,950
Senior Programs
17,240
14,460
14,400
18,280
18,280
Sports Programs
2,000
2,000
2,000
2,000
2,000
Youth Programs
28,350
25,900
35,330
30,820
3n xI)n
1.34
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: COMMUNITY SRVCS-ADMINISTRATION
(401)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
Total for Operations & Maintenance:
155,540
159,160
165,900
171,060
171,060
5205 O & M/Reimbursable
Comm Programs/Contributions
45,750
46,150
0
0
0
Total for O & M/Reimbursable:
45,750
46,150
0
0
0
5251 Depreciation - Vehicles
0
4,190
4,190
2,090
2,090
Total for Depreciation - Vehicles:
0
4,190
4,190
2,090
2,090
5281 Depreciation - Equipment
4,170
4,440
4,440
2,220
2,220
Total for Depreciation - Equipment:
4,170
4,440
4,440
2,220
2,220
5300 Contract Services
CSD Administration
125,920
84,050
134,990
141,030
141,030
Events Programs
56,990
68,960
61,950
77,080
77,080
Farmers Market Organizing Plan
0
0
30,000
0
0
Youth Programs
0
14,850
12,550
9,870
9,870
Total for Contract Services:
182,910
167,860
239,490
227,980
227,980
5303 Contract Serv/Reimbursable
Performing Arts Feasib. Study
0
0
42,500
39,000
39,000
Total for Contract Serv/Reimbursable:
0
0
42,500
39,000
39,000
5415 General Liability Charges
4,050
4,020
4,020
0
0
Total for General Liability Charges:
4,050
4,020
4,020
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
409,140
406,140
484,790
469,400
469,400
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001)
0
0
870
0
0
Dw: COMMUNITY SRVCS-ADMINISTRATION (401)
0
0
0
0
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
3,090
0
Adopted
Adopted
Estimated
Manager Adopted
3,090
Object Obiect Description
Budget
Budget
Actual
Rcmd Budget
0
5603 Capital Outlay -Equipment
0
Standard PC -Registration
0
0
3,090
Campershell
0
0
1,000
0
0
Centralized Filing System
0
0
2,400
0
0
Helium Tank Lion's West
1,000
0
0
0
0
Laminator
0
0
1,500
0
0
P A System
0
0
600
0
0
Teen Center East Equipment
,500
0
0
0
0
Total for Capital Outlay -Equipment:
.8
9,500
0
5,500
0
0
5604 CapitalOutlay-Vehicles
18 -Foot Trailer
0
16,000
20,000
0
0
F-250 Truck -Mobile Rec Prog
0
0
30,000
0
0
Total for Capital Outlay -Vehicles:
0
16,000
50,000
0
0
5605 Capital Outlay -Computer Equip
Digital Camera (CSD -Civic Ctr)
0
0
870
0
0
HP LaserJet 4050 TN -Senior Ctr
0
0
0
0
0
Standard PC -Human Services
0
0
3,090
0
0
Standard PC -Lions East
0
0
3,090
0
0
Standard PC-Rec Coord
0
0
0
0
0
Standard PC -Registration
0
0
3,090
0
0
Total for Capital Outlay -Computer Equip:
0
0
10,140
0
0
TOTAL FOR CAPITAL OUTLAY: 9,500 16,000 65,640 0 0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: GENERAL FUND (001)
n: PARK AND RECREATION COMMISSION (420)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5,030
4,650
3,590
5,090
5,090
5160 Membership Dues
450
650
1,040
1,040
1,040
5200 Operations & Maintenance
350
350
550
350
350
5415 General Liability Charges
60
60
60
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
5,890
5,710
5,240
6,480
6,480
TOTAL FOR DIVISION 420:
6,480
5,890
5,710
5,240
6,480
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
Division: PARK AND RECREATION COMMISSION (420)
0
5415 General Liability Charges 60 60 60 0 0
Total for General Liability Charges: 60 60 60 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 5,890 5,710 5,240 6,480 6,48-0-0
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
CPRS Annual Meeting
1,400
2,040
2,040
2,100
2,100
Miscellaneous
150
150
150
150
150
NRPA
3,480
2,460
1,400
2,840
2,840
Total for Travel, Meetings & Training:
5,030
4,650
3,590
5,090
5,090
5160 Membership Dues
CA Parks & Recreation Assoc
200
200
590
590
590
NRPA
250
450
450
450
450
Total for Membership Dues:
450
650
1,040
1,040
1,040
5200 Operations & Maintenance
Legal Advertising
200
200
200
200
200
Publications
150
150
350
150
150
Total for Operations & Maintenance:
350
350
550
350
350
5415 General Liability Charges 60 60 60 0 0
Total for General Liability Charges: 60 60 60 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 5,890 5,710 5,240 6,480 6,48-0-0
0
nd: GENERAL FUND (001)
n: FIRE ADMINISTRATION (501)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
TOTAL FOR DIVISION 501:
0
137,960 147,610 61,140 0 0
139
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Obiect/Description
Adopted
Adopted
Estimated
Manager Adopted
Budget
Budget
Actual
Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
100,630
107,450
44,380
0
0
5005 Overtime Salaries
0
300
360
0
0
5030 Fringe Benefits
37,230
39,760
16,400
0
0
TOTAL FOR PERSONNEL SERVICES:
137,860
147,510
61,140
0
0
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
100
100
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
100
0
100
0
0
0
TOTAL FOR DIVISION 501:
0
137,960 147,610 61,140 0 0
139
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Fire District - Finance
FUND: 001
COST CENTER: 501
140
0
0
s
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL -FULL TIME
Personnel Clerk
50%
0%
0%
0%
0%
Accountant
100%
0%
0%
0%
0%
Senior Accountant
0%
0%
0%
0%
0%
Board Members
500%
0%
0%
0%
0%
Account Clerk
100%
0%
0%
0%
0%
ALSO SEE:
Personnel (001-2101
Personnel Clerk
50%
0%
0%
0%
0%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
140
0
0
s
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
4 d: GENERAL FUND (001)
OPERATIONS & MAINTENANCE (5100) DETAIL
n: FIRE ADMINISTRATION (501)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training
Various Meetings 100 100 0 0 0
Total for Travel, Meetings & Training: 100 100 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
is
0
100 100
nd:
D : POLICE -ADMINISTRATION (701)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
TOTAL FOR DIVISION 701: 11,820,080 12,473,770 11,958,600 13,289,330 13,289,330
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
ObjectMescription
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000
5005
Regular Salaries
Overtime Salaries
39,040
41,190
41,190
43,070
43,070
5010
Part Time Salaries
0
134,400
0
143,760
500
143,760
1,000
145,000
1,000
145,000
5030
Fringe Benefits
17,130
18,120
18,120
18,840
18,840
TOTAL FOR PERSONNEL SERVICES:
190,570
203,070
203,570
207,910
207,910
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5,750
6,750
6,750
9,500
9,500
5101
Travel, Meetings/D.A.R.E.
6,400
6,400
5,900
5,900
5,900
5160
5161
Membership Dues
Publications & Subscriptions
5,060
4,800
4,800
4,800
4,800
5200
Operations & Maintenance
0
85,300
0
86,700
0
86,700
300
115,500
300
115,500
5201
O & M/Reserve Program
10,000
10,000
10,000
10,000
10,000
5202
O & M/D.A.R.E. Program
40,000
40,000
40,000
40,000
40,000
5250
Vehicle Operations & Maint.
195,000
214,150
254,150
250,000
250,000
5251
Depreciation - Vehicles
13,330
26,910
26,910
13,450
13,450
5255
5256
Gasoline
Diesel Fuel
110,000
135,000
135,000
140,000
140,000
5281
Depreciation - Equipment
0
15,180
0
27,830
0
27,830
600
13,920
600
13,920
82
Veh & Equip Maint/D.A.R.E.
7,180
7,180
5,180
6,180
6,180
00
5301
Contract Services
Contract Services/D.A.R.E.
10,963,870
11,530,660
10,973,780
12,296,180
12,296,180
TOTAL FOR
OPERATIONS & MAINTENANCE:
160,710
170,320
170,320
175,090
175,090
11,617,780
12,266,700
11,747,320
13,081,420
13,081,420
CAPITAL OUTLAY
5603
Capital Outlay -Equipment
11,730
4,000
7,710
0
TOTAL FOR CAPITAL OUTLAY:
11,730
4,000
7,710
0
0
0
TOTAL FOR DIVISION 701: 11,820,080 12,473,770 11,958,600 13,289,330 13,289,330
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Police FUND: 001
DIVISION: Police COST CENTER: 701
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
F5000
Budget
Request
Budget
PERSONNEL -FULL TIME
TIME
Community Services
100%
100%
100%
100%
100%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Part Time Crossing Guards/Police Clerk
3200%
3200%
3200%
3200%
3200%
143
10
10
CITY OF RANCHO CUCAMONGA
5,000
9,000
9,000
FISCAL YEAR 2001/02 BUDGET
14.000
Equipment Maintenance
3,000
OPERATIONS
& MAINTENANCE (5100) DETAIL
9,100
9,100
Fund: GENERAL FUND (001)
0
0
0
1,500
1.500
n POLICE -ADMINISTRATION (701)
2,400
2,400
2,400
2,400
2.400
Legacy of Hope
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Estimated
Manager
Adopted
500
Soo
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
National Night Out
0
0
0
Crime Prevention Seminars
1,500
1,500
1,500
1,500
1,500
Investigations
2,350
0
0
0
0
Non Post Law Enf Training
0
5,250
5,250
8,000
8,000
Traffic & Commesial Enf Schls
1,900
0
6,100
5,000
5,000
6,000
6.000
Sober Grad Prog-Every 15 Min
0
0
0
Total for Travel, Meetings & Training:
5,750
6,750
6,750
9,500
9,500
5101 Travel, Meetmgs/D.A.R.E.
18,100
Uniforms
4,800
4,800
4,800
California DARE Seminar
2,000
2,000
2,000
2,000
2,000
National DARE Seminar
4,000
4,000
3,500
3,500
3,500
Professional Training
400
400
400
400
400
Total for Travel, Meetings/D.A.R.E.:
6,400
6,400
5,900
5,900
5,900
5160 Membership Dues
Crime Prevention
860
600
600
600
600
Legal Defense Funds
4,200
4,200
4,200
4,200
4.200
Total for Membership Dues:
5,060
4,800
4,800
4,800
4,800
Total for Publications & Subscriptions: 0
5200 Operations & Maintenance
W
0 0 300 300
�i„nc rrevenuon Material
5,000
9,000
9,000
14,000
14.000
Equipment Maintenance
3,000
3,000
3,000
9,100
9,100
Ho Ho Parade
0
0
0
1,500
1.500
Janitorial Supplies
2,400
2,400
2,400
2,400
2.400
Legacy of Hope
0
0
0
1,500
1-500
Medical Supplies
1,000
500
500
500
Soo
Mileage
1,000
500
500
0
0
National Night Out
0
0
0
Office Supplies
25,000
30,000
30,000
1,000
32,000
1,000
3:.000
Pager Services
0
0
0
3,600
3.6(x)
Postal Services
5,500
0
0
7,000
7.000
Professional Services
6,100
5,000
5,000
6,000
6.000
Sober Grad Prog-Every 15 Min
15,000
15,000
15,000
15,000
15,000
Special Dept Expense
16,500
16,500
16,500
18,100
18,100
Uniforms
4,800
4,800
4,800
3,800
3,800
Total for Operations & Maintenance:
85,300
86,700
86,700
115,500
115.500
5201 O & M/Reserve Program
ouppaes
10,000
10,000
10,000
10,000
10,000
Total for O & M/Reserve Program:
0202
10,000
10,000
10,000
10,000
10,000
O & M/D.A.R.E. Program
40,000
40,000
40,000
40,000
40,000
Total for O & M/D.A.R.E. Program:
40,000
40,000
40,000
40,000
40,000
144
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GENERAL FUND (001)
Division: POLICE -ADMINISTRATION (701)
1999/2000
Fiscal Year 2000/01
Fiscal Year
2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5250 Vehicle Operations & Majnt.
195,000
214,150
254,150
250,000
250,000
Total for Vehicle Operations & Maint.:
195,000
214,150
254,150
250,000
250.000
5251 Depreciation - Vehicles
13,330
26.910
26,910
13,450
13,450
Total for Depreciation - Vehicles:
13,330
26,910
26,910
13,450
13,450
5255 Gasoline
110,000
135,000
135,000
140,000
140,000
Total for Gasoline:
110,000
135,000
135,000
140,000
140,000
5256 Diesel Fuel
0
0
0
600
600
Total for Diesel Fuel:
0
0
0
600
600
5281 Depreciation - Equipment
15,180
27,830
27,830
13,920
13,920
Total for Depreciation - Equipment:
15,180
27,830
27,830
13,920
13,920
5282 Veh & Equip Maint/D.A.R.E.
.7 ,180
7,180
5,180
6,180
6,180
Total for Veh & Equip Maint/D.A.R.E.:
7,180
7,180
5,180
6,180
6,180
5300 Contract Services
Automobile Liability Coverage
3,000
3,000
3,000
0
0,
CAL ID Program
88,800
88,800
88,800
94,200
94,200
County Admin Fee
455,000
302,380
215,500
332,400
332,400
County Prosecuter
15,000
15,000
15,000
15,000
15,000
Criss -Cross Directory
200
200
200
250
250
Equipment Services Contract
5,100
5,100
5,100
0
0
General Services Expense
0
0
50,000
50,000
50,000
IDENT-I-KIT
1,260
1,260
1,260
0
0
Mileage
0
0
0
500
500
On -Call
0
0
0
56,160
56,160
Overtime
330,000
330,000
50,000
330,000
330.000
Program Contingency
200,000
200,000
0
50,000
50,000
Sheriffs Department Ill
9,822,010
10,561,580
10,521,580
11,339,170
11,339,170
Special Functions -Kitchen
0
0
0
3,000
3,000
Xerox
27,000
0
0
0
0
Xerox Maintenance
16,500
23,340
23,340
25,500
25,500
(1) Also see Fund 352 ($125,000) and
Fund 354 ($432,730)
Total for Contract Services:
10,963,870
11,530,660
10,973,780
12,296,180
12,296,180
5301 Contract Services/D.A.R.E.
County Admin Fee -DARE Officer
2,800
4,960
4,960
5,100
5,100
DARE Officer
157,910
165,360
165,360
169,990
169,990
Total for Contract Services/D.A.R.E.:
160,710
170,320
170,320
175,090
175,090
.
1
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001) OPERATIONS & MAINTENANCE (5100) DETAIL
n POLICE -ADMINISTRATION (701)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
TOTAL FOR OPERATIONS & MAINTENANCE:
11,617,780 12,266,700 11,747,320 13,081,420 13,081,420
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GENERAL FUND (001)
Division: POLICE -ADMINISTRATION (701)
E
TOTAL FOR CAPITAL OUTLAY: 11,730 4,000 7,710
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budget
Budget
Actual
Rcmd Budget
5603 Capital Outlay -Equipment
HP Deskjet Portable Printer(3)
0
0
1,570
0
0
Xerox 5385 Copier -Final Pmt
11,730
4,000
4,000
0
0
Xerox Copier
0
0
2,140
0
0
Total for Capital Outlay -Equipment:
11,730
4,000
7,710
0
0
TOTAL FOR CAPITAL OUTLAY: 11,730 4,000 7,710
nd: GENERAL FUND (001)
n: RDA ADMINISTRATION (801)
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
TOTAL FOR DIVISION 801:
872,800 845,340 405,660 0 0
TOTAL FOR GENERAL FUND: 35,789,960 40,065,120 43,959,440 41,071,150 41,071,150
1999/20011
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager Adopted
Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5005 Overtime Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
633,910
0
234,550
613,580
400
227,020
293,710
1,200
108,670
0
0
0
0
0
0
0
868,460
841,000
403,580
0
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5105 Mileage
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
100
4,200
40
100
4,200
40
10
2,030
40
0
0
0
0
0
0
0
4,340
4,340
2,080
0
TOTAL FOR DIVISION 801:
872,800 845,340 405,660 0 0
TOTAL FOR GENERAL FUND: 35,789,960 40,065,120 43,959,440 41,071,150 41,071,150
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Redevelopment Agency Administration
DIVISION: Various
FUND: 001
COST CENTER: 801
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
5000
PERSONNEL - FULL TIME
Budget
Request
Budget
City Manager
25%
0%
0%
0%
0%
RDA Manager
100%
0%
0%
0%
0%
Administrative Services Director
20%
0%
0%
0%
0%
Finance Officer
10%
0%
0%
0%
0%
Senior Accountant
80%
0%
0%
0%
0%
Senior Account Technician
100%
0%
0%
0%
0%
Account Clerk
100%
0%
0%
0%
0%
Community Development Director
10%
0%
0%
0%
0%
Senior RDA Analyst
100%
0%
0%
0%
0%
Redevelopment Analyst
100%
0%
0%
0%
0%
Redevelopment Analyst
100%
0%
0%
0%
0%
Assistant RDA Analyst
100%
0%
0%
0%
0%
Office Specialist II
100%
0%
0%
0%
0%
Board President
100%
0%
0%
0%
0%
Board Members
400%
0%
0%
0%
0%
Office Specialist 1
50%
0%
0%
0%
0%
Redevelopment Technician
100%
0%
0%
0%
0%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
149
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: GENERAL FUND (001)
OPERATIONS & MAINTENANCE (5100) DETAIL
Dom,: RDA ADMINISTRATION (801)
TOTAL FOR OPERATIONS & MAINTENANCE: 4,340 4,340 2,080
0
40
150
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budget
Budget
Actual
Rcmd Budget
5100 Travel, Meetings & Training
Various Meetings
100
100
10
0
0
Total for Travel, Meetings & Training:
100
100
10
0
0
5105 Mileage
Auto Allowance
4,200
4,200
2,030
0
0
Total for Mileage:
4,200
4,200
2,030
0
0
5415 General Liability Charges
40
40
40
0
0
Total for General Liability Charges:
40
40
40
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 4,340 4,340 2,080
0
40
150
SPECIAL FUND
0
I•
CITY OF RANCHO CUCAMONGA
SPECIAL FUNDS BUDGET
FISCAL YEAR 2001/02
TABLE OF CONTENTS
PAGE
Descriptionof Funds..................................................................................
Special Funds Estimated Revenues......................................................................... XIV
Expenditure Summary By Entity, Fund, And Division ...................................... XXVIII
Special Funds Expenditure Detail:
FUND 003 State & County Reimbursement/Parking Citations .................................. SF -1
FUND 006 Reimbursements/CCWD......................................................................... SF -3
FUND 007 Reimbursements/Cal Trans..................................................................... SF -6
FUND 008 Reimbursements/County of San Bernardino ........................................... SF -10
FUND 025 Capital Reserve....................................................................................... SF -13
FUND 073 Benefits Contingent.................................................................... SF -17
FUND 100 Special Districts Administration............................................................... SF -18
FUND 101 AD 93-1 Masi Commerce Center............................................................ SF -23
FUND 105 Air Quality Improvement Grant................................................................ SF -25
FUND 110 Beautification........................................................................................... SF -29
FUND 112 Drainage Facilities/General City.............................................................. SF -33
FUND 116 Drainage Facilities/Etiwanda................................................................... SF -37
FUND 120 Park Development................................................................................... SF -40
FUND 124 Transportation Systems Development.................................................... SF -45
PAGE
FUND 130 LMD #1 General...................................................................................... SF -51
FUND 131 LMD #2 Victoria....................................................................................... SF -57 0
FUND 132 LMD #3A Parkway So. of 6th, East of 1-15 .............................................. SF -63
FUND 133 LMD #4 Terra Vista................................................................................. SF -65
FUND 134 LMD #5 N/E Corner 24th & Hermosa ...................................................... SF -72
FUND 135 LMD #6 Caryn Community...................................................................... SF -79
FUND 136 LMD #36 General Industrial Area........................................................... SF -82
FUND 137 LMD #7 North Etiwanda.......................................................................... SF=88
FUND 138 LMD #8 South Etiwanda.......................................................................... SF -94
FUND 139 LMD #9 Lower Etiwanda......................................................................... SF -96
FUND 151 SLD #1 Arterial........................................................................................ SF -98
FUND 152 SLD #2 Residential.................................................................................. SF -101
101
FUND 153
SLD #3 Victoria.......................................................................................
SF -103
FUND 154
SLD #4 Terra Vista..................................................................................
SF -105
FUND 155
SLD #5 Caryn Community.......................................................................
SF -108
FUND 156
SLD #6 Industrial Area............................................................................
SF -110
FUND 157
SLD #7 North Etiwanda...........................................................................
SF -113
FUND 158
SLD #8 South Etiwanda..........................................................................
SF -115
FUND 170
Gas Tax 2105 - Prop 111........................................................................
SF -117
FUND 172
Gas Tax 2106, 2107 & 2107.5................................................................
SF -121
FUND 176 Measure I - Transportation Revenue....................................................... SF -125
FUND 180 SB 325/TDA Article 8.............................................................................. SF -130
FUND 182 AB 2928 Traffic Congestion Relief ................................................. SF -132
PAGE
FUND204 C.D.B.G. Fund......................................................................................... SF -134
FUND 208 Transportation Enhancement Act (TEA)21...................................... SF -138
FUND 214 Pedestrian Grants/Article 3..................................................................... SF -140
FUND 225 CA Recyc/Litter Reduction Grant .................................................. SF -142
FUND 226 Used Oil Recycling Grant........................................................................ SF -144
FUND 230 Regional Choice Transit Capital Improvement ........................................ SF -146
FUND 250 Recreation Services................................................................................ SF -148
FUND 251 Kids Plate Grant........................................................................ SF -152
FUND 252 Youth Enrichment Grant.............................................................. SF -154
FUND 258 Senior Outreach Program Grant............................................................. SF -158
FUND 260 Teen Program Grant............................................................................... SF -160
FUND 290 Rancho Cucamonga Library ................................................................... SF -162
FUND 294 Adult Education Act Grant....................................................................... SF -176
FUND 298 California Literacy Campaign Grant ........................................................ SF -178
FUND 302 Library Services & Tech Act ......................................................... SF -182
FUND 308 Families For Literacy Grant.......................................................... SF -184
FUND 352 COPS Universal Grant............................................................................ SF -187
FUND 354 Citizens Option for Public Safety AB3229 (State) Grant ......................... SF -189
FUND 363 Local Law Enforcement Blk'99..................................................... SF -191
FUND 365 Local Law Enforcement Blk 2000 .................................................. SF -193
FUND 366 CA Law Enforcement Program ..................................................... SF -195
40 FUND 600 AD 82-1 R 6th Street Industrial Improvement .......................................... SF -197
FUND 604 AD 84-2 Alta Loma Channel Improvement .............................................. SF -199
PAGE
FUND 606 AD 86-2 R/C Drainage District Maintenance ........................................... SF -201
FUND 608 Rancho Cucamonga Corporate Park ............................................. SF -203
FUND 610 CFD 2000-03 Rancho Summit ...................................................... SF -205
FUND700 Sports Complex...................................................................................... SF -207
FUND 712 Equipment & Vehicle Replacement ............................................... SF -215
FUND 714 Computer/Data IGS Fund Reserves .............................................. SF -218
FUND 800 AD 82-1 R 6th Street Industrial District Redemption ................................ SF -222
FUND 801 AD 82-1 R 6th Street Industrial District Reserve .....................................
FUND 805 CFD 84-1 Day Creek Redemption.........................................................
FUND 807 AD 84-2 Alta Loma Channel Redemption ...............................................
FUND 808 AD 84-2 Alta Loma Channel Reserve .....................................................
FUND 810 AD 86-2 R/C Drainage District Redemption ............................................
FUND 812 CFD 88-2 Etiwanda/Highland Redemption .............................................
FUND 817 AD 89-1 Milliken So. of Arrow Redemption .............................................
SF -224
SF -226
SF -228
SF -230
SF -232
SF -234
SF -236
FUND 838 Benefit Assmt. Dist. 91-2 (Day Cyn Basin) .............................................. SF -238
FUND 842 CFD 93-3 Foothill Marketplace................................................................ SF -240
FUND 848 PD -85 Red Hill & Heritage Redemption .................................................. SF -242
FUND 852 South Etiwanda Assessment District ..................................................... SF -248
FUND 854 AD 1999-1 R.C. Public Finance Auth Redemption ............................ SF -250
0
CITY OF RANCHO CUCAMONGA
Description of Special Funds
Fiscal Year 2001/02
REIMBURSE/STATE COUNTY PARKING CITATIONS: FUND 003
This fund was established for the tracking of revenues and expenditures related to State and San
Bernardino County surcharges on parking citations as required effective June 1992.
CUCAMONGA COUNTY WATER DISTRICT (CCWD): FUND 006
This fund is a clearing account for expenses and reimbursements associated with City performed
street repairs within the City on behalf of C.C.W.D.
CALTRANS AGREEMENT: FUND 007
This fund is a clearing account for expenses and reimbursements associated with City performed
street sweeping and minor maintenance of State highways in the City on behalf of Caltrans.
SAN BERNARDINO COUNTY FLOOD CONTROL AGREEMENT:
FUND 008
This fund is a clearing account for expenses and reimbursements associated with City performed
storm drain facility maintenance on behalf of the San Bernardino County Flood Control District.
CAPITAL RESERVE: FUND 025
The Capital Reserve fund is the non-operating component of the General Fund. It is divided into
several parts, each representing a designation of fund balance for a specific purpose. The
primary components of the designations are: changes in economic circumstances; self-insurance;
and City facilities' capital repairs. These fund designations help to ensure the City's overall
financial stability.
SPECIAL DISTRICTS ADMINISTRATION: FUND 100
The Special Districts Administration fund account for the management of all City assessment
districts and implementation of related policies established by the City Council. Special District
staff maintain the working relationship with citizens, prospective citizens, developers and real
estate personnel to ensure disclosure of all special districts. They also continue to act as a liaison
between citizens and Southern California Edison in the monitoring of repairs and/or maintenance
• for all street lights.
ASSESSMENT DISTRICT 93-1 MASI COMMERCE CENTER: FUND 101
This fund was established to account for assessments received under the Mello -Roos Community
Facilities Act of 1982. Assessments received are restricted for payment of principal, interest and
penalties thereon, upon presentation of proper coupons.
AIR QUALITY IMPROVEMENT GRANT: FUND 105
This grant is the City's proportionate share of AB 2766 revenues collected by the Department of
Motor Vehicles and used to reduce air pollution from mobile sources.
BEAUTIFICATION: FUND 110
The Beautification fund is a developer impact fee supported fund for the construction of
parkways, median islands, and other landscape related projects throughout the City.
DRAINAGE -GENERAL CITY: FUND 112
The General City Drainage fund is a developer impact fee supported fund for the construction of
storm drain improvements in all areas of the City except for certain master planned
developments and the Etiwanda drainage area.
DRAINAGE-ETIWANDA: FUND 116
The Etiwanda Drainage fund is a developer impact fee supported fund for the construction of
storm drain improvements in the Etiwanda drainage area.
PARK DEVELOPMENT: FUND 120
The collection of a fee for park development purposes is regulated under Chapter 16.23 of the
Municipal Code as it relates to the dedication of land, payment of fees, or both, for park and
recreational land in subdivisions and planned communities. Collection of the fee occurs at the
time building permits are acquired by the developer.
TRANSPORTATION: FUND 124
The Transportation fund is a developer impact fee supported fund for the construction of
"backbone" street improvements throughout the City.
LANDSCAPE MAINTENANCE DISTRICT NO. 1 GENERAL:
FUND 130
Landscape Maintenance District No. 1 (LMD#1) assessments pay for the ongoing maintenance
of parkways, median islands, paseos, entry monuments, equestrian trails and parks. These sites
II
1]
. are not considered to be associated with any one particular area within the City, but rather benefit
the entire City on a broader scale. Generally, LMD#1 is the property west of Deer Creek
Channel and north of Eighth Street.
i
LANDSCAPE MAINTENANCE DISTRICT NO.2 VICTORIA:
FUND 131
Landscape Maintenance District No. 2 (LMD#2) assessments pay for the ongoing maintenance
of parkways, median islands, paseos, equestrian trails and parks within the Victoria Planned
Community.
LANDSCAPE MAINTENANCE DISTRICT NO. 3A PARKWAY SOUTH
OF 6TH STREET EAST OF I-15: FUND 132
Landscape Maintenance District No. 3A (LMD#3A) assessments pay for the ongoing
maintenance of the parkways within this district, which is located on Hyssop Drive south of
Sixth Street.
LANDSCAPE MAINTENANCE DISTRICT NO.4 TERRA VISTA: FUND
133
Landscape Maintenance District No. 4 (LMD#4) assessments pay for the ongoing maintenance
of parkways, median islands, paseos, equestrian trails and parks within the Terra Vista Planned
Community.
LANDSCAPE MAINTENANCE DISTRICT NO.5 NORTH EAST CORNER
24TH AND HERMOSA: FUND 134
Landscape Maintenance District No. 5 (LMD#5) represents a landscaped Tot Lot, located on the
southwest comer of Andover Place and Bedford Drive. This site is associated with a group of 44
single family parcels which all have a common usage of the Tot Lot such that any benefit
derived from the landscaping can be directly attributed to those particular parcels.
LANDSCAPE MAINTENANCE DISTRICT NO.6 CARYN COMMUNITY:
FUND 135
Landscape Maintenance District No. 6 (LMD#6) assessments pay for the ongoing maintenance
of parkways, median islands, and paseos within the Caryn Planned Community.
III
LANDSCAPE MAINTENANCE DISTRIICT NO. 3B CENTRAL .
INDUSTRIAL AREA: FUND 136
Landscape Maintenance District No. 3B (LMD#3B) assessments pay for the ongoing
maintenance of the parkways and median islands within this district, which is generally located
south of Arrow Highway, north of Fourth Street, east of Grove Avenue and West of East
Avenue.
LANDSCAPE MAINTENANCE DISTRICT NO.7 NORTH ETIWANDA:
FUND 137
Landscape Maintenance District No. 7 (LMD#7) assessments pay for the ongoing maintenance
of parkways, median islands, community trails and paseos within the North Etiwanda area (north
of Highland Avenue, east of Day Creek Channel, and west of the City Limits).
LANDSCAPE MAINTENANCE DISTRICT NO.8 SOUTH ETIWANDA:
FUND 138
Landscape Maintenance District No. 8 (LMD#8) assessments pay for the ongoing maintenance
of parkways, median islands, community trails and paseos within the South Etiwanda area (south
of Highland Avenue, east of Etiwanda Avenue, north of Foothill Boulevard, and west of the City
Limits).
LANDSCAPE MAINTENANCE DISTRICT NO.9 LOWER ETIWANDA:
FUND 139
Landscape Maintenance District No. 9 (LMD #9) assessments pay for the ongoing maintenance
of parkways and medians in the Lower Etiwanda area south of Victoria Avenue.
STREET LIGHTING DISTRICT NO.1 AR'T'ERIAL: FUND 151
Street Lighting District No. 1 (SLD#1) assessments pay for the maintenance and/or installation
of street lights and traffic signals located on arterial streets. The facilities within this district,
being located on arterial streets, have been determined to benefit the City as a whole on an equal
basis and as such those costs associated with maintenance and/or installation of the facilities is
assigned to this Citywide district.
STREET LIGHTING DISTRICT NO.2 RESIDENTIAL: FUND 152
Street Lighting District No. 2 (SLD#2) assessments pay for the maintenance and/or installation
of street lights and traffic signals located on local streets throughout the City but excluding those
areas already in a local maintenance district. Generally, this area encompasses the residential
area of the City west of Haven Avenue. It has been determined that the facilities in this district .
benefit this area of the City.
IV
STREET LIGHTING DISTRICT NO.3 VICTORIA: FUND 153
Street Lighting District No. 3 (SLD#3) assessments pay for the maintenance and/or installation
of street lights and traffic signals located within the Victoria Planned Community.
STREET LIGHTING DISTRICT NO.4 TERRA VISTA: FUND 154
Street Lighting District No. 4 (SLD#4) assessments pay for the maintenance and/or installation
of street lights and traffic signals located within the Terra Vista Planned Community.
STREET LIGHTING DISTRICT NO.5 CARYN COMMUNITY: FUND 155
Street Lighting District No. 5 (SLD#5) assessments pay for the maintenance and/or installation
of street lights and traffic signals located within the Caryn Planned Community.
STREET LIGHTING DISTRICT NO.6 INDUSTRIAL AREA: FUND 156
Street Lighting District No. 6 (SLD#6) assessments pay for the maintenance and/or installation
of street lights and traffic signals located on commercial and industrial streets throughout the
City but excluding those areas already in a local maintenance district. Generally, this area
encompasses the industrial area of the City south of Foothill Boulevard. It has been determined
• that the facilities within this district benefit this area of the City
STREET LIGHTING DISTRICT NO.7 NORTH ETIWANDA:
FUND 157
Street Lighting District No. 7 (SLD#7) assessments pay for the maintenance and/or installation
of street lights and traffic signals located on local streets in what is termed the North Etiwanda
area of the City. Generally, this area encompasses the area of the City east of Day Creek
Channel and North of Highland Avenue within the incorporated area of the City. It has been
determined that the facilities within this district benefit this area of the City.
STREET LIGHTING DISTRICT NO.8 SOUTH ETIWANDA: FUND 158
Street Lighting District No. 8 (SLD#8) assessments pay for the maintenance and/or installation
of street lights and traffic signals located on local streets in what is termed the South Etiwanda
area of the City. Generally, this area encompasses the area of the City east of Etiwanda Avenue,
north of Foothill Boulevard and south of Highland Avenue within the incorporated area of the
City. It has been determined that the facilities within this district benefit this area of the City.
PROPOSITION 111: FUND 170
Proposition 111 is a state gasoline tax surcharge passed by California voters in 1990 for
transportation improvement projects that include funding for the construction of various
transportation systems and for street and road maintenance. Like Fund 09, these funds are
V
restricted in their use. Restrictions include requirements for a Congestion Management Plan and
maintenance of effort (MOE). MOE is intended to prevent cities from shifting expenses from
other funding sources to Fund 10. Funds are allocated under several categories including local
and regional.
GAS TAX 21069 2107 & 2107.5: FUND 172
This fund is restricted for the construction and maintenance of streets and roads. These funds
may also be used for traffic signal maintenance and street safety lighting.
MEASURE I: FUND 176
Measure I is a local gasoline tax passed by San Bernardino county voters in 1989 for
transportation improvement projects that include the creation of a passenger rail system, the
construction and repair of streets, and the construction of an expanded freeway system. Street
funds are allocated from two categories: local and arterial.
TDA ARTICLE 8 FUNDS: FUND 180
TDA funds are derived from a statewide sales tax for various transportation related projects. The
funds available are apportioned within each county by that county's transportation authority.
Over the past few years, all funds available to San Bernardino County have been allocated to
County -wide public transportation services (primarily Omnitrans). The City has been spending
accumulated fund balance from prior year allocations for traffic signals throughout the City.
TRAFFIC CONGESTION RELIEF FUND: FUND 182
This fund was established to account for the revenue and disbursement of State AB 2928 funds
allocated for transportation purposes.
COMMUNITY DEVELOPMENT BLOCK GRANT: FUND 204
Fund 28 has been set up for the express purpose of expending Federal Community Development
Block Grant (CDBG) funds. The CDBG Program, which receives funds directly through the
U.S. Department of Housing and Urban Development (HUD), provides for a variety of housing,
community development, and public service activities. Each city and county decides for itself
how this money can best be utilized to meet the unique needs of its residents.
The primary goals of the CDBG program are to improve the living condition and economic
opportunities of lower income persons, to prevent and eliminate community blight and blighting
influences, and to meet urgent needs for which no other resources can be found. A minimum of
70 percent of the benefits of the CDBG funded activities must be directed to activities which
assist lower income persons.
vI
F.A.UJSTREET TRANSPORTATION PROGRAM: FUND 208
ISTEA (formerly FAU) is a federal grant funding source of the construction of major streets and
bridges. The Intermodal Surface Transportation Efficiency Act is a competitive grant program
that the City participates in.
PEDESTRIAN GRANTS/ARTICLE 3: FUND 214
Pedestrian Grant - Article 3 is a grant fund for the construction or reconstruction of pedestrian
related capital improvements. Typical projects eligible for funding include sidewalks, handicap
sidewalk ramps, and bicycle trails. This is a discretionary gasoline tax funding source
administered by the San Bernardino Associated Governments (SANBAG).
LITTER REDUCTION GRANT FUND: FUND 225
This fund was established to account for a grant from the State Department of Conservation.
This grant will fund a program that will emphasize the collection and recycling of beverage
containers at large venues, public areas, residential communities or schools.
USED OIL RECYCLING GRANT: FUND 226
In 1991, the legislature passed AB 2076: the California Oil Recovery Enhancement Act. The
Act requires oil manufacturers to pay $0.04 to the California Integrated Waste Management
Board for each quart of lubricating oil sold in the State of California. These grant funds are
available to governmental agencies, based on population, for the purpose of establishing and
administering used oil collection programs. These funds must be used expressly for oil recycling
collection and educational programs.
REGIONAL CHOICE TRANSIT CAPITAL IMPROVEMENT: FUND 230
The Regional Choice Transit Capital grant is a federal grant funding source administered by the
State of California and passed through to the San Bernardino Associated Governments
(SANBAG). The grant is part of the Intermodal Surface Transportation Efficiency Act (ISTEA).
Funds received by the City from SANBAG will be used to construct Phase 2 of the Metrolink
Station.
COMMUNITY SERVICES -RECREATION: FUND 250
The Recreation Services function is coordinated with Community Services to provide cultural
and recreational services for the community through recreation classes, youth and adult sports
programs, trips and tours, cultural activities, and special events. Many of these recreation
services activities are conducted at the Lions East and West Community Centers, Rancho
Cucamonga Senior Center, and the Rancho Cucamonga Family Sports Center as well as parks
and schools.
VII
YOUTH ENRICHMENT SERVICES GRANT: FUND 252
The Youth Enrichment Services (YES) program is a three-year operational grant addressing the
delivery of programs and services to families with children ages 0-5. It will focus on four main
service areas at three new locations. Year 1 will focus on the Mulberry Learning Center, Year 2 -
Lions East Community Center and Year 3 -the proposed Etiwanda Learning Center. The YES
program is funded by the Children and Families Commission for San Bernardino County.
SENIOR OUTREACH PROGRAM GRANT: FUND 258
This fund is administered through a grant from the San Bernardino County Department of Aging
and Adult Services. The grant requires matching funds of 10%. Funds from this grant will
provide bi-lingual services and materials to be used to market the Rancho Cucamonga Senior
Center, its programs, services and activities.
AFTER SCHOOL TEEN PROGRAM: FUND 260
This fund is administered through a grant provided through the San Bernardino County
Superintendent of Schools with funds provided by the State of California. The funds will allow
the City to establish an afternoon drop-in teen program for youngsters in grades six and up.
LIBRARY: FUND 290
In fiscal year 1994/95, the City began providing library services to the residents of Rancho
Cucamonga. In the fall of 1994, the City opened the interim municipal library facility with a
70,000 piece collection consisting of books, audio, video and reference materials. The 22,000
square foot facility doubled the amount of space previously available through the County system.
The City's library collection and programs are designed to meet the needs of adults, young adults
and children of Rancho Cucamonga. Funding for the library system comes from current taxes
that are collected by the County for library services. The City's library system continues to
operate from these same tax dollars and does not receive any additional funding from the City's
general fund.
ADULT EDUCATION ACT GRANT: FUND 294
This grant program, allocating $3,500 to the Rancho Cucamonga Public Library for FY
1999/2000, is funded by the Federal Government through the Department of Education.
Earmarked for adult literacy services, the grant is restricted to use for training and education of
volunteers and staff with the "West End Literacy League", the joint literacy program operated by
the Rancho Cucamonga Public Library in partnership with the Upland Public Library. This
competitive grant requires no matching funds and is available, on application, on a year-to-year
basis.
0
VIII
0
CALIFORNIA LITERACY CAMPAIGN GRANT: FUND 298
In fiscal year 1995-96, the City Library began providing adult literacy services through a grant
provided by the State Library of California. The Literacy Program provides one on one tutoring
for English-speaking residents who need assistance in learning to read or in improving their
reading skills.
FAMILIES FOR LITERACY PROGRAM: FUND 308
Funded by the California State Library through a competitive grant process, the Families for
Literacy Program provides monies to staff programs targeting 0 through 5 year old youngsters of
illiterate parents. The emphasis on this program is to break the cycle of illiteracy by creating
"reading ready" youngsters by the time they enter the school system. The applying agencies
must have an existing Adult Literacy Program. No other matching funds are required.
COPS UNIVERSAL HIRING GRANT: FUND 352
This grant was awarded by the Federal Department of Justice to fund five (5) additional full time
officers. The total grant award is $375,000, covers a 3 -year period, and has a 25% matching
requirement. The officers will be utilized in the Solution Oriented Policing Unit, which is
designed to provide the community -policing concept to the citizens of Rancho Cucamonga.
STATE AB 3229 CITIZENS OPTION FOR PUBLIC SAFETY: FUND 354
This grant has been awarded as the result of the approval of State Assembly Bill 3229. The grant
is a one-year award in the amount of $267,185 with no matching fund requirements. It is
anticipated that the City will receive additional funding during the 1999/2000 fiscal year. The
monies obtained from this grant will be applied as the matching funds needed for the five (5)
officers funded by the COPS Universal Grant. The officers will be utilized for the Police
Department's community policing effort.
2000 LOCAL LAW ENFORCEMENT BLOCK GRANT FUND: FUND 365
A one-time federal grant awarded by the Bureau of Justice Assistance. The total grant award
was $84,172 and had an 11% matching requirement. The funds were used to purchase radios for
the County -wide network system (Motorola MTS 2000 portable radios).
CALIFORNIA LAW ENFORCEMENT PROGRAM FUND: FUND 366
This program is administered by the State Controller and is intended to provide one-time grants
to local law enforcement agencies for purchase of high technology equipment.
IX
ASSESSMENT DISTRICT 82-1R 6TH STREET INDUSTRIAL
IMPROVEMENTS: FUND 600
The AD 82-1R 6th Street fund was established to pay for all the administration and maintenance
costs incurred while successfully managing the district.
ASSESSMENT DISTRICT 84-2 ALTA LOMA CHANNEL
IMPROVEMENTS: FUND 604
This fund was established to account for the receipt and disbursement of funds used in the
construction of certain public works improvements, together with appurtenances and appurtenant
work, including acquisition where appropriate. Financing was provided by the sale of limited
obligation bonds under the Improvement Bond Act of 1915.
ASSESSMENT DISTRICT 86-2 RANCHO CUCAMONGA DRAINAGE
DISTRICT IMPROVEMENTS: FUND 606
The AD 86-2 R/C Drainage/Maintenance fund was established to pay for all the construction,
administration and maintenance costs incurred while successfully developing and managing the
district.
CFD 2000-02 RANCHO CUCAMONGA CORPORATE YARD: FUND 608 0
Established to account for the receipt and disbursement of funds used in the acquisition and
construction of facilities consisting primarily of improvements to Milliken Avenue, Arrow
Route, and Foothill Boulevard, and water and sewer improvements to be acquired and operated
by Cucamonga County Water District. Financing was provided by the sale of bonds under the
Mello -Roos Community Facilities Act of 1982.
CFD 2000-03 RANCHO SUMMIT: FUND 610
Established to account for monies deposited by developers for initial consulting and
administrative costs and expenses related to a proposed public financing district.
SPORTS COMPLEX: FUND 700
The Rancho Cucamonga Sports Complex was dedicated on April 3, 1993. This facility includes
three lighted softball fields, two lighted soccer fields, and one ninety -foot baseball field. The
centerpiece of the facility is the baseball stadium, home of the Rancho Cucamonga Quakes, a
California League Class "A" Team affiliated with the San Diego Padres. This fund is supported
by charges to customers, rental fees, and an admissions tax. This enterprise fund accounts for
personnel and operating costs directly associated with the operation of this facility.
0
X
INTERGOVERNMENTAL SERVICES: Equipment Replacement:
FUND 712
This internal service fund is maintained for equipment and vehicle replacement and usage. It is
supported by user charges to customers. Internal service funds account for the financing of
goods or services provided to the various departments within the City on a cost -reimbursement
basis.
INTERGOVERNMENTAL SERVICES: Data Processing
Equipment/Technology Replacement: FUND 714
This internal service fund is used to account for the accumulation and allocation of costs
associated with electronic data processing.
ASSESSMENT DISTRICT 82-111 6TH ST. INDUSTRIAL REDEMPTION:
FUND 800
This fund is used for the Assessment District 82-1R bond redemption process. The Bond
Redemption fund is a short-term rotation fund, generally used to consolidate the collections
received from the property owners upon payment of their annual assessments at the time of
payment of their tax bills. Furthermore, the monies in this fund are used to meet the annual
principal and semiannual interest payments on the bonds.
ASSESSMENT DISTRICT 82-1R 6TH ST. INDUSTRIAL RESERVE
FUND 801
This fund was established to account for the reserves related to Assessment District 82-1R. In
the resolution authorizing the issuance of the bonds, the Agency has included an incidental
expense of the project, entitled "Reserve Fund." Amounts in the Reserve Fund which are in
excess of 10 per cent (10%) of the original principal amount will be transferred to the
Redemption Fund. However, the Reserve Fund may only be transferred to the Redemption Fund
to pay for the following: to cover any deficiency in the payment of debt service on the bonds
resulting from delinquencies in the payment of assessments; or the pro -rata reduction upon the
final discharge of any assessments.
COMMUNITY FACILITIES DISTRICT 84-1 DAY CREEK
REDEMPTION: FUND 805
This fund is used for the CFD 84-1 bond redemption process. The Bond Redemption fund is a
short-term rotation fund, generally used to consolidate the collections received from the property
owners upon payment of their annual assessments at the time of payment of their tax bills, along
with contributions from the Redevelopment Agency. Furthermore, the monies in this fund are
used to meet the annual principal and semiannual interest payments on the bonds.
XI
ASSESSMENT DISTRICT 84-2 ALTA LOMA CHANNEL REDEMPTION:
FUND 807
This fund is used for the Assessment District 84-2 bond redemption process. The Bond
Redemption Fund is a short-term rotating fund, generally used to consolidate the collections
received from the property owners upon payment of their annual assessments at the time of
payment of their tax bills. Furthermore, the monies in this fund are used to meet the annual
principal and semiannual interest payments on the bonds.
ASSESSMENT DISTRICT 84-2 ALTA LOMA CHANNEL RESERVE:
FUND 808
This fund is established to account for the reserves related to Assessment District 84-2. In the
resolution authorizing the issuance of the bonds, the Agency has included an incidental expense
of the project, entitled "Reserve Fund." Amounts in the Reserve Fund are 10 per cent (10%) of
the original principal amount of the Bonds. All proceeds from investment of monies in the
Reserve Fund other than the amount to be rebated to the Internal Revenue Service for arbitrage
shall be transferred to the Redemption Fund. However, the Reserve Fund may only be
transferred to the Redemption Fund to pay for the following: to cover any deficiency in payment
of debt service on the bonds resulting from delinquencies in the payment of assessments; or the
pro -rata reduction upon the final discharge of any assessments.
ASSESSMENT DISTRICT 86-2 RANCHO CUCAMONGA DRAINAGE
DISTRICT REDEMPTION: FUND 810
This fund is used for the AD 86-2 bond redemption process. The Bond Redemption fund is a
short-term rotating fund, generally used to consolidate the collections received from the
payments of the property owners upon payment of their annual assessments at the time of
payment of their tax bills. Furthermore, the monies in this fund are used to meet the annual
principal and semiannual interest payments on the bonds.
COMMUNITY FACILITIES DISTRICT 88-2 ETIWANDA/HIGHLAND
IMPROVEMENTS: Flood Control: FUND 812
The CFD 88-2 Flood Control fund was established to pay for all the administration, maintenance
and trustee payments required to successfully manage the district.
ASSESSMENT DISTRICT 89-1 MILLIKEN SOUTH OF ARROW/
REDEMPTION: FUND 817
This fund is used for the Assessment District 89-1 bond redemption process. The Bond
Redemption Fund is a short-term rotation fund, generally used to consolidate the collections
received from the property owners upon payment of their annual assessments at the time of
payment of their tax bills. Furthermore, the monies in this fund are used to meet the annual
principal and semiannual interest payments on the bonds.
XII
DRAINAGE AREA NO. 91-2 (DAY CANYON BASIN): FUND 838
This fund is used for Drainage Area No. 91-2 Benefit Assessment maintenance costs. The
services associated with the costs are for monthly on-site inspections, bimonthly weed abatement
and removal of accumulated sediment, trash, organic material and other related debris from the
desilting basin and channel to an approved spoils site.
COMMUNITY FACILITIES DISTRICT 93-3 FOOTHILL
MARKETPLACE: FUND 842
This fund was established to account for assessments received under the Mello -Roos Community
Facilities Act of 1982. Assessments received are restricted for payment of principal, interest and
penalties thereon, upon presentation of proper coupons.
PARK DISTRICT 85 RED HILL & HERITAGE REDEMPTION:
FUND 848
This fund is used for the PD85 bond redemption process. The Bond Redemption Fund is a short-
term rotating fund, generally used to consolidate the collections received from the property
owners upon payment of their annual assessments at the time of payment of their tax bills.
Furthermore, the monies in this fund are used to meet the annual principal and semiannual
interest payments on the bonds and the maintenance of both parks.
SOUTH ETIWANDA ASSESSMENT DISTRICT FORMATION: FUND 852
This fund was established to account for monies deposited by developers for initial consulting
and administrative costs and expenses related to a proposed public financing district.
REASSESSMENT DISTRICT 1999-1 REDEMPTION: FUND 854
This fund is used for the AD 1999-1 bond redemption process. The Bond Redemption fund is a
short-term rotating fund, generally used to consolidate the collections received from the
payments of the property owners upon payment of their annual assessments at the time of
payment of their tax bills. Furthermore, the monies in this fund are used to meet the annual
principal and semiannual interest payments on the bonds.
XIII
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
CCWD REIMBURSEMENTS (006)
4745 Other Intergov'tl Reimbursemnt
8999 Transfer In From Fund Balance
TOTAL FOR CCWD REIMBURSEMENTS:
CAL TRANS REIMBURSEMENTS (007)
4745 Other Intergov'd Reimbursemnt
8999 Transfer In From Fund Balance
28,000 28,000 55,000
0 22,280 0
28,000 50,280 55,000
21,000 21,000 13,500
0 22,960 29,030
TOTAL FOR CAL TRANS REIMBURSEMENTS: 21,000 43,960 42,530
CNTY OF S. B. REIMBURSEMENTS (008)
4745 Other Intergov'tl Reimbursemnt
TOTAL FOR CNTY OF S. B. REIMBURSEMENTS:
CAPITAL RESERVE (025)
4401 Interest Earnings
4911 Reimbursement from Other Funds
RDA Reimbursement
80,000 80,000 75,800
80,000 80,000 75,800
1,321,000
588,000
1,084,520
1,530,600
588,000
TOTAL FOR CAPITAL RESERVE: 1,909,000 1,672,520 2,118,600
BENEFITS CONTINGENCY (073)
4401 Interest Earnings
8999 Transfer In From Fund Balance
223,000 184,740 243,300
0 65,260 0
TOTAL FOR BENEFITS CONTINGENCY: 223,000 250,000 243,300
RESOURCE CENTER/ASSESSMENTS (100)
4401 Interest Earnings
4901 Other Revenue
8807 Transfer In -AD 84-2 Redemption
8999 Transfer In From Fund Balance
30,000 30,000 30,240
458,110 479,210 499,450
36,860 0 0
0 44,310 34,250
TOTAL FOR RESOURCE CENTER/ASSESSMENTS: 524,970 553,520 563,940
MASI COMMERCE CENTER (101)
4101 Property Taxes-CY Secured
4401 Interest Earnings
8999 Transfer In From Fund Balance
YT17
238,730 238,730 242,820
500 2,850 5,700
0 6,650 300
Budgeted
Budgeted
Revenue
Revenue
Revenue
Estimate (CA)
Object/Description
Fiscal Year
Fiscal Year
Fiscal Year
1999/2000
2000/01
2001/02
REIMB ST/COUNTY PARKING CIT (003)
4303 Parking Cit Surcharge -State
6,500
6,500
6,500
4304 Parking Cit Surchrge-Cnty Jail
4,750
4,750
4,750
4305 Parking Cit Surcharge-Cnty Crt
4,750
4,750
4,750
TOTAL FOR REIMB ST/COUNTY PARKING CIT:
16,000
16,000
16,000
CCWD REIMBURSEMENTS (006)
4745 Other Intergov'tl Reimbursemnt
8999 Transfer In From Fund Balance
TOTAL FOR CCWD REIMBURSEMENTS:
CAL TRANS REIMBURSEMENTS (007)
4745 Other Intergov'd Reimbursemnt
8999 Transfer In From Fund Balance
28,000 28,000 55,000
0 22,280 0
28,000 50,280 55,000
21,000 21,000 13,500
0 22,960 29,030
TOTAL FOR CAL TRANS REIMBURSEMENTS: 21,000 43,960 42,530
CNTY OF S. B. REIMBURSEMENTS (008)
4745 Other Intergov'tl Reimbursemnt
TOTAL FOR CNTY OF S. B. REIMBURSEMENTS:
CAPITAL RESERVE (025)
4401 Interest Earnings
4911 Reimbursement from Other Funds
RDA Reimbursement
80,000 80,000 75,800
80,000 80,000 75,800
1,321,000
588,000
1,084,520
1,530,600
588,000
TOTAL FOR CAPITAL RESERVE: 1,909,000 1,672,520 2,118,600
BENEFITS CONTINGENCY (073)
4401 Interest Earnings
8999 Transfer In From Fund Balance
223,000 184,740 243,300
0 65,260 0
TOTAL FOR BENEFITS CONTINGENCY: 223,000 250,000 243,300
RESOURCE CENTER/ASSESSMENTS (100)
4401 Interest Earnings
4901 Other Revenue
8807 Transfer In -AD 84-2 Redemption
8999 Transfer In From Fund Balance
30,000 30,000 30,240
458,110 479,210 499,450
36,860 0 0
0 44,310 34,250
TOTAL FOR RESOURCE CENTER/ASSESSMENTS: 524,970 553,520 563,940
MASI COMMERCE CENTER (101)
4101 Property Taxes-CY Secured
4401 Interest Earnings
8999 Transfer In From Fund Balance
YT17
238,730 238,730 242,820
500 2,850 5,700
0 6,650 300
Object/Description
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted
Revenue
Fiscal Year
1999/2000
Budgeted Revenue
Revenue Estimate (CA)
Fiscal Year Fiscal Year
2000/01 2001/02
TOTAL FOR MASI COMMERCE CENTER: 239,230 248,230 248,820
AB2766 AIR QUALITY IMPROVEMENT (105)
4401 Interest Earnings 2,000
4740 Grant Income 112,000
8999 Transfer In From Fund Balance 0
TOTAL FOR AB2766 AIR QUALITY IMPROVEMENT:
BEAUTIFICATION (110)
4401 Interest Earnings
4801 Beautification Fees
8999 Transfer In From Fund Balance
TOTAL FOR BEAUTIFICATION:
DRAINAGE FAC/GENERAL (112)
4401 Interest Earnings
4745 Other Intergov'tl Reimbursemnt
4806 Storm Drain Fees
8999 Transfer In From Fund Balance
40 2,500
135,980 135,980
32,070 60,210
114,000
168,090
198,690
3,520
46,350
69,810
225,000
600,000
275,000
0
633,700
1,076,550
228,520
1,280,050
1,421,360
1,000 39,000 151,720
0 0 3,711,000
120,000 350,000 650,000
0 206,330 800,390
TOTAL FOR DRAINAGE FAC/GENERAL:
121,000
595,330
5,313,110
DRAINAGE-ETIWANDA/SAN SEVAINE (114)
5,646,000
0
1,006,940
4401 Interest Earnings
0
0
109,030
4807 Secondary Regional Fee
0
0
200,000
TOTAL FOR DRAINAGE-ETIWANDA/SAN SEVAINE:
0
0
309,030
ETIWANDA DRAINAGE (116)
4401 Interest Earnings
4807 Secondary Regional Fee
8999 Transfer In From Fund Balance
1,140 8,800 9,340
20,000 40,000 20,000
0 0 2,960
TOTAL FOR ETIWANDA DRAINAGE: 21,140 48,800 32,300
PARK DEVELOPMENT (120)
4401 Interest Earnings
4800 Park Development Fees
8999 Transfer In From Fund Balance
TOTAL FOR PARK DEVELOPMENT:
SOUTH ETIWANDA DRAINAGE (122)
4401 Interest Earnings
24,990
100,000
218,250
480,000
800,000
5,646,000
0
1,006,940
168,400
504,990 1,906,940 6,032,650
0 530 740 9
TOTAL FOR SOUTH ETIWANDA DRAINAGE: 0 530 740
WTA
I-
L-1
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Object/Description
TRANSPORTATION (124)
4401 Interest Earnings
4802 Developer Participation
4804 Transportation Fee/Backbone
4805 Transportation Fee/EV Preempm
8999 Transfer In From Fund Balance
TOTAL FOR TRANSPORTATION:
LOWER ETIWANDA DRAINAGE (126)
4806 Storm Drain Fees
TOTAL FOR LOWER ETIWANDA DRAINAGE:
LAND MAINT #1/GEN CITY (130)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4901
Other Revenue
8999
Transfer In From Fund Balance
TOTAL FOR LAND MAINT #1/GEN CITY:
LAND MAINT. #21VICTORIA (131)
4101 Property Taxes-CY Secured
4103 Property Taxes-PY Sec & Unsec
4104 Property Taxes-Penalties/Int.
4401 Interest Earnings
8999 Transfer In From Fund Balance
TOTAL FOR LAND MAINT. #2/VICTORIA
LAND MAINT. #3A/HYSSOP (132)
4101 Property Taxes-CY Secured
4103 Property Taxes-PY Sec & Unsec
4104 Property Taxes-Penalties/Int.
4401 Interest Earnings
TOTAL FOR LAND MAINT. #3A/HYSSOP:
LAND MAINT. #3B MEDIANS (133)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4901
Other Revenue
8999
Transfer In From Fund Balance
XVT
Budgeted
Budgeted
Revenue
Revenue
Revenue
Estimate (CA)
Fiscal Year
Fiscal Year
Fiscal Year
1999/2000
2000/01
2001/02
0
221,910
368,650
0
160,000
0
1,090,000
2,000,000
4,530,000
10,900
20,000
45,000
0
1,746,840
4,506,180
1,100,900
4,148,750
9,449,830
0
0
400,000
0
0
400,000
916,470
917,630
879,150
15,000
7,500
22,690
1,050
1,500
4,540
55,000
43,360
51,420
2,000
17,500
0
0
250,390
256,770
989,520
1,237, 880
1,214570
1,871,240
2,026,410
1,967,130
15,000
20,000
54,400
1.000
4,000
5,440
80,000
63,620
81,260
0
203,100
251,750
1,967,240
2,317,130
2,359,980
3,310
3,310
2,690
0
0
160
0
0
20
950
1,150
1,630
4,260
4,460
4,500
614,020
618,020
663,760
5,000
3,250
22,140
400
650
2,210
40,000
47,800
55,730
30,000
5,000
0
0
193,840
186,450
Object/Description
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted
Revenue
Fiscal Year
1999/2000
Budgeted Revenue
Revenue Estimate (CA)
Fiscal Year Fiscal Year
2000/01 2001/02
TOTAL FOR LAND MAINT. #3B MEDIANS: 689,420 868,560 930,290
LAND MAINT #4/TERRA VISTA (134)
4101 Property Taxes-CY Secured
4103 Property Taxes-PY Sec & Unsec
4104 Property Taxes-Penalties/Int.
4401 Interest Earnings
8999 Transfer In From Fund Balance
1,060,980
1,195,850
1,157,470
2,000
2,000
17,610
160
400
3,520
70,000
71,000
84,860
0
183,840
331,980
TOTAL FOR LAND MAINT #4/TERRA VISTA:
1,133,140
1,453,090
1,595,440
LAND MAINT. #5/TOT LOT (135) '
4101 Property Taxes-CY Secured
4,830
4,880
4,360
4103 Property Taxes-PY Sec & Unsec
0
50
130
4104 Property Taxes-Penalties/Int.
0
10
30
4401 Interest Earnings
1,300
1,750
2590
TOTAL FOR LAND MAINT. #5/TOT LOT:
6,130
6,690
7,110
LAND
MAINT. #6/CARYN COMM. (136)
4101 Property Taxes-CY Secured
296,120
293,040
277,710
4103 Property Taxes-PY Sec & Unsec
1,750
3,750
3,750
4104 Property Taxes-Penalties/Int.
140
750
750
4401 Interest Earnings
21,000
21,920
28,850
8999 Transfer In From Fund Balance
0
53,690
77,680
TOTAL FOR LAND MAINT. #6/CARYN COMM.:
319,010
373,150
388,740
LAND MAINT.#7/NO. ETIWANDA (137)
4101 Property Taxes-CY Secured
374,010
415,960
397,070
4103 Property Taxes-PY Sec & Unsec
2,310
4,750
14,060
4104 Property Taxes-Penalties/Int.
700
950
2,810
4401 Interest Earnings
18,000
25,670
38,770
8999 Transfer In From Fund Balance
0
74,320
147,810
TOTAL FOR LAND MAINT.#7/NO. ETIWANDA:
395,020
521,650
600,520
LAND MAINT DIST #8/SO ETIWANDA (138)
4101 Property Taxes-CY Secured
15,380
21,780
22,100
4103 Property Taxes-PY Sec & Unsec
50
300
300
4104 Property Taxes-Penalties/Int.
10
60
30
4401 Interest Earnings
1,600
1,740
2,700
TOTAL FOR LAND MAINT DIST #8/SO ETIWANDA:
17,040
23,880
25,130
LAND MAINT. #9 (139)
4101 Property Taxes-CY Secured
0
0
101,120
4401 Interest Earnings
0
0
1,700
XVTT
11
0
Object/Description
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted
Revenue
Fiscal Year
1999/2000
Budgeted
Revenue
Revenue
Estimate (CA)
Fiscal Year
Fiscal Year
2000/01
2001/02
TOTAL FOR LAND MAINT. #9: 0 0 102,820
LIGHT DIST #1/ARTERIAL (151)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4808
Developer Energizing Fee
8999
Transfer In From Fund Balance
464,640
487,370
3,750
3,250
300
650
10,500
9,430
2,00(1
2,250
0
0
TOTAL FOR LIGHT DIST #1/ARTERIAL: 481,190 502,950
LIGHT DIST #21RESIDENTIAL (152)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4808
Developer Energizing Fee
8999
Transfer In From Fund Balance
479,600
10,870
1,040
17,250
1,500
64,300
574,560
253,400
253,760
239,010
2,250
3,250
7,770
300
650
770
1,500
440
7,180
1,500
750
2,010
0
13,920
0
TOTAL FOR LIGHT DIST #2/RESIDENTIAL: 258,950 272,770 256,740
LIGHT DIST #3NICTORIA (153)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4808
Developer Energizing Fee
8999
Transfer In From Fund Balance
206,780
225,060
218,440
970
2,250
5,950
150
450
590
6,000
7,320
12,270
500
3,250
1,170
0
0
22,970
TOTAL FOR LIGHT DIST #3NICTORIA: 214,400 238,330 261,390
LIGHT DIST #4/TERRA VISTA (154)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4808
Developer Energizing Fee
8999
Transfer In From Fund Balance
96,480
111,780
108,170
230
380
1,850
20
80
380
15,000
12,980
15,730
0
0
2,510
0
1,280
50,370
TOTAL FOR LIGHT DIST #4/TERRA VISTA:
111,730
126,500
179,010
LIGHT DIST #5/CARYN COMM (155)
4101 Property Taxes-CY Secured
41,480
41,050
38,870
4103 Property Taxes-PY Sec & Unsec
250
500
1,110
4104 Property Taxes-Penalties/Int.
20
100
220
4401 Interest Earnings
4,750
3,710
4,980
8999 Transfer In From Fund Balance
0
21,450
15,250
V VTTT
ObjectlDescription
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted
Revenue
Fiscal Year
1999/2000
TOTAL FOR LIGHT DIST #5/CARYN COMM: 46,500 66,810 60,430
LIGHT DIST #6/INDUST AREA (156)
4101
Budgeted
Revenue
Revenue
Estimate (CA)
Fiscal Year
Fiscal Year
2000/01
2001/02
TOTAL FOR LIGHT DIST #5/CARYN COMM: 46,500 66,810 60,430
LIGHT DIST #6/INDUST AREA (156)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4808
Developer Energizing Fee
8999
Transfer In From Fund Balance
TOTAL FOR LIGHT DIST #6/INDUST AREA:
LIGHT DIST #7 (157)
4101
Property Taxes-CY Secured
4103
Property Taxes-PY Sec & Unsec
4104
Property Taxes-Penalties/Int.
4401
Interest Earnings
4808
Developer Energizing Fee
8999
Transfer In From Fund Balance
83,300
84,320
90,770
480
750
1,550
50
150
310
6,000
7,200
9,050
1,000
1,250
210
0
24,570
10,490
90,830 118,240 112,380
29,250
250
50
3,900
1,000
0
TOTAL FOR LIGHT DIST #7: 34,450
LIGHT DIST #8 (158)
4101 Property Taxes-CY Secured
4103 Property Taxes-PY Sec & Unsec
4104 Property Taxes-Penalties/Int.
4401 Interest Earnings
4808 Developer Energizing Fee
TOTAL FOR LIGHT DIST #8:
GAS TAX 2105/PROP111 (170)
4401 Interest Earnings
4720 Gas Tax 2105 -Prop 111
8999 Transfer In From Fund Balance
6,690
0
0
1,600
0
33,780
250
50
5,000
1,250
24,940
65,270
14,750
300
60
1,850
870
32,290
1,380
280
6,810
1,370
0
42,130
64,960
300
30
2,940
1,270
8,290 17,830 69,500
4,970
760,000
0
TOTAL FOR GAS TAX 2105/PROPIII: 764,970
GAS TAX 2106-2107 (172)
4401
Interest Earnings
4721
State Gas Tax -2106
4722
State Gas Tax -2107
4723
State Gas Tax -2107.5
8999
Transfer In From Fund Balance
40,000
700,000
369,270
1,109,270
45,920
756,000
546,820
1,348,740
18,300
13,830
66,990
375,000
375,000
466,000
975,000
975,000
1,050,000
10,000
10,000
10,000
0
821,770
307,230
TOTAL FOR GAS TAX 2106-2107: 1,378,300
MEASURE "1" (176)
XTX
2,195,600 1,900,220
0
0
CA RECYC/LITTER REDUCTION GRNT (225)
4740 Grant Income 0 0 36,120
OTAL FOR CA RECYC/LITTER REDUCTION GRNT: 0 0 36,120
USED OIL RECYCLING GRANT (226)
4740 Grant Income
XX
29,000 42,340 42,340
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted
Budgeted
Revenue
Revenue
Revenue
Estimate (CA)
Fiscal Year
Fiscal Year
Fiscal Year
Object/Description
1999/2000
2000/01
2001/02
4401 Interest Earnings
36,290
180,250
206,880
4715 Measure I Local St Allotment
1,476,000
738,000
1,300,000
4716 Measure I Specific (Arterial)
800,000
1,100,000
0
8999 Transfer In From Fund Balance
0
2,725,380
1,550,080
TOTAL FOR MEASURE "1":
2,312,290
4,743,630
3,056,960
SB 325 (180)
4401 Interest Earnings
2,840
3,430
9,330
8999 Transfer In From Fund Balance
0
185,410
124,510
TOTAL FOR SB 325:
2,840
188,840
133,840
AB 2928 TRAFFIC CONGEST RELIEF (182)
4401 Interest Earnings
0
0
16,770
4740 Grant Income
0
0
895,150
TOTAL FOR AB 2928 TRAFFIC CONGEST RELIEF:
0
0
911,920
COMMUNITY DEV BLOCK GRANT (204)
4740 Grant Income
1277,500
1,395,070
1,390,700
8999 Transfer In From Fund Balance
0
0
26,140
TOTAL FOR COMMUNITY DEV BLOCK GRANT:
1,277,500
1,395,070
1,416,840
TRANSP ENHANCEMENT ACT (TEA)21 (208)
4740 Grant Income
0
19,120
0
TOTAL FOR TRANSP ENHANCEMENT ACT (TEA)21:
0
19,120
0
PEDESTRIAN GRANT/ART 3 (214)
4401 Interest Earnings
0
170
0
4740 Grant Income
100,000
0
37,000
8999 Transfer In From Fund Balance
0
3,830
0
TOTAL FOR PEDESTRIAN GRANT/ART 3:
100,000
4,000
37,000
PROP 108 PASSENGER RAIL BOND (216)
4401 Interest Earnings
0
700
980
TOTAL FOR PROP 108 PASSENGER RAIL BOND:
0
700
980
CA RECYC/LITTER REDUCTION GRNT (225)
4740 Grant Income 0 0 36,120
OTAL FOR CA RECYC/LITTER REDUCTION GRNT: 0 0 36,120
USED OIL RECYCLING GRANT (226)
4740 Grant Income
XX
29,000 42,340 42,340
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001102 BUDGET
ESTIMATED REVENUES
Object/Description
TOTAL FOR USED OIL RECYCLING GRANT:
REG CHOICE TRANSIT CAP IMPR (230)
4740 Grant Income
8999 Transfer In From Fund Balance
Budgeted
Revenue
Fiscal Year
1999/200(1
29,000 42,340 42,340
2,580,000 0 0
0 2,355,830 0
TOTAL FOR REG CHOICE TRANSIT CAP IMPR: 2,580,000 2,355,830 0
RECREATION SERVICES (250)
4401 Interest Earnings
4520 Recreation Fees
4571 Sale of Taxable Items
8999 Transfer In From Fund Balance
0 9,370 23,350
1,332,470 1,456,840 1,622,580
3,500 1,200 590
0 0 24,220
TOTAL FOR RECREATION SERVICES: 1,335,970 1,467,410 1,670,740
BIDS PLATE GRANT (251)
4740 Grant Income
0 0 0
TOTAL FOR KIDS PLATE GRANT: 0
YOUTH ENRICHMENT GRANT (252)
4740 Grant Income
If,
TOTAL FOR YOUTH ENRICHMENT GRANT: 0
SENIOR OUTREACH GRANT (258)
4740 Grant Income
0 0
0 230,600
0 230,600
rtt ttt trt
TOTAL FOR SENIOR OUTREACH GRANT:
3,000
Budgeted
Revenue
Revenue
Estimate (CA)
Fiscal Year
Fiscal Year
2000/01
2001/02
29,000 42,340 42,340
2,580,000 0 0
0 2,355,830 0
TOTAL FOR REG CHOICE TRANSIT CAP IMPR: 2,580,000 2,355,830 0
RECREATION SERVICES (250)
4401 Interest Earnings
4520 Recreation Fees
4571 Sale of Taxable Items
8999 Transfer In From Fund Balance
0 9,370 23,350
1,332,470 1,456,840 1,622,580
3,500 1,200 590
0 0 24,220
TOTAL FOR RECREATION SERVICES: 1,335,970 1,467,410 1,670,740
BIDS PLATE GRANT (251)
4740 Grant Income
0 0 0
TOTAL FOR KIDS PLATE GRANT: 0
YOUTH ENRICHMENT GRANT (252)
4740 Grant Income
If,
TOTAL FOR YOUTH ENRICHMENT GRANT: 0
SENIOR OUTREACH GRANT (258)
4740 Grant Income
0 0
0 230,600
0 230,600
rtt ttt trt
TOTAL FOR SENIOR OUTREACH GRANT:
3,000
3,000
3,000
TEEN AFTER SCHOOL PROG GRANT (260)
Property Taxes-CY Secured
871,080
937,380
4740 Grant Income
29,550
29,550
0
8999 Transfer In From Fund Balance
0
0
10,600
TOTAL FOR TEEN AFTER SCHOOL PROG GRANT:
29,550
29,550
10,600
LIBRARY FUND (290)
4101
Property Taxes-CY Secured
871,080
937,380
954,580
4102
Property Taxes-CY Unsecured
28,260
32,790
36,800
4103
Property Taxes-PY Sec & Unsec
14,850
40,690
38,560
4105
Property Taxes -Supplemental
2,050
9,700
9,700
4312
Library Fines and Fees
100,000
115,000
120,000
4313
Other Fines & Forfeitures
0
3,000
0
4401
Interest Earnings
8,000
11,000
28,990
4410
Media Rentals
62,500
60,000
62,000
4512
Library Card & Merchndse Sales
200
300
0
4513
Affinity Credit Card Revenue
3,000
2,000
0
4514
Technology Center Revenue
10,000
10,000
15,000
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted Budgeted Revenue
Revenue Revenue Estimate (CA)
Fiscal Year Fiscal Year Fiscal Year
Object/Description 1999/2000 2000/01 2ML102
XXTT
4515 Information Service Fees
3,000
3,000
3,000
4570 Sale of Printed Materials
10,000
10,000
5,000
4740 Grant Income
0
4905 Contribums/Fund Raisng/felthn
30,000
0
50,000
6,650
4906 CLSA Direct Loan
32,000
30,000
30,000
42,000
4907 Private Contributions Library
50,000
60,000
60,000
4908 Public Library Foundation
8001
139,140
205,200
208,130
Transfer In -General Fund
0
50,000
38,620
8025 Transfer In -Capital Rsry Fund
50,000
50,000
50,000
8999 Transfer In From Fund Balance
0
220,000
232,560
TOTAL FOR LIBRARY FUND:
1,414,080
1,900,060
1,941,590
ADULT EDUCATION ACT GRANT (294)
4740 Grant Income
3,500
0
1,800
TOTAL FOR ADULT EDUCATION ACT GRANT:
3,500
0
1,800
CALIFORNIA LITERACY CAMPAIGN (298)
4740 Grant Income
4909 RC Library Foundation Support
50,710
15,500
10,000
8290 Transfer In -Library Fund
10,000
10,000
10,000
8999 Transfer In From Fund Balance
0
0
0
28,280
22,190
0
TOTAL FOR CALIFORNIA LITERACY CAMPAIGN:
60,710
47,690
48,280
LIBRARY SERVICES & TECH. ACT (302)
4740 Grant Income
0
0
6,650
TOTAL FOR LIBRARY SERVICES & TECH. ACT:
0
0
6,650
FAMILIES FOR LITERACY GRANT (308)
4740 Grant Income
0
0
8290 Transfer In. -Library Fund
0
13,000
0
18,890
TOTAL FOR FAMILIES FOR LITERACY GRANT:
0
0
31,890
COP'S GRANT - UNIVERSAL (352)
4740 Grant Income
225,000
250,000
125,000
TOTAL FOR COP'S GRANT - UNIVERSAL:
225,000
250,000
125,000
COP'S PROGRAM GRANT -STATE (354)
4401 Interest Earnings
0
16,290
15,920
4740 Grant Income
8999 Transfer In From Fund Balance
200,220
0
100,000
0
183,710
316,810
TOTAL FOR COP'S PROGRAM GRANT -STATE:
200,220
200,000
432,730
0
LOCAL LAW ENFORCEMENT BLK '98 (362)
XXTT
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Object/Description
4740 Grant Income
TOTAL FOR LOCAL LAW ENFORCEMENT BLK '98:
Budgeted
Revenue
Fiscal Year
1999/2000
0 680
0
0 680 0
LOCAL LAW ENFORCEMENT BLK 2000 (365)
8999 Transfer In From Fund Balance 0 0 45,260
TOTAL FOR LOCAL LAW ENFORCEMENT BLK 2000: 0 0 45,260
CA LAW ENFORCEMENT PROGRAM (366)
4740 Grant Income 0 0 143,420
TOTAL FOR CA LAW ENFORCEMENT PROGRAM: 0 0 143,420
AD 82 -16TH ST INDUSTRIAL (600)
Budgeted
Revenue
Revenue
Estimate (CA)
Fiscal Year
Fiscal Year
2000/01
2001/02
0 680
0
0 680 0
LOCAL LAW ENFORCEMENT BLK 2000 (365)
8999 Transfer In From Fund Balance 0 0 45,260
TOTAL FOR LOCAL LAW ENFORCEMENT BLK 2000: 0 0 45,260
CA LAW ENFORCEMENT PROGRAM (366)
4740 Grant Income 0 0 143,420
TOTAL FOR CA LAW ENFORCEMENT PROGRAM: 0 0 143,420
AD 82 -16TH ST INDUSTRIAL (600)
8999 Transfer In From Fund Balance
0
0
0
TOTAL FOR AD 82-1 6TH ST INDUSTRIAL:
0
0
0
AD 841 DAY CREEK/MELLO (602)
4401 Interest Earnings
85,000
106,320
63,040
TOTAL FOR AD 84-1 DAY CREEK/MELLO:
85,000
106,320
63,040
AD 842 ALTA LOMA CHANNEL (604)
4401 Interest Earnings
750
0
1,000
8807 Transfer In -AD 84-2 Redemption
0
104,400
65,000
8999 Transfer In From Fund Balance
0
34,600
153,400
TOTAL FOR AD 84-2 ALTA LOMA CHANNEL:
750
139,000
219,400
AD 86.2 R/C DRAINAGE DISTRICT (606)
4401 Interest Earnings
15,000
16,000
11,890
8999 Transfer In From Fund Balance
0
337,500
408,860
TOTAL FOR AD 86-2 R/C DRAINAGE DISTRICT:
15,000
353,500
420,750
RANCHO CUCAMONGA CORP PARK (608)
4101 Property Taxes-CY Secured
0
0
520,580
4401 Interest Earnings
0
0
1,190
TOTAL FOR RANCHO CUCAMONGA CORP PARK:
0
0
521,770
SPORTS COMPLEX (700)
4126 Admissions Tax
141,500
144,800
146,400
4220 Other Licenses & Permits
1,500
500
500
4411 Special Event Rental
36,000
36,000
36,000
4425 Stadium Lease -Panting Lt Reimb
226,740
119,000
121,000
4428 Stadium Lease -Office Rent
0
0
4,150
4511 Engineering - Special Services
0
0
115,500
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted Budgeted Revenue
TOTAL FOR AD 84-1 REDEMPTION FUND: 1,893,900 1,828,620 1,852,640
AD 84.2 REDEMPTION FUND (807)
4101 Property Taxes-CY Secured
4103 Property Taxes-PY Sec & Unsec
XXIV
161,820 0 0
6,000 20,000 12,500
Revenue
Revenue
Estimate (CA)
FSscal Year
Fiscal Year
Fiscal Year
Object/Description
1999/2000
2000/01
2001/02
4520 Recreation Fees
412,600
386,370
397,510
4562 Maintenance Fees
20,000
24,000
51,090
4573 Concession Sales
0
0
2,400
4580 Stadium Security Reimbursement
62,500
65,000
67,500
4583 Baseball Security Reimb.
42,500
44,000
42,000
4585 Parking Fees -Sports Complex
35,000
35,000
35,000
4901 Other Revenue
17,000
12,500
12,000
8001 Transfer In -General Fund
369,200
476,510
409,710
TOTAL FOR SPORTS COMPLEX:
1,364,540
1,343,680
1,440,760
EQUIP/VEHICLE REPLACEMENT (712)
4401 Interest Earnings
737,000
622,230
807,890
4540 Intragovernmental User Fees
359,480
784,180
524,230
8999 Transfer In From Fund Balance
0
0
0
TOTAL FOR EQUIP/VEHICLE REPLACEMENT:
1,096,480
1,406,410
1,332,120
COMP/DATA IGS FUND RESERVES (714)
. 4401 Interest Earnings
283,000
233,720
309,940
4540 Intragovemmental User Fees
245,840
367,960
283,170
8999 Transfer In From Fund Balance
0
0
104,580
TOTAL FOR COMP/DATA IGS FUND RESERVES:
528,840
601,680
697,690
AD 82-1R REDEMPTION FUND (800)
4401 Interest Earnings
7,000
1,000
0
8999 Transfer In From Fund Balance
0
62,250
256,210
TOTAL FOR AD 82-1R REDEMPTION FUND:
7,000
63,250
256,210
AD 82-1R RESERVE FUND (801)
8999 Transfer In From Fund Balance
0
0
0
TOTAL FOR AD 82-1R RESERVE FUND:
0
0
0
AD 84-1 REDEMPTION FUND (805)
4101 Property Taxes-CY Secured
896,200
793,860
747,000
4103 Property Taxes-PY Sec & Unsec
2,500
7,500
32,500
4104 Property Taxes-Penalties/Int.
200
1,000
30,000
4401 Interest Earnings
20,000
51,260
67,080
4935 Contributed Capital
975,000
975,000
975,000
8999 Transfer In From Fund Balance
0
0
1,060
TOTAL FOR AD 84-1 REDEMPTION FUND: 1,893,900 1,828,620 1,852,640
AD 84.2 REDEMPTION FUND (807)
4101 Property Taxes-CY Secured
4103 Property Taxes-PY Sec & Unsec
XXIV
161,820 0 0
6,000 20,000 12,500
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted
Budgeted
Revenue
Revenue
Revenue
Estimate (CA)
ObjectlDescription
Fiscal Year
Fiscal Year
Fiscal Year
1999/2000
2000/01
2001/02
4104 Property Taxes-Penalties/Int.
1,500
150
7,500
4401 Interest Earnings
3,250
7,680
5,210
8808 Transfer In -AD 842 Spec Rsry
4,500
0
0
8999 Transfer In From Fund Balance
0
85,150
44,670
TOTAL FOR AD 84-2 REDEMPTION FUND:
177,070
112,980
69,880
AD 842 SPECIAL RESERVE (808)
8999 Transfer In From Fund Balance
0
0
0
TOTAL FOR AD 842 SPECIAL RESERVE:
0
0
0
AD 86-2 REDEMPTION FUND (810)
4101 Property Taxes-CY Secured
192,230
0
0
4103 Property Taxes-PY Sec & Unsec
2,500
0
0
4104 Property Taxes-Penalties/Int.
70
0
0
4401 Interest Earnings
8,000
0
0
TOTAL FOR AD 86-2 REDEMPTION FUND:
202,800
0
0
AD 86-2 RESERVE FUND (811)
4401 Interest Earnings
8,500
0
0
TOTAL FOR AD 86-2 RESERVE FUND:
8,500
0
0
AD 88-2 ETIWANDA/HIGHLND DEBT (812)
4101 Property Taxes-CY Secured
330,270
274,520
277,440
4103 Property Taxes-PY Sec & Unsec
2,500
2,750
5,000
4104 Property Taxes-Penalties/Int.
300
200
1,250
4401 Interest Earnings
24,000
30,000
47,250
TOTAL FOR AD 88-2 ETIWANDA/HIGHLND DEBT:
357,070
307,470
330,940
AD 88-2 ETIWANDA/HIGHLND IMPRV (813)
4401 Interest Earnings
48,000
55,000
129,360
TOTAL FOR AD 88-2 ETIWANDA/HIGHLND IMPRV:
48,000
55,000
129,360
AD 88-2 ETIWANDA/HIGHLND RESRV (814)
4401 Interest Earnings
24,000
0
0
TOTAL FOR AD 88-2 ETIWANDA/HIGHLND RESRV:
24,000
0
0
AD 88-2 POLICE (815)
4401 Interest Earnings
8812 Transfer In -AD 88-2 Debt Srvc.
900 950 1,380
0 700 700
TOTAL FOR AD 88-2 POLICE: 900 1,650 2,080
AD 89-1 REDEMPTION (817)
YYV
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Budgeted Budgeted Revenue
0
TOTAL FOR PD 85 REDEMPTION FUND:
PD 85 RESERVE FUND (850)
4401 Interest Earnings
1,687,970 1,921,980 1,903,630
42,000 46,600 65,800
TOTAL FOR PD 85 RESERVE FUND: 42,000 46,600 65,800
SOUTH ETIWANDA AD (852)
4101 Property Taxes-CY Secured
4401 Interest Earnings
8999 Transfer In From Fund Balance
0 0 166,250
0 5,950 8,400
0 138,800 0
TOTAL FOR SOUTH ETIWANDA AD: 0 144,750 174,650
AD 1999-1 REFUNDING REDEMPTION (854)
4101 Property Taxes-CY Secured 0 562,690 ___198,860
XXVT
Revenue
Revenue
Estimate (CA)
Object/Description
Fiscal Year
Fiscal Year
Fiscal Year
1999/2000
2000/01
2001/02
4101 Property Taxes-CY Secured
492,080
0
4401 Interest Earnings
1,200
0
0
0
8999 Transfer In From Fund Balance
0
0
0
TOTAL FOR AD 89-1 REDEMPTION:
493,280
0
0
AD 89-1 RESERVES (818)
4401 Interest Earnings
36,000
0
0
TOTAL FOR AD 89-1 RESERVES:
36,000
o
0
0
AD 91-2 REDEMPTION -DAY CANYON (838)
4101 Property Taxes-CY Secured
28,390
31,610
31,610
4103 Property Taxes-PY Sec & Unsec
2,000
320
500
4104 Property Taxes-Penaltiesdnt.
150
30
80
4401 Interest Earnings
1,800
3,870
6,730
8999 Transfer In From Fund Balance
0
0
590
TOTAL FOR AD 91-2 REDEMPTION -DAY CANYON:
32,340
35,830
39,510
AD 93-3 FOOTHILL MARKETPLACE (842)
4101 Property Taxes-CY Secured
432,500
423,870
423,890
4401 Interest Earnings
6,000
15,750
6,420
TOTAL FOR AD 93-3 FOOTHILL MARKETPLACE:
438,500
439,620
430,310
PD 85 REDEMPTION FUND (848)
4101 Property Taxes-CY Secured
1,620,970
1,661,410
1554,990
4103 Property Taxes-PY Sec & Unsec
20,000
17,500
43,030
4104 Property Taxes-Penalties/Int,
4,000
3,500
8,610
4401 Interest Earnings
28,000
30,310
53,880
4901 Other Revenue
15,000
9,500
0
8999 Transfer In From Fund Balance
0
199,760
243,120
0
TOTAL FOR PD 85 REDEMPTION FUND:
PD 85 RESERVE FUND (850)
4401 Interest Earnings
1,687,970 1,921,980 1,903,630
42,000 46,600 65,800
TOTAL FOR PD 85 RESERVE FUND: 42,000 46,600 65,800
SOUTH ETIWANDA AD (852)
4101 Property Taxes-CY Secured
4401 Interest Earnings
8999 Transfer In From Fund Balance
0 0 166,250
0 5,950 8,400
0 138,800 0
TOTAL FOR SOUTH ETIWANDA AD: 0 144,750 174,650
AD 1999-1 REFUNDING REDEMPTION (854)
4101 Property Taxes-CY Secured 0 562,690 ___198,860
XXVT
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Object/Description
4103 Property Taxes-PY Sec & Unsec
4104 Property Taxes-Penalties/Int
.4401 Interest Earnings
8999 Transfer In From Fund Balance
TOTAL FOR AD 1999-1 REFUNDING REDEMPTION:
AD 1999-1 REFUNDING RESERVE (855)
4401 Interest Earnings
TOTAL FOR AD 1999-1 REFUNDING RESERVE:
Budgeted
Revenue
Fiscal Year
1999/2000
Budgeted Revenue
Revenue Estimate (CA)
Fiscal Year Fiscal Year
2000/01 2001/02
0
1,500
1,250
0
140
380
0
11,250
11,500
0
0
7,820
0
575,580
519,810
0 86,000 0
0 86,000 0
TOTAL FOR ENTITY: 67,945,700 84,866,020 100,424,960
0
XXVTT
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
• SUMMARY BY ENTITY, FUND, DIVISION
Fund/Description
1999/2000
2000/01
2001/02
Division/Description on
P
Bud
Adopted
Adopted
003 REIMB ST/COUNTY PARKING CIT
et
Budget
Budget
701 POLICE -ADMINISTRATION
006 CCWD REIMBURSEMENTS
16,000
16,000
16.000
303 ENGINEERING - ADMINISTRATION
007 CAL TRANS REIMBURSEMENTS
34 550
50 280
52,980
316 STREET AND PARK MAINT
008 CNTY OF S. B. REIMBURSEMENTS
190,170
43,960
42,530
316 STREET AND PARK MAINT.70530
025 CAPITAL RESERVE
73,410
75,770
001 NON -DEPARTMENTAL, GENERAL,
710,000
073 BENEFITS CONTINGENCY
647,500
625,600
002 NON -DEPARTMENTAL PERSONNEL
100 RESOURCE CENTER/ASSESSMENTS
0
250,000
200'000
202 ASSESSMENT DISTRICT ADMIN
101 MASI COMMERCE CENTER
524,970
553,520
563,940
203 ASSESSMENT DISTRICTS/CFDS
249,210
105 AB2766 AIR QUALITY IMPROVEMENT
248,230
248,820
208 GRANT MANAGEMENT (AQMD)
110 BEAUTIFICATION
170,570
168,090
198,690
316 STREET AND PARK MAINT.
112 DRAINAGE FAC/GENERAL
601,010
1,280,050
1,421,360
303 ENGINEERING - ADMINISTRATION
116 ETIWANDA DRAINAGE
568,140
595,330
5,313,110
303 ENGINEERING - ADMINISTRATION
13,620
120 PARK DEVELOPMENT
26,000
32,300
305 ENGINEERING - DEVELOPMENT MGT
1,246,670
124 TRANSPORTATION
1,906,940
4,956,650
303 ENGINEERING - ADMINISTRATION
3,347,920
4,148,750
130 LAND MAINT #1/GEN CITY
9,449,830
303 ENGINEERING - ADMINISTRATION
1200,720
1,237,880
131 LAND MAINT. #2/VICTORIA
1,214,570
303 ENGINEERING - ADMINISTRATION
132 LAND MAINT. #3A/HYSSOP
2,309,790
2,317,130
2,359,980
303 ENGINEERING - ADMINISTRATION
3,440
133 LAND MAINT. #3B MEDIANS
3,650
3,660
303 ENGINEERING - ADMINISTRATION
833,030
868,560
134 LAND MAINT #41TERRA VISTA
930,290
303 ENGINEERING - ADMINISTRATION
1,233,990
1,453,090
135 LAND MAINT. #5/TOT LOT
1,595,440
303 ENGINEERING - ADMINISTRATION
3,400
3,570
136 LAND MAINT. #6/CARYN COMM.
3,620
303 ENGINEERING - ADMINISTRATION
378,280
373,150
137 LAND MAINT.#7/NO. ETIWANDA
388,740
ENGINEERING -ADMINISTRATION
433,310
521,650
600,520
�303
$ LAND MAINT DIST #8/SO ETIWANDA
303 ENGINEERING -ADMINISTRATION
16,230
22,080
139 LAND MAINT. #9
24 600
303 ENGINEERING - ADMINISTRATION
0
151 LIGHT DIST #1/ARTERIAL
0
42,950
XYVTTT
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND, DIVISION
303 ENGINEERING - ADMINISTRATION
1999/2000
2000/01
2001/02
Fund/Description
Adopted
Adopted
Adopted
Division/Description
Budget
Budaet
Budget
303 ENGINEERING - ADMINISTRATION
464,950
496,730
574,560
152 LIGHT DIST #2/RESIDENTIAL
303 ENGINEERING - ADMINISTRATION
191,270
272,770
249,640
153 LIGHT DIST #3/VICTORIA
303 ENGINEERING - ADMINISTRATION
216,810
225,750
261,390
154 LIGHT DIST #4/TERRA VISTA
303 ENGINEERING - ADMINISTRATION
229,530
126,500
179,010
155 LIGHT DIST #5/CARYN COMM
303 ENGINEERING - ADMINISTRATION
64,790
66,810
60,430
156 LIGHT DIST #6/INDUST AREA
303 ENGINEERING - ADMINISTRATION
133,540
118,240
112,380
157 LIGHT DIST #7
303 ENGINEERING - ADMINISTRATION
64,660
65,270
26,430
158 LIGHT DIST #8
303 ENGINEERING - ADMINISTRATION
4,350
4,500
69,030
170 GAS TAX 2105/PROPlll
303 ENGINEERING - ADMINISTRATION
1,078,030
1,109,270
1,348,740
172 GAS TAX 2106-2107
303 ENGINEERING - ADMINISTRATION
1,701,600
2,195,600
1,900,220
176 MEASURE "I"
303 ENGINEERING - ADMINISTRATION
4,897,930
4,743,630
3,056,960
180 SB 325
303 ENGINEERING - ADMINISTRATION
55,000
188,840
133,840
182 All 2928 TRAFFIC CONGEST RELIEF
303 ENGINEERING - ADMINISTRATION
0
0
815,000
204 COMMUNITY DEV BLOCK GRANT
314 PLANNING
1,277500
1,395,070
1,416,840
208 TRANSP ENHANCEMENT ACT (TEA)21
303 ENGINEERING - ADMINISTRATION
450,000
19,120
0
214 PEDESTRIAN GRANT/ART 3
303 ENGINEERING - ADMINISTRATION
100,000
4,000
37,000
225 CA RECYC/LITTER REDUCTION GRNT
303 ENGINEERING - ADMINISTRATION
0
0
36,120
226 USED OIL RECYCLING GRANT
303 ENGINEERING - ADMINISTRATION
29,000
42,340
42,340
230 REG CHOICE TRANSIT CAP IMPR
303 ENGINEERING - ADMINISTRATION
2,580,000
2,355,830
0
250 RECREATION SERVICES
401 COMMUNITY SRVCS-ADMINISTRATIOP
1,266,920
1,467,410
1,670,740
252 YOUTH ENRICHMENT GRANT
401 COMMUNITY SRVCS-ADMINISTRATTOP
0
0
230,600
258 SENIOR OUTREACH GRANT
401 COMMUNITY SRVCS-ADMINISTRATIOP
3,000
3,000
3,000
260 TEEN AFTER SCHOOL PROG GRANT
401 COMMUNITY SRVCS-ADMINISTRATTOP
29,540
29,540
10,600
290 LIBRARY FUND
601 LIBRARY -ADMINISTRATION
1,408,390
1,537,990
1,607,190
603 AFTER SCHOOL LEARNING PROGRAM
0
36,180
27,460
604 BOOKMOBILE SERVICES
0
322,540
303,590
vvry
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND, DIVISION
1999/2000 2000/01 2001/02
Fund/Description Adopted Adopted Ado ted
Division/Description p
Bud et Bud et Bud et
605 LIBRARY BOARD OF TRUSTEES 0
3,350 -3,350
TOTAL FOR LIBRARY FUND: 1,408,390 1,900,060 1,941590
294 ADULT EDUCATION ACT GRANT
601 LIBRARY -ADMINISTRATION
298 CALIFORNIA LITERACY CAMPAIGN
601 LIBRARY -ADMINISTRATION
308 FAMILIES FOR LITERACY GRANT
602 GRANT MANAGEMENT
3S2 COP'S GRANT - UNIVERSAL
701 POLICE -ADMINISTRATION
354 COP'S PROGRAM GRANT -STATE
701 POLICE -ADMINISTRATION
365 LOCAL LAW ENFORCEMENT BLK 2000
701 POLICE -ADMINISTRATION
366 CA LAW ENFORCEMENT PROGRAM
702 GRANT MANAGEMENT
600 AD 82 -16TH ST INDUSTRIAL
303 ENGINEERING - ADMINISTRATION
604 AD 842 ALTA LOMA CHANNEL
303 ENGINEERING - ADMINISTRATION
606 AD 86-2 R/C DRAINAGE DISTRICT
303 ENGINEERING - ADMINISTRATION
608 RANCHO CUCAMONGA CORP PARK
203 ASSESSMENT DISTRICTS/CFDS
700 SPORTS COMPLEX
201 ADMIN SRVCS-ADMINISTRATION
401 COMMUNITY SRVCS-ADMINISTRATIOP
TOTAL FOR SPORTS COMPLEX:
3,500 0 0
60,710 47,690 48,280
U 0 31,890
225,000 250,000 125,000
200,220 200,000 432,730
0 0 45,260
0 0 139,450
3,500 0 0
0 139,000 219,400
344,090 353,500 420,750
520,950
1,364,540 1,343,680 1,062,450
0 0 375,520
1,364,540 1,343,680 1,437,970
712 EQUIP/VEHICLE REPLACEMENT
001 NON -DEPARTMENTAL GENERAL
2,089,490
755,500
845,380
714 COMP/DATA IGS FUND RESERVES
001 NON -DEPARTMENTAL GENERAL
1,165,600
321,100
697,690
800 AD 82-1R REDEMPTION FUND
203 ASSESSMENT DISTRICTS/CFDS
49,240
63,250
256,210
801 AD 82-1R RESERVE FUND
203 ASSESSMENT DISTRICTS/CFDS
29,710
0
805 AD 84-1 REDEMPTION FUND
0
203 ASSESSMENT DISTRICTS/CFDS
1,867,250
1,821,590
1,852,640
807 AD 84-2 REDEMPTION FUND
203 ASSESSMENT DISTRICTS/CFDS
145,740
112,980
69,880
808 AD 842 SPECIAL RESERVE
203 ASSESSMENT DISTRICTS/CFDS
4,500
0
0
10 AD 86-2 REDEMPTION FUND
203 ASSESSMENT DISTRICTS/CFDS
166,280
0
812 AD 88-2 ETIWANDA/HIGHLND DEBT
0
203 ASSESSMENT DISTRICTS/CFDS
339,780
268,170
268,690
817 AD 89-1 REDEMPTION
xxx
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND, DIVISION
9
203 ASSESSMENT DISTRICTS/CFDS
838 AD 91-2 REDEMPTION -DAY CANYON
203 ASSESSMENT DISTRICTS/CFDS
842 AD 93-3 FOOTHILL MARKETPLACE
203 ASSESSMENT DISTRICTS/CFDS
848 PD 85 REDEMPTION FUND
303 ENGINEERING - ADMINISTRATION
852 SOUTH ETIWANDA AD
303 ENGINEERING - ADMINISTRATION
854 AD 1999-1 REFUNDING REDEMPTION
203 ASSESSMENT DISTRICTS/CFDS
503,860 0 0
31,030 31,150 39,510
430,430
1999/2000
2000/01
2001/02
Fund/Description
Adopted
Adopted
Adopted
Division Descrintiou
Budget
Budget
Budget
203 ASSESSMENT DISTRICTS/CFDS
838 AD 91-2 REDEMPTION -DAY CANYON
203 ASSESSMENT DISTRICTS/CFDS
842 AD 93-3 FOOTHILL MARKETPLACE
203 ASSESSMENT DISTRICTS/CFDS
848 PD 85 REDEMPTION FUND
303 ENGINEERING - ADMINISTRATION
852 SOUTH ETIWANDA AD
303 ENGINEERING - ADMINISTRATION
854 AD 1999-1 REFUNDING REDEMPTION
203 ASSESSMENT DISTRICTS/CFDS
503,860 0 0
31,030 31,150 39,510
430,430
392,230
410,210
1,847,450
1,921,980
1,903,630
67,500
144,750
125,920
0 564,620 519,810
TOTAL FOR CITY OF RANCHO CUCAMONGA: 77,131,740 82,435,410 96,020,810
I]
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: REIMB ST/COUNTY PARKING CIT (003)
30: POLICE -ADMINISTRATION (701)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted
Object/Description
Estimated
Manager
Adopted
Budget Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance 16,000 16,000
16,000
16,000
16,000
TOTAL FOR OPERATIONS & MAINTENANCE: 16,000 16,000
16,000
16,000
16,000
TOTAL FOR DIVISION 701:
16,000 16,000 16,000 16,000 16,000
'OTAL FOR REIMB ST/COUNTY PARKING CIT: 16,000 16,000 16,000 16,000 16,000
0
SF -1
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
und: REIMB ST/COUNTY PARKING CIT (003)
cion: POLICE -ADMINISTRATION (701) is
TOTAL FOR OPERATIONS & MAINTENANCE: 16,000 16,000 16,000 16,000 16,000
0
9
SF -2
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
_ Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Prkg Cit Surcharge -County Crt
4,750
4,750
4,750
4,750
4,750
Prkg Cit Surcharge -County Jail
4,750
4,750
4,750
4,750
4,750
Prkg Cit Surcharge -State
6,500
6,500
6,500
6,500
6,500
Total for Operations & Maintenance:
16,000
16,000
16,000
16,000
16,000
TOTAL FOR OPERATIONS & MAINTENANCE: 16,000 16,000 16,000 16,000 16,000
0
9
SF -2
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fu
ANNUAL BUDGET SUMMARY
• CCWD
n d
REIMBURSEMENTS (006)
ENGINEERING -ADMINISTRATION (303)
34,550
50,280
75,280
52,980
52,980
TOTAL FOR CCWD REIMBURSEMENTS:
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
PERSONNEL SERVICES
5000 Regular Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
21,890
8,100
23,930
8,850
48,930
8,850
25,900
9,580
25,900
9,580
29,990
32,780
57,780
35,480
35,480
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
5250 Vehicle Operations & Maint.
5252 Emergency & Routine Veh Rent
5280 Equip Operations & Maint
5300 Contract Services
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
1,560
2,500
500
5,500
10,000
1,000
500
500
5,500
10,000
1,000
500
500
5,500
10,000
1,000
500
500
5,500
10,000
1,000
500
500
17,500
4,560
17,500
17,500
17,500
TOTAL FOR DIVISION 303:
34,550
50,280
75,280
52,980
52,980
TOTAL FOR CCWD REIMBURSEMENTS:
34,550
50,280
75,280
52,980
52,980
0
SF -3
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Public Works - CCWD Reimb.
FUND: 006
COST CENTER: 303
MM,
•
J
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Lead Maint. Worker (Streets)
10%
10%
10%
10%
10%
Lead Maint. Worker (Streets)
10%
10%
10%
10%
10%
Maintenance Supervisor (Streets)
10%
10%
10%
10%
10%
Maintenance Worker (Streets)
10%
10%
10%
10%
10%
Maintenance Worker (Streets)
10%
10%
10%
10%
10%
Maintenance Worker (Streets)
10%
10%
10%
10%
10%
MM,
•
J
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
und: CCWD REIMBURSEMENTS (006)
n: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Asphalt
Concrete
0
3,500
3,500
3,500
3,500
Emulsion
0
500
500
500
500
Misc Base
0
250
250
250
250
Warehouse Stock
0
500
500
500
500
0
750
750
750
750
Total for Operations & Maintenance:
0
5,500
5,500
5,500
5,500
5250 Vehicle Operations & Maint. 0 10,000 10,000 10,000 10,000
Total for Vehicle Operations & Maint.: 0 10,000 10,000 10,000 10,000
5252 Emergency & Routine Veh Rent
Equipment Rental
Total for Emergency & Routine Veh Rent:
1,560
1,560
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
5280 Equip Operations & Maint
Total for Equip Operations & Maint:
2,500
2,500
500
500
500
500
500
500
500
500
5300 Contract Services
,,attic �cimroi uevices
Total for Contract Services:
TOTAL FOR OPERATIONS & MAINTENANCE:
0
500 500
500 500
500 500
500 500
ann
500
4,560 17,500 17,500 17,500 17,500
SF -5
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: CAL TRANS REIMBURSEMENTS (007)
)i*: STREET AND PARK MAINT. (316)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
65,890
15,420
15,420
16,570
16,570
5030 Fringe Benefits
24,380
5,710
5,710
6,130
6,130
TOTAL FOR PERSONNEL SERVICES:
90,270
21,130
21,130
22,700
22,700
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
14,500
0
5,370
0
0
5250 Vehicle Operations & Maint.
3,000
5,000
2,500
5,000
5,000
5252 Emergency & Routine Veh Rent
2,500
2,500
1,630
2,500
2,500
5255 Gasoline
2,500
3,000
1,000
3,000
3,000
5280 Equip Operations & Maint
2,000
2,000
2,000
2,000
2,000
5281 Depreciation - Equipment
0
1,580
1,580
1,580
1,580
5300 Contract Services
3,000
2,750
2,750
2,750
2,750
5320 Hazardous Waste Removal
3,000
3,000
3,000
3,000
3,000
TOTAL FOR OPERATIONS & MAINTENANCE:
30,500
19,830
19,830
19,830
19,830
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
6,000
0
0
0
5604 Capital Outlay -Vehicles
63,400
0
0
0
0
0
5605 Capital Outlay -Computer Equip
0
3,000
2,500
0
0
0 TOTAL FOR CAPITAL OUTLAY:
69,400
3,000
2,500
0
0
TOTAL FOR DIVISION 316:
190,170 43,960 43,460 42,530 42,530
TOTAL FOR CAL TRANS REIMBURSEMENTS: 190,170 43,960 43,460 42,530 42,530
SF -6
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Public Works - Caltrans Reimb.
FUND: 007
COST CENTER: 316
SF -7
CT #
FY 2000101
Fiscal Year
2001102
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
F5000
PERSONNEL -FULL TIME
Budget
Request
Budget
Equipment Operator (Sweeper)
20%
20%
20%
20%
20%
Maint. Superintendent
10%
10%
10%
10%
10%
SF -7
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: CAL TRANS REIMBURSEMENTS (007)
n STREET AND PARK MAINT. (316)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Sweeper Supplies (1) 14,500 0 5,370
{ I) Beginning 2000/01 Included In Fund
172
ruwi for uperauons & maintenance: 14,500
5,370
5250 Vehicle Operations & Maint. 3,000 5,000 2,500 5,000 5,000
Total for Vehicle Operations & Maint.: 3,000 5,000 2,500 5,000 5,000
5252 Emergency & Routine Veh Rent
Equipment Rental
2 500
2,500
1,630
2,500
2,500
Total for Emergency & Routine Veh Rent:
2,500
2,500
1,630
2,500
2,500
5255 Gasoline
2,500
3,000
1,000
3,000
3,000
Total for Gasoline:
2,500
3,000
1,000
3,000
3,000
5280 Equip Operations & Maint
2,000
2,000
2.000
2,000
2,000
Total for Equip Operations & Maint:
05281
2,000
21000
2 000
2 000
2 000
Depreciation - Equipment
0
1,580
1,580
1,580
1,580
Total for Depreciation - Equipment:
0
1,580
1,580
1,580
1,580
5300 Contract Services
m u cu Icalullg
1,500
2,000
2,000
2,000
2,000
Sign Maintenance
1,500
750
750
750
750
Total for Contract Services:
3,000
2,750
2,750
2,750
2,750
5320 Hazardous Waste Removal
Ala"ljaL 3,000 3,000 3,000 3,000 3,000
Total for Hazardous Waste Removal: 3,000 3,000 3,000 3,000 3,000
TOTAL FOR OPERATIONS & MAINTENANCE:
0
30,500 19,830 19,830 19,830 19,830
SF -8
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: CAL TRANS REIMBURSEMENTS (007)
Division: STREET AND PARK MAINT. (316)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Obiect Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Gerber Sign Maker 6,000 0 0 0 0
Total for Capital Outlay -Equipment: 6,000 0 0 0 0
5604 Capital Outlay -Vehicles
10 Whl Dump Trk-67%,Fd 172=33% 63,400 0 0 0 0
Total for Capital Outlay -Vehicles: 63,400 0 0 0 0
5605 Capital Outlay -Computer
21" Monitor (Streets Pool PC)
3,000 1,800
Network Card for Plotter 0 0 700 0 0
Total for Capital Outlay -Computer Equip: 0 3,000 2,500 0 0
TOTAL FOR CAPITAL OUTLAY:
69,400 3,000 2,500 0 0
SF -9
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: CNTY OF S. B. REIMBURSEMENTS (008)
jw n STREET AND PARK MAINT. (316)
PERSONNEL SERVICES
5000 Regular Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5300 Contract Services
TOTAL FOR OPERATIONS & MAINTENANCE:
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Budget Budget Actual Rcmd. Budopt
5,400
5,700
5,700
5,960
5,960
2,000
2,110
2,110
2,210
2,210
7,400
7,810
7,810
8,170
8,170
63,130
65,600
80,650
67,600
67,600
63,130
65,600
80,650
67,600
67,600
TOTAL FOR DIVISION 316: 70,530 73,410 88,460 75,770 75,770
OTAL FOR CNTY OF S. B. REIMBURSEMENTS: 70,530 73,410 88,460 75,770 75,770
SF- 10
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Public Works - S. B. Flood Control
FUND: 008
COST CENTER: 316
OBJECT #
FY 2000/01
Fiscal Year 2001/02
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth.
I Funded
5000
5010
PERSONNEL - FULL TIME
Maint. Supervisor (Parks -Cont.)
PERSONNEL - PART TIME
10%
10%
10%
10%
10%
SF- 11
•
40
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: CNTY OF S. B. REIMBURSEMENTS (008)
n: STREET AND PARK MAINT. (316)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
.,..,.r., _ •���-�uuu� me 63,130 65,600 80,650 67,600 67,600
Total for Contract Services: 63,130 65,600 80,650 67,600 67,600
TOTAL FOR OPERATIONS & MAINTENANCE:
0
63,130 65,600 80,650 67,600 67,600
SF- 12
Fund:
D;
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
CAPITAL RESERVE (025)
NON -DEPARTMENTAL GENERAL (001)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300
Contract Services
5304
Contract Serv/Facilities
5416
General Liability Insurance
5417
General Liability Claims
9290
Transfer Out -Library Fund
TOTAL FOR OPERATIONS & MAINTENANCE:
0
20,000
12,000
135,000
135,000
0
0
0
9,000
9,000
305,000
142,500
86,580
87,000
87,000
300,000
300,000
75,000
250,000
250,000
50,000
50,000
50,000
50,000
50,000
655,000
512,500
223,580
531,000
531,000
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments 40,000 110,000 110,000 94,600 94,600
5650 Capital Project 15,000 25,000 585,000 0 0
TOTAL FOR CAPITAL OUTLAY: 55,000 135,000 695,000 94,600 94,600
TOTAL FOR DIVISION 001:
710,000
647,500
918,580
625,600
625,600
TOTAL FOR CAPITAL RESERVE:
710,000
647,500
918,580
625,600
625,600
SF- 13
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: CAPITAL RESERVE (025) OPERATIONS & MAINTENANCE (5100) DETAIL
Division: NON -DEPARTMENTAL GENERAL (001)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
5300 Contract Services
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
Cable Upgrade City Hall Netwk
G.L. Claims Administration
Telephone Special Projects
Total for Contract Services:
0
0
0
0
0
20,000
0
209000
0
12,000
0
12,000
35,000
15,000
85,000
135,000
35,000
15,000
85,000
135,000
5304 Contract Serv/Facilities
Entry Monument Restoration
Total for Contract Serv/Facilities:
0
0
0
0
0
0
9,000
9,000
9,000
9,000
5416 General Liability Insurance
Regular Premium
Total for General Liability Insurance:
305,000
305,000
142,500
142,500
86,580
86,580
87,000
87,000
87,000
87,000
5417 General Liability Claims
300,000
300,000
75,000
250,000
250,000
( I ) FY 2001/02 -No longer offset by
dept.charges
Total for General Liability Claims:
300,000
300,000
75,000
250,000
250,000
9290 Transfer Out -Library Fund
Total for Transfer Out -Library Fund:
50,000
50,000
50,000
50,000
50,000
50,000
50,000
50,000
50,000
50,000
TOTAL FOR OPERATIONS & MAINTENANCE:
655,000
512,500
223,580
531,000
531,000
SF - 14
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
C APITAL OUTLAY
(5600) DETAIL
Fund: CAPITAL RESERVE (025)
Det: NON -DEPARTMENTAL GENERAL (001)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Obiect Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
9th Street Yard
0
0
0
9,500
9,500
Animal Shelter
0
0
0
600
600
Carpet-RCFSC-Staff Area
10,000
10,000
10,000
0
0
Civic Cnu Parking Lot Expan.
0
0
0
Compressor Overhaul -Annual
11,000
0
0
0
0
Interior doors, public phones
0
0
0
0
11,500
0
11,500
Library Second Floor Reconfig
0
0
0
20,000
20,000
Maint Facility Service Shelter
9,000
0
0
0
Rebuild 5 Chiller Comprsrs@CC
0
100,000
100,000
0
0
0
Sports Complex (curbs,parking)
0
0
0
Storage Exp Over Existng Wrhse
10,000
0
0
53,000
53,000
0
0
Total for Capital Outlay -Bldg Imprvments:
40,000
110,000
110,000
94,600
94,600
5650 Capital Project
15 ,000
25,000
585,000
0
0
Total for Capital Project:
15,000
25,000
585,000
0
0
0
TOTAL FOR CAPITAL OUTLAY: 55,000 135,000 695,000 94,600 94,600
SF- 15
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: CAPITAL RESERVE (025)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Program Description
Adopted
Adopted
Estimated
Manager Adopted
Budget
Budget
Actual
Rcmd Budget
1000 SLURRY SEAL & RESTRIPE PRKLOT
0
25,000
25,000
0
0
1173 REPLACE PAVERS
0
0
0
0
0
1178 DESIGN RESTROOM/STORAGE BLDG
15,000
0
0
0
0
1300 CIVIC CENTER EAST PARKING LOT
0
0
560,000
0
0
TOTAL FOR CAPITAL RESERVE: 15,000 25,000 585,000 0 0
0
0
SF - 16
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
BENEFITS CONTINGENCY (073)
�d:
n: NON -DEPARTMENTAL PERSONNEL (002)
1999/2000 Fiscal Year 2000/01
Fiscal Year
2001/02
Adopted Adopted
Object/Description
Estimated
Manager
Adopted
Budget Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries 0 250,000
242,260
200,000
200,000
TOTAL FOR PERSONNEL SERVICES: 0 250,000
242,260
200,000
200,000
40
TOTAL FOR DIVISION 002:
0 250,000 242,260 200,000 200,000
TOTAL FOR BENEFITS CONTINGENCY: 0 250,000 242,260 200,000 200,000
SF- 17
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: RESOURCE CENTER/ASSESSMENTS (100)
): ASSESSMENT DISTRICT ADMIN (202)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5005 Overtime Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5105
Mileage
5152
Computer Software
5200
Operations & Maintenance
5281
Depreciation - Equipment
5283
Depreciation -Computer Equip
5300
Contract Services
5415
General Liability Charges
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
239,840
266,130
266,130
340,740
340,740
0
310
310
0
0
88,740
98,470
98,470
126,070
126,070
328,580
364,910
364,910
466,810
466,810
3,000
3,500
4,000
4,000
4,000
300
300
300
350
350
5,200
4,700
39,000
0
0
57,200
55,900
68,000
49,700
49,700
410
120
120
120
120
6,450
11,040
11,040
11,040
11,040
29,920
31,920
37,920
31,920
31,920
1,690
1,730
1,730
0
0
73,220
76,380
76,380
0
0
177,390
185,590
238,490
97,130
97,130
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip 19,000 3 020 3 020
Is
0 0
TOTAL FOR CAPITAL OUTLAY: 19,000 3,020 3,020 0 0
TOTAL FOR DIVISION 202: 524,970 553,520 606,420 563,940 563,940
TOTAL FOR RESOURCE 524,970 553,520 606,420 563,940 563,940
CENTER/ASSESSMENTS:
SF- 18
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services FUND: 100
DIVISION: Special Districts Administration COST CENTER: 202
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
F5000
PER ONNEL - FULL TIME
Budget
Request
Budget
GIS/Special Districts Supervisor
50%
50%
50%
50%
50%
Special Districts Technician
100%
100%
100%
100%
100%
Administrative Services Director
10%
10%
10%
10%
10%
GIS Analyst
10%
10%
10%
10%
10%
GIS Technician
10%
10%
10%
10%
10%
Associate Engineer
100%
0%
0%
0%
0%
City Engineer
10%
10%
10%
10%
10%
Assistant Engineer
30%
30%
30%
30%
30%
GIS Technician
100%
100%
100%
100%
100%
GIS Technician
75%
75%
75%
750/
750/c
Management Analyst II
0%
100%
100%
100%
100%
Special Districts Analyst
0%
100%
100%
100%
100%
ALSO SEE:
Geooraohic Information Systems (01-4160)
GIS/Special Districts Supervisor
50%
50%
50%
50%
50%
GIS Technician
25%
25%
25%
25%
25%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
SF- 19
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: RESOURCE CENTER/ASSESSMENTS (100)
DW: ASSESSMENT DISTRICT ADMIN (202)
5105 Mileage
Reimbursement 300 300 300 350 350
Total for Mileage: 300 300 300 350 350
5152 Computer Software
ADAM Software Conversion
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Software
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
4,700
39,000
0 0
3,700
4,700
District Seminars
3,000
3,500
4,000
4,000
4,000
Total for Travel, Meetings & Training:
3,000
3,500
4,000
4,000
4,000
5105 Mileage
Reimbursement 300 300 300 350 350
Total for Mileage: 300 300 300 350 350
5152 Computer Software
ADAM Software Conversion
1,000
0
39,000
0 0
ADAm Software Conversion
0
1,000
0
0 0
Software
4,200
3,700
0
0 0
Total for Computer Software:
5,200
4,700
39,000
0 0
5200 Operations & Maintenance
9 Gigabyte Hard Drive
1,300
1,300
1,300
0
0
Are Macro Language Training
4,000
4,000
12,000
2,000
2,000
Binder Supplies
200
200
0
0
0
County Tapes
5,000
3,700
4,700
3,700
3,700
Delinquency List From County
3,000
3,000
7,200
3,000
3,000
Excel & Word Training
1,500
1,500
0
0
0
GIS Day Materials
0
0
1,000
1,000
1,000
Legal Ads & Newsletters
18,000
18,000
18,000
18,500
18,500
Lien Removals
500
500
500
500
500
Misc Supplies
5,000
5,000
5,000
5,000
5,000
NT Server w/Back Office
2,300
2,300
2,300
0
0
Office Supplies
1,000
1,000
1,000
1,000
1,000
Paying Fiscal Agent Admin Cost
15,000
15,000
15,000
15,000
15,000
Visio Maps & Diagrams
400
400
0
0
0
Total for Operations & Maintenance:
57,200
55,900
68,000
49,700
49,700
5281 Depreciation - Equipment
410
120
120
120
120
Total for Depreciation - Equipment:
410
120
120
120
120
5283 Depreciation -Computer Equip
6,450
11,040
11,040
11,040
11.040
Total for Depreciation -Computer Equip:
6,450
11,040
11,040
11,040
11,040
5300 Contract Services
ADAM Software Upgrade & Maint
3,000
5,000
20,000
12,500
12,500
Computer Equipment Maintenance
1,250
1,250
1,250
1,250
1,250
Legal & Other Technical Srvcs
10,000
10,000
1,000
2,500
2,500
MIS Administration
15,670
15,670
15,670
15,670
15,670
Total for Contract Services:
29,920
31,920
37,920
31,920
31,920
5415 General Liability Charges
1,690
1,730
1,730
0
0
0 �dY
CITY OF RANCHO CUCAMONGA
FISCAL
YEAR 2001/02 BUDGET
OPERATIONS
& MAINTENANCE (5100) DETAIL
Fund: RESOURCE CENTER/ASSESSMENTS (100)
')ivision: ASSESSMENT DISTRICT ADMIN (202)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted Adopted
Estimated
Manager Adopted
Budget Budget
Actual
Rcmd Budget
Total for General Liability Charges:
1,690 1,730
1,730
0 0
5501 AdminJGeneral Overhead
73,220 76,380
76,380
0 0
Total for AdminJGeneral Overhead:
73,220 76,380
76,380
0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
177,390 185,590
238,490
97,130 97,130
0
0
SF -21
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
*n:
d: RESOURCE CENTER/ASSESSMENTS (100)
ASSESSMENT DISTRICT ADMIN (202)
0
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
HP SureStore AutoLoader-Backup 10,500 0 0 0 0
LaserJet 5si NX Printer 4,500 0 0 0 0
Notebook Computer 4,000 3,020 3,020 0 0
Total for Capital Outlay -Computer Equip: 19,000 3,020 3,020 0 0
TOTAL FOR CAPITAL OUTLAY: 19,000 3,020 3,020 0 0
SF -22
Fund:
0n:
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL Ill ET SUMMARY
MASI COMMERCE CENTER (101)
ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300
Contract Services
5330
Payment to Trustee
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
1,000
0
1,000
1,000
1,000
240,780
240,800
240,800
242,630
242,630
2,470
2,460
2,460
0
0
140
150
150
150
150
4,820
4,820
4,820
5,040
5,040
249,210
248,230
249,230
248,820
248,820
TOTAL FOR DIVISION 203:
249,210
248,230
249,230
248,820
248,820
TOTAL FOR MASI COMMERCE CENTER:
249,210
248,230
249,230
248,820
248,820
0
SF -23
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: MASI COMMERCE CENTER (101)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5300 Contract Services
Arbitrage Calculations
1,000
0
1,000
1,000
1,000
Total for Contract Services:
1,000
0
1,000
1,000
1,000
5330 Payment to Trustee
240,780
240,800
240,800
242,630
242,630
Total for Payment to Trustee:
240,780
240,800
240,800
242,630
242,630
5415 General Liability Charges
2,470
2,460
2,460
0
0
Total for General Liability Charges:
2,470
2,460
2,460
0
0
5500 Assessment Administration
140
150
150
150
150
Total for Assessment Administration:
140
150
150
150
150
5501 Admin./General Overhead
4,820
4,820
4,820
5,040
5,040
Total for AdminJGeneral Overhead:
4,820
4,820
4,820
5,040
5,040
TOTAL FOR OPERATIONS & MAINTENANCE:
249,210
248,230
249,230
248,820
248,820
r�
•
SF - 24
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
ifF nd: AB2766 AIR QUALITY IMPROVEMENT (105)
: GRANT MANAGEMENT (AQMD) (208)
SF - 25
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
_
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
5030 Fringe Benefits
13,330
12,100
12,100
13,970
13,970
4,930
4,260
4,260
4,920
4,920
TOTAL FOR PERSONNEL SERVICES:
18,260
16,360
16,360
18,890
18,890
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
91,200
91,200
91,200
91,200
91,200
5300 Contract Services
59,600
1,600
1,600
1,600
1,600
5415 General Liability Charges
1,510
930
930
0
TOTAL FOR OPERATIONS & MAINTENANCE:
152,310
93,730
93,730
0
92,800
92,800
CAPITAL OUTLAY
5650 Capital Project
0
58,000
2,000
87,000
87,000
TOTAL FOR CAPITAL OUTLAY:
0
58,000
2,000
87,000
87,000
TOTAL FOR DIVISION 208:
198,690
170,570
168,090
112,090
198,690
TOTAL FOR AB2766 AIR QUALITY
170,570
168,090
112,090
198,690
198,690
IMPROVEMENT:
SF - 25
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services FUND: 105
DIVISION: Air Quality Improvement Grant COST CENTER: 208
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
I Funded
Budget
Request
Budget
5000
PERSONNEL - FULL TIME
Personnel Services Coordinator
30%
30%
30%
30%
30%
ALSO SEE:
Personnel 1001-2101
Personnel Services Coordinator
70%
70%
70%
70%
70%
SF -26
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AB2766 AIR QUALITY IMPROVEMENT (105)
n GRANT MANAGEMENT (AQMD) (208)
5300 Contract Services
Metrolink Station Security
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
1,600
5415 General Liability Charges
1,510
930
930
1/2 Hour Incentive
90,000
90,000
90,000
90,000
90,000
Rideshare Incentives
1,200
1,200
1,200
1,200
1,200
Total for Operations & Maintenance:
91,200
91,200
91,200
91,200
91,200
5300 Contract Services
Metrolink Station Security
58,000
0
0
0
Special Audit Services
1,600
1,600
1,600
1,600
0
1,600
Total for Contract Services:
59,600
1,600
1,600
1,600
1,600
5415 General Liability Charges
1,510
930
930
0
0
Total for General Liability Charges:
1,510
930
930
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 152,310 93,730 93,730 92,800 92,800
0
0
SF - 27
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
r'unding Source: AB2766 AIR QUALITY IMPROVEMENT (105) .
Object: 5650 1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Project/ Adopted Adopted Estimated Manager Adopted
Program Description Budget Budget Actual Rcmd Budget
1238 BUS BAYS-DSGN&CONST @ VARIOUS 0 58,000 2,000 87,000 87.000
TOTAL FOR AB2766 AIR QUALITY 0 58,000 2,000 87,000 87,000
IMPROVEMENT:
SF -28
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
06F nd: BEAUTIFICATION (110)
: STREET AND PARK MAINT. (316)
0
TOTAL FOR DIVISION 316:
601,010 1,280,050 764,550 1,421,360 1,421,360
TOTAL FOR BEAUTIFICATION: 601,010 1,280,050 764,550 1,421,360 1,421,360
SF - 29
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
ObjecUDescription
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
60,180
63,520
63,520
66,410
66,410
5030 Fringe Benefits
22,270
23,500
23,500
24,570
24,570
TOTAL FOR PERSONNEL SERVICES:
82,450
87,020
87,020
90,980
90,980
OPERATIONS & MAINTENANCE
5281 Depreciation - Equipment
290
530
530
530
530
5300 Contract Services
12,000
130,000
80,000
50,000
50,000
5501 Admin./General Overhead
35,020
90,000
90,000
41,250
41,250
TOTAL FOR OPERATIONS & MAINTENANCE:
47,310
220,530
170,530
91,780
91,780
CAPITAL OUTLAY
5650 Capital Project
471,250
972,500
507,000
1,238,600
1 238 600
TOTAL FOR CAPITAL OUTLAY:
471,250
972,500
507,000
1,238,600
1,238,600
0
TOTAL FOR DIVISION 316:
601,010 1,280,050 764,550 1,421,360 1,421,360
TOTAL FOR BEAUTIFICATION: 601,010 1,280,050 764,550 1,421,360 1,421,360
SF - 29
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Beautification
FUND: 110
COST CENTER: 316
SF -30
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL-- FULL TIME
Associate Park Planner
100%
100%
100%
100%
100%
Secretary
15%
15%
15%
15%
15%
ALSO SEE:
Engineering Admin 11001303)
Secretary
65%
65%
65%
65%
65%
LMD 2 Victoria !Fund 11313031
Secretary
20%
20%
20%
20%
20%
SF -30
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: BEAUTIFICATION (I 10) OPERATIONS & MAINTENANCE (51 0(k) DETAIL
n STREET AND PARK MAINT. (316)
5300 Contract Services
Beautification Nexus
Foothill Fwy Landscape Enhance
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
5281 Depreciation - Equipment
Total for Depreciation - Equipment:
Adopted
Budget
290
290
Adopted Estimated
Budget Actual
530 530
530 530
Manager Adopted
Rcmd Budget
530 530
530 530
5300 Contract Services
Beautification Nexus
Foothill Fwy Landscape Enhance
2,000
50,000
0
50,000
50,000
I-15 Fwy Landscape Enhancement
10,000
0
0
0
0
0
80,000
80,000
0
0
Total for Contract Services:
12,000
130,000
80,000
50,000
50,000
5501 AdminJGeneral Overhead
35,020
90,000
90,000
41,250
41,250
Total for AdminJGeneral Overhead:
35,020
90,000
90,000
41,250
41,250
TOTAL FOR OPERATIONS & MAINTENANCE:
0
E
47,310 220,530 170,530 91,780 91,780
SF -31
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: BEAUTIFICATION (110)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted
Adopted
Estimated
Manager
Adopted
Program Description
Budget
Budget
Actual
Rcmd
Budget
1062 TREE REPLANTINGS
0
0
0
16,100
16,100
1087 CONCRETE FENCE REPLACEMENT
0
35,500
15,000
20,500
20,500
1119 CALSENSE RETROFITS DTR -2
80,000
80,000
80,000
0
0
1129 HAVEN MEDIAN RETROFITS
210,000
0
0
0
0
1130 HAVEN WEST SIDE CHRCH-BASLNE
81,000
0
0
0
0
1159 METROLINK CORRIDOR EEM PROGRM
100,250
0
0
0
0
1172 CARNELIAN LNDSCP S/O VINEYARD
0
300,000
0
300,000
300,000
1245 SB RD LANDSCAPE RESTORATION
0
20,000
20,000
0
0
1246 WILSON-LANDSCAPEMEDIAN/PRKWY
0
377,000
377,000
2,000
2,000
1247 PASEO LIGHTING @ VARIOUS LOCA
0
160,000
15,000
145,000
145,000
1318 19TH ST LNDSC IMPROVEMENTS
0
0
0
369,000
369,000
1319 HELLMAN AVE E ARROW -FOOTHILL
0
0
0
164,000
164,000
1320 ARROW ROUTE HELLMAN-ARCHIBALD
0
0
0
222,000
222,000
TOTAL FOR BEAUTIFICATION: 471,250 972,500 507,000 1,238,600 1,238,600
9
SF -32
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
d: DRAINAGE FAC/GENERAL (112) ANNUAL BUDGET SUMMARY
> : ENGINEERING - ADMINISTRATION (303)
TOTAL FOR DIVISION 303:
568,140 595,330 556,350 5,313,110 5,313,110
TOTAL FOR DRAINAGE FAC/GENERAL: 568,140 595,330 556,350 5,313,110 5,313,110
SF -33
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
5030 Fringe Benefits
42,060
44,400
44,400
46,430
46,430
15,560
16,430
16,430
17,180
17,180
TOTAL FOR PERSONNEL SERVICES:
57,620
60,830
60,830
63,610
63,610
OPERATIONS & MAINTENANCE
5152 Computer Software
9,000
0
0
5300 Contract Services
0
0
0
0
5501 Admin./General Overhead
18,000
52,500
19,020
52,500
0
97,500
0
97,500
TOTAL FOR OPERATIONS & MAINTENANCE:
27,000
52,500
71,520
97,500
97,500
CAPITAL OUTLAY
5650 Capital Project
483,520
482,000
424,000
5,152,000
5,152,000
TOTAL FOR CAPITAL OUTLAY:
483,520
482,000
424,000
5,152,000
5,152,000
TOTAL FOR DIVISION 303:
568,140 595,330 556,350 5,313,110 5,313,110
TOTAL FOR DRAINAGE FAC/GENERAL: 568,140 595,330 556,350 5,313,110 5,313,110
SF -33
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development FUND: 112
DIVISION: Engineering - General City Drainage COST CENTER: 303
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopt&C
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
Budget
Request
Budget
5000
PERSONNEL - FULL TIME
Deputy City Engineer
50%
50%
50%
50%
50%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
SF - 34
•
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: DRAINAGE FAC/GENERAL (112)
Dqn: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object OWect Description Budget Budget Actual Rcmd. Budget
5152 Computer Software
AES Hydraulics & Hydrology 9,000 0 0 0 0
Total for Computer Software: 9,000 0 0 0 0
5300 Contract Services
Contract Employee Services
Total for Contract Services:
0
0
0
0
19,020
19,020
0
0
0
0
5501 Admin./General Overhead
Total for Admin✓General Overhead:
18,000
18,000
52,500
52,500
52,500
52,500
97,500
97,500
97,500
97,500
TOTAL FOR OPERATIONS & MAINTENANCE:
0
27,000 52,500 71,520 97,500 97,500
SF -35
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: DRAINAGE FAC/GENERAL (112)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted
Adopted
Estimated
Manager
Adopted
Program Description
Budget
Budget
Actual
Rcmd
Budget
1026 DEVELOPER REIMBURSEMENTS
100,000
280,000
204,000
139,000
139,000
1169 CARNELIAN STORM DRAIN
383,520
2,000
0
0
0
1277 ALMOND TRAIL DRAINAGE CONST
0
200,000
200,000
2,000
2,000
1291 CARNELIAN STRM VIVERO-N/O BSLN
0
0
0
1,300,000
1,300,000
1292 HERMOSA-N/O CHURCH -N/O BSLNE
0
0
20,000
3,711,000
3,711,000
TOTAL FOR DRAINAGE FAC/GENERAL:
483,520
482,000
424,000
5,152,000
5,152,000
0
0
SF - 36
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: ETIWANDA DRAINAGE (116)
>: ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted
Object/Description
Estimated
Manager
Adopted
Budget Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5501 AdmindGeneral Overhead 3,620 6,000
6,000
12,300
12,300
TOTAL FOR OPERATIONS & MAINTENANCE: 3,620 6,000
6,000
12,300
12,300
CAPITAL OUTLAY
5650 Capital Project 10,000 20,000
88,260
20,000
20,000
TOTAL FOR CAPITAL OUTLAY: 10,000 20,000
88,260
20,000
20,000
0
TOTAL FOR DIVISION 303:
13,620 26,000 94,260 32,300 32,300
TOTAL FOR ETIWANDA DRAINAGE: 13,620 26,000 94,260 32,300 32,300
SF - 37
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: ETIWANDA DRAINAGE (116)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted Estimated
Manager
Adopted
Object Object Description Budget Budget Actual
Rcmd
Budget
5501 AdminJGeneralOverhead 3,620 6,000 6,000
12,300
12,300
Total for AdminJGeneral Overhead: 3,620 6,000 6,000
12,300
12,300
TOTAL FOR OPERATIONS & MAINTENANCE: 3,620 6,000 6,000
12,300
12,300
0
SF -38
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
_CAPITAL PROTECTS DETAIL
Fing Source: ETIWANDA DRAINAGE (I 16)
Object: 5650
Project/
1999/2000
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Program Description
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
1026 DEVELOPER REIMBURSEMENTS
10,000
20,000
88,260
20,000
20,000
TOTAL FOR ETIWANDA DRAINAGE:
10,000
20,000
88,260
20,000
20,000
0
SF -39
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
F dP ANNUAL BUDGET SUMMARY
•
n ARKDEVELOPMENT(120)
5100
Travel, Meetings & Training
5152
Computer Software
5160
1: ENGINEERING - DEVELOPMENT MGT (305)
5200
Operations & Maintenance
5281
Depreciation - Equipment
5300
Contract Services
1999/2000
Fiscal Year 2000/01
Fiscal Year
2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
1,780
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
1,850
1,710
1,710
0
0
5000 Regular Salaries
5010 Part Time Salaries
40,710
43,190
43,190
51,610
51,610
5030 Fringe Benefits
10,000
15,150
0
15,980
0
15,980
0
19,100
0
19,100
TOTAL FOR PERSONNEL SERVICES:
65,860
59,170
59,170
1,649,000
1,352,000
4,721,950
4,721,950
994,420
1,675,110
70,710
70,710
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5152
Computer Software
5160
Membership Dues
5200
Operations & Maintenance
5281
Depreciation - Equipment
5300
Contract Services
5415
General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5602
Capital Outlay -Bldg Imprvments
5605
Capital Outlay -Computer Equip
5650
Capital Project
650
TOTAL FOR CAPITAL OUTLAY:
•
1,000
1,000
80
1,000
1,000
1,560
650
650
0
0
0
520
510
210
210
1,000
2,000
2,000
2,000
2,000
980
1,780
1,780
1,780
1,780
180,000
165,000
106,000
137,000
137,000
1,850
1,710
1,710
0
0
186,390
172,660
112,730
141,990
141,990
0
26,000
4,000
22,000
22,000
5,420
110
110
0
0
989,000
1,649,000
1,352,000
4,721,950
4,721,950
994,420
1,675,110
1,356,110
4,743,950
4,743,950
TOTAL FOR DIVISION 305:
1,246,670
1,906,940
1,528,010
4,956,650
4,956,650
TOTAL FOR PARK DEVELOPMENT:
1,246,670
1,906,940
1,528,010
4,956,650
4,956,650
SF -40
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Park Development
FUND: 120
COST CENTER: 305
SF -41
0
0
FY 2001/0
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth. Funded
5000
PERSONNEL - FULL TIME
Senior Park Planner
70%
80%
80% 80%
80%
ALSO SEE:
CDBG (Fund 204
Senior Park Planner
30%
20%
20% 20%
20%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Engineering Intern
SF -41
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: PARK DEVELOPMENT (120)
DW: ENGINEERING - DEVELOPMENT MGT (305)
SF -42
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
CA Parks & Rec Society Meeting
1,000
1,000
80
1,000
1,000
Total for Travel, Meetings & Training:
1,000
1,000
80
1,000
1,000
5152 Computer Software
ArcView
820
0
0
0
0
Chameleon NFS
350
0
0
0
MS Office 2000 Pro
270
0
0
0
0
Oracle 7 ODBC Drivers
120
0
0
PhotoShop Deluxe
0
650
0
0
0
650
0
0
Total for Computer Software:
1,560
650
650
0
0
5160 Membership Dues
CPRS
0
120
140
140
140
Landscape Architecture Regist.
0
330
300
NRPA
0
70
70
0
70
0
70
Total for Membership Dues:
0
520
510
210
210
At5200 Operations & Maintenance
Supplies For Special Protects
1,000
2,000
2,000
2,000
2,000
Total for Operations & Maintenance:
1,000
2,000
2,000
2,000
2,000
5281 Depreciation - Equipment
980
1,780
1,780
1,780
1,780
Total for Depreciation - Equipment:
980
1,780
1,780
1,780
1,780
5300 Contract Services
Central Park Strategic Srvcs
0
50,000
560
50,000
50,000
Consultant Services ADA Imprvm (1)
5,000
5,000
10,000
7,000
7,000
Contingent Services
20,000
50,000
65,440
20,000
20,000
Old Town Prk Touch Pad Design
35,000
0
0
0
Play Equip Instl-Vntge&WGrnway
60,000
0
0
0
0
Prof Services/Contractors
60,000
60,000
30,000
60,000
0
60,000
{ 11 Fund 170=75%, Fund 120=25%
Total for Contract Services:
180,000
165,000
106,000
137,000
137,000
5415 General Liability Charges
1,850
1,710
1,710
0
0
Total for General Liability Charges:
1,850
1,710
1,710
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
186,390
172,660
112,730
141,990
141,990
0
SF -42
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: PARK DEVELOPMENT (120)
Division: ENGINEERING - DEVELOPMENT MGT (305)
Ll
TOTAL FOR CAPITAL OUTLAY:
994,420 1,675,110 1,356,110 4,743,950 4,743,950
SF - 43
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
Build Trash Enc] @ Milliken Pk
0
10,000
0
10,000
10,000
Modem/Phone Line/Calsense Etwd
0
4,000
4,000
0
0
Trash Encl Modifications Gen'I
0
12,000
0
12,000
12,000
Total for Capital Outlay -Bldg Imprvments:
0
26,000
4,000
22,000
22,000
5605 Capital Outlay -Computer Equip
CAD/GIS PC w/21" Monitor
4,500
0
0
0
0
Color Printer -HP 1120C
470
0
0
0
0
Color Scanner -HP 5100C
450
0
0
0
0
Zip Drive
0
110
110
0
0
Total for Capital Outlay -Computer Equip:
5,420
110
110
0
0
5650 Capital Project
989,000
1,649,000
1 352 000
4,721,950
4 721950
Total for Capital Project:
989,000
1,649,000
1,352,000
4,721,950
4,721,950
TOTAL FOR CAPITAL OUTLAY:
994,420 1,675,110 1,356,110 4,743,950 4,743,950
SF - 43
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
mg Source: PARK DEVELOPMENT (120)
Object: 5650
Project/
1059 REHAB @ VARIOUS PARKS
1116 RE -LANDSCAPE SLOPES
1142 MONTE VISTA DESIGN
1144 TRAILER RELOCATION
1201 SECURITY LIGHTING @ CHURCH PK
1202 SCOREBOARDS @ ETIWANDA CRK PRK
1203 REHAB & RECONST TOT LOT @ BERT
1204 REHAB & RECONST TOT LOT @ BERY
1205 RESIDENT SURF @ ETIWANDA CR PK
1206 RED HILL STORAGE BUILDING
1207 BLDG REHAB @ RDHL & BERT PARKS
1208 TRAIL CONNECTIONS REMAIN CHANL
1209 MODIFY SOFTBALL DUGOUTS @ SPOR
1222 FIELD REHAB
1239 CHURCH PARK SOCCER FIELD REHAB
1240 CONSTRUCT TRASH ENCL-RED HILL
1241 CONSTR STORAGE BINS -HERITAGE P
�
42 EXT OF FENCES @ SPORTS COMPLEX
43 FIELD NETTING @ SPORTS COMPLEX
1244 RED HILL SOCCER FIELDS REHAB
1272 BERYL PARK FIELD RENOVATION
1304 W. BERYL PARK SOCCER FIELD CON
1305 REPLACE SAND@BEAR GULCH PARK
1306 REPLACE SAND@COYOTE CANYON PR:
1307 REPLACE SAND @ SPRUCE PARK
1308 INFO KIOSK @ SPRUCE SKATE PARK
1309 RE -SOD DOG PARK @ ECP
1310 RESURFACE BASKETBALLCRT-HERTG
1311 REPLACE EXERCISE STN@ HERITAGE
1312 NAPA SOCCER FIELD DEVELOPMENT
1313 DEV 5 ACRE DIV PACIFIC PARK
1316 DEV 10 ACRE DAY CREEK SITE
1317 PACIFIC ELECTRIC TRAIL
1321 BRIDGE REPAIR @ HERITAGE
1322 RELAMP SPORTS LTS @ BERYL PARK
1335 LNDSCPE S/S HGHLND,BERYL-HRMSA
TOTAL FOR PARK DEVELOPMENT:
11
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Budget Budget Actual Rcmd. R..doot
0
175,000
175,000
200,000
200,000
0
80,000
0
80,000
80,000
1,000
0
0
0
0
1,000
0
0
0
0
100,000
0
0
0
0
50,000
0
0
0
0
210,000
400,000
400,000
0
0
145,000
300,000
300,000
63,000
63,000
90,000
0
0
0
0
90,000
100,000
100,000
0
0
57,000
57,000
57,000
0
0
50,000
75,000
75,000
0
0
195,000
195,000
0
195,000
195,000
0
0
0
30,000
30,000
0
70,000
70,000
0
0
0
15,000
0
15,000
15,000
0
7,000
0
7,000
7,000
0
5,000
5,000
0
0
0
5,000
5,000
0
0
0
165,000
165,000
0
0
0
0
0
6,500
6,500
0
0
0
163,000
163,000
0
0
0
70,000
70,000
0
0
0
20,500
20,500
0
0
0
13,000
13,000
0
0
0
10,000
10,000
0
0
0
8,750
8,750
0
0
0
1,200
1,200
0
0
0
20,000
20,000
0
0
0
2,700,000
2,700,000
0
0
0
750,000
750,000
0
0
0
0
0
0
0
0
0
0
0
0
0
54,000
54,000
0
0
0
15,000
15,000
0
0
0
300,000
300,000
989,000 1,649,000 1,352,000 4,721,950 4,721,950
SF -44
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: TRANSPORTATION (124)
ENGINEERING -ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
387,000
631,900
631,900
669,510
669,510
5030 Fringe Benefits
0
143,190
0
233,800
0
233,800
7,410
247,870
7,410
247,870
TOTAL FOR PERSONNEL SERVICES:
530,190
865,700
865,700
924,790
924,790
OPERATIONS & MAINTENANCE
5152 Computer Software
900
11,400
10,960
5,390
5,390
5251 Depreciation - Vehicles
2,160
3,930
3,930
3,930
3,930
5281 Depreciation - Equipment
2,380
2,850
2,850
2,850
2,850
5283 Depreciation -Computer Equip
16,480
11,200
11,200
11,200
11,200
5300 Contract Services
0
15,000
15,000
15,000
15,000
5501 Admin./General Overhead
173,460
300,000
300,000
679,500
679,500
TOTAL FOR OPERATIONS & MAINTENANCE:
195,380
344,380
343,940
717,870
717,870
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
4,550
120
1,100
170
170
5650 Capital Project
2,617,800
2,938,550
2,660 340
7,807,000
7 807 000
TOTAL FOR CAPITAL OUTLAY:
2,622,350
2,938,670
2,661,440
7,807,170
7,807,170
0
TOTAL FOR DIVISION 303:
3,347,920 4,148,750 3,871,080 9,449,830 9,449,830
TOTAL FOR TRANSPORTATION: 3,347,920 4,148,750 3,871,080 9,449,830 9,449,830
SF - 45
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development FUND: 124
DIVISION: Transportation Systems Development COST CENTER: 303
SF -46
0
0
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERS NNEL - FULL TIME
Office Specialist II
35%
35%
35%
35%
35%
Traffic Engineer
35%
35%
35%
35%
35%
Associate Engineer
25%
25%
25%
25%
25%
Assistant Engineer
90%
90%
90%
90%
90%
Engineering Technician
40%
40%
40%
40%
40%
Senior Civil Engineer
80%
80%
80%
80%
80%
Associate Engineer
50%
50%
50%
50%
50%
Assistant Engineer
30%
30%
30%
30%
30%
Assistant Engineer
25%
35%
35%
35%
350/c
Assistant Engineer
40%
40%
40%
40%
40%
Assistant Engineer
60%
60%
60%
60%
60%
Engineering Aide
30%
30%
30%
30%
30%
Engineering Technician
40%
40%
40%
40%
40%
Public Works Inspector II
40%
40%
40%
40%
40%
Junior Engineer
20%
20%
20%
20%
20%
Associate Engineer
80%
80%
80%
80%
80%
Associate Engineer
50%
50%
50%
50%
50%
Public Works Inspector II
30%
50%
50%
50%
50%
Assistant Engineer
50%
50%
50%
50%
50%
Management Analyst II
50%
50%
50%
50%
50%
Office Specialist II
75%
75%
75%
75%
75%
Associate Engineer
80%
80%
80%
80%
80%
Senior Civil Engineer
20%
0%
0%
0%
0%
PERSONNEL - PART TIME
5010
Senior Civil Engineer
0%
100%
100%
100%
100%
SF -46
0
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
d: TRANSPORTATION (124) OPERATIONS & MAINTENANCE (5100) DETAIL
un
1 n: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5152 Computer Software
2 -Autocad 2000 NT CD Or Latest
0
5,520
5,520
0
0
2-VIP/AutoCad 2000(Update Sub)
0
890
890
0
0
Acad Turning Templates -Traffic
0
540
540
0
0
AutoCad 2000
0
440
0
440
440
CAD Overlay 2000 Upgrade wNIP
0
0
0
0
2,510
2,510
Cad Overlay 2000
0
0
0
1,800
1,800
Crystal Report Upgrade
1,030
1,030
0
0
Paint Shop Pro 7(4)
0
0
0
0
140
140
S fd I-
2 160
0
0
500
500
o f es Civil Design
0
2,430
2,430
0
0
Softdesk Survey
0
890
890
0
0
Traf Sig Simulation & Analysis
900
0
0
679,500
679,500
VIP/Cad Overlay 2000-Updte Sub
0
300,000
300,000
0
0
VIP/Civil Design -Update Subscr
0
170
170
0
0
VIP/Survey-Update Subscription
0
270
270
0
0
110
110
0
0
Total for Computer Software:
900
11,400
10,960
5,390
5,390
5251 Depreciation - Vehicles
2 160
3 930
3 930
3,930
3,930
Total for Depreciation - Vehicles:
05281
2,160
3,930
3,930
3,930
3,930
Depreciation - Equipment
2,380
2,850
2,850
2,850
2,850
Total for Depreciation - Equipment:
2,380
2,850
2,850
2,850
2,850
5283 Depreciation -Computer Equip
16,480
11,200
11,200
11,200
11,200
Total for Depreciation -Computer Equip:
16,480
11,200
11,200
11,200
11,200
5300 Contract Services
Illumntd St Name Sign Relocatn
0
15,000
15,000
15,000
15,000
Total for Contract Services:
0
15,000
15,000
15,000
15,000
5501 Admin./General Overhead
173,460
300,000
300,000
679,500
679,500
Total for AdminJGeneral Overhead:
173,460
300,000
300,000
679,500
679,500
TOTAL FOR OPERATIONS & MAINTENANCE:
0
195,380 344,380 343,940 717,870 717,870
SF - 47
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: TRANSPORTATION (124)
Division: ENGINEERING - ADMINISTRATION (303)
Total for Capital Outlay -Computer Equip: 4,550 120 1,100 170 170
5650 Capital Project 2,617,800 2 938 550 2,660,340 7 807 000 7,807,000
Total for Capital Project: 2,617,800 2,938,550 2,660,340 7,807,000 7,807,000
TOTAL FOR CAPITAL OUTLAY: 2,622,350 2,938,670 2,661,440 7,807,170 7,807,170
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budget
Budget
Actual
Rcmd Budget
5605 Capital Outlay -Computer Equip
21" Monitor
1,500
0
0
0
0
Deskjet 1120C -Design Section
450
0
0
0
0
HP Scan Jet 4300
0
0
0
170 170
Pool Standard PCw/17"-Eng Insp
2,600
0
0
0
0
Zip Drive
0
120
1,100
0
0
Total for Capital Outlay -Computer Equip: 4,550 120 1,100 170 170
5650 Capital Project 2,617,800 2 938 550 2,660,340 7 807 000 7,807,000
Total for Capital Project: 2,617,800 2,938,550 2,660,340 7,807,000 7,807,000
TOTAL FOR CAPITAL OUTLAY: 2,622,350 2,938,670 2,661,440 7,807,170 7,807,170
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Fng Source: TRANSPORTATION (124)
IV Object: 5650
Project/
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Program Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
1005 SIGNAL: FOOTHILL AND RAMONA
180,000
180,000
0
0
1026 DEVELOPER REIMBURSEMENTS
500,000
500,000
500,000
500,000
0
500,000
1074 ETIWANDA @ ATSFRR
5,000
270,000
50,000
350,000
350,000
1076 ETIWANDA (6TH TO ARROW)
5,000
5,000
5,000
0
1078 SIGNAL:ARROW @ BAKER
3,000
0
0
0
1080 SIGNAL:MILLIKEN @ 4TH(W/O ONT)
118,000
0
0
0
1081 6TH ST @ RR SPUR W/LUCAS RANCH
517,000
517,000
0
0
0
517,000
0
517,000
1126 SIGNAL: 4TH & HERMOSA
1,000
0
0
1131 DAY CREEK BLVD(BSLNE TO HGHLND
0
10,000
10,000
0
0
0
1132 SIGNAL & STREET RVIP:FOOTHILL
100,000
100,000
0
140,000
0
140,000
1157 SIGNAL UPGRADE -CARNELIAN ST
70,000
0
0
1160 OPTICOM SYSTEMS FOR RTE 30 RLT
12,000
12,000
12,000
0
12,000
0
12,000
1162 SIGNAL@ROCHESTER & VICTORIA PR
12,430
0
0
1163 SIGNAL@CARNELIAN & HIGHLAND
16,160
0
0
0
0
1164 SIGNAL@ROCHESTER & VINTAGE
13,000
0
0
0
1189 FOOTHILL -GROVE TO VINEYARD
345,210
345,210
0
900,000
0
25,000
0
25,000
1210 SIGNAL & ST WIDEN E. AVE @ VIN
300,000
0
0
1211 ISNS CONVERSION
20,000
0
0
0
0
0
0
2 CONVERSION PROTCTD LFT TURN PH
30,000
0
0
13 SIGNAL: FTHIL BLVD @ CTR AVE
150,000
150,000
150,000
0
2,000
0
2,000
1214 SIGNAL: CARNELAIN@LA VINE ST
120,000
5,000
5,000
0
0
1215 BASELINEII-15 RAMP -PROD STUDY
100,000
12,340
12,340
0
0
1231 SIGNAL-BANYAN@FREDRICKSBERG
0
5,000
185,000
0
1248 6TH ST @ 1-15 PROJECT STUDY
0
150,000
150,000
0
0
0
1249 BASELINE @ I-15 FWY STUDY
0
100,000
0
350,000
350,000
1250 FOOTHILL-HAVEN/RCHSTR RESTRIPE
0
50,000
12,000
38,000
38,000
1251 ILLUMINATED SIGNAL NAME SIGNS
0
20,000
20,000
20,000
20,000
1252 MILLIKEN WIDENING 4TH -7TH
0
271,000
0
271,000
271,000
1253 SIGNAL: MILLIKEN @ VINTAGE
0
47,000
0
47,000
47,000
1254 SIGNAL: ROCHESTER @ LARK
0
130,000
130,000
0
0
1275 ROCHESTER ST IMPR V N/RTE 30
0
59,000
140,000
5,000
5,000
1276 EV CHARGING STATION NETWORK
0
0
200,000
0
1281 CARNELIAN & LA VINE LEFT TURN
0
0
0
0
1282 FOOTHILL MEDIANS PHASE II
0
0
179,000
25,000
25,000
0
0
1283 STREET IMP @ BASELINE & 115
0
0
0
500,000
500,000
1284 CONTROLLER POWER CONDITIONERS
0
0
0
20,000
20,000
1285 SIGNAL @ETIWANDA & VICTORIA
0
0
0
130,000
130,000
1286 SIGNAL MODI @ 19TH & ARCHIBALD
0
0
0
50,000
50,000
1287 PED SIG ETWANDA & EIS
0
0
0
60,000
60,000
6TH ST @ 115 FWY PROJECT REPRT
0
0
0
350,000
350,000
9 RESIDENTIAL TRAFFIC MGMT PROG
0
0
0
75,000
75,000
1290 INTERCNCT(BSLNE)ALTACUEST/SPRC
0
0
0
220,000
220,000
SF - 49
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: TRANSPORTATION (124)
Object: 5650
Project/
Program Description
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Budget
Adopted Estimated
Budget Actual
Manager Adopted
Rcmd Budget
1323 R/W ACQUISITION I-15 @BASELINE
1331 R/W ACQUISITION I-15@ARROW RTE
1336 CHURCH ST -RIGHT TURN W/HAVEN
0
0
0
0 0
0 0
0 0
2,000,000
2,000,000
100,000
2,000,000
2,000,000
100,000
TOTAL FOR TRANSPORTATION:
2,617,800
2,938,550 2,660,340
7,807,000
7,807,000
0
SF - 50
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LAND MAINT #1/GEN CITY (130)
D*: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year
2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object/Description Budget
Budget Actual
Remit
Budget
PERSONNEL SERVICES
5000
Regular Salaries
36,920
49,320
49,320
50,410
50,410
5005
Overtime Salaries
1,400
0
0
0
0
5010
Part Time Salaries
3,600
4,000
4,000
4,000
4,000
5030
Fringe Benefits
13,730
18,330
18,330
18,730
18,730
5650
TOTAL FOR PERSONNEL SERVICES:
55,650
71,650
71,650
73,140
73,140
OPERATIONS & MAINTENANCE
TOTAL FOR CAPITAL OUTLAY:
65,700
36,790
44,280
12,740
5200
Operations & Maintenance
58,220
67,420
67,420
64,070
64,070
5204
O & M/Facilities
17,000
17,000
17,000
17,000
17,000
5250
Vehicle Operations & Maint.
16,310
16,310
16,000
3,000
3,000
5251
Depreciation -Vehicles
3,370
6,130
6,130
6,130
6,130
5252
Emergency & Routine Veh Rent
2,500
1,000
2,100
1,000
1,000
5280
Equip Operations & Maint
4,800
4,800
4,800
4,800
4,800
5281
Depreciation - Equipment
1,360
3,940
3,940
3,940
3,940
5283
Depreciation -Computer Equip
120
1,480
1,480
1,480
1,480
5300
Contract Services
592,400
614,300
779,850
632,600
632,600
5304
Contract Serv/Facilities
11,000
16,000
16,000
16,000
16,000
5310
Tree Maintenance
42,500
43,500
43,500
43,500
43,500
5400
Telephone Utilities
2,500
2,630
2,630
2,630
2,630
02
Water Utilities
143,000
150,150
150,150
154,000
154,000
03
Electric Utilities
50,000
50,000
51,250
55,000
55,000
5415
General Liability Charges
10,690
11,180
11,180
0
0
5500
Assessment Administration
49,390
49,390
49,390
51,510
51,510
5501
Admin./General Overhead
74,210
74,210
74,210
72,030
72,030
TOTAL FOR OPERATIONS & MAINTENANCE:
1,079,370
1,129,440
1,297,030
1,128,690
1,128,690
CAPITAL OUTLAY
5602
Capital Outlay -Bldg Imprvments
16,080
0
2,880
0
0
5603
Capital Outlay -Equipment
6,200
17,340
14,940
6,740
6,740
5604
Capital Outlay -Vehicles
11,400
0
6,300
0
0
5605
Capital Outlay -Computer Equip
6,300
450
1,160
0
0
5650
Capital Project
25,720
19,000
19,000
6,000
6,000
TOTAL FOR CAPITAL OUTLAY:
65,700
36,790
44,280
12,740
12,740
TOTAL FOR DIVISION 303:
1,200,720
1,237,880
1,412,960
1,214,570
1 214 570
TOTAL
FOR LAND MAINT #1/GEN CITY:
1,200,720
1,237,880
1,412,960
1,214,570
1,214,570
0
SF -51
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services
DIVISION: LMD 1 General
FUND: 130
COST CENTER: 303
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
Budget
Request
Budget
5000
PERSONNEL - FULL TIME
Maint. Suprv. (Parks -East)
20%
20%
20%
20%
20%
Maint. Worker (Parks Contract Support)
15%
15%
15%
15%
15%
Sr. Maintenance Worker
20%
20%
20%
20%
20%
Maint. Suprv.
10%
10%
10%
10%
10%
Maint. Worker
30%
30%
30%
30%
30%
Maint. Worker
30%
30%
30%
30%
30%
5005
PERSONNEL -OVERTIME
5010
PERSONNEL - PART TIME
Seasonal Technician
100%
100%
100%
100%
100%
SF - 52
9
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT #1/GEN CITY (130)
*n: ENGINEERING - ADMINISTRATION (303)
Object Object Description
5200 Operations & Maintenance
1999/2000
Adopted
Budget
Fiscal Year 2000/01
Adopted Estimated
Budget Actual
Fiscal Year 2001/02
Manager Adopted
Rcmd Budget
Calsense Radio Charges
18,000
17,300
17,300
17,800
17,800
Graffiti Removal Supplies
320
320
320
320
320
MWD Lease East/West Beryl Pks
1,200
1,200
1,200
1,200
1,200
Parks
18,350
21,500
21,500
21,500
21,500
Parkways and Medians
17,100
23,600
23,600
21,250
21,250
Trees
1,750
2,000
2,000
2,000
2,000
Warehouse Stock
1,500
1,500
1,500
0
0
Total for Operations & Maintenance:
58,220
67,420
67,420
64,070
64,070
5204 O & M/Facilities
racemes
16,000
16,000
16,000
16,000
16,000
Warehouse Stock
1,000
1,000
1,000
1,000
1,000
Total for O & M/Facilities:
17,000
17,000
17,000
17,000
17,000
5250 Vehicle Operations & Maint.
16,310
16,310
16,000
3,000
3,000
Total for Vehicle Operations & Maint.:
16,310
16,310
16,000
3,000
3,000
5251 Depreciation - Vehicles
1,360
3,940
3,940
3,940
3,940
3,370 6,130 6,130 6,130 6,130
Total for Depreciation - Vehicles: 3,370 6,130 6,130 6,130 6,130
5252 Emergency & Routine Veh Rent
2,500
1,000
2,100
1,000
1,000
Total for Emergency & Routine Veh Rent:
2,500
1,000
2,100
1,000
1,000
5280 Equip Operations & Maint
4,800
4,800
4,800
4,800
4,800
Total for Equip Operations & Maint:
4,800
4,800
4,800
4,800
4,800
5281 Depreciation - Equipment
1,360
3,940
3,940
3,940
3,940
Total for Depreciation - Equipment:
1,360
3,940
3,940
3,940
3,940
5283 Depreciation -Computer Equip
120
1,480
1,480
1,480
1,480
Total for Depreciation -Computer Equip:
120
1,480
1,480
1,480
1,480
5300 Contract Services
near hwch Frk Soccer Fid Rnv
6,000
0
0
0
0
Beryl Park Field Rehab
12,500
0
0
0
0
CCWD Mandatory Annual Bkflw
0
4,500
4,500
4,500
4,500
Landscape Maint/Prkwy & Median
349,800
426,500
592,050
439,300
439,300
Landscape Maintenance/Parks
222,500
181,500
181,500
187,000
187,000
Landscape Maintenance/Trees
1,600
1,800
1,800
1,800
1,800
Total for Contract Services:
592,400
614,300
779,850
632,600
632,600
I Contract Serv/Facilities
Athletic Lights Maintenance 1,000 1,000 1,000 1,000 1,000
Facilities 10,000 15,000 15,000 15,000 15,000
SF - 53
TOTAL FOR OPERATIONS & MAINTENANCE:
1,079,370 1,129,440 1,297,030 1,128,690 1,128,690
F-42 H
0
CITY OF RANCHO CUCAMONGA
FISCAL
YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT #1/GEN CITY (130)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object
Object Description
Budget
Budget
Actual
Rcmd
Budget
Total for Contract Serv/Facilities:
11,000
16,000
16,000
16,000
16,000
5310
Tree Maintenance
42,500
43,500
43,500
43,500
43,500
Total for Tree Maintenance:
42,500
43,500
43,500
43,500
43,500
5400
Telephone Utilities
2,500
2,630
2,630
2,630
2,630
Total for Telephone Utilities:
2,500
2,630
2,630
2,630
2,630
5402
Water Utilities
143,000
150,150
150,150
154,000
154,000
Total for Water Utilities:
143,000
150,150
150,150
154,000
154,000
5403
Electric Utilities
50,000
50,000
51,250
55,000
55,000
Total for Electric Utilities:
50,000
50,000
51,250
55,000
55,000
5415
General Liability Charges
10,690
11,180
11,180
0
0
Total for General Liability Charges:
10,690
11,180
11,180
0
0
5500
Assessment Administration
49,390
49,390
49,390
51,510
51,510
Total for Assessment Administration:
49,390
49,390
49,390
51,510
51,510
5501
Admin./GeneralOverhead
10
74,210
74,210
74,210
72,030
72,030
Total for AdminJGeneral Overhead:
74,210
74,210
74,210
72,030
72,030
TOTAL FOR OPERATIONS & MAINTENANCE:
1,079,370 1,129,440 1,297,030 1,128,690 1,128,690
F-42 H
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: LAND MAINT #1/GEN CITY (130) CAPITAL OUTLAY (5600) DETAIL
*n: ENGINEERING - ADMINISTRATION (303)
} 1) =10%; Fd 131 = 50%; Fds 133, 136
= 15% ea.; Fd 134 = 10%
13) Fd 1001316 = 20%; Fds 131,133,134
= 20% ea.
(2) Fds 131, 133, 134, 136 = 20% ea.
Total for Capital Outlay -Equipment: 6,200 17,340 14,940 6,740 6,740
5604 Capital Outlay -Vehicles
�ncvy 3- 1v rtcx-up wixadio 20%
F-250 Pick-up w/Radio (25%)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Budget
Estimated
Manager
Adopted
0
0
5605 Capital Outlay -Computer Equip
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
Computer for Autocad (15%)
Notebook Computer (DOC)
Standard PC w/17" Monitor
0
3,700
2,600
450
0
0
1,160
0
0
Epoxy Coating Restroom Floors
3,750
0
2,880
0
1,160
Key Security Upgrade
2,500
0
0
0
0
Partition Replacement
5,300
0
0
0
0
Restroom Repaint
4,530
0
0
0
0
Total for Capital Outlay -Bldg Imprvments:
16,080
0
2,880
0
0
0
5603 Capital Outlay -Equipment
2-Calsense Controllers
1,200
0
0
0
5 Ton Trailer for Trails Crew
0
3,960
3,960
0
0
9-Calsense Wind Gauges
2,400
2,400
0
2,400
0
2,400
Backhoe Attachment J Deere4600
0
6,000
6,000
0
Calsense Irrigation Remote I }
0
0
0
Cell Phones for Supervisors
400
0
0
220
220
John Deere Tractor(20%) 12)
0
0
0
0
0
0
Misc Equipment (edger, blower)
1,000
4,500
4,500
3,520
0
3,520
Mower Trailer 661T Replacement
700
0
0
0
Planimeter
500
0
0
0
0
0
0
Storage Container -Cont Support
0
480
480
0
0
Vicon Spreader(20%) (3)
0
0
0
600
600
} 1) =10%; Fd 131 = 50%; Fds 133, 136
= 15% ea.; Fd 134 = 10%
13) Fd 1001316 = 20%; Fds 131,133,134
= 20% ea.
(2) Fds 131, 133, 134, 136 = 20% ea.
Total for Capital Outlay -Equipment: 6,200 17,340 14,940 6,740 6,740
5604 Capital Outlay -Vehicles
�ncvy 3- 1v rtcx-up wixadio 20%
F-250 Pick-up w/Radio (25%)
4,600
6,800
0
0
0
6,300
0
0
0
0
Total for Capital Outlay -Vehicles:
11,400
0
6,300
0
0
5605 Capital Outlay -Computer Equip
Computer for Autocad (15%)
Notebook Computer (DOC)
Standard PC w/17" Monitor
0
3,700
2,600
450
0
0
1,160
0
0
0
0
0
0
0
0
Total for Capital Outlay -Computer Equip:
6,300
450
1,160
0
0
5650 Capital Project 25,720 19,000 19,000 6,000 6,000
Total for Capital Project: 25,720 19,000 19,000 6,000 6,000
TOTAL FOR CAPITAL OUTLAY: 65,700 36,790 44,280 12,740 12,740
SF - 55
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PRO.iECTS DETAIL
Funding Source: LANDMAINT #1/GEN CITY (130)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Program Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
1059 REHAB @ VARIOUS PARKS
23,720
0
0
0
1087 CONCRETE FENCE REPLACEMENT
1,000
0
0
0
1140 BRITTANY TRAIL UPGRADE
1,000
0
0
0
0
0
0
1271 BEAR GULCH PK SOCCER FLD RENOV
0
6,000
6,000
6,000
6,000
1272 BERYL PARK FIELD RENOVATION
0
13,000
13,000
0
0
TOTAL FOR LAND MAINT #1/GEN CITY:
25,720
19,000
19,000
6,000
6,000
0
0
SF -56
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LAND MAINT. #2NICTORIA (13 1)
ti* ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
Capital Outlay -Bldg Imprvments
16,080
0
2,880
0
5000
Regular Salaries
544,150
488,110
488,110
523,930
523,930
5005
Overtime Salaries
1,000
0
0
0
0
5010
Part Time Salaries
11,120
26,000
26,000
26,000
26,000
5030
Fringe Benefits
202,340
182,940
182,940
196,190
196,190
14,000
TOTAL FOR PERSONNEL SERVICES:
758,610
697,050
697,050
746,120
746,120
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
78,000
73,600
75,400
73,600
73,600
5204
O & M/Facilities
13,000
12,000
12,000
12,000
12,000
5250
Vehicle Operations & Maint.
10,000
10,000
10,000
10,000
10,000
5251
Depreciation - Vehicles
6,910
12,560
12,560
12,560
12,560
5252
Emergency & Routine Veh Rent
2,000
0
1,000
1,000
1,000
5280
Equip Operations & Maint
6,000
3,000
3,000
3,000
3,000
5281
Depreciation - Equipment
6,270
11,950
11,950
11,950
11,950
5283
Depreciation -Computer Equip
200
190
190
190
190
5300
Contract Services
800,800
857,050
948,170
882,050
882,050
5304
Contract Serv/Facilities
12,000
10,000
10,000
10,000
10,000
5310
Tree Maintenance
30,000
25,000
25,000
32,500
32,500
5400
Telephone Utilities
1,700
1,790
1,790
1,790
1,790
2Water
Utilities
300,000
315,000
315,000
323,000
323,000
3
Electric Utilities
30,000
30,000
30,750
33,000
33,000
5415
General Liability Charges
15,040
15,330
15,330
0
0
5500
Assessment Administration
23,750
23,750
23,750
25,930
25,930
5501
Admin./General Overhead
147,540
147,540
147,540
158,170
158,170
TOTAL FOR
OPERATIONS & MAINTENANCE:
1,483,210
1,548,760
1,643,430
1,590,740
1,590,740
CAPITAL OUTLAY
5602
Capital Outlay -Bldg Imprvments
16,080
0
2,880
0
0
5603
Capital Outlay -Equipment
19,200
11,820
13,920
9,120
9,120
5604
Capital Outlay -Vehicles
16,000
0
6,300
0
0
5605
Capital Outlay -Computer Equip
0
1,500
1,500
0
0
5650
Capital Project
16,690
58,000
58,000
14,000
14,000
TOTAL FOR CAPITAL OUTLAY:
67,970
71,320
82,600
23,120
23,120
TOTAL FOR DIVISION 303:
2,309,790 2,317,130 2,423,080 21359,980 2,359,980
TOTAL FOR LAND MAINT. #2NICTORIA: 2,309,790 2,317,130 2,423,080 2,359,980 2,359,980
0
SF -57
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services
DIVISION: LMD 2 Victoria
FUND: 131
COST CENTER: 303
ECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
F5000
Budget
Request
Budget
PER ONNEL -FULL TIME
Maint. Suprv. (Parks -Cont)
40%
40%
40%
40%
40%
Maint. Suprv. (Parks -East)
30%
30%
30%
30%
30%
Sr. Maint. Worker(Irr.City-Wide)
40%
40%
40%
40%
40%
Maintenance Coordinator (Parks Fac.)
35%
35%
35%
35%
35%
Maintenance Coordinator (Trails -City -Wide)
35%
35%
35%
35%
35%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Maint. Worker (Parks -East)
40%
40%
40%
40%
40%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Maint. Worker
30%
30%
30%
30%
30%
Maint. Worker (Parks -East)
100%
100%
100%
100%
100%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Sr. Maint. Worker (Parks -Trails)
50%
50%
50%
50%
50%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Maint. Worker
30%
30%
30%
30%
30%
Maint. Worker
35%
35%
35%
35%
35%
Maintenance Worker (Parks -East)
70%
70%
70%
70%
70%
Maintenance Worker (Parks -East)
50%
50%
50%
50%
50%
Sr. Maint. Worker (Parks -West)
60%
60%
600/
600/c
60%
Lead Maint. Worker (Facilities)
50%
50%
50%
50%
50%
Sr. Maint. Worker (Parks -East)
55%
55%
55%
55%
55%
Maint. Worker (Facilities -Parks)
30%
30%
30%
30%
30%
Sr. Maint. Worker (Parkways & Medians)
70%
70%
70%
70%
70%
Secretary
20%
20%
20%
20%
20%
Maint. Worker
40%
40%
40%
40%
40%
Maint. Worker (Facilities)
50%
50%
50%
50%
50%
Maint. Worker (Parks Contract Support)
40%
40%
40%
40%
40%
Sr. Maint. Worker
15%
15%
15%
15%
15%
Maint. Worker
35%
35%
35%
35%
35%
Maint. Worker
40%
40%
40%
40%
40%
Maint. Worker
40%
40%
40%
40%
40%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Seasonal Tech
78%
78%
78%
78%
78%
Seasonal Tech
50%
50%
50%
50%
50%
SF - 58
0
0
CITY OF RANCHO CUCAMONGA
FISCAL
YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT. #2NICTORIA (131)
D*: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Calsense Radio Charges
15,200
14,900
14,900
14,900
14,900
Graffiti Removal Supplies
2,000
2,000
2,000
2,000
2,000
Parks
33,300
35,800
35,800
35,800
35,800
Parkways & Medians
23,900
18,800
18,800
18,200
18,200
Trees
2,100
2,100
3,900
2,700
2,700
Warehouse Stock
1,500
0
0
0
0
Total for Operations & Maintenance:
78,000
73,600
75,400
73,600
73,600
5204 O & M/Facilities
Facilities
12,000
12,000
12,000
12,000
12,000
Warehouse Stock
1,000
0
0
0
0
Total for O & M/Facilities:
13,000
12,000
12,000
12,000
12,000
5250 Vehicle Operations & Maint.
10,000
10,000
10,000
10,000
10,000
Total for Vehicle Operations & Maint.:
10,000
10,000
10,000
10,000
10,000
5251 Depreciation - Vehicles
6,910
12,560
12,560
12,560
12,560
Total for Depreciation - Vehicles:
6,910
12,560
12,560
12,560
12,560
5252 Emergency & Routine Veh Rent
2,000
0
1,000
1,000
1,000
Total for Emergency & Routine Veh Rent:
2,000
0
1,000
1,000
1,000
5280 Equip Operations & Maint
6 000
3,000
3,000
3,000
3,000
Total for Equip Operations & Maint:
6,000
3,000
3,000
3,000
3,000
5281 Depreciation - Equipment
6,270
11,950
11,950
11,950
11,950
Total for Depreciation - Equipment:
6,270
11,950
11,950
11,950
11,950
5283 Depreciation -Computer Equip
200
190
190
190
190
Total for Depreciation -Computer Equip:
200
190
190
190
190
5300 Contract Services
CCWD Mand. Annual Backflow Cer
0
3,500
3,500
3,500
3,500
Parks
7,500
7,500
7,500
7,500
7,500
Parkways
792,250
845,000
936,120
870,000
870,000
Trees
1,050
1,050
1,050
1,050
1,050
Total for Contract Services:
800,800
857,050
948,170
882,050
882,050
5304 Contract Serv/Facilities
12,000
10,000
10,000
10,000
10,000
Total for Contract Serv/Facilities:
12,000
10,000
10,000
10,000
10,000
,do9310 Tree Maintenance
Consulting Arborist
5,000
0
0
0
0
Tree Maint/Landscape AD
25,000
25,000
25,000
32,500
32,500
SF - 59
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT. #2NICTORIA (13 1)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Obiect Description Budget Budget Actual Rcmd. Budget
Total for Tree Maintenance: 30,000 25,000 25,000 32,500 32,500
5400
Telephone Utilities
1 700
1 790
1 790
1,790
1,790
Total for Telephone Utilities:
1,700
1,790
1,790
1,790
1,790
5402
Water Utilities
300,000
315,000
315,000
323,000
323,000
Total for Water Utilities:
300,000
315,000
315,000
323,000
323,000
5403
Electric Utilities
30,000
30,000
30,750
33,000
33,000
Total for Electric Utilities:
30,000
30,000
30,750
33,000
33,000
5415
General Liability Charges
15,040
15,330
15,330
0
0
Total for General Liability Charges:
15,040
15,330
15,330
0
0
5500
Assessment Administration
23,750
23,750
23,750
25,930
25,930
Total for Assessment Administration:
23,750
23,750
23,750
25,930
25,930
5501
Admin./General Overhead
147,540
147,540
147,540
158,170
158,170
Total for Admin✓General Overhead:
147,540
147,540
147,540
158,170
158,170
TOTAL FOR OPERATIONS & MAINTENANCE:
1,483,210 1,548,760 1,643,430 1,590,740 1,590, 740
SF -60
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY
(5600) DETAIL
Fund: LAND MAINT. t#2NICTORIA (13 1)
*n: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Estimated
Manager
Adopted
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
Epoxy Coating Restroom Floors
3,750
0
2,880
0
Key Security Upgrade
2,500
0
0
0
0
Partition Replacement
5,300
0
0
0
0
Restroom Repaint
4,530
0
0
0
0
Total for Capital Outlay -Bldg Imprvments:
16,080
0
2,880
0
0
0
5603 Capital Outlay -Equipment
1 -Cargo Container(40%)
1,600
0
0
0
2-Calsense Controllers(40%)
2,400
0
0
0
5 Ton Trailer/Trails Crew(20%)
0
1,320
1,320
0
0
0
9-Calsense Wind Guages(20%o)
2,400
2,400
0
2,400
0
2,400
Backhoe Attach J.D.4600 (20%)
0
2,000
2,000
0
Calsense Irrigation Remote(50% ( 1)
0
0
0
Cell Phones for Supervisors
400
0
0
1,100
1,100
Chipper Mulcher(40%) { 2}
0
0
0
0
0
Cushman type Util Vehicle(50%a)
3,600
0
4,500
0
0
John Deere Tractor(20%o) {3 }
0
0
0
0
0
Line Sprayer
4,000
0
0
0
3,520
0
3,520
Misc Equipment(edger, etc.)
1,000
4,500
4,500
1,500
0
1,500
Mower Trailer 661T Replacement
2,800
0
0
Planimeter(40%)
1,000
0
0
0
0
0
Stor Cont/Contract Sup Crew 15
0
1,600
1,600
0
0
Vicon Spreader(20%)(4)
0
0
0
0
600
600
141 Fd 1001316 = 20%; Fds 130, 133,
134 = 20% ea.
{ 3 j Fds 130, 133, 134, 136 = 20% ea.
{
11 Fds 130, 134 = 10% ea.; Fds 133,
136 = 15% ea.
Otal for Capital Outlay -Equipment: 19,200 11,820 13,920 9,120 9,120
5604 Capital Outlay -Vehicles
Chev 5-10 PU & Accessories 40% 9,200 0 0 0 0
F-250 PW Radio & Access 25% 6,800 0 6,300 0 0
Total for Capital Outlay -Vehicles: 16,000 0 6,300 0 0
5605 Capital Outlay -Computer Equip
Computer for Autocad (50%) 0 1,500 1,500 0 0
Total for Capital Outlay -Computer Equip: 0 1,500 1,500 0 0
5650 Capital Project 16 690 58 000 58 000 14 000 14 000
0 Total for Capital Project: 16,690 58,000 58,000 14,000 14,000
TOTAL FOR CAPITAL OUTLAY:
67,970 71,320 82,600 23,120 23,120
SF -61
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: LAND MAINT #2NICTORIA (13 1)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted
Adopted Estimated
Manager
Adopted
Program Description
Budget
Budget Actual
Rcmd
Budget
1000 SLURRY SEAL & RESTRIPE PRKLOT
0
58,000 58,000
0
0
1053 PARKWAY TREE REPLACEMENT
1,200
0 0
0
0
1059 REHAB @ VARIOUS PARKS
15,490
0 0
0
0
1278 IRRIGATION RETROFITS
0
0 0
14,000
14,000
TOTAL FOR LAND MAINT #2NICTORIA: 16,690 58,000 58,000 14,000 14,000
0
SF -62
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: LAND MAINT. #3A/HYSSOP (132)
: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
A
5200
Operations & Maintenance
5300
Contract Services
5402
Water Utilities
5403
Electric Utilities
5415
General Liability Charges
5500
630
410
430
430
430
430
1,840
1,980
2,150
2,030
2,030
600
630
630
630
630
200
210
210
210
210
30
40
40
0
0
ssessment Administration
5501 Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
40
320
40
320
40
320
40
320
40
320
3,440
3,650
3,820
3,660
3,660
0
TOTAL FOR DIVISION 303:
3,440 3,650 3,820 3,660 3,660
TOTAL FOR LAND MAINT. #3A/HYSSOP: 3,440 3,650 3,820 3,660 3,660
SF -63
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT. #3A/HYSSOP (132)
Division: ENGINEERING - ADMINISTRATION (303)
5300 Contract Services
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
80
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description
Budget
Budget Actual
Rcmd
Budget
5200 Operations & Maintenance
Plant Material Replacement
200
200
200
General
200
200 200
200
200
RAM Radios
210
230 230
230
230
Total for Operations & Maintenance:
410
430 430
430
430
5300 Contract Services
TOTAL FOR OPERATIONS & MAINTENANCE:
3,440 3,650 3,820 3,660 3,660
SF -64
CCWD Man. Annual Backflow Cert
0
80
80
80
80
Landscape Maintenance
1,640
1,700
1,870
1,750
1,750
Plant Material Replacement
200
200
200
200
200
Total for Contract Services:
1,840
1,980
2,150
2,030
2,030
5402
Water Utilities
600
630
630
630
630
Total for Water Utilities:
600
630
630
630
630
5403
Electric Utilities
200
210
210
210
210
Total for Electric Utilities:
200
210
210
210
210
5415
General Liabilitv Charges
30
40
40
0
0
Total for General Liability Charges:
30
40
40
0
0
5500
Assessment Administration
40
40
40
40
40
Total for Assessment Administration:
40
40
40
40
40
5501
Admin./General Overhead
320
320
320
320
320
Total for AdminJGeneral Overhead:
320
320
320
320
320
TOTAL FOR OPERATIONS & MAINTENANCE:
3,440 3,650 3,820 3,660 3,660
SF -64
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: LAND MAINT. #3B MEDIANS (133)
>: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
111,960
93,920
93,920
134,940
134,940
5005
Overtime Salaries
2,500
2,500
2,500
2,500
2,500
5010
Part Time Salaries
9,550
12,000
12,000
12,000
12,000
5030
Fringe Benefits
42,290
35,830
35,830
51,010
51,010
5252
TOTAL FOR PERSONNEL SERVICES:
166,300
144,250
144,250
200,450
200,450
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
44,650
42,650
49,730
48,800
48,800
5204
O & M/Facilities
1,000
1,000
1,000
1,000
1,000
5250
Vehicle Operations & Maint.
1,200
1,500
2,000
1,500
1,500
5251
Depreciation - Vehicles
170
300
300
300
300
5252
Emergency & Routine Veh Rent
2,000
2,000
2,000
2,000
2,000
5280
Equip Operations & Maint
11,500
12,000
12,000
12,000
12,000
5281
Depreciation - Equipment
4,860
9,780
9,780
9,780
9,780
5283
Depreciation -Computer Equip
0
410
410
410
410
5300
Contract Services
243,650
280,500
315,600
296,900
296,900
5304
Contract Serv/Facilities
34,000
40,000
40,000
43,000
43,000
5310
Tree Maintenance
34,400
35,300
35,300
35,300
35,300
5320
Hazardous Waste Removal
700
0
0
0
0
00
Telephone Utilities
3,200
3,360
3,360
3,360
3,360
02
Water Utilities
40,000
42,000
42,000
43,000
43,000
5403
Electric Utilities
85,000
89,250
91,500
98,180
98,180
5415
General Liability Charges
5,610
6,150
6,150
0
0
5500
Assessment Administration
3,000
3,000
3,000
3,290
3,290
5501
Admin./General Overhead
51,650
51,650
51,650
55,790
55,790
TOTAL FOR OPERATIONS & MAINTENANCE:
566,590
620,850
665,780
654,610
654,610
CAPITAL OUTLAY
5602
Capital Outlay -Bldg Imprvments
1,440
1,440
1,440
0
0
5603
Capital Outlay -Equipment
17,000
21,720
19,320
50,130
50,130
5604
Capital Outlay -Vehicles
9,100
0
6,300
21,600
21,600
5605
Capital Outlay -Computer Equip
2,600
300
510
0
0
5650
Capital Project
70,000
80,000
80,000
3,500
3,500
TOTAL FOR CAPITAL OUTLAY:
100,140
103,460
107,570
75,230
75,230
TOTAL FOR DIVISION 303:
833,030
868,560
917,600
930,290
930,290
TOTAL
FOR LAND MAINT. #3B MEDIANS:
833,030
868,560
917,600
930,290
930,290
SF -65
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services
DIVISION: LIVID 3B General Industrial Area
FUND: 133
COST CENTER: 303
F5000
CT #
FY 2001/02
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
_PERSONNEL- FULL TIME
Budget
Request
Budget
Maintenance Worker
100%
100%
100%
100%
100%
Maintenance Worker
0%
0%
0%
0%
0%
Maintenance Worker
100%
100%
100%
100%
100%
Maintenance Worker
30%
30%
30%
30%
30%
Maintenance Worker
30%
30%
30%
30%
30%
Maintenance Coordinator
0%
0%
0%
0%
0%
Maintenance Coordinator
10%
10%
10%
10%
10%
Lead Maintenance Worker (Eastside Parks)
0%
25%
25%
25%
25%
Maint. Worker (Eastside Parks)
0%
25%
25%
25%
25%
Maint. Worker (Eastside Parks)
0%
25%
25%
25%
25%
Maint. Worker (Facilities
0%
25%
25%
25%
25%
5005
PERSONNEL -OVERTIME
5010
PERSONNEL - PART TIME
Seasonal Technician
1300%
1300%
1300%
1300%
1300%
SF -66
E
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund:LAND MAINT. #313 MEDIANS (133)
Det: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Back Flow
600
0
0
0
0
Calsense Radio (RAM)
2,500
2,600
2,600
4,200
4,200
Graffiti Removal Supplies
500
500
500
500
500
Parks
31,450
31,450
31,450
36,000
36,000
Parkways & Medians
6,500
6,500
6,500
6,500
6,500
Prior Year Assessment Refund
0
0
7,080
0
0
Trees
1,600
1,600
1,600
1,600
1,600
Warehouse Stock
1,500
0
0
0
0
Total for Operations & Maintenance:
44,650
42,650
49,730
48,800
48,800
5204
O & M/Facilities
1,000
1,000
1,000
1,000
1,000
11,500
Total for O & M/Facilities:
1,000
1,000
1,000
1,000
1,000
5250
Vehicle Operations & Maint.
1,200
1,500
2,000
1,500
1,500
9,780
Total for Vehicle Operations & Maint.:
1,200
1,500
2,000
1,500
1,500
5251
Depreciation - Vehicles
170
300
300
300
300
*5252
Total for Depreciation - Vehicles:
170
300
300
300
300
CCWD Man Annual Backflow Cert
Emergency & Routine Veh Rent
2,000
2,000
2,000
2,000
2,000
Total
for Emergency & Routine Veh Rent:
2,000
2,000
2,000
2,000
2,000
5280 Equip Operations & Maint
11,500
12,000
12,000
12,000
12,000
Total for Equip Operations & Maint:
11,500
12,000
12,000
12,000
12,000
5281 Depreciation - Equipment
4,860
9 780
9,780
9,780
9,780
Total for Depreciation - Equipment:
4,860
9,780
9,780
9,780
9,780
5283 Depreciation -Computer Equip
0
410
410
410
410
Total for Depreciation -Computer Equip:
0
410
410
410
410
5300 Contract Services
CCWD Man Annual Backflow Cert
0
2,000
2,000
2,500
2,500
Irrigation Clock Rewire Proj
0
1,200
1,200
0
0
Landscape Maint-Parkways & Med
197,000
218,800
253,900
235,400
235,400
Landscape-Maint-Parks
29,350
41,000
41,000
41,000
41,000
Metrolink/Landscape Maint
17,000
17,000
17,000
17,500
17,500
Tree Maintenance
300
500
500
500
500
Total for Contract Services:
243,650
280,500
315,600
296,900
296,900
5304 Contract Serv/Facilities
.Security Service(Guards)
24,000
30,000
30,000
33,000
33,000
Sport Light Maint & Equipment
10,000
10,000
10,000
10,000
10,000
Total for Contract Serv/Facilities:
34,000
40,000
40,000
43,000
43,000
SF -67
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT. #313 MEDIANS (133)
7,000
7,350
7,540
8,090
8,090
Division: ENGINEERING - ADMINISTRATION (303)
78,000
81,900
83,960
90,090
90,090
Total for Electric Utilities:
1999i2000
Fiscal Year 2000/01
Fiscal Year 2001/02
98,180
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5310 Tree Maintenance
34,400
35,300
35,300
35,300
35,300
Total for Tree Maintenance:
34,400
35,300
35,300
35,300
35,300
5320 Hazardous Waste Removal
700
0
0
0
0
Total for Hazardous Waste Removal:
700
0
0
0
0
_5400 Telephone Utilities
3,200
3,360
3.360
3,360
3,360
Total for Telephone Utilities:
3,200
3,360
3,360
3,360
3,360
5402 Water Utilities
Medians & Parkways
20,000
21,000
21,000
21,500
21,500
Parks
20,000
21,000
21,000
21,500
21,500
Total for Water Utilities:
40,000
42,000
42,000
43,000
43,000
5403 Electric Utilities
Medians & Parkways
7,000
7,350
7,540
8,090
8,090
Parks
78,000
81,900
83,960
90,090
90,090
Total for Electric Utilities:
85,000
89,250
91,500
98,180
98,180
5415 General Liability Charges
5,610
6,150
6,150
0
010
Total for General Liability. Charges:
5,610
6,150
6,150
0
0
5500 Assessment Administration 3,000 3,000 3.000 3,290 3,290
Total for Assessment Administration: 3,000 3,000 3,000 3,290 3,290
5501 Admin./General Overhead 51,650 51,650 51,650 55,790 55,790
Total for Admin✓General Overhead: 51,650 51,650 51,650 55,790 55,790
TOTAL FOR OPERATIONS & MAINTENANCE: 566,590 620,850 665,780 654,610 654,610
0
SF - 68
CITY OF RANCHO CUCAMONGA
2,300
0
0
FISCAL YEAR 2001/02 BUDGET
0
Chipper Truck(75%)Bal 1001316
0
CAPITAL OUTLAY
(5600) DETAIL
0
0
F-250 P/U Truck(75%)Bal Fd 134
Fund: LAND MAIIVT. #313 MEDIANS (133)
0
0
21,600
0
21,600
F-250 P/U w/Accessories(25%)
*n: ENGINEERING - ADMINISTRATION (303)
0
6,300
0
0
Total for Capital Outlay -Vehicles:
9,100
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
21,600
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
Sanitary Sewer Clean Outs
1,440
1,440
1,440
0
0
Total for Capital Outlay -Bldg Imprvments:
1,440
1,440
1,440
0
0
5603 Capital Outlay -Equipment
2-Calsense Controllers(10%)
600
0
0
0
2-Exmark 21" Mowers
2,300
0
0
0
0
2 -Field Line Sprayers
0
10,000
10,000
0
0
0
2 -Power Trim Edgers
1,100
0
0
0
0
9-Calsense Wind Guages(20%o)
2,400
2,400
0
2,400
2,400
Blade Grinder and Balancer
750
0
0
0
0
Calsense irrigation Remote(15% (1)
0
0
0
Cell Phones For Supervisors
200
0
0
330
330
Equip Maint Lift
0
0
0
0
10,000
0
10,000
Exmark Lazer 48" Mower
6,500
0
0
0
0
John Deere Tractor(20%) ( 2)
0
0
0
3,520
3,520
Lazer Mower
0
0
0
5,030
5,030
Misc Equipment
2,000
9,000
9,000
2,000
2,000
Planimeter(10%)
250
0
0
0
0
Pool Digital Camera/Pub Works
900
0
0
0
Rangewing Mower
0
0
0
26,250
0
26,250
Stor Cont/Contract Sup Crew
0
320
320
0
0
Vicon Spreader(20%) (3)
0
0
0
600
600
{ 3) Fd 1001316 = 20%; Fds 130, 131,
134 = 20% ea.
(2) Fds 130, 131, 134, 136 = 20% ea.
(1) Fds 130, 134 = 10% ea.; Fd 131 =
50%; Fd 136 = 15%
notal for Capital Outlay -Equipment: 17,000 21,720 19,320 50,130 50,130
5604 Capital Outlay -Vehicles
Chev S-]0 P/U w/Accessory 10%
2,300
0
0
0
0
Chipper Truck(75%)Bal 1001316
0
0
0
0
0
F-250 P/U Truck(75%)Bal Fd 134
0
0
0
21,600
0
21,600
F-250 P/U w/Accessories(25%)
6,800
0
6,300
0
0
Total for Capital Outlay -Vehicles:
9,100
0
6,300
21,600
21,600
5605 Capital Outlay -Computer Equip
Computer for Autocad(10%)
Standard PC w/17" Monitor
0
2,600
300
0
510
0
0
0
0
0
Total for Capital Outlay -Computer Equip:
21600
300
510
0
0
650 Capital Project
70,000
80,000
80,000
3,500
3,500
Total for Capital Project:
70,000
80,000
80,000
3,500
3,500
SF -69
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LAND MAINT, #313 MEDIANS (133)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
TOTAL FOR CAPITAL OUTLAY: 100,140 103,460 107,570 75,230 75,230
0
0
SF -70
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PRQJECTS DETAIL
ing Source: LAND MAINT #3B/MEDIANS (133)
Object: 5650
11
SF -71
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Program Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
1000 SLURRY SEAL & RESTRIPE PRKLOT
0
20,000
20,000
0
1222 FIELD REHAB
70,000
60,000
60,000
0
0
0
1279 IRRIGATION HD RPLMT SFFBL FLDS
0
0
0
3,500
3,500
TOTAL FOR LAND MAINT #3B/MEDIANS:
70,000
80,000
80,000
3,500
3,500
11
SF -71
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: LAND MAINT #4/TERRA VISTA (134)
D: ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
Capital Outlay -Bldg Imprvments
16,080
0
4,270
0
5000
Regular Salaries
350,880
500,870
500,870
572,820
572,820
5005
Overtime Salaries
1,000
1,000
1,000
1,000
1,000
5010
Part Time Salaries
10,640
11,000
11,000
11,000
11,000
5030
Fringe Benefits
130,790
186,310
186,310
212,930
212,930
0
TOTAL FOR PERSONNEL SERVICES:
493,310
699,180
699,180
797,750
797,750
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
64,550
59,900
59,900
63,330
63,330
5204
O & M/Facilities
12,620
12,620
12,620
13,000
13,000
5250
Vehicle Operations & Maint.
30,000
30,000
7,160
6,000
6,000
5251
Depreciation - Vehicles
12,650
22,980
22,980
22,980
22,980
5252
Emergency & Routine Veh Rent
1,000
0
1,000
1,000
1,000
5280
Equip Operations & Maint
4,800
3,000
3,000
3,750
3,750
5281
Depreciation - Equipment
7,090
14,160
14,160
14,160
14,160
5283
Depreciation -Computer Equip
190
190
190
190
190
5300
Contract Services
275,900
278,350
328,580
289,850
289,850
5304
Contract Serv/Facilities
12,000
12,000
12,000
16,000
16,000
5310
Tree Maintenance
12,600
12,600
12,600
12,600
12,600
5400
Telephone Utilities
2,800
2,940
2,940
2,940
2,940
02
Water Utilities
122,000
128,100
128,100
131,000
131,000
03
Electric Utilities
22,000
23,100
23,680
25,410
25,410
5415
General Liability Charges
6,780
6,980
6,980
0
0
5500
Assessment Administration
12,980
12,980
12,980
16,130
16,130
5501
Admin./General Overhead
84,990
84,990
84,990
94,830
94,830
TOTAL FOR OPERATIONS & MAINTENANCE:
684,950
704,890
733,860
713,170
713,170
CAPITAL OUTLAY
5602
Capital Outlay -Bldg Imprvments
16,080
0
4,270
0
0
5603
Capital Outlay -Equipment
11,250
6,020
4,820
38,320
38,320
5604
Capital Outlay -Vehicles
2,300
0
0
46,200
46,200
5605
Capital Outlay -Computer Equip
0
300
300
0
0
5650
Capital Project
26,100
42,700
42,700
0
0
TOTAL FOR CAPITAL OUTLAY:
55,730
49,020
52,090
84,520
84,520
TOTAL FOR DIVISION 303: 1,233,990 1,453,090 1,485,130 1.595,440 1.595,440
TOTAL FOR LAND MAINT #4/TERRA VISTA: 1,233,990 1,453,090 1,485,130 1,595,440 1,595 440
SF -72
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services
DIVISION: LMD 4 Terra Vista
FUND: 134
COST CENTER: 303
SF - 73
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERS NNEL - FULL TIME
Maint. Suprv. (Parks -East)
30%
30%
30%
30%
30%
Sr. Maint. Worker(Park-Eastside Irr.)
50%
50%
50%
50%
50%
Maintenance Coordinator(Facilities)
100%
100%
100%
100%
100%
Maintenance Coordinator (Trails)
10%
10%
10%
10%
10%
Sr. Maint. Worker (Parks Eastside)
50%
50%
50%
50%
50%
Maint. Worker (Facilities -Parks)
35%
35%
35%
35%
35%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Maint. Worker (Parks -East)
40%
40%
40%
40%
40%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Maint. Worker (Parks -East)
50%
50%
50%
50%
50%
Lead Maintenance Worker
100%
100%
100%
100%
100%
Maintenance Worker (Facilities)
80%
80%
80%
80%
80%
Parks/Landscape Maint. Supr.
80%
80%
80%
80%
80%
Sr. Maint. Worker
30%
30%
30%
30%
30%
Lead Maint. Worker (Eastside)
50%
50%
50%
50%
50%
Sr. Maint. Worker(Parks)
45%
45%
45%
45%
45%
Maint. Worker (Parks)
30%
30%
30%
30%
30%
Maint. Worker (Parks Eastside)
30%
30%
30%
30%
30%
Sr. Maint. Worker(Parkways & Medians)
30%
30%
30%
30%
30%
Maint. Worker (Facilities)
40%
40%
40%
40%
40%
Maint. Worker (Facilities)
40%
40%
40%
40%
40%
Maintenance Worker(Parks-Playgrounds)
50%
50%
50%
50%
50%
Maint. Worker (Parks Contract Support)
10%
10%
10%
10%
10%
Maint. Suprv.
10%
10%
10%
10%
10%
Sr. Maint. Worker
10%
10%
10%
10%
10%
Maint. Worker
50%
50%
50%
50%
50%
Lead Maintenance Worker (Eastside Parks)
0%
25%
25%
25%
25%
Maint. Worker (Eastside Parks)
0%
25%
25%
25%
25%
Maint. Worker (Eastside Parks)
0%
25%
25%
25%
25%
Maint. Worker (Facilities
0%
25%
25%
25%
25%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Seasonal Tech
78%
78%
78%
78%
78%
Seasonal Tech
53%
53%
53%
53%
53%
SF - 73
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT #4/TERRA VISTA (134)
*n: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Calsense Radio Charges
8,900
7,700
7,700
7,800
7,800
Graffiti Removal Supplies
2,000
2,000
2,000
2,000
2,000
Parks
33,300
33,300
33,300
34,130
34,130
Parkways & Medians
17,350
15,400
15,400
17,900
17,900
Trees
1,500
1,500
1,500
1,500
1,500
Warehouse Stock
1,500
0
1,000
1,000
1,000
5280 Equip Operations & Maint
4,800
3,000
0
0
0
Total for Operations & Maintenance:
64,550
59,900
59,900
63,330
63,330
5204 O & M/Facilities
7,090
14,160
14,160
14,160
14,160
Facilities
12,000
12,000
12,000
12,380
12,380
Warehouse Stock
620
620
620
620
620
Total for O & M/Facilities:
12,620
12,620
12,620
13,000
13,000
5250 Vehicle Operations & Maint.
30,000
30,000
7,160
6,000
6.000
Total for Vehicle Operations & Maint.:
30,000
30,000
7,160
6,000
6,000
5251 Depreciation - Vehicles
12 650
22 980
22 980
22,980
22,980
Total for Depreciation - Vehicles:
*5252
12,650
22,980
22,980
22,980
22,980
Emergency & Routine Veh Rent
.1,000
0
1,000
1,000
1,000
Total for Emergency & Routine Veh Rent:
1,000
0
1,000
1,000
1,000
5280 Equip Operations & Maint
4,800
3,000
3,000
3,750
3,750
Total for Equip Operations & Maint:
4,800
3,000
3,000
3,750
3,750
5281 Depreciation - Equipment
7,090
14,160
14,160
14,160
14,160
Total for Depreciation - Equipment:
7,090
14,160
14,160
14,160
14,160
5283 Depreciation -Computer Equip
190
190
190
190
190
Total for Depreciation -Computer Equip:
190
190
190
190
190
5300 Contract Services
CCWD Man. Annual Backflow Cert
0
1,700
1,700
1,700
1,700
Maintenance: Parks
11,500
11,500
11,500
16,500
16,500
Maintenance: Parkways & Median
264,250
265,000
315,230
271,500
271,500
Maintenance: Trees
150
150
150
150
150
Total for Contract Services:
275,900
278,350
328,580
289,850
289,850
5304 Contract Serv/Facilities
12,000
12,000
12,000
16,000
16,000
Total for Contract Serv/Facilities:
12,000
12,000
12,000
16,000
16,000
310 Tree Maintenance
12,600
12,600
12,600
12,600
12,600
Total for Tree Maintenance:
12,600
12,600
12,600
12,600
12,600
5400 Telephone Utilities
2,800
2,940
2,940
2,940
2,940
SF -74
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT #4/TERRA VISTA (134)
)ivision: ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
0
SF - 75
Total for Telephone Utilities:
2,800
2,940
2,940
2,940
2,940
5402
Water Utilities
122,000
128,100
128,100
131,000
131,000
Total for Water Utilities:
122,000
128,100
128,100
131,000
131,000
5403
Electric Utilities
22,000
23,100
23,680
25,410
25,410
Total for Electric Utilities:
22,000
23,100
23,680
25,410
25,410
5415
General Liability Charges
6,780
6,980
6,980
0
0
Total for General Liability Charges:
6,780
6,980
6,980
0
0
5500
Assessment Administration
12,980
12,980
12,980
16,130
16,130
Total for Assessment Administration:
12,980
12,980
12,980
16,130
16,130
5501
Admin./General Overhead
84,990
84,990
84,990
94,830
94,830
Total for AdminJGeneral Overhead:
84,990
84,990
84,990
94,830
94,830
TOTAL FOR OPERATIONS & MAINTENANCE:
684,950
704,890
733,860
713,170
713,170
0
SF - 75
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LAND MAINT #4/TERRA VISTA (134)
*n: ENGINEERING - ADMINISTRATION (303)
(3) Fd 1001316 = 20%; Fds 130,131,133
= 20% ea.
{ I ) Fd 131 = 50%; Fds 133, 136 = 15%
ea.; Fd 130 = 10%n
(2) Fds 130, 131, 133, 136 = 20% ea.
Total for Capital Outlay -Equipment: 11,250 6,020 4,820 38,320 38,320
5604 Capital Outlay -Vehicles
Chev S-10 PU w/Accessories(10%
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
39,000
Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
7,200
Total for Capital Outlay -Vehicles:
2,300
0
0
Epoxy Coating Restroom Floors
3,750
0
0
0
Key Security Upgrade
2,500
0
0
0
0
Partition Replacement
5,300
0
0
0
0
Restroom Repaint
4,530
0
4,270
0
0
0
Total for Capital Outlay -Bldg Imprvments:
16,080
0
4,270
0
0
5603 Capital Outlay -Equipment
1 -Cargo Container(40%o)
1,600
0
0
0
0
2-Calsense Controllers (10%)
600
0
0
0
9-Calsense Wind Guages(10%)
1,200
1,200
0
1,200
0
1,200
Calsense Irrigation Remote(10% (1)
0
0
0
Cell Phones for Supervisors
200
0
0
220
220
Cushman Trailer
0
0
0
0
5,250
0
5,250
Cushman Turf Truckster
0
0
0
15,000
15,000
Cushman Type util Vehicle(50%)
3,600
0
0
0
John Deere Tractor(20%){2)
0
0
0
0
Mise Equipment(edger, etc)
1,000
4,500
4,500
3,520
0
3,520
0
Mower Trailer
0
0
0
5,030
5,030
Mower Trailer 661T Replacement
2,800
0
0
0
Planimeter (10%)
250
0
0
0
0
0
Stor Cont/Contract Support 10%
0
320
320
0
Utility Vehicle
0
0
0
7,500
0
7,500
Vicon Spreader (20%) (3)
0
0
0
600
600
(3) Fd 1001316 = 20%; Fds 130,131,133
= 20% ea.
{ I ) Fd 131 = 50%; Fds 133, 136 = 15%
ea.; Fd 130 = 10%n
(2) Fds 130, 131, 133, 136 = 20% ea.
Total for Capital Outlay -Equipment: 11,250 6,020 4,820 38,320 38,320
5604 Capital Outlay -Vehicles
Chev S-10 PU w/Accessories(10%
2,300
0
0
0
0
Crewcab Stakebed
0
0
0
39,000
39,000
F-250 PIU Truck(25%)Fd 133=75%
0
0
0
7,200
7,200
Total for Capital Outlay -Vehicles:
2,300
0
0
46,200
46,200
5605 Capital Outlay -Computer Equip
Computer for Autocad (10%) 0 300 300 0 0
Total for Capital Outlay -Computer Equip:
Total for Capital Project:
0 300 300
26,100 42,700 42,700
26,100 42,700 42,700
SF - 76
0 0
0 0
0 0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LAND MAINT #4/TERRA VISTA (134)
Avision: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
TOTAL FOR CAPITAL OUTLAY: 55,730 49,020 52,090 84,520 84,520
SF -77
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROD CTS DETAIL
ing Source: LAND MAINT #4/TERRA VISTA (134)
Object: 5650
Project/
Program Description
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Budget
Adopted Estimated
Budget Actual
Manager Adopted
Rcmd Budget
1000 SLURRY SEAL & RESTRIPE PRKLOT
1059 REHAB @ VARIOUS PARKS
1116 RE -LANDSCAPE SLOPES
1273 TERRA VISTA PKS-UPGRDE EXERCIS
TOTAL FOR LAND MAINT #4/TERRA VISTA:
0
6,100
20,000
0
35,200
0
0
7,500
35,200
0
0
7,500
0
0
0
0
0
0
0
0
0
26,100
42,700
42,700
0
0
SF - 78
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LAND MAINT. #5/TOT LOT (135)
)i*: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5250
Vehicle Operations & Maint.
5300
Contract Services
5402
Water Utilities
5403
Electric Utilities
5415
General Liability Charges
200
300
300
300
300
70
70
70
70
70
1,650
1,670
2,790
1,720
1,720
500
530
530
540
540
250
260
260
260
260
30
40
40
0
0
5500 Assessment Administration
240
240
240
240
240
5501 Admin./General Overhead
460
460
460
490
490
TOTAL FOR OPERATIONS & MAINTENANCE:
3,400
3,570
4,690
3,620
3,620
CAPITAL OUTLAY
5650 Capital Project
0
0
1,200
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
1,200
0
0
TOTAL FOR DIVISION 303: 3,400 3,570 5,890 3,620 3,620
TOTAL FOR LAND MAINT. #5/TOT LOT: 3,400 3,570 5,890 3,620 3,620
0
SF - 79
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT. #5/TOT LOT (135)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year
2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200
Operations & Maintenance
200
300
300
300
300
Total for Operations & Maintenance:
200
300
300
300
300
5250
Vehicle Operations & Maint.
70
70
70
70
70
Total for Vehicle Operations & Maint.:
70
70
70
70
70
5300
Contract Services
1,650
1,670
2,790
1,720
1,720
Total for Contract Services:
1,650
1,670
2,790
1,720
1,720
5402
Water Utilities
500
530
530
540
540
Total for Water Utilities:
500
530
530
540
540
5403
Electric Utilities
250
260
260
260
260
Total for Electric Utilities:
250
260
260
260
260
54.15
General Liability Charges
30
40
40
0
0
Total for General Liability Charges:
30
40
40
0
0
5500
Assessment Administration
240
240
240
240
240
Total for Assessment Administration:
240
240
240
240
240
5501
AdminJGeneral Overhead
460
460
460
490
490
Total for AdminJGeneral Overhead:
460
460
460
490
490
TOTAL FOR OPERATIONS & MAINTENANCE: 3,400 3,570 4,690 3,620 3,620
SF - 80
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
ing Source: LAND MAINT #5/TOT LOT (135)
Object: 5650 1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Project/ Adopted Adopted Estimated Manager Adopted
Program Description Budget Budget Actual Rcmd Budget
1059 REHAB @ VARIOUS PARKS 0 0 1,200 0 0
TOTAL FOR LAND MAINT #5/TOT LOT: 0 0 1,200 0 0
Ll
SF -81
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: LAND MAINT. #6/CARYN COMM. (136)
> : ENGINEERING - ADMINISTRATION (303)
TOTAL FOR DIVISION 303:
378,280
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
388,740
TOTAL FOR LAND MAINT. #6/CARYN COMM.:
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000
Regular Salaries
11,070
12,310
12,310
13,520
13,520
5005
Overtime Salaries
520
0
0
0
0
5030
Fringe Benefits
4,110
4,550
4,550
5,000
5,000
TOTAL FOR PERSONNEL SERVICES:
15,700
16,860
16,860
18,520
18,520
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
13,700
11,800
11,650
11,900
11,900
5250
Vehicle Operations & Maint.
3,360
1,000
1,000
1,000
1,000
5251
Depreciation - Vehicles
810
1,480
1,480
1,480
1,480
5252
Emergency & Routine Veh Rent
100
100
100
100
100
5280
Equip Operations & Maint
400
0
0
0
0
5281
Depreciation - Equipment
90
270
270
270
270
5300
Contract Services
189,050
194,800
213,940
209,500
209,500
5310
Tree Maintenance
36,000
26,000
26,000
24,000
24,000
5402
Water Utilities
76,000
79,800
79,800
81,800
81,800
5403
Electric Utilities
4,500
4,730
4,730
5,200
5,200
5415
General Liability Charges
3,550
3,510
3,510
0
0
5500
Assessment Administration
6,740
6,740
6,740
6,800
6,800
5501
Admin./General Overhead
23,930
23,930
23,930
23,120
23,120
*L FOR OPERATIONS & MAINTENANCE:
358,230
354,160
373,150
365,170
365,170
CAPITAL OUTLAY
5603
Capital Outlay -Equipment
2,050
1,680
480
5,050
5,050
5604
Capital Outlay -Vehicles
2,300
0
0
0
0
5605
Capital Outlay -Computer Equip
0
450
450
0
0
5650
Capital Project
0
0
1,070
0
0
TOTAL FOR CAPITAL OUTLAY:
4,350
2,130
2,000
5,050
5,050
TOTAL FOR DIVISION 303:
378,280
373,150
392,010
388,740
388,740
TOTAL FOR LAND MAINT. #6/CARYN COMM.:
378,280
373,150
392,010
388,740
388,740
0
SF -82
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services
DIVISION: -LMD 6 Caryn Community
FUND: 136
COST CENTER: 303
OBJECT
#
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
Auth. Funded
Budget
Request
Budget
5000
PERSONNEL - FULL TIME
Maint. Suprv. (Landscape)
10%
10%
10% 10%
10%
Sr Maintenance Worker(Irrigation)
10%
10%
10% 10%
10%
Maintenance Worker (Parks Contract Support)
10%
10%
10% 10%
10%
5010
PERSONNEL - PART TIME
SF - 83
•
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
_OPERATIONS & MAINTENANCE (5100) DETAIL
und: LAND MAINT. #6/CARYN COMM. (136)
n: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
ted
Adopted AdopEstimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Calsense Radio Charges
4,200
3,800
2,800
3,800
3,800
Graffiti Removal Supplies
500
500
500
500
500
Parkways
5,900
5,900
6,750
5,900
5,900
Trees
1,600
1,600
1,600
1,700
1,700
Warehouse Stock
1,500
0
0
0
0
Total for Operations & Maintenance:
13,700
11,800
11,650
11,900
11,900
5250 Vehicle Operations & Maint.
3,360
1,000
1,000
1,000
1,000
Total for Vehicle Operations & Maint.:
3,360
1,000
1,000
1,000
1,000
5251 Depreciation - Vehicles
810
1 480
1 480
1,480
1,480
Total for Depreciation - Vehicles:
810
1,480
1,480
1,480
1,480
5252 Emergency & Routine Veh Rent
100
100
100
100
100
Total for Emergency & Routine Veh Rent:
100
100
100
100
100
5280 Equip Operations & Maint
400
0
0
0
0
Total for Equip Operations & Maint:
05281
400
0
0
0
0
Depreciation - Equipment
90
270
270
270
270
Total for Depreciation - Equipment:
90
270
270
270
270
5300 Contract Services
nac& riuw resung
950
0
0
0
0
CCWD Man Annual Backflow Cert
0
1,000
1,000
1,000
1,000
Emergency Trail Repairs
1,200
0
0
0
0
Landscape Maintenance
176,700
183,500
202,640
198,200
198,200
Landscape Plant Mat Replacemnt
10,000
10,000
10,000
10,000
10,000
Tree Maint(Plumbino Repairs)
200
300
300
300
300
Total for Contract Services:
189,050
194,800
213,940
209,500
209,500
5310 Tree Maintenance
Llquto Amber Keplacements
12,000
2,000
2,000
0
0
Tree Pruning Maint Contract
24,000
24,000
24,000
24,000
24,000
Total for Tree Maintenance:
36,000
26,000
26,000
24,000
24,000
5402 Water Utilities 76,000 79,800 79,800 81.800 81,800
Total for Water Utilities: 76,000 79,800 79,800 81,800 81,800
5403 Electric Utilities 4,500 4,730 4,730 5,200 5,200
Total for Electric Utilities: 4,500 4,730 4,730 5,200 5,200
Total for General Liability Charges:
10
3,550 3,510 3,510
0
5500 Assessment Administration 6,740 6,740 6,740 6,800 6,800
SF -84
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT. #6/CARYN COMM. (136)
ision: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Total for Assessment Administration: 6,740 6,740 6,740 6,800 6,800
5501 AdminJGeneral Overhead 23,930 23,930 23,930 23,120 23,120
Total for AdminJGeneral Overhead: 23,930 23,930 23,930 23,120 23,120
TOTAL FOR OPERATIONS & MAINTENANCE: 358,230 354,160 373,150 365,170 365,170
0
•
61MV
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
F nd: LAND MAINT. #6/CARYN COMM. (136)
D: ENGINEERING -ADMINISTRATION (303)
(2) Fds 130, 131, 133, 134 = 20% ea.
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
Total for Capital Outlay -Equipment:
2,050
1,680
480
2-Calsense Controllers(10%o)
600
0
0
0
0
9-Calsense Wind Guages (10%)
1,200
1,200
0
1,200
1,200
Calsense Irrigation Remote(15% (11
0
0
0
330
330
John DeereTractor(20%) (2)
0
0
0
3,520
3,520
Planimeter(10%o)
250
0
0
0
0
Stor Cont/Contract Support 15%
0
480
480
0
0
(2) Fds 130, 131, 133, 134 = 20% ea.
(1) Fds 130,134 = 10% ea.; Fd 131 =
50%; Fd 133 = 15%
Total for Capital Outlay -Equipment:
2,050
1,680
480
5,050
5,050
5604 Capital Outlay -Vehicles
Chev S-10 PU w/Accessories 10%
2,300
0
0
0
0
Total for Capital Outlay -Vehicles:
2,300
0
0
0
0
5605 Capital Outlay -Computer Equip
k Computer for Autocad
0
450
450
0
0
Total for Capital Outlay -Computer Equip:
0 450 450 0 0
5650 Capital Project 0 0 1,070 0 0
Total for Capital Project: 0 0 1,070 0 0
TOTAL FOR CAPITAL OUTLAY: 4,350 2,130 2,000 5,050 5,050
SF - 86
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PRQJECTS DETAIL
Funding Source: LAND MAINT #6/CARYN COMM (136)
Object: 5650 1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Project/ Adopted Adopted Estimated Manager Adopted
Program Description Budget Budget Actual Rcmd Budget
1034 LANDSCAPE PLANT MATERIAL REPLC
TOTAL FOR LAND MAINT #6/CARYN COMM:
1,070
0 0 1,070 0 0
Is
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LAND MAINT.#7/NO. ETIWANDA (137)
D*: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
27,050
28,480
28,480
104,260
104,260
500
0
0
0
0
2,600
7,200
7,200
7,200
7,200
10,060
10,680
10,680
38,720
38,720
40,210
46,360
46,360
150,180
150,180
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
44,700
48,000
48,000
51,680
51,680
5204
O & M/Facilities
5,000
4,000
4,000
4,000
4,000
5250
Vehicle Operations & Maint.
1,860
2,500
2,500
2,500
2,500
5251
Depreciation -Vehicles
620
1,120
1,120
1,120
1,120
5252
Emergency & Routine Veh Rent
500
500
500
500
500
5280
Equip Operations & Maint
1,000
500
500
500
500
5281
Depreciation - Equipment
0
110
110
110
110
5300
Contract Services
192,450
262,600
295,300
253,550
253,550
5304
Contract Serv/Facilities
9,000
9,000
9,000
9,000
9,000
5310
Tree Maintenance
10,300
10,600
11,760
10,600
10,600
5400
Telephone Utilities
3,000
3,150
3,150
3,150
3,150
5402
Water Utilities
40,000
42,000
42,000
43,000
43,000
03
Electric Utilities
20,000
21,000
21,530
23,100
23,100
15
General Liability Charges
3,660
3,960
3,960
0
0
5500
Assessment Administration
7,100
7,100
7,100
7,930
7,930
5501
Admin./General Overhead
29,630
29,630
29,630
33,400
33,400
TOTAL FOR OPERATIONS & MAINTENANCE:
368,820
445,770
480,160
444,140
444,140
CAPITAL OUTLAY
5602
Capital Outlay -Bldg Imprvments
16,080
0
1,730
0
0
5603
Capital Outlay -Equipment
2,850
4,520
3,320
1,200
1,200
5604
Capital Outlay -Vehicles
2,300
0
0
0
0
5650
Capital Project
3,050
25,000
25,000
5,000
5,000
TOTAL FOR CAPITAL OUTLAY:
24,280
29,520
30,050
6,200
6,200
TOTAL FOR DIVISION 303: 433,310 521,650 556,570 600,520 600,520
TOTAL FOR LAND MAINT.#7/NO. ETIWANDA: 433,310 521,650 556,570 600,520 600,520
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services
DIVISION: LMD 7 North Etiwanda
FUND: 137
COST CENTER: 303
SF - 89
0
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmc1s7
Adopted
FOBJECT#
00
_PERSONNEL- FULL TIME
Budget
Request
Auth.
Funded
Budget
Maint. Worker (Parks)
20%
20%
20%
20%
20%
Maint. Worker (Parks)
20%
20%
20%
20%
20%
Maint. Worker (Parks Contract Support)
10%
10%
10%
10%
10%
Maint. Suprv.
10%
10%
10%
10%
10%
Maint. Worker
20%
20%
20%
20%
20%
Lead Maintenance Worker (Eastside Parks)
0%
50%
50%
50%
50%
Maint. Worker (Eastside Parks)
0%
50%
50%
50%
50%
Maint. Worker (Eastside Parks)
0%
50%
50%
50%
50%
Maint. Worker (Facilities
0%
50%
50%
50%
50%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
Seasonal Technician
100%
100%
100%
100%
100%
SF - 89
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT.#7/NO. ETIWANDA (137)
n ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Calsense Radio Charges
1,650
3,900
3,900
3,900
3,900
Graffiti Removal Supplies
700
700
700
700
700
Parks
22,500
15,000
15,000
18,380
18,380
Parkways & Median
15,750
25,700
25,700
25,700
25,700
Trees
2,600
2,700
2,700
3,000
3,000
Warehouse Stock
1,500
0
0
0
0
Total for Operations & Maintenance:
44,700
48,000
48,000
51,680
51,680
5204 0 & M/Facilities
192,450
262,600
295,300
253,550
253,550
Facilities
4,000
4,000
4,000
4,000
4,000
Warehouse Stock
1,000
0
0
0
0
Total for 0 & M/Facilities:
5,000
4,000
4,000
4,000
4,000
5250 Vehicle Operations & Maint.
1,860
2,500
2,500
2,500
2,500
Total for Vehicle Operations & Maint.:
1,860
2,500
2,500
2,500
2,500
5251 Depreciation - Vehicles
620
1 120
1120
1,120
1,120
1,120
Total for Depreciation - Vehicles:
*5252
620
1,120
1,120
1,120
Emergency & Routine Veh Rent
500
500
500
500
500
500
Total for Emergency & Routine Veh Rent:
500
500
500
500
5280 Equip Operations & Maint
1.000
500
500
500
500
Total for Equip Operations & Maint:
1,000
500
500
500
500
5281 Depreciation - Equipment
0
110
110
110
110
Total for Depreciation - Equipment:
0
110
110
110
110
5300 Contract Services
10,600
5400
Telephone Utilities
3,000
3,150
CCWD Man. Annual Backflow Cert
0
2,500
2,500
3,500
3,500
Parks Maint/Field Renovation
4,000
45,000
45,000
10,000
10,000
Parkways & Medians -New Const.
188,100
214,750
247,450
239,700
239,700
Tree Maint(Plumbing Repairs)
350
350
350
350
350
Total for Contract Services:
192,450
262,600
295,300
253,550
253,550
5304 Contract Serv/Facilities
racmnes
Sports Lighting Maintenance
7,000
2,000
7,000
2,000
7,000
2,000
7,000
2,000
7,000
2,000
Total for Contract Serv/Facilities:
9,000
9,000
9,000
9,000
9,000
5310
Tree Maintenance
10,300
10,600
11,760
10,600
10,600
0
Total for Tree Maintenance:
10,300
10,600
11,760
10,600
10,600
5400
Telephone Utilities
3,000
3,150
3,150
3,150
3,150
SF -90
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT.#7/NO. ETIWANDA (137)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01
Adopted Adopted Estimated
Object Object Description Budget Budget Actual
9
Fiscal Year 2001/02
Manager Adopted
_ Rcmd. Budget
Total for Telephone Utilities: 3,000 3,150 3,150 3,150 3,150
5402
Water Utilities
40,000
42,000
42,000
43,000
43,000
Total for Water Utilities:
40,000
42,000
42,000
43,000
43,000
5403
Electric Utilities
20,000
21,000
21,530
23,100
23,100
Total for Electric Utilities:
20,000
21,000
21,530
23,100
23,100
5415
General Liability Charges
3,660
3,960
3,960
0
0
Total for General Liability Charges:
3,660
3,960
3,960
0
0
5500
Assessment Administration
7,100
7,100
7,100
7,930
7,930
Total for Assessment Administration:
7,100
7,100
7,100
7,930
7,930
5501
Admin./General Overhead
29,630
29,630
29,630
33,400
33,400
Total for AdminJGeneral Overhead:
29,630
29,630
29,630
33,400
33,400
TOTAL FOR OPERATIONS & MAINTENANCE: 368,820 445,770 480,160 444,140 444,140
i
SF -91
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
nd: LAND MAINT.#7/NO. ETIWANDA (137)
n: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year
2000/01
Fiscal Year
2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
Epoxy Coating Restroom Floors
3,750
0
0
Key Security Upgrade
2,500
0
1,730
Partition Replacement
5,300
0
0
0
Restroom Repaint
4,530
0
0
0
0
Total for Capital Outlay -Bldg Imprvments:
16,080
0
1,730
0
0
5603 Capital Outlay -Equipment
1 -Cargo Container (20%)
800
0
0
0
0
2-Calsense Controllers (10%)
600
0
0
0
0
5 Ton Trailer/Trails Crew 20%
0
1,320
1,320
0
0
9-Calsense Wind Guages (10%)
1,200
1,200
0
1,200
1,200
Backhoe Attach. J.D. 4600 20%
0
2,000
2,000
0
0
Planimeter (10%)
250
0
0
0
0
Total for Capital Outlay -Equipment:
2,850
4,520
3,320
1,200
1,200
5604 Capital Outlay -Vehicles
Chev S-10 PIU w/Accessory 10% 2,300 0 0 0 0
Total for Capital Outlay -Vehicles: 2,300 0 0 0 0
5650 Capital Project 3,050 25,000 25,000 5,000 5,000
Total for Capital Project: 3,050 25,000 25,000 5,000 5,000
TOTAL FOR CAPITAL OUTLAY: 24,280 29,520 30,050 6,200 6,200
SF -92
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: LAND MAINT #7 (137)
Object: 5650 1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Project/ Adopted Adopted Estimated Manager Adopted
Program Description Budget Budget Actual Rcmd Budget
1089 NE COMMUNITY PARK TOT LOT&PICN 3,050 0 0 0 0
1274 WALL ADJACENT TO FLOOD CONTROL 0 25,000 25,000 0 0
1280 CHAIN LINK ENC @ Etiw Crk Prk 0 0 0 5,000 5,000
TOTAL FOR LAND MAINT #7: 3,050 25,000 25,000 5,000 5,000
0
0
SF - 93
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LAND MAINT DIST #8/SO ETIWANDA (138)
-)i*: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
5250 Vehicle Operations & Maint.
5251 Depreciation - Vehicles
5300 Contract Services
5400 Telephone Utilities
5402 Water Utilities
5403 Electric Utilities
5415 General Liability Charges
1,500
2,000
2,000
2,050
2,050
800
800
800
800
800
330
600
600
600
600
7,680
12,500
14,450
14,300
14,300
500
530
530
530
530
3,000
3,150
3,150
3,230
3,230
400
420
420
420
420
160
220
220
0
0
»w Assessment Aammmstrahon
580
580
580
830
830
5501 Admin./General Overhead
1,280
1,280
1,280
1,840
1,840
TOTAL FOR OPERATIONS & MAINTENANCE:
16,230
22,080
24,030
24,600
24,600
0
0
TOTAL FOR DIVISION 303: 16,230 22,080 24,030 24,600 24,600
TOTAL FOR LAND MAINT DIST #8/SO 16,230 22,080 24,030 24,600 24,600
ETIWANDA:
SF -94
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT DIST #8/SO ETIWANDA (138)
division: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Calsense Radios (RAM)
400
500
500
550
550
Parkways & Medians
1,000
1,200
1,200
1,200
1,200
Trees
100
300
300
300
300
Total for Operations & Maintenance:
1,500
2,000
2,000
2,050
2,050
5250 Vehicle Operations & Maint.
800
800
800
800
800
Total for Vehicle Operations & Maint.:
800
800
800
800
800
5251 Depreciation - Vehicles
330
600
600
600
600
Total for Depreciation - Vehicles:
330
600
600
600
600
5300 Contract Services
Landscape Maintenance
7,680
12,500
14,450
14,300
14,300
Total for Contract Services:
7,680
12,500
14,450
14,300
14,300
5400 Telephone Utilities
500
530
530
530
530
Total for Telephone Utilities:
500
530
530
530
530
5402 Water Utilities
3,000
3,150
3,150
3,230
3,230
Total for Water Utilities:
3,000
3,150
3,150
3,230
3,230
5403 Electric Utilities
400
420
420
420
420
Total for Electric Utilities:
400
420
420
420
420
5415 General Liability Charges
160
220
220
0
0
Total for General Liability Charges:
160
220
220
0
0
5500 Assessment Administration
580
580
580
830
830
Total for Assessment Administration:
580
580
580
830
830
5501 Admin./General Overhead
1,280
1,280
1,280
1,840
1,840
Total for Admin✓General Overhead:
1,280
1,280
1,280
1,840
1,840
TOTAL FOR OPERATIONS & MAINTENANCE: 16,230 22,080 24,030 24,600 24,600
SF - 95
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: LAND MAINT. #9 (139)
): ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
5300 Contract Services
5310 Tree Maintenance
5402
Water Utilities
5403
Electric Utilities
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
is
•
U
0
0
2,150
2,150
0
0
0
23,100
23,100
0
0
0
2,050
2,050
0
0
0
5,440
5,440
0
0
0
780
780
0
0
0
1,470
1,470
0
0
0
7,960
7,960
0
0
0
42,950
42,950
TOTAL FOR DIVISION 303:
0
0
0
42,950
42,950
TOTAL FOR LAND MAINT, #9:
0
0
0
42,950
42,950
SF - 96
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
_OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LAND MAINT. #9 (139)
division: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description
Budget
Budget Actual
Rcmd
Budget
5200 Operations & Maintenance
Maintenance Tools And Supplies
0
0
0
Ram Radio Charges
0
1,500
1,500
0
0
650
650
Total for Operations & Maintenance:
0
0
0
2,150
2,150
5300 Contract Services
Backflow Testing and Repair
0
0
0
200
200
Parkway, Paseo & Median Maint
0
0
0
17,900
17,900
Plant Material Replacement
0
0
0
5,000
5,000
Total for Contract Services:
0
0
0
23,100
23,100
5310 Tree Maintenance
Tree Maintenance
0
0
0
1,050
1,050
Tree Replacement
0
0
0
1,000
1,000
Total for Tree Maintenance:
0
0
0
2,050
2,050
5402 Water Utilities
0
0
0
5,440
5,440
Total for Water Utilities:
0
0
0
5,440
5,440
5403 Electric Utilities
0
0
0
780
780 10
Total for Electric Utilities:
0
0
0
780
780
5500 Assessment Administration
0
0
0
1,470
1,470
Total for Assessment Administration:
0
0
0
1,470
1,470
5501 Admin./General Overhead
0
0
0
7,960
7,960
Total for AdminJGeneral Overhead:
0
0
0
7,960
7,960
TOTAL FOR OPERATIONS & MAINTENANCE:
0 0 0 42,950 42,950
SF - 97
Fund:
Lon:
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
LIGHT DIST #1/ARTERIAL (15 1)
ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year
2000/01
Fiscal Year
2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5280
Equip Operations & Maint
5300
Contract Services
5403
Electric Utilities
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
500
0
0
920
920
920
920
920
0
0
5,000
0
0
320,000
358,000
365,800
428,500
428,500
4,540
4,920
4,920
0
0
96,800
96,800
96,800
107,120
107,120
36,090
36,090
36,090
38,020
38,020
458,350
496,730
510,030
574,560
574,560
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 6,600 0 6,600 0 0
TOTAL FOR CAPITAL OUTLAY: 6,600 0 6,600 0 0
is
•
TOTAL FOR DIVISION 303:
464,950 496,730 516,630 574,560 574,560
TOTAL FOR LIGHT DIST #1/ARTERIAL: 464,950 496,730 516,630 574,560 574,560
SF - 98
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIGHT DIST #1/ARTERIAL (15 1)
)ivision: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Prior Year Assessment Refund
0
0
500
0
0
Total for Operations & Maintenance:
0
0
500
0
0
5280 Equip Operations & Maint
920
920
920
920
920
Total for Equip Operations & Maint:
920
920
920
920
920
5300 Contract Services
0
0
5,000
0
0
Total for Contract Services:
0
0
5,000
0
0
5403 Electric Utilities
320,000
358,000
365,800
428,500
428,500
Total for Electric Utilities:
320,000
358,000
365,800
428,500
428,500
5415 General Liability Charges
4,540
4,920
4,920
0
0
Total for General Liability Charges:
4,540
4,920
4,920
0
0
5500 Assessment Administration
96,800
96,800
96,800
107,120
107,120
Total for Assessment Administration:
96,800
96,800
96,800
107,120
107,120
5501 AdminJGeneral Overhead
36,090
36,090
36,090
38,020
38,020
•
Total for AdminJGeneral Overhead:
36,090
36,090
36,090
38,020
38,020
TOTAL FOR OPERATIONS & MAINTENANCE: 458,350 496,730 510,030 574,560 574,560
SF - 99
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LIGHT DIST #1/ARTERIAL (15 1)
n ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Ilium. St. Sign Reloc-ISNS 6,600 0 6,600 0 0
Total for Capital Outlay -Equipment: 6,600 0 6,600 0 0
TOTAL FOR CAPITAL OUTLAY:
0
6,600 0 6,600
SF - 100
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LIGHT DIST #2/RESIDENTIAL (152)
ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5403
Electric Utilities
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
140,000
220,000
224,800
199,300
199,300
1,200
2,700
2,700
0
0
30,650
30,650
30,650
31,550
31,550
19,420
19,420
19,420
18,790
18,790
191,270
272,770
277,570
249,640
249,640
TOTAL FOR DIVISION 303:
191,270
272,770
277,570
249,640
249,640
TOTAL FOR LIGHT DIST #2/RESIDENTIAL:
191,270
272,770
277,570
249,640
249,640
0
SF - 101
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIGHT DIST #2/RESIDENTIAL (152)
Division: ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5403 Electric Utilities
140,000
220,000
224,800
199,300
199,300
{ 1) Also See Fund 172 for FY 2001/02
Total for Electric Utilities:
140,000
220,000
224,800
199,300
199,300
5415 General Liability Charges -1,200
2 700
2,700
0
0
Total for General Liability Charges:
1,200
2,700
2,700
0
0
5500 Assessment Administration
30,650
30,650
30,650
31,550
31,550
Total for Assessment Administration:
30,650
30,650
30,650
31,550
31,550
5501 Admin./General Overhead
19,420
19,420
19,420
18,790
18,790
Total for AdminJGeneral Overhead:
19,420
19,420
19,420
18,790
18,790
TOTAL FOR OPERATIONS & MAINTENANCE:
191,270 272,770 277,570 249,640 249,640
SF - 102
9
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: LIGHT DIST #3/VICTORIA (153)
): ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5300
Contract Services
5403
Electric Utilities
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
10,000
10,600
10,600
10,600
10,600
0
0
5,000
0
0
165,000
173,250
177,050
207,370
207,370
2,150
2,240
2,240
0
0
23,580
23,580
23,580
25,780
25,780
16,080
16,080
16,080
17,640
17,640
216,810
225,750
234,550
261,390
261,390
TOTAL FOR DIVISION 303: 216,810 225,750 234,550 261,390 261,390
TOTAL FOR LIGHT DIST #3/VICTORIA: 216,810 225,750 234,550 261,390 261,390
SF - 103
TOTAL FOR OPERATIONS & MAINTENANCE:
216,810 225,750 234,550 261,390 261,390
SF - 104
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIGHT DIST #3NICTORIA (153)
Division: ENGINEERING -ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object
Object Description
Budget
Budget
Actual
Rcmd
Budget
5200
Operations & Maintenance
10,000
10,600
10,600
10,600
10,600
Total for Operations & Maintenance:
10,000
10,600
10,600
10,600
10,600
5300
Contract Services
0
0
5,000
0
0
Total for Contract Services:
0
0
5,000
0
0
5403
Electric Utilities
165,000
173,250
177.050
207,370
207,370
Total for Electric Utilities:
165,000
173,250
177,050
207,370
207,370
5415
General Liability Charges
2,150
2,240
2,240
0
0
Total for General Liability Charges:
2,150
2,240
2,240
0
0
5500
Assessment Administration
23,580
23,580
23,580
25,780
25,780
Total for Assessment Administration:
23,580
23,580
23,580
25,780
25,780
5501
Admin./General Overhead
16,080
16,080
16,080
17,640
17,640
Total for AdminJGeneral Overhead:
16,080
16,080
16,080
17,640
17,640
TOTAL FOR OPERATIONS & MAINTENANCE:
216,810 225,750 234,550 261,390 261,390
SF - 104
0
d:
n:
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
LIGHT DIST #4/TERRA VISTA (154)
ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5252
Emergency & Routine Veh Rent
5280
Equip Operations & Maint
5281
Depreciation - Equipment
5300
Contract Services
5403
Electric Utilities
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
51,160
0
0
0
0
20,000
0
0
0
0
20,730
0
0
0
0
91,890
0
0
0
0
32,000
36,000
36,000
48,780
48,780
1,500
1,500
1,500
2,000
2,000
160
250
250
1,510
1,510
0
1,050
1,050
1,050
1,050
16,000
0
0
22,000
22,000
62,000
65,100
66,600
77,920
77,920
1,330
1,250
1,250
0
0
12,970
12,970
12,970
16,120
16,120
8,380
8,380
8,380
9,630
9,630
134,340
126,500
128,000
179,010
179,010
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 3,300 0 2,680 0 0
0 TOTAL FOR CAPITAL OUTLAY: 3,300 0 2,680 0 0
TOTAL FOR DIVISION 303: 229,530 126,500 130,680 179,010 179,010
TOTAL FOR LIGHT DIST #4/TERRA VISTA: 229,530 126,500 130,680 179,010 179,010
•
SF - 105
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIGHT DIST #4/TERRA VISTA (154)
Electric Utilities
62,000
65,100
66,600
77,920
Division: ENGINEERING - ADMINISTRATION (303)
5415
Total for Electric Utilities:
General Liability Charges
62,000
1,330
65,100
1,250
66,600
1,250
77,920
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
1,330
12,970
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Total for AdminJGeneral Overhead:
8,380
8,380
8,380
9,630
Street Signal Lighting
32,000
36,000
36,000
36,000
36,000
Traf Signal Cabinet Replacmnt { 1 }
0
0
0
12,780
12,780
{ I) Previously in Fd 155
Total for Operations & Maintenance:
32,000
36,000
36,000
48,780
48,780
5252 Emergency & Routine Veh Rent
1,500
1,500
1,500
2,000
2,000
Total for Emergency & Routine Veh Rent:
1,500
1,500
1,500
2,000
2,000
5280 Equip Operations & Maint
Aerial Boom Certification
160
250
250
880
880
Misc. Small Equipment
0
0
0
630
630
Total for Equip Operations & Maint:
160
250
250
1,510
1,510
5281 Depreciation - Equipment
0
1,050
1,050
1,050
1,050
Total for Depreciation - Equipment:
0
1,050
1,050
1,050
1,050
5300 Contract Services
10
GPS Contract Services { 1 }
16,000
0
0
22,000
22,000
{ 1 } Previously in Fd 157
Total for Contract Services: 16,000 0 0 22,000 22,000
5403
Electric Utilities
62,000
65,100
66,600
77,920
77,920
5415
Total for Electric Utilities:
General Liability Charges
62,000
1,330
65,100
1,250
66,600
1,250
77,920
0
77,920
0
5500
Total for General Liability Charges:
Assessment Administration
1,330
12,970
1,250
12,970
1,250
12,970
0
16,120
0
16.120.
5501
Total for Assessment Administration:
Admin./General Overhead
12,970
8,380
12,970
8,380
12,970
8,380
16,120
9,630
16,120
9.630
Total for AdminJGeneral Overhead:
8,380
8,380
8,380
9,630
9,630
TOTAL FOR OPERATIONS & MAINTENANCE: 134,340 126,500 128,000 179,010 179,010
i
SF - 106
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
nd: LIGHT DIST #4/TERRA VISTA (154)
I n: ENGINEERING - ADMINISTRATION (303)
TOTAL FOR CAPITAL OUTLAY: 3,300 0 2,680
SF - 107
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5603 Capital Outlay -Equipment
Illum. St. Sign Reloc-ISNS 25%
3,300
0 2,680
0 0
Total for Capital Outlay -Equipment:
3,300
0 2,680
0 0
TOTAL FOR CAPITAL OUTLAY: 3,300 0 2,680
SF - 107
Fund:
)w:
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
LIGHT DIST #5/CARYN COMM (155)
ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5252
Emergency & Routine Veh Rent
5280
Equip Operations & Maint
5403
Electric Utilities
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
12,780
12,780
5,000
0
0
500
500
500
0
0
630
630
630
0
0
40,000
42,000
42,900
50,270
50,270
640
660
660
0
0
6,750
6,750
6,750
6,800
6,800
3,490
3,490
3,490
3,360
3,360
64,790
66,810
59,930
60,430
60,430
TOTAL FOR DIVISION 303: 64,790 66,810 59,930 60,430 60,430
TOTAL FOR LIGHT DIST #5/CARYN COMM: 64,790 66,810 59,930 60,430 60,430
0
11
SF - 108
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIGHT DIST #5/CARYN COMM (155)
Avision: ENGINEERING - ADMINISTRATION (303)
J
11) Moved to 154 FY 2001/02
Iotas for Operations & Maintenance: 12,780 12,780 5,000 0
5252
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
500
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5200 Operations & Maintenance
5280
Equip Operations & Maint
630
Routine Maintenance (1)
12,780
12,780 5,000
0 0
11) Moved to 154 FY 2001/02
Iotas for Operations & Maintenance: 12,780 12,780 5,000 0
5252
Emergency & Routine Veh Rent
500
500
500
0
0
Total for Emergency & Routine Veh Rent:
500
500
500
0
0
5280
Equip Operations & Maint
630
630
630
0
0
Total for Equip Operations & Maint:
630
630
630
0
0
5403
Electric Utilities
40,000
42,000
42,900
50,270
50,270
Total for Electric Utilities:
40,000
42,000
42,900
50,270
50,270
5415
General Liability Charges
640
660
660
0
0
Total for General Liability Charges:
640
660
660
0
0
5500
Assessment Administration
6,750
6,750
6,750
6,800
6,800
Total for Assessment Administration:
6,750
6,750
6,750
6,800
6,80010
5501
Admin./General Overhead
3,490
3,490
3,490
3,360
3,360
Total for AdminJGeneral Overhead:
3,490
3,490
3,490
3,360
3,360
TOTAL FOR OPERATIONS & MAINTENANCE:
64,790 66,810 59,930 60,430 60,430
SF - 109
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LIGHT DIST #6/INDUST AREA (156)
): ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5252
Emergency & Routine Veh Rent
5280
Equip Operations & Maint
5281
Depreciation - Equipment
5300
Contract Services
5403
Electric Utilities
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
5,000
5,000
5,000
5,000
5,000
500
500
500
500
500
850
900
900
900
900
0
1,380
1,380
1,380
1,380
66,000
50,000
50,000
36,300
36,300
46,000
48,300
49,400
57,810
57,810
1,280
1,150
1,150
0
0
2,600
2,600
2,600
2,890
2,890
6,810
6,810
6,810
7,600
7,600
129,040
116,640
117,740
112,380
112,380
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 4,500 1,600 4,900 0 0
TOTAL FOR CAPITAL OUTLAY: 4,500 1,600 4,900 0 0
TOTAL FOR DIVISION 303: 133,540 118,240 122,640 112,380 112,380
TOTAL FOR LIGHT DIST #6/INDUST AREA: 133,540 118,240 122,640 112,380 112,380
0
0
SF- 110
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (51001 DETAIL
Fund: LIGHT DIST #6/INDUST AREA (156)
division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
St. Signal Lighting Maint. Mn 5,000 5,000 5,000 5,000
Total for Operations & Maintenance: 5,000 5,000 5,000 5,000 5,000
5252 Emergency & Routine Veh Rent 500 500 500 500 500
Total for Emergency & Routine Veh Rent: 500 500 500 500 500
5280 Equip Operations & Maint
Aerial Boom Certification
550
900
900
900
900
General Maintenance
300
0
0
0
0
Total for Equip Operations & Maint:
850
900
900
900
900
5281 Depreciation - Equipment
0
1,380
1,380
1,380
1,380
Total for Depreciation - Equipment:
0
1,380
1,380
1,380
1,380
5300 Contract Services
GPS Collection Consultants
16,000
0
0
0
0
Sinal Maintenance { 1)
50,000
50,000
50,000
36,300
36,300
(1) Moved Balance to Fd 158
Total for Contract Services:
66,000
50,000
50,000
36,300
36,300
5403 Electric Utilities
46,000
48,300
49,400
57,810
57,810
Total for Electric Utilities:
46,000
48,300
49,400
57,810
57,810
5415 General Liability Charges
1,280
1,150
1,150
0
0
Total for General Liability Charges:
1,280
1,150
1,150
0
0
5500 Assessment Administration
2,600
2,600
2,600
2,890
2,890
Total for Assessment Administration:
2,600
2,600
2,600
2,890
2,890
5501 Admin./General Overhead
6,810
6,810
6,810
7,600
7,600
Total for AdminJGeneral Overhead:
6,810
6,810
6,810
7,600
7,600
TOTAL FOR OPERATIONS & MAINTENANCE:
129,040 116,640 117,740 112,380 112,380
SF- 111
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
nd: LIGHT DIST #6/INDUST AREA (156)
n: ENGINEERING - ADMINISTRATION (303)
0
E
TOTAL FOR CAPITAL OUTLAY: 4,500 1,600 4,900
SF - 112
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budget
Budget
Actual
Rcmd Budget
5603 Capital Outlay -Equipment
Dig. Video Camera -Sig Maint
0
1,600
1,540
0
0
Digital Video Camera for PMS
1,200
0
0
0
0
Illum. St. Sign Reloc-ISNS 25%
3,300
0
3,360
0
0
Total for Capital Outlay -Equipment:
4,500
1,600
4,900
0
0
0
E
TOTAL FOR CAPITAL OUTLAY: 4,500 1,600 4,900
SF - 112
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: LIGHT DIST #7 (157)
D : ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
_Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
5280
Equip Operations & Maint
5300
Contract Services
5403
Electric Utilities
5415
General Liability Charges
200
200
200
200
200
140
140
140
140
140
44,000
44,000
44,000
0
0
12,000
12,600
12,900
15,080
15,080
640
650
650
0
0
»w AssessmentAammtstratton
5,100
5,100
5,100
7,940
7,940
5501 Admin./General Overhead
2,580
2,580
2,580
3,070
3,070
TOTAL FOR OPERATIONS & MAINTENANCE:
64,660
65,270
65,570
26,430
26,430
J
i
TOTAL FOR DIVISION 303:
64,660
65,270
65,570
26,430
26,430
TOTAL FOR LIGHT DIST #7:
64,660
65,270
65,570
26,430
26,430
SF- 113
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: LIGHT DIST #7 (157) OPERATIONS & MAINTENANCE (5100) DETAIL
ivision: ENGINEERING -ADMINISTRATION (303)
5300 Contract Services
�ignat maimenance 111 44,000
(1 ) Moved to Fd 158 FY 2001/02
•• ttt -� tt�
Total for Contract Services: 44,000 44,000 44,000
5403
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
12,900
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
200
200
200
200
200
Total for Operations & Maintenance:
200
200
200
200
200
_5280 Equip Operations & Maint
140
140
140
140
140
Total for Equip Operations & Maint:
140
140
140
140
140
5300 Contract Services
�ignat maimenance 111 44,000
(1 ) Moved to Fd 158 FY 2001/02
•• ttt -� tt�
Total for Contract Services: 44,000 44,000 44,000
5403
Electric Utilities
12,000
12,600
12,900
15,080
15.080
Total for Electric Utilities:
12,000
12,600
12,900
15,080
15,080
5415
General Liability Charges
640
650
650
0
0
Total for General Liability Charges:
640
650
650
0
0
5500
Assessment Administration
5,100
5,100
5,100
7,940
7,940
Total for Assessment Administration:
5,100
5,100
5,100
7,940
7,940
5501
Admin./General Overhead
2,580
2,580
2,580
3,070
3,070
Total for Admin./General Overhead:
2,580
2,580
2,580
3,070
3,070
TOTAL FOR OPERATIONS & MAINTENANCE:
64,660 65,270 65,570 26,430 26,430
SF - 114
i
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LIGHT DIST #8 (158)
Sn: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200
Operations & Maintenance
500
500
500
500
500
5300
Contract Services
0
0
0
57,700
57,700
5403
Electric Utilities
3,000
3,150
3,220
3,770
3,770
5415
General Liability Charges
40
40
40
0
0
5500
Assessment Administration
190
190
190
1,910
1,910
5501
Admin./General Overhead
620
620
620
5,150
5,150
TOTAL FOR OPERATIONS & MAINTENANCE:
4,350
4,500
4,570
69,030
69,030
TOTAL FOR DIVISION 303:
4,350
4,500
4,570
69,030
69,030
TOTAL FOR LIGHT DIST #8:
4,350
4,500
4,570
69,030
69,030
SF - 115
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (51001 DETAIL
Fund: LIGHT DIST #8 (158)
Avision: ENGINEERING -ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
500
500
500
500
500
Total for Operations & Maintenance:
500
500
500
500
500
5300 Contract Services
Signal Maintenance {1)
0
0
0
57,700
57,700
{ 1) Previously in Fds 156 & 157
Total for Contract Services:
0
0
0
57,700
57,700
5403 Electric Utilities
3,000
3,150
3,220
3,770
3,770
Total for Electric Utilities:
3,000
3,150
3,220
3,770
3,770
5415 General Liability Charges
40
40
40
0
0
Total for General Liability Charges:
40
40
40
0
0
5500 Assessment Administration
190
190
190
1,910
1,910
Total for Assessment Administration:
190
190
190
1,910
1,910
5501 Admin./General Overhead
620
620
620
5,150
5.150
Total for AdmindGeneral Overhead:
620
620
620
5,150
5,150
TOTAL FOR OPERATIONS & MAINTENANCE:
4,350
4,500
4,570
69,030
69,030
SF - 116
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GAS TAX 2105/PROP111 (170)
An: ENGINEERING - ADMINISTRATION (303)
0
TOTAL FOR DIVISION 303: 1,078,030 1,109,270 877,270 1,348,740 1,348,740
TOTAL FOR GAS TAX 2105/PROP111: 1,078,030 1,109,270 877,270 1,348,740 1,348,740
SF - 117
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
155,080
211,430
211,430
224,910
224,910
5030 Fringe Benefits
57,380
78,230
78,230
83,220
83,220
TOTAL FOR PERSONNEL SERVICES:
212,460
289,660
289,660
308,130
308,130
OPERATIONS & MAINTENANCE
5152 Computer Software
0
6,000
6,000
6,000
6,000
5250 Vehicle Operations & Maint.
0
610
610
610
610
5300 Contract Services
457,000
571,000
541,000
520,000
520,000
TOTAL FOR OPERATIONS & MAINTENANCE:
457,000
577,610
547,610
526,610
526,610
CAPITAL OUTLAY
5650 Capital Project
408,570
242,000
40,000
514,000
514,000
TOTAL FOR CAPITAL OUTLAY:
408,570
242,000
40,000
514,000
514,000
0
TOTAL FOR DIVISION 303: 1,078,030 1,109,270 877,270 1,348,740 1,348,740
TOTAL FOR GAS TAX 2105/PROP111: 1,078,030 1,109,270 877,270 1,348,740 1,348,740
SF - 117
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Engineering - Prop. 111
FUND: 170
COST CENTER: 303
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
1100
PERSONNEL - FULL TIME
Budget
Request
Budget
Associate Engineer
15%
15%
15%
15%
15%
Associate Engineer
20%
20%
20%
20%
20%
Junior Engineer
15%
15%
15%
15%
15%
Assistant Engineer
25%
25%
25%
25%
25%
Assistant Engineer
10%
10%
10%
10%
10%
Assistant Engineer
20%
20%
20%
20%
20%
City Engineer
30%
30%
30%
30%
30%
Engineering Technician
60%
60%
60%
60%
60%
Equipment Operator
100%
100%
100%
100%
100%
Maintenance Coordinator
100%
100%
1000%
100%
100%
1200
PERSONNEL - OVERTIME
1300
PERSONNEL - PART TIME
SF - 118
E
•
•
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: GAS TAX 2105/PROPI 11 (170)
D: ENGINEERING - ADMINISTRATION (303)
5300 Contract Services
CalTrans LED Upgrades
CalTrans Signal Maint Contract
City LED Upgrades/Replacements
Cold Planing { 1)
Consultant Srvcs-ADA Imprvmnts {2)
Contract Inspector
Pavement Recycling/Equip Rntl { 1 }
Replacement School Signs
Roadway Oiling { 1 }
Signal Maintenance
Standard Drawing Revisions
Street Capital Maint Projects
Striping Contract
Traffic Counts For Studies
Uniform Rental/also see1001316
(2) Fund 170=75%, Fund 120=25%
{ 1) Prior to 2000/01 Included In Fund 172
Total for Contract Services:
TOTAL FOR OPERATIONS & MAINTENANCE:
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
5152 Computer Software
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
Add'I Pavement Mgmt Sys Seats
Total for Computer Software:
0
0
6,000
6,000
6,000
6,000
6,000
6,000
6,000
6,000
_5250 Vehicle Operations & Maint.
Total for Vehicle Operations & Maint.:
0
0
610
610
610
610
610
610
610
610
5300 Contract Services
CalTrans LED Upgrades
CalTrans Signal Maint Contract
City LED Upgrades/Replacements
Cold Planing { 1)
Consultant Srvcs-ADA Imprvmnts {2)
Contract Inspector
Pavement Recycling/Equip Rntl { 1 }
Replacement School Signs
Roadway Oiling { 1 }
Signal Maintenance
Standard Drawing Revisions
Street Capital Maint Projects
Striping Contract
Traffic Counts For Studies
Uniform Rental/also see1001316
(2) Fund 170=75%, Fund 120=25%
{ 1) Prior to 2000/01 Included In Fund 172
Total for Contract Services:
TOTAL FOR OPERATIONS & MAINTENANCE:
0
41,000
5,000
5,000
5,000
72,000
85,000
85,000
85,000
85,000
0
0
10,000
10,000
10,000
0
15,000
15,000
15,000
15,000
15,000
15,000
15,000
15,000
15,000
65,000
65,000
65,000
65,000
65,000
0
15,000
15,000
15,000
15,000
0
25,000
25,000
0
0
0
6,000
6,000
6,000
6,000
80,000
100,000
100,000
100,000
100,000
0
4,000
0
4,000
4,000
100,000
25,000
25,000
25,000
25,000
125,000
150,000
150,000
150,000
150,000
0
4,000
4,000
4,000
4,000
0
21,000
21,000
21,000
21,000
457,000 571,000 541,000 520,000 520,000
457,000 577,610 547,610 526,610 526,610
SF - 119
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: GAS TAX 2105/PROP 111 (170)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted
Adopted
Estimated
Manager
Adopted
Program Description
Budget
Budget
Actual
Rcmd
Budget
1020 PAVEMENT MGMT PROGRAM
5,000
10,000
10,000
2,000
2,000
1022 LOCAL STREET REHAB (VARIOUS)
0
0
0
300,000
300,000
1043 CARNELIAN-SBRDO RD TO BASELINE
10,000
0
0
0
0
1126 SIGNAL: 4TH & HERMOSA
1,000
0
0
0
0
1127 RIGHT OF WAY ACQUISITION-LEMN
2,500
0
0
0
0
1128 FOURTH ST REHAB(SANTA ANITA)
5,000
0
0
0
0
1149 4TH ST UTICA TO PITTSBURG PAVE
5,070
0
0
0
0
1151 SUMMIT AVE EAST AVE TO E/O SCH
0
2,000
0
0
0
1153 ARROW RTE -GROVE TO BAKER PAV
200,000
200,000
0
210,000
210,000
1159 METROLINK CORRIDOR EEM PROGRM
104,000
0
0
0
0
1196 8TH ST REHAB VINEYRD TO ARCH
10,000
0
0
0
0
1197 6TH ST REHAB HAVEN TO MILLIKEN
21,000
0
0
0
0
1198 6TH ST REHAB MILLIKEN TO HYSOP
20,000
0
0
0
0
1199 BASELINE REHAB VINEYARD-HELLMN
10,000
0
0
0
0
1200 MILLIKEN AVE REHAB 4TH - 7TH
15,000
0
0
0
0
1234 INFRASTRUCTURE INVENTORY GASB
0
30,000
30,000
2,000
2,000
TOTAL FOR GAS TAX 2105/PROP 111: 408,570 242,000 40,000 51
LE
SF - 120
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: GAS TAX 2106-2107 (172)
ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
665,990
695,900
695,900
738,050
738,050
10,000
10,000
10,000
10,000
10,000
40,000
40,000
40,000
40,000
40,000
250,020
261,080
261,080
276,680
276,680
966,010
1,006,980
1,006,980
1,064,730
1,064,730
OPERATIONS & MAINTENANCE
1,701,600
2,195,600
2,223,730
1,900,220
1 900 220
5200 Operations & Maintenance
1,040
17,540
17,540
17,540
17,540
5250 Vehicle Operations & Maint.
3,500
7,500
7,500
7,500
7,500
5251 Depreciation - Vehicles
123,100
111,410
111,410
111,410
111,410
5252 Emergency & Routine Veh Rent
5,000
0
0
5280 Equip Operations & Maint
1,500
2,000
2,000
0
2,000
0
2,000
5281 Depreciation - Equipment
10,770
17,010
17,010
17,010
17,010
5283 Depreciation -Computer Equip
980
160
160
160
160
5300 Contract Services
59,000
0
19,000
0
0
5400 Telephone Utilities
0
1,000
0
0
0
5403 Electric Utilities
490,000
514,500
514,500
679,870
679,870
TOTAL FOR OPERATIONS & MAINTENANCE:
694,890
671,120
689,120
835,490
835,490
AWLAPITAL OUTLAY
03 Capital Outlay -Equipment
0
0
10,130
0
5604 Capital Outlay -Vehicles
40,700
517,500
517,500
0
0
0
TOTAL FOR CAPITAL OUTLAY:
40,700
517,500
527,630
0
0
TOTAL FOR DIVISION 303:
1,701,600
2,195,600
2,223,730
1,900,220
1 900 220
TOTAL FOR GAS TAX 2106-2107:
1,701,600
2,195,600
2,223,730
1,900,220
1,900,220
SF - 121
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Gas Tax 2106, 2107 & 2107.5
FUND: 172
COST CENTER: 303
SF - 122
0
0
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
1100
PERSONNEL - FULL TIME
Assistant Engineer
10%
10%
10%
10%
10%
Assistant Engineer
45%
45%
45%
45%
45%
Equipment Operator (Sweeper)
100%
100%
100%
100%
100%
Equipment Operator (Sweeper)
80%
80%
80%
80%
80%
Equipment Operator (Sweeper)
100%
100%
100%
100%
100%
Lead Maint. Worker (Streets)
55%
55%
55%
55%
55%
Lead Maint. Worker (Streets)
100%
100%
100%
100%
100%
Lead Maint. Worker (Streets)
80%
80%
80%
80%
80%
Lead Maint. Worker (Streets)
90%
90%
90%
90%
90%
Maint. Superintendent (Streets)
20%
20%
20%
20%
20%
Maintenance Supervisor
15%
15%
15%
15%
15%
Maintenance Supervisor
80%
80%
80%
80%
80%
Maint. Worker (Streets)
80%
80%
80%
80%
80%
Maint. Worker (Streets)
90%
90%
90%
90%
90%
Maint. Worker (Streets)
100%
100%
100%
100%
100%
Maint. Worker (Streets)
90%
90%
90%
90%
90%
Maint. Worker (Streets)
90%
90%
90%
90%
90%
Maint. Worker (Streets)
70%
70%
70%
70%
70%
Maint. Worker (Streets)
90%
90%
90%
90%
90%
Maint. Worker (Streets)
60%
60%
60%
60%
60%
Maint. Worker (Streets)
90%
90%
90%
90%
90%
Maint. Worker (Streets)
10%
10%
10%
10%
10%
Management Analyst II-Dellhime
30%
30%
30%
30%
30%
Public Works Maint. Manager
20%
20%
20%
20%
20%
Signal & Lighting Technician
100%
100%
100%
100%
100%
1200
PERSONNEL - OVERTIME
1300
PERSONNEL - PART TIME
Seasonal Maint. Tech.
200%
200%
200%
200%
200%
SF - 122
0
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
n
F d: GAS TAX 210Cr2107 (172)
ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Sweeper Supplies { I
0
16,500
16,500
16,500
16,500
Traffic Signal Cert Courses
1,040
1,040
1,040
1,040
1,040
{ 11 Before 2000/01 Included In Fund 007
Total for Operations & Maintenance:
1,040
17,540
17,540
17,540
17,540
5250 Vehicle Operations & Maint.
3,500
7,500
7,500
7,500
7.500
Total for Vehicle Operations & Maint.:
3,500
7,500
7,500
7,500
7,500
5251 Depreciation - Vehicles
123,100
111,410
111,410
111,410
111,410
Total for Depreciation - Vehicles:
123,100
111,410
111,410
111,410
111,410
5252 Emergency & Routine Veh Rent
5,000
0
0
0
0
Total for Emergency & Routine Veh Rent:
5,000
0
0
0
0
5280 Equip Operations & Maint
1,500
2,000
2,000
2,000
2,000
Total for Equip Operations & Maint:
1,500
2,000
2,000
2,000
2,000
Ift281 Depreciation - Equipment
MW
10,770
17,010
17,010
17,010
17,010
Total for Depreciation - Equipment:
10,770
17,010
17,010
17,010
17,010
5283 Depreciation -Computer Equip
980
160
160
160
160
Total for Depreciation -Computer Equip:
980
160
160
160
160
5300 Contract Services
Chipseal Application-SBCFCD (11
5,000
0
0
0
0
Cold Planing { 1)
15,000
0
0
0
0
Pavement Recycling/Equip Rail { 11
15,000
0
0
0
0
Roadway Oiling (1)
6,000
0
0
0
0
Uniform Rental -50%,50%=1001316 ( I)
18,000
0
19,000
0
0
{ 1) Beginning 2000/01 Included in Fund
170
Total for Contract Services:
59,000
0
19,000
0
0
5400 Telephone Utilities
0
1.000
0
0
0
Total for Telephone Utilities:
0
1,000
0
0
0
5403 Electric Utilities
Gen'I City Street/Traffic Lght
390,000
409,500
409,500
554,190
554,190
Traffic Signals & Safety Light
100,000
105,000
105,000
125,680
125,680
Total for Electric Utilities:
490,000
514,500
514,500
679,870
679,870
TOTAL FOR OPERATIONS & MAINTENANCE:
694,890
671,120
689,120
835,490
835,490
SF - 123
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: GAS TAX 2106-2107 (172)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment 0 0 10,130 0 0
Total for Capital Outlay -Equipment: 0 0 10,130 0 0
5604 Capital Outlay -Vehicles
10 Whl Dump Trk-33%,Fd 007=67%
31,700
0
0
0
0
2 Patch Trks w/5yd Cpcty-Replc
0
270,000
270,000
0
0
Emulsion Tach Trailer
9,000
0
0
0
0
J Deere Backhoe w/Bucket-Rplc
0
87,500
87,500
0
0
J Deere Loader 410-E Rplcmnt
0
160,000
160,000
0
0
Total for Capital Outlay -Vehicles:
40,700
517,500
517,500
0
0
TOTAL FOR CAPITAL OUTLAY: 40,700 517,500 527,630 0 0
0
•
SF - 124
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
MEASURE "I" (176)
ENGINEERING - ADMINISTRATION (303)
0
TOTAL FOR DIVISION 303:
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
3,056,960
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
89,000
88,740
88,740
92,670
92,670
5030 Fringe Benefits
32,930
32,830
32,830
34,290
34,290
TOTAL FOR PERSONNEL SERVICES:
121,930
121,570
121,570
126,960
126,960
OPERATIONS & MAINTENANCE
5300 Contract Services
0
0
19,020
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
19,020
0
0
CAPITAL OUTLAY
5650 Capital Project
4,776,000
4,622,060
2,275,890
2,930,000
2 930 000
TOTAL FOR CAPITAL OUTLAY:
4,776,000
4,622,060
2,275,890
2,930,000
2,930,000
0
TOTAL FOR DIVISION 303:
4,897,930
4,743,630
2,416,480
3,056,960
3,056,960
TOTAL FOR MEASURE "I":
4,897,930
4,743,630
2,416,480
3,056,960
3,056,960
SF - 125
CITY OF RANCHO CUCAMONGA
(FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: Engineering - Measure I
FUND: 176
COST CENTER: 303
SF - 126
Is
0
0
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth. Funded
1100
PERSONNEL - FULL TIME
Assistant Engineer
20%
20%
20% 20%
20%
Engineering Tech
40%
40%
40% 40%
40%
Associate Engineer
30%
30%
30% 30%
30%
Assistant Engineer
30%
30%
30% 30%
30%
Engineering Tech
20%
20%
20% 20%
20%
Assistant Engineer
20%
20%
20% 20%
20%
SF - 126
Is
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: MEASURE "I" (176)
)i* ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
Frotessional Services 0 0 19,020 0 0
Total for Contract Services: 0 0 19,020 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
SF - 127
19,020
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: MEASURE I (176)
Object: 5650
Project/
Program Description
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Budget
Adopted Estimated
Budget Actual
Manager Adopted
Rcmd Budget
1022 LOCAL STREET REHAB (VARIOUS)
1043 CARNELIAN-SBRDO RD TO BASELINE
1057 BERYL ST RvIPROV(BASELNE/19TH)
1073 ALPINEIRAMONA SIDEWALKS
1082 BERYL(BASELINE/19TH ST PAVEMNT
1100 SAPPHIRE ST REHAB
1106 ARCHIBALD & FOURTH BUS BAY
1124 HAVEN W/S (BASELINE TO HIGHLN
1146 SIGNAL:ARROW @ RED OAK
1150 ADA REQUIRED RAMPS
1153 ARROW RTE -GROVE TO BAKER PAV
1154 HAVEN AVE LEMON AVE TO WILSON
1158 AMETHYST 19TH ST TO N CITY LMT
1170 FOOTHILL BLVD(VINYRD-HAVEN)
1172 CARNELIAN LNDSCP S/O VINEYARD
1185 HAVEN WEST SIDE FTHL TO DR CRK
1186 HAVEN E/S FOOTHILL TO BSLNE
1192 PAVEMT MGMNT SYSTEM INVENTORY
1193 DAY CRK BLVD-BSLNE TO HIGHLND
1197 6TH ST REHAB HAVEN TO MILLIKEN
1198 6TH ST REHAB MILLIKEN TO HYSOP
1199 BASELINE REHAB VINEYARD-HELLMN
1216 RANCHERIA DR (CONSTRUCTION)
1219 VINEYARD AVE BUS BAYS 9TH-FTHL
1220 6TH ST REHAB ARCHBLD-HERMOSA
1221 ARROW RTE IMPROVMNTS @ HELLMA]
1252 MILLIKEN WIDENING 4TH -7TH
1256 26TH ST PAVEMENT REHAB
1257 7TH PAVEMENT REHAB MLKN-PITTSB
1258 STH REHAB VINEYARD-ARCHIBALD
1259 AMETHYST REHAB & WIDEN-HILLSID
1260 ARROW E OF I-15 LEFT TURN LANE
1261 CENTER PAVEMENT REHAB 6TH -7TH
1262 CENTER PAVEMENT REHAB 7TH -8TH
1263 GROVE PAVEMENT REHAB 8TH-FTHIL
1264 HELLMAN/9TH RECONSTRUCT INTRSC
1265 HELMS PAVEMENT REHAB FERON-9TH
1266 LEMON FROM CARNELIAN TO BERYL
1267 MARINE PVMT REHAB HUMBOLT-26TH
1268 PITTSBURG PVMNT REHAB 4TH -6TH
731,000
0
25,000
12,000
285,000
285,000
1,000
505,000
1,000
100,000
0
413,000
383,000
1,476,000
70,000
1,000
1,000
100,000
0
0
0
0
0
162,000
155,000
70,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
414,000
207,000
0
0
2,000
2,000
0
0
0
100,000
800,000
2,000
351,000
663,170
0
0
0
0
10,000
330,000
410,000
132,000
5,000
2,000
155,000
69,890
400,000
6,000
4,000
7,000
5,000
110,000
7,000
10,000
17,000
175,000
4,000
190,000
7,000
11,000
414,000
125,000
0
0
0
0
0
0
0
0
0
0
0
733,000
0
0
0
0
0
300,000
260,000
0
0
0
0
69,890
0
3,000
0
0
0
0
0
0
0
175,000
0
190,000
3,000
0
0
0
0
0
0
0
0
0
0
200,000
815,000
0
351,000
2,000
0
0
0
0
0
2,000
2,000
132,000
0
0
155,000
2,000
400,000
0
0
0
0
0
0
0
10,000
2,000
0
2,000
0
0
0
0
0
0
0
0
0
0
0
200,000
815,000
0
351,000
2,000
0
0
0
2,000
2,000
132,000
0
0
155,000
2,000
400,000
0
0
0
0
0
0
0
10,000
2,000
0
2,000
0
1269 PITTSBURG PVMNT REHAB 6TH -7TH
1270 TERRA VISTA PKWY PVMNT REHAB
0
0
6,000
8,000
0
3,000
0
0
0
0
SF - 128
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Ffng Source: MEASURE I (176)
Object: 5650
Project/
Program Description
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Budget
Adopted Estimated
Budget Actual
Manager Adopted
Rcmd Budget
1295 BERYL ST 1MP(CIELITO-19TH)
1296 CARNELIAN STRM DRN(VIVERO-BSLN
1297 8TH STREET GROVE TO BAKER N SD
1298 BASLINE W CITY LIMIT -CARNELIAN
1299 HERMOSA AVE(HIGHLAND-BANYAN)
1301 HERMOSA N/O CHURCH-N/O BSLINE
1302 HERMOSA N/O FOOTHILL-EFFEN
1303 SUMMIT AVE-ETWANDA-EAST AVE
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0 95,000
0 150,000
0 60,000
0 10,000
0 10,000
0 510,000
0 10,000
0 10,000
95,000
150,000
60,000
10,000
10,000
510,000
10,000
10,000
TOTAL FOR MEASURE I
0
0
4,776,000 4,622,060 2,275,890 2,930,000 2,930,000
SF - 129
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: SB 325 (180)
�n: ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted
Object/Description
Estimated
Manager
Adopted
Budget Budget
Actual
Rcmd
Budget
CAPITAL OUTLAY
5650 Capital Project 55,000 188,840
55,000
133,840
133,840
TOTAL FOR CAPITAL OUTLAY: 55,000 188,840
55,000
133,840
133,840
0
CJ
TOTAL FOR DIVISION 303:
55,000 188,840 55,000 133,840 133,840
TOTAL FOR SB 325: 55,000 188,840 55,000 133,840 133,840
SF - 130
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: SB 325 (180)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02 .
Project/
Adopted
Adopted
Estimated
Manager
Adopted
Program Description
Budget
Budget
Actual
Rcmd
Budget
1102 TRAFFIC CONTROLLER @ SB ROAD
30,000
30,000
0
0
0
1103 TRAFFIC SIG INTERCONNECT
24,000
45,840
25,000
20,840
20,840
1126 SIGNAL: 4TH & HERMOSA
1,000
0
0
0
0
1235 SIGNAL CONTROLLER- 4TH & ARCHI
0
15,000
15,000
0
0
1236 SIGNAL CONTROLLER -BASELINE HEL
0
15,000
15,000
0
0
1237 SIGNAL-MILLIKEN & VINTAGE
0
83,000
0
83,000
83,000
1294 EMERG SIG CONTRLR REPLACEMENT
0
0
0
30,000
30,000
TOTAL FOR SB 325: 55,000 188,840 55,000 133,840 133,840
9
SF - 131
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: AB 2928 TRAFFIC CONGEST RELIEF (182)
ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Object/Description Budget
Adopted Estimated
Budget Actual
Manager
Rcmd
Adopted
Budget
CAPITAL OUTLAY
5650 Capital Project 0
TOTAL FOR CAPITAL OUTLAY: 0
0 85,000
815,000
815,000
0 85,000
815,000
815,000
TOTAL FOR DIVISION 303:
0 0 85,000 815,000 815,000
TOTAL FOR AB 2928 TRAFFIC CONGEST 0 0 85,000 815,000 815,000
RELIEF.
SF - 132
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
gding Source: AB 2928 TRAFFIC CONGESTION RLF (182)
Object: 5650 1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/ Adopted
Adopted
Estimated
Manager
Adopted
Program Description Budget
Budget
Actual
Rcmd
Budget
1022 LOCAL STREET REHAB (VARIOUS)
0 0
0
355,000
355,000
1256 26TH ST PAVEMENT REHAB
0 0
0
100,000
100,000
1324 6th ST. REHAB-HELLMAN-ARCHBALD
0 0
3,000
260,000
260,000
1325 MARINE REHAB(HUMBOLT-26TH)
0 0
0
100,000
100,000
1326 TERRA VISTA PKY CHURCH -SPRUCE
0 0
82,000
0
0
TOTAL FOR AB 2925 TRAFFIC CONGESTION 0 0 85,000 815,000 815,000
RLF:
0
i
SF - 133
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: COMMUNITY DEV BLOCK GRANT (204)
3ij: PLANNING (314)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
268,270
253,820
298,730
261,960
261,960
5030 Fringe Benefits
99,270
93,900
93,920
96,930
96,930
TOTAL FOR PERSONNEL SERVICES:
367,540
347,720
392,650
358,890
358,890
CAPITAL OUTLAY
5650 Capital Project
909,960
1,047,350
1,047,330
1,057,950
1,057,950
TOTAL FOR CAPITAL OUTLAY:
909,960
1,047,350
1,047,330
1,057,950
1,057,950
0
TOTAL FOR DIVISION 314: 1,277,500 1,395,070 1,439,980 1,416,840 1,416,840
TOTAL FOR COMMUNITY DEV BLOCK 1,277,500 1,395,070 1,439,980 1,416,840 1,416,840
GRANT:
SF - 134
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: CDBG - Planning
FUND: 204
COST CENTER: 314
SF - 135
0
9
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
—795—thl
Funded
P R NNEL - FULL TIME
1228
General Administration:
Associate Planner
100%
100%
100%
100%
100%
Associate Planner
10%
10%
10%
10%
10%
Planning Technician
0%
0%
0%
0%
0%
City Planner
10%
10%
10%
10%
10%
Principal Planner
20%
20%
20%
20%
20%
Office Specialist II
10%
10%
10%
10%
10%
Office Specialist 1
10%
10%
10%
10%
10%
Senior Accountant
10%
10%
10%
10%
10%
1230
Home Improvement Admin:
Planning Technician
100%
100%
100%
100%
100%
Sr. Bldg Inspector
30%
0%
0%
0%
0%
Bldg Inspector Supry
0%
30%
30%
30%
30%
1015
Graffiti Removal:
Maint. Supervisor
10%
10%
10%
10%
10%
Lead Maint. Worker (Streets)
0%
0%
0%
0%
0%
Maint. Worker (Streets)
10%
10%
10%
10%
10%
Maint. Worker (Streets)
10%
10%
10%
10%
10%
1017
Wheelchair Ramps:
Maint. Supervisor
5%
5%
5%
5%
5%
Lead Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
1018
Sidewalk Grinding:
Maint. Supervisor
5%
5%
5%
5%
5%
Lead Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
Maint. Worker (Streets)
5%
5%
5%
5%
5%
PAGE 1 OF 2
SF - 135
0
9
E
4
i
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Development
DIVISION: CDBG - Planning
FUND: 204
COST CENTER: 314
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
Budget
Request
Budget
PERSONNEL - FULL TIME
1133
RCSC Landscape/Irrigation
Senior Park Planner
20%
0%
0%
0%
0%
1135
RCSC Expansion & Reriovation (Design)
Senior Park Planner
10%
0%
0%
0%
0%
Facilities Supervisor
10%
0%
0%
0%
0%
Sr. Plans Examiner Building
10%
0%
0%
0%
0%
Assistant Engineer
10%
0%
0%
0%
0%
1255
Monte Vista (Construction)
Public Works Inspector II
20%
0%
0%
0%
0%
Public Works Engineer
10%
0%
0%
0%
0%
1327
Old Town Park (Design)
Senior Park Planner
0%
10%
10%
10%
10%
1328
Calle Vejar (Design)
Associate Engineer
0%
10%
10%
10%
10%
Assistant Engineer
0%
20%
20%
20%
20%
1329
New RCSC (Design)
Senior Park Planner
0%
10%
10%
10%
10%
Facilities Supervisor
0%
10%
10%
10%
10%
Sr. Plans Examiner Building
0%
10%
10%
10%
10%
PAGE 2 OF 2
SF - 136
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: COMMUNITY DEV BLOCK GRANT (204)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
ProjectlAdopted
Program Description
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
1015 GRAFFITI REMOVAL
20,000
20,000
20,000
4,190
4,190
1017 WHEELCHAIR RAMPS
21,290
22,000
22,000
7,260
7,260
1018 SIDEWALK GRINDING
25,000
22,000
22,000
7,260
7,260
1023 LANDLORD/TENANT MEDIATION
10,000
10,000
10,000
10,000
10,000
1031 HOMELESS OUTREACH
6,400
6,400
6,400
6,400
6,400
1032 HOUSE OF RUTH
7,600
7,600
7,600
7,600
7,600
1033 OLDTIMERS FOUNDATION
10,000
10,000
10,000
10,000
10,000
1046 S.O.V.A.
7,000
7,000
7,000
7,000
7,000
1064 Y.W.C.A.
7,000
7,000
7,000
7,000
7,000
1068 FOOTHILL FAMILY SHELTER
3,000
3,000
3,000
3,000
3,000
1069 BOYS & GIRLS CLUB
6,000
6,000
6,000
6,000
6,000
1110 SENIOR CITIZEN SERV -CITY C/S
5,000
5,000
5,000
10,000
10,000
1113 NORTH TOWN YMCA
5,000
5,000
5,000
5,000
5,000
1133 RC SENIOR CENTER LANDSCARRIG
30,000
30,970
30,970
30,000
30,000
1135 RC SR CNTR EXPANSION & RENNOV
75,830
72,150
72,150
0
0
1142 MONTE VISTA DESIGN
27,500
0
0
0
0
1181 ETIWANDA HISTORICAL SOCIETY
200,000
181,140
181,140
131,290
131,290
1183 OLD TIMERS FOUNDATION SR NUTRI
8,500
8,500
8,500
8,500
8,500
1184 RC ST CTR EXP & RENNOVATIONS
71,790
58,790
58,790
0
1216 RANCHERIA DR (CONSTRUCTION)
239,300
0
0
0
0
1217 METROLINK STATION MECH LIFT(DE
4,290
0
0
0
0
1218 R.C. LIBRARY BACK TO BASICS
10,000
10,000
10,000
10,000
10,000
1228 CDBG ADMINISTRATION
140,000
145,720
145,720
4,960
4,960
1229 FAIR HOUSING
12,000
12,000
12,000
12,000
12,000
1230 REHABILITATION/REPAIR
325,000
325,000
325,000
297,090
297,090
1255 MONTE VISTA (CONSTRUCTION)
0
419,800
419,800
0
0
1327 OLD TOWN PARK
0
0
0
165,160
165,160
1328 CALLE VEJAR(DESIGN)
0
0
0
8,680
8,680
1329 NEW RCSC(DESIGN)
0
0
0
118,160
118,160
1330 NEW RCSC CONSTRUCTION FND BANK
0
0
0
150,000
150,000
1332 YMCA SENIOR TRANSPORTATION
0
0
0
15,000
15,000
1333 PROJECT SISTER
0
0
0
9,700
9,700
1334 CAMPFIRE BOYS & GIRLS
0
0
0
6,700
6,700
TOTAL FOR COMMUNITY DEV BLOCK GRANT:
1,277,500 1,395,070 1,395,070 1,057,950 1,057,950
SF - 137
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: TRANSP ENHANCEMENT ACT (TEA)21 (208)
J0: ENGINEERING - ADMINISTRATION (303)
TOTAL FOR DIVISION 303:
450,000 19,120 19,120 0 0
TOTAL FOR TRANSP ENHANCEMENT ACT 450,000 19,120 19,120 0 0
(TEA)21:
0
SF - 138
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager Adopted
Budget
Budget
Actual
Rcmd Budget
CAPITAL OUTLAY
5650 Capital Project
450,000
19,120
19,120
0 0
TOTAL FOR CAPITAL OUTLAY:
450,000
19,120
19,120
0 0
TOTAL FOR DIVISION 303:
450,000 19,120 19,120 0 0
TOTAL FOR TRANSP ENHANCEMENT ACT 450,000 19,120 19,120 0 0
(TEA)21:
0
SF - 138
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: TRANSP ENHANCEMENT ACT (TEA)21 (208)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted
Adopted
Estimated
Manager Adopted
Program Description
Budget
Budget
Actual
Rcmd Budget
1171 COLLISION DATABASE ANALYSIS
0
19,120
19,120
0
0
1172 CARNELIAN LNDSCP S/O VINEYARD
450,000
0
0
0
0
TOTAL FOR TRANSP ENHANCEMENT ACT
450,000
19,120
19,120
0
0
(TEA)21:
0
SF - 139
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: PEDESTRIAN GRANT/ART 3 (214)
ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted
Object/Description
Estimated
Manager
Adopted
Budget Budget
Actual
Rcmd
Budget
CAPITAL OUTLAY
5650 Capital Project 100,000 4,000
4,000
37,000
37,000
TOTAL FOR CAPITAL OUTLAY: 100,000 4,000
4,000
37,000
37,000
TOTAL FOR DIVISION 303:
100,000 4,000 4,000 37,000 37,000
TOTAL FOR PEDESTRIAN GRANT/ART 3: 100,000 4,000 4,000 37,000 37,000
0
SF - 140
TOTAL FOR PED GRANT ART 3: 100,000 4,000 4,000 37,000 37,000
0
SF - 141
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: PED GRANT ART 3 (214)
.
Object: 5650
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted Adopted Estimated
Manager
Adopted
Program Description
Budget Budget Actual
Rcmd
Budget
1017 WHEELCHAIR RAMPS
25,000 4,000 4,000
4,000
4,000
1057 BERYL ST IMPROV(BASELNE/19TH) 75,000 0 0
0
0
1293 BUS STOP ACCESS GRANT
0 0 0
33,000
33,000
TOTAL FOR PED GRANT ART 3: 100,000 4,000 4,000 37,000 37,000
0
SF - 141
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: CA RECYC/LITTER REDUCTION GRNT (225)
)i* ENGINEERING -ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5005 Overtime Salaries
0 0
5,000
3,000
3,000
TOTAL FOR PERSONNEL SERVICES:
0 0
5,000
3,000
3,000
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
0 0
22,600
23,120
23,120
5300 Contract Services
0 0
8,000
10,000
10,000
TOTAL FOR OPERATIONS & MAINTENANCE:
0 0
30,600
33,120
33,120
TOTAL FOR DIVISION 303: 0 0 35,600 36,120 36,120
TOTAL FOR CA RECYC/LITTER REDUCTION 0 0 35,600 36,120 36,120
GRNT:
0
SF - 142
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (51001 DETAIL
Fund: CA RECYC/LITTER REDUCTION GRNT (225)
Ci,,ision: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
New Container for Parks & Com
0 0
12,600
13,120
13,120
Promotional Items for Events
0 0
4,000
4,000
4,000
Shelf Talker for Merchants
0 0
6,000
6,000
6,000
Total for Operations & Maintenance:
0 0
22,600
23,120
23,120
5300 Contract Services
Radio Ads
0 0
4,000
5,000
5,000
Television Ads
0 0
4,000
5,000
5,000
Total for Contract Services:
0 0
8,000
10,000
.10,000
TOTAL FOR OPERATIONS & MAINTENANCE:
0 0
30,600
33,120
33,120
SF - 143
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
ifF nd: USED OIL RECYCLING GRANT (226)
: : ENGINEERING - ADMINISTRATION (303)
TOTAL FOR DIVISION 303:
29,000 42,340 44,510 42,340 42,340
TOTAL FOR USED OIL RECYCLING GRANT: 29,000 42,340 44,510 42,340 42,340
0
SF - 144
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5005 Overtime Salaries
0
10,000
10,000
10,000
10,000
TOTAL FOR PERSONNEL SERVICES:
0
10,000
10,000
10,000
10,000
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
0
0
0
2,000
2,000
5200 Operations & Maintenance
29,000
11,500
13,670
27,340
27,340
5300 Contract Services
0
20,840
20,840
3,000
3,000
TOTAL FOR OPERATIONS & MAINTENANCE:
29,000
32,340
34,510
32,340
32,340
TOTAL FOR DIVISION 303:
29,000 42,340 44,510 42,340 42,340
TOTAL FOR USED OIL RECYCLING GRANT: 29,000 42,340 44,510 42,340 42,340
0
SF - 144
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: USED OIL RECYCLING GRANT (226)
Avision: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training
HHW/Used Oil Recycling Confer 0 0 0 2,000 2,000
Total for Travel, Meetings & Training: 0 0 0 2,000 2,000
5200 Operations & Maintenance
Public Ed/Awareness Materials
4,000
0
0
5,000
5,000
TV/Radio Promotions
15,000
11,500
13,670
16,500
16,500
Used Oil Containers
10,000
0
0
5,840
5,840
Total for Operations & Maintenance:
29,000
11,500
13,670
27,340
27,340
5300 Contract Services
Filter Recycling Program
0
20,840
20,840
3,000
3,000
Total for Contract Services:
0
20,840
20,840
3,000
3,000
TOTAL FOR OPERATIONS & MAINTENANCE:
29,000 32,340 34,510 32,340 32,340
SF - 145
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: REG CHOICE TRANSIT CAP IMPR (230)
*: ENGINEERING - ADMINISTRATION (303)
TOTAL FOR DIVISION 303:
1999/2000
Fiscal Year 2000/01 Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated Manager Adopted
2,580,000
Budget
Budget
Actual Rcmd Budget
CAPITAL OUTLAY
5650 Capital Project
2,580,000
2,355,830
2,355 830 0 0
TOTAL FOR CAPITAL OUTLAY:
2,580,000
2,355,830
2,355,830 0 0
TOTAL FOR DIVISION 303:
2,580,000
2,355,830
2,355,830
0
0
'OTAL FOR REG CHOICE TRANSIT CAP IMPR:
2,580,000
2,355,830
2,355,830
0
0
0
SF - 146
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: REG CHOICE TRANSIT CAP IMP (230)
Ob'ect• 5650
1225 METROLINK STATION PHASE I1 2,580,000 2,355,830 2,355,830
TOTAL FOR REG CHOICE TRANSIT CAP IMP: 2,580,000 2,355,830 2,355,830 0 0
`J
SF - 147
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted
Adopted Estimated
Manager Adopted
Program Description
Budget
Budget Actual
Rcmd Budget
1225 METROLINK STATION PHASE I1 2,580,000 2,355,830 2,355,830
TOTAL FOR REG CHOICE TRANSIT CAP IMP: 2,580,000 2,355,830 2,355,830 0 0
`J
SF - 147
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
nd: RECREATION SERVICES (250) ANNUAL BUDGET SUMMARY
n: COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES
OPERATIONS & MAINTENANCE
5105
Mileage
5160
Membership Dues
5200
Operations & Maintenance
5281
Depreciation - Equipment
5283
Depreciation -Computer Equip
5300 Contract Services
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
5603 Capital Outlay -Equipment
TOTAL FOR CAPITAL OUTLAY:
174,540
193,220
193,220
218,210
218,210
486,670
535,370
536,720
615,830
615,830
83,940
94,870
94,870
111,280
111,280
745,150
823,460
824,810
945,320
945,320
1,250
1,250
1,250
1,250
1,250
400
130
130
130
130
194,320
211,200
276,060
267,760
267,760
1,090
1,970
1,970
1,970
1,970
3,360
3,300
3,300
3,300
3,300
312,220
415,270
376,000
449,010
449,010
5,130
6,330
6,330
0
0
517,770
639,450
665,040
723,420
723,420
4,000
2,000
2,000
2,000
2,000
0
2,500
2,500
0
0
4,000
4,500
4,500
2,000
2,000
TOTAL FOR DIVISION 401: 1,266,920 1,467,410 1,494,350 1,670,740 1,670,740
SF - 148
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Services
DIVISION: Recreation Services
FUND: 250
COST CENTER: 401
SF - 149
1J
E
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
1100
PERSONNEL - FULL TIME
Recreation Coordinator
100%
100%
100%
100%
100%
Recreation Coordinator
100%
100%
100%
100%
100%
Office Specialist II
50%
50%
50%
50%
50%
Rec Coordinator (Special Evnts & Fundraising)
50%
50%
50%
50%
50%
Recreation Coordinator (Sports)
75%
75%
75%
75%
75%
Recreation Coordinator (Teens)
50%
50%
50%
50%
50%
Office Specialist II
100%
100%
100%
100%
100%
ALSO SEE:
Community Services (001-401)
Rec Coordinator (Special Evnts & Fundraising)
50%
50%
50%
50%
50%
Recreation Coordinator (Teens)
50%
50%
50%
50%
50%
Office Specialist II
100%
100%
100%
100%
100%
Soorts Complex (Fund 700)
Recreation Coordinator (Sports)
25%
25%
25%
25%
25%
Office Specialist II
50%
50%
50%
50%
50%
1300
PERSONNEL - PART TIME
PIT Recreation Staff (PERS Eligible)
1300%
2100%
2100%
2100%
2100%
P/T Recreation Staff
10800%
10800%
10800%
10800%
10800%
SF - 149
1J
E
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
)ifF nd: RECREATION SERVICES (250)
: COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5105 Mileage
xetmoursement 1,250 1,250 1,250 1,250 1,250
Total for Mileage: 1,250 1,250 1,250 1,250 1,250
5160 Membership Dues
Bridal Shows 200
LERN 200
0
130
0
130
0
130
0
130
Total for Membership Dues: 400
130
130
130
130
5200 Operations & Maintenance
CSD Administration
19,800
15,740
19,740
17,240
17,240
Cultural/Performing Arts
0
400
4,500
33,000
33,000
Events Programs
9,970
31,550
46,790
36,430
36,430
RC Family Sports Center
43,220
34,550
38,820
33,900
33,900
Senior Programs
2,530
2,390
11,070
12,090
12,090
Sports Programs
54,980
67,930
98,060
75,780
75,780
Youth Programs
63,820
58,640
57,080
59,320
59,320
Total for Operations & Maintenance:
194,320
211,200
276,060
267,760
267,760
�..M•....•au..0 - +.uu�yu•eua l U9u 1,970 1,970 1,970 1,970
Total for Depreciation - Equipment: 1,090 1,970 1,970 1,970 1,970
5283 Depreciation -Computer Equip 3,360 3,300 3,300 3,300 3,300
Total for Depreciation -Computer Equip: 3,360 3,300 3,300 3,300 3,300
5300 Contract Services
CSD Administration
6,820
0
0
0
0
Cultural/Performing Arts
0
38,590
4,990
34,710
34,710
Events Programs
9,300
55,530
47,580
54,200
54,200
RC Family Sports Center
19,820
12,750
7,030
5,760
5,760
Senior Programs
50,830
82,250
82,750
85,950
85,950
Sports Programs
27,260
27,550
25,300
54,040
54,040
Youth Programs
198,190
198,600
208,350
214,350
214,350
Total for Contract Services:
312,220
415,270
376,000
449,010
449,010
5415 General Liability Charges 5,130 6,330 6,330 0 0
Total for General Liability Charges: 5,130 6,330 6,330 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
517,770 639,450 665,040 723,420 723,420
SF - 150
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
=und: RECREATION SERVICES (250)
cion: COMMUNITY SRVCS-ADMINISTRATION (401)
TOTAL FOR CAPITAL OUTLAY:
4,000 4,500 4,500 2,000 1 2,000
SF - 151
0
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
Repairs/Improvements
4,000
2,000
2,000
2,000
2,000
Total for Capital Outlay -Bldg Imprvments:
4,000
2,000
2,000
2,000
2,000
5603 Capital Outlay -Equipment
Cotton Candy/Snow Cone Machine
0
2,500
1,000
0
0
Movie Screen
0
0
1,500
0
0
Total for Capital Outlay -Equipment:
0
2,500
2,500
0
0
TOTAL FOR CAPITAL OUTLAY:
4,000 4,500 4,500 2,000 1 2,000
SF - 151
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: KIDS PLATE GRANT (251)
0
0
6,000
0
f* COMMUNITY SRVCS-ADMINISTRATION (401)
TOTAL FOR KIDS PLATE GRANT:
0
0
6,000
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object/Description Budget
Budget
Actual
Rcmd Budget
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training 0
0
1,400
0
5200 Operations & Maintenance 0
0
2,000
0
0
0
5300 Contract Services 0
0
2,600
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 0
0
6,000
0
0
1]
L.�
TOTAL FOR DIVISION 401:
0
0
6,000
0
0
TOTAL FOR KIDS PLATE GRANT:
0
0
6,000
0
0
SF - 152
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: KIDS PLATE GRANT (251) OPERATIONS & MAINTENANCE (5100) DETAIL
Division: COMMUNITY SRVCS-ADMINISTRATION (40 1)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training
State Conference
0
0
1,400
0
0
Total for Travel, Meetings & Training:
5200 Operations & Maintenance
0
0
1,400
0
0
Educational Materials
Equipment -Helmets & Knee Pads
0
0
0
0
1,100
900
0
0
0
0
Total for Operations & Maintenance:
5300 Contract Services
0
0
2,000
0
0
Prof Skaters for Demo&Safety
0
0
2,600
0
0
Total for Contract Services:
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
0
0
2,600
6,000
0
0
0
0
SF - 153
CITY OF RANCHO CUCAMONGA
0
162,590
230,600
FISCAL YEAR 2001/02 BUDGET
0
0
162,590
Fund: YOUTH ENRICHMENT GRANT (252) ANNUAL BUDGET SUMMARY
qon: COMMUNITY SRVCS-ADMINISTRATION (401)
230,600
1999/2000
Fiscal Year 2000/01
Fiscal Year
2001/02
Adopted
Object/Description Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
PERSONNEL SERVICES
5000 Regular Salaries 0
5010 Part Time Salaries 0
5030 Fringe Benefits 0
TOTAL FOR PERSONNEL SERVICES: 0
0
0
0
16,000
18,560
7,460
45,910
57,360
20,270
45,910
57,360
20,270
0
42,020
123,540
123,540
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance 0
5300 Contract Services 0
TOTAL FOR OPERATIONS & MAINTENANCE: 0
0
0
64,630
15,690
65,440
15,620
65,440
15,620
81,060
0
80,320
81,060
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 0
5605 Capital Outlay -Computer Equip 0
TOTAL FOR CAPITAL OUTLAY: 0
0
0
26,500
13,750
14,000
12,000
14,000
12,000
26,000
0
40,250
26,000
TOTAL FOR DIVISION 401:
TOTAL FOR YOUTH ENRICHMENT GRANT:
0
11
0
0
162,590
230,600
230,600
0
0
162,590
230,600
230,600
SF - 154
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Community Services
DIVISION: Youth Enrichment Grant
FUND: 252
COST CENTER: 401
[. MI&
LJ
0
9
FY 2000/01
Fiscal Year 2001/02
OBJECT #
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth.
Funded
1100
PERSONNEL - FULL TIME
Recreation Coordinator
0%
100%
100%
100%
100%
1300
Part time Salaries
Program Specialist
0%
200%
200%
200%
200%
Recreation Attendant, Library Asst & Clerk
0%
300%
300%
300%
300%
[. MI&
LJ
0
9
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
.d: YOUTH ENRICHMENT GRANT (252)
n: COMMUNITY SRVCS-ADMINISTRATION (401)
5300 Contract Services
Administration
Parent Education
Safety Programs
Tech Center
Web Site
Total for Contract Services:
OL FOR OPERATIONS & MAINTENANCE:
0 0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Estimated
Manager
Adopted
2,500
2,500
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
4,100
3,000
3,000
0 0
15,690
Administration
Family Library
0
0
10,730
6,000
6,000
Info & Referral
0
0
12,200
11,700
11,700
Library/Literacy
0
0
2,500
5,000
5,000
Parent Education
0
0
16,300
19,400
19,400
Preschool Classes
0
0
1,750
3,580
3,580
Safety Programs
0
0
8,500
10,000
10,000
Tech Center
0
0
7,650
5,150
5,150
0
0
5,000
4,610
4,610
Total for Operations & Maintenance:
0
0
64,630
65,440
65,440
5300 Contract Services
Administration
Parent Education
Safety Programs
Tech Center
Web Site
Total for Contract Services:
OL FOR OPERATIONS & MAINTENANCE:
0 0
4,090
3,100
3,100
0 0
1,500
3,020
3,020
0 0
2,500
2,500
2,500
0 0
3,500
4,000
4,000
0 0
4,100
3,000
3,000
0 0
15,690
15,620
15,620
0 0 80,320 81,060 81,060
SF - 156
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: YOUTH ENRICHMENT GRANT (252)
Division: COMMUNITY SRVCS-ADMINISTRATION (401)
5605 Capital Outlay -Computer Equip
1 HP DeskJet 1220 -Info & Refer
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
500
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
7,800
Laptop Computer -Administration
0
0
2,200
Building Equipment
0
0
3,000
5,000
5,000
Carpet
0
0
3,000
0
0
Copy Machine
0
0
500
0
0
Furniture
0
0
11,000
9,000
9,000
Miscellaneous
0
0
1,500
0
0
Modular Wall Unit
0
0
6,000
0
0
Window Treatments
0
0
1,500
0
0
Total for Capital Outlay -Equipment:
0
0
26,500
14,000
14,000
5605 Capital Outlay -Computer Equip
1 HP DeskJet 1220 -Info & Refer
0
0
450
500
500
1 HP DeskJet 2250 -Tech Center
0
0
980
1,000
1,000
3 Standard PC's -Tech Center
0
0
7,590
7,800
7,800
Laptop Computer -Administration
0
0
2,200
0
0
Standard PC -Info & Referral
0
0
2,530
2,700
2,700
Total for Capital Outlay -Computer Equip:
0
0
13,750
12,000
12,000
TOTAL FOR CAPITAL OUTLAY: 0 0 40,250 26,000 26,000
s
SF - 157
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: SENIOR OUTREACH GRANT (258)
DW: COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5010 Part Time Salaries 1,000 0
5030 Fringe Benefits 20 0
TOTAL FOR PERSONNEL SERVICES: 1,020 0
OPERATIONS & MAINTENANCE
3,000
3,000
3,000
3,000
3,000
5200 Operations & Maintenance
5300 Contract Services
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
1,000
960
20
0
2,970
30
0
2,970
30
0
3,000
0
0
3,000
0
1,980
3,000
3,000
3,000
3,000
TOTAL FOR DIVISION 401:
3,000
3,000
3,000
3,000
3,000
TOTAL FOR SENIOR OUTREACH GRANT:
3,000
3,000
3,000
3,000
3,000
0
SF - 158
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: SENIOR OUTREACH GRANT (258)
Division: COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Equipment
1,000
0
0
0
0
Total for Operations & Maintenance:
1,000
0
0
0
0
5300 Contract Services
Service Agreements
960
2,970
2,970
3,000
3,000
Total for Contract Services:
960
2,970
2,970
3,000
3,000
5415 General Liability Charges
20
30
30
0
0
Total for General Liability Charges:
20
30
30
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
1,980 3,000 3,000 3,000 3,000
SF - 159
1]
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: TEEN AFTER SCHOOL PROG GRANT (260)
COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
1,550
1,550
6,950
10,600
10,600
5300 Contract Services
27,700
27,700
0
0
0
5415 General Liability Charges
290
290
290
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
29,540
29,540
7,240
10,600
10,600
TOTAL FOR DIVISION 401
29,540 29,540 7,240 10,600 10,600
TOTAL FOR TEEN AFTER SCHOOL PROG 29,540 29,540 7,240 10,600 10,600
GRANT:
i
619WIT11
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: TEEN AFTER SCHOOL FROG GRANT (260)
Division: COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Campaigns/Assemblies
0
0
3,000
3,000
3,000
Incentives/Rewards
0
0
1,000
2,000
2,000
Misc Supplies
1,550
1,550
250
350
350
Newsletter
0
0
500
750
750
Promotional Events
0
0
1,200
2,000
2,000
Scholarships
0
0
1,000
2,500
2,500
Total for Operations & Maintenance:
1,550
1,550
6,950
10,600
10,600
5300 Contract Services
Service Agreements
27,700
27,700
0
0
0
Total for Contract Services:
27,700
27,700
0
0
0
5415_ General Liability Charges
290
290
290
0
0
Total for General Liability Charges:
290
290
290
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
29,540 29,540 7,240 10,600
SF - 161
10,600
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
IfF nd: LIBRARY FUND (290)
: LIBRARY -ADMINISTRATION (601)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5105 Mileage
5152
Computer Software
5160
Membership Dues
5200
Operations & Maintenance
5281
Depreciation - Equipment
5283
Depreciation -Computer Equip
5300
Contract Services
5400
Telephone Utilities
5402
Water Utilities
5403
Electric Utilities
5415 General Liability Charges
9298 Transfer Out -CA Literacy Cmpgn
08 Transfer Out -Families for Lit.
L FOR OPERATIONS & MAINTENANCE:
519,960
556,670
556,670
590,860
590,860
302,690
344,020
320,000
317,620
317,620
200,940
215,350
215,350
229,560
229,560
1,023,590
1,116,040
1,092,020
1,138,040
1,138,040
5,000
4,000
6,000
4,000
4,000
5,000
5,200
5,800
5,800
5,800
0
0
0
200
200
2,100
2,150
2,150
2,150
2,150
161,500
203,900
204,900
197,310
197,310
590
520
520
520
520
7,390
0
0
0
0
132,000
133,000
140,000
139,000
139,000
16,000
18,000
18,000
18,000
18,000
3,000
3,000
2,800
3,000
3,000
48,000
48,000
48,000
52,000
52,000
4,220
4,180
4,180
0
0
0
0
29,250
28,280
28,280
0
0
0
18,890
18,890
384,800
421,950
461,600
469,150
469,150
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip 0 0 4,600 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 4,600 0 0
TOTAL FOR DIVISION 601: 1,408,390 1,537,990 1,558,220 1,607,190 1,607,190
SF - 162
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Library FUND: 290
DIVISION: Library COST CENTER: 601
J
11
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
I Funded
1100
PER ONNEL-FULL TIME
Library Director
100%
100%
100%
100%
100%
Principal Librarian
100%
0%
0%
0%
0%
Librarian II
200%
100%
100%
100%
100%
Librarian 1
200%
200%
200%
200%
200%
Library Assistant II
100%
100%
100%
100%
100%
Library Assistant 1
100%
100%
100%
100%
100%
Administrative Secretary
100%
100%
100%
100%
100%
Library Clerk
100%
200%
100%
100%
100%
Library Page 1
100%
100%
100%
100%
100%
Library Page II
100%
100%
100%
100%
100%
Library Assistant 1
25%
0%
0%
0%
0%
Library Assistant 1
50%
50%
50%
50%
50%
Library Services Manager
0%
100%
100%
100%
100%
Senior Librarian
0%
100%
100%
100%
100%
ALSO SEE:
After School Learning Prog (290-603)
Library Assistant 1
50%
50%
50%
50%
50%
California Literacy Campaign Grant (Fund 298)
Library Assistant 1
0%
75%
75%
75%
75%
Bookmobile Program (290-604)
Library Assistant 1
0%
100%
100%
100%
100%
Families For Literacy (Fund 308)
Library Assistant 1
0%
25%
25%
25%
25%
1200
PERSONNEL - OVERTIME
1300
PERSONNEL - PART TIME
Library Clerks, Pages, Assistant, Monitors
4900%
4900%
4900%
4900%
4900%
J
11
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
*d: LIBRARY FUND (290)
n: LIBRARY -ADMINISTRATION (601)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training
Library Meetings
5,000
4,000
6,000
4,000
4,000
Total for Travel, Meetings & Training:
5,000
4,000
6,000
4,000
4,000
5105 Mileage
1,500
1,500
1,500
1,500
1,500
Auto Allowance
4,200
4,200
4,800
4,800
4,800
Reimbursement
800
1,000
1,000
1,000
1,000
Total for Mileage:
5,000
5,200
5,800
5,800
5,800
5152 Computer Software
2,000
2,000
2,000
2,000
2,000
Print Shop version 11
0
0
0
200
200
Total for Computer Software:
0
0
0
200
200
5160 Membership Dues
161,500
203,900
204,900
197,310
197,310
American Library Association
450
450
450
450
450
California Library Association
150
200
200
200
200
Inland Library System
1,500
1,500
1,500
1,500
1,500
Total for Membership Dues:
2,100
2,150
2,150
2,150
2,150
15200
& Maintenance
Advertising/Promotion
3,000
3,000
0
0
0
Bindery
1,000
1,000
1,000
1,000
1,000
Book Replacement Fund
15,000
15,000
15,000
11,410
11,410
Books/Materials
100,000
139,900
139,900
139,900
139,900
Magazines/Publications
10,000
12,000
12,000
12,000
12,000
Office Supplies
18,000
20,000
22,000
20,000
20,000
Printing & Postage
2,000
2,000
2,000
2,000
2,000
Special Programs Supplies
10,000
10,000
12,000
10,000
10,000
Training
2,500
1,000
1,000
1,000
1,000
Total for Operations & Maintenance:
161,500
203,900
204,900
197,310
197,310
5281 Depreciation - Equipment
590
520
520
520
520
Total for Depreciation - Equipment:
590
520
520
520
520
5283 Depreciation -Computer Equip
7,390
0
0
0
0
Total for Depreciation -Computer Equip:
7,390
0
0
0
0
5300 Contract Services
Bk Process & Tech Srvcs-Collct
Children's Programming Fund
Collection Agency
Dynix System Maintenance
Library Master Plan Update
Office Equip/Machine Maint
SBRDO County
Self Check Maintenance
20,000
0
5,000
35,000
10,000
6,000
50,000
3,000
25,000
0
5,000
35,000
0
8,000
50,000
7,000
25,000
0
5,000
35,000
0
15,000
50,000
7,000
24,000
0
5,000
35,000
0
15,000
50,000
7,000
24,000
0
5,000
35,000
0
15,000
50,000
7,000
SF - 164
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIBRARY FUND (290)
Division: LIBRARY -ADMINISTRATION (601)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
Telephone Maintenance Service
3,000
3,000
3,000
3,000
3,000
Total for Contract Services:
132,000
133,000
140,000
139,000
139,000
5400 Telephone Utilities
16,000
18,000
18,000
18,000
18,000
Total for Telephone Utilities:
16,000
18,000
18,000
18,000
18,000
5402 Water Utilities
3,000
3,000
2,800
3,000
3,000
Total for Water Utilities:
3,000
3,000
2,800
3,000
3,000
5403 Electric Utilities
48,000
48,000
48,000
52,000
52,000
Total for Electric Utilities:
48,000
48,000
48,000
52,000
52,000
5415 General Liability Charges
4,220
4,180
4,180
0
0
Total for General Liability Charges:
4,220
4,180
4,180
0
0
9298 Transfer Out -CA Literacy Cmpgn
0
0
29,250
28,280
28,280
Total for Transfer Out -CA Literacy Cmpgn:
0
0
29„250
28,280
28,280
9308 Transfer Out -Families for Lit.
0
0
0
18,890
18,890
Total for Transfer Out -Families for Lit.:
0
0
0
18,890
18,890
TOTAL FOR OPERATIONS & MAINTENANCE:
384,800
421,950
461,600
469,150
469,150
i
SF - 165
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LIBRARY FUND (290)
I*n: LIBRARY -ADMINISTRATION (601)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
Computers 0 0 4,600 0 0
Total for Capital Outlay -Computer Equip: 0 0 4,600 0 0
TOTAL FOR CAPITAL OUTLAY:
E
SF - 166
4,600
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: LIBRARY FUND (290)
): AFTER SCHOOL LEARNING PROGRAM (603)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Ob_iect/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5200 Operations & Maintenance
5300 C.S
0
13,390
13,390
16,260
16,260
0
16,000
2,000
3,120
3,120
0
5,270
5,270
6,080
6,080
0
34,660
20,660
25,460
25,460
0
0
0
500
500
0
500
1,520
500
500
on act ervices
5415 General Liability Charges
0
0
1,000
1,000
1,000
1,000
20
20
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
1,520
2,540
2,000
2,000
0
�J
TOTAL FOR DIVISION 603: 0 36,180 23,200 27,460 27,460
SF - 167
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Library FUND: 290
DIVISION: After School Learning Program COST CENTER: 603
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
Auth.
Funded
5000
PERS NNEL - FULL TIME
Budget
Request
Budget
Library Assistant 1
50%
50%
50%
50%
50%
ALSO SEE:
Library !Fund 290-601
Library Assistant
0%
50%
50%
50%
50%
5010
PERSONNEL - PART TIME
Library Clerks, Pages
0%
75%
75%
75%
75%
SF - 168
0
i
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: LIBRARY FUND (290) OPERATIONS & MAINTENANCE (5100) DETAIL
On: AFTER SCHOOL LEARNING PROGRAM (603)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training
Library Meetings 0 0 0 500 500
Total for Travel, Meetings & Training: 0 0 0 500 500
5200 Operations & Maintenance
Office Supplies 0 500 1,520 500 500
Total for Operations & Maintenance: 0 500 1,520 500 500
5300 Contract Services
"""""s
Total for Contract Services:
0
0
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
5415 General Liability Charges
0
20
20
0
0
Total for General Liability Charges:
0
20
20
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0 1,520 2,540 2,000 2,000
SF - 169
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: LIBRARY FUND (290)
: BOOKMOBILE SERVICES (604)
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
5604 Capital Outlay -Vehicles
5605 Capital Outlay -Computer Equip
0 TOTAL FOR CAPITAL OUTLAY:
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
5,000
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
70,000
205,000
205,000
5000 Regular Salaries
0
0
17,000
39,720
39,720
5010 Part Time Salaries
0
42,800
8,000
19,680
19,680
5030 Fringe Benefits
0
860
6,450
15,090
15,090
TOTAL FOR PERSONNEL SERVICES:
0
43,660
31,450
74,490
74,490
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
0
0
740
1,000
1,000
5105 Mileage
0
300
0
100
100
5200 Operations & Maintenance
0
52,000
52,000
11,000
11,000
5250 Vehicle Operations & Maint.
0
6,000
0
0
5300 Contract Services
0
0
4,000
2,000
0
2,000
5400 Telephone Utilities
0
0
3,000
10,000
10,000
5415 General Liability Charges
0
580
580
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
58,880
60,320
24,100
24,100
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
5604 Capital Outlay -Vehicles
5605 Capital Outlay -Computer Equip
0 TOTAL FOR CAPITAL OUTLAY:
0
10,000
5,000
5,000
5,000
0
200,000
55,000
200,000
200,000
0
10,000
10,000
0
0
0
220,000
70,000
205,000
205,000
TOTAL FOR DIVISION 604: 0 322,540 161,770 303,590 303,590
SF - 170
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Library
DIVISION: Bookmobile Services
FUND: 290
COST CENTER: 604
SF - 171
0
0
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
Library Assistant II
0%
100%
100%
100%
100%
5010
PERSONNEL - PART TIME
Library Clerks, Pages
17500%
75%
75%
75%
75%
SF - 171
0
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
: LIBRARY FUND (290)
OPERATIONS & MAINTENANCE (5100) DETAIL
DWdF n
: BOOKMOBILE SERVICES (604)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description Budget
Budget Actual
Rcmd
Budget
5100 Travel, Meetings & Training
Printing - brochures, flyers
0
0
Library Meetings 0
0 740
1,000
1,000
Total for Travel, Meetings & Training: 0
0 740
1,000
1,000
5105 Mileage
ncunuurscment 0 300 0 100 100
Total for Mileage: 0 300 0 100 100
5200 Operations & Maintenance
Materials
0
50,000
50,000
5,000
5,000
Office Supplies
0
2,000
2,000
1,000
1,000
Printing - brochures, flyers
0
0
0
5,000
5,000
Total for Operations & Maintenance:
0
52,000
52,000
11,000
11,000
5250 Vehicle Operations & Maint. 0 6,000 0 0 0
Total for Vehicle Operations & Maint.: 0 6,000 0 0 0
5300 Contract Services
LU1JLJdLrrciwrmers
0
0
2,000
2,000
2,000
r Marketing
0
0
2,000
0
0
Total for Contract Services:
0
0
4,000
2,000
2,000
5400 Telephone Utilities
Cellular Technology
0
0
3,000
10,000
10,000
Total for Telephone Utilities:
0
0
3,000
10,000
10,000
5415 General Liability Charges 0 580 580 0 0
Total for General Liability Charges: 0 580 580 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
0 58,880 60,320 24,100 24,100
SF - 172
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LIBRARY FUND (290)
Division: BOOKMOBILE SERVICES (604)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Racks, Stands, Tables, Chairs 0 10,000 5,000 5,000 5,000
Total for Capital Outlay -Equipment: 0 10,000 5,000 5,000 5,000
5604 Capital Outlay -Vehicles
Bookmobile 0 200,000 55,000 200,000 200,000
Total for Capital Outlay -Vehicles: 0 200,000 55,000 200,000 200,000
5605 Capital Outlay -Computer Equip
4 Standard Computers 0 10,000 10,000 0 0
Total for Capital Outlay -Computer Equip: 0 10,000 10,000 0 0
TOTAL FOR CAPITAL OUTLAY:
0 220,000 70,000 205,000 205,000
SF - 173
0
Fund:
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
LIBRARY FUND (290)
LIBRARY BOARD OF TRUSTEES (605)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training 0
3,000
3,000
3,000
3,000
5160 Membership Dues 0
350
350
350
350
TOTAL FOR OPERATIONS & MAINTENANCE: 0
3,350
3,350
3,350
3,350
0
TOTAL FOR DIVISION 605:
0 3,350 3,350 3,350 3,350
TOTAL FOR LIBRARY FUND: 1,408,390 1,900,060 1,746,540 1,941,590 1,941,590
SF - 174
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIBRARY FUND (290)
i;?vision: LIBRARY BOARD OF TRUSTEES (605)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
Legislative Day
0
300
1,000
500
500
National Library Conference
0
2,000
800
2,000
2,000
State Library Conference
0
700
1,200
500
500
Total for Travel, Meetings & Training:
0
3,000
3,000
3,000
3,000
5160 Membership Dues
American Library Association
0
220
220
220
220
CALTEC
0
130
130
130
130
Total for Membership Dues:
0
350
350
350
350
TOTAL FOR OPERATIONS & MAINTENANCE:
0
3,350
3,350
3,350
3,350
0
0
SF - 175
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: ADULT EDUCATION ACT GRANT (294)
*n: LIBRARY -ADMINISTRATION (601)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Obiect/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance 3,500 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 3,500 0 0 0 n
TOTAL FOR DIVISION 601:
TOTAL FOR ADULT EDUCATION ACT GRANT:
0
C�
3,500
0
0
0
0
3,500
0
0
0
0
SF - 176
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: ADULT EDUCATION ACT GRANT (294) •
Division: LIBRARY -ADMINISTRATION (601)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Library Books/Materials 3,500 0 0 0 0
Total for Operations & Maintenance: 3,500 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 3,500
1]
SF - 177
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
und: CALIFORNIA LITERACY CAMPAIGN (298)
n: LIBRARY -ADMINISTRATION (601)
. TOTAL FOR DIVISION 601: 60,710 47,690 59,910 48,280 48,280
TOTAL FOR CALIFORNIA LITERACY 60,710 47,690 59,910 48,280 48,280
CAMPAIGN:
•
SF - 178
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
40,600
22,540
22,540
26,040
26,040
5030 Fringe Benefits
0
15,020
11,700
8,570
19,000
6,000
6,000
TOTAL FOR PERSONNEL SERVICES:
8,570
9,750
9,750
55,620
42,810
50,110
41,790
41,790
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
1,000
1,000
1,000
1,600
1,600
5105 Mileage
5160 Membership Dues
800
380
380
380
380
5200 Operations & Maintenance
0
3,290
0
1,000
180
3,000
180
180
5300 Contract Services
0
2,500
2,930
1,400
1,400
TOTAL FOR OPERATIONS & MAINTENANCE:
5,090
2,930
2,930
4,880
7,490
6,490
6,490
CAPITAL OUTLAY
5604 Capital Outlay -Vehicles
0
0
5605 Capital Outlay -Computer Equip
0
2,140
0
0
0
170
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
2,310
0
0
. TOTAL FOR DIVISION 601: 60,710 47,690 59,910 48,280 48,280
TOTAL FOR CALIFORNIA LITERACY 60,710 47,690 59,910 48,280 48,280
CAMPAIGN:
•
SF - 178
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Library
DIVISION: California Literacy Campaign Grant
FUND: 298
COST CENTER: 601
OBJECT
#
FY 2000/01
Fiscal Year
2001/02
Adopted
Budget
Dept.
Request
Mgr.
Rcmds.
Adopted
Budget
Auth.
Funded
1100
PERSONNEL - FULL TIME
Library Assistant 1
75%
75%
75%
75%
75%
ALSO SEE:
Library Services (290-601)
Library Assistant 1
25%
0%
0%
0%
0%
Families For Literacy (Fund 308)
Library Assistant 1
0
25%
25%
25%
25%
1300
PERSONNEL - PART TIME
Library Clerk
50%
25%
25%
25%
25%
SF - 179
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: CALIFORNIA LITERACY CAMPAIGN (298)
D*n: LIBRARY -ADMINISTRATION (601)
Reimbursement
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
380
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
1,000
1,000
1,000
1,600
1,600
Total for Travel, Meetings & Training:
1,000
1,000
1,000
1,600
1,600
5105 Milease
100
Total for Membership Dues:
0
0
180
Reimbursement
800
380
380
380
380
Total for Mileage:
800
380
380
380
380
5160 Membership Dues
California Literacy
0
0
80
80
80
SCLLN
0
0
100
100
100
Total for Membership Dues:
0
0
180
180
180
5200 Operations & Maintenance
Instructional Resources
1,500
0
0
Office Supplies
1,490
1,000
3,000
600
800
600
800
Printing
300
0
0
0
0
Total for Operations & Maintenance:
3,290
1,000
3,000
1,400
1,400
15300 Contract Services
F LitPro Annual Service Agree
0
0
430
430
430
Tutor Training
0
2,500
2,500
2,500
2,500
Total for Contract Services:
0
2,500
2,930
2,930
2,930
TOTAL FOR OPERATIONS & MAINTENANCE:
5,090 4,880 7,490 6,490 6,490
SF - 180
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY
(5600) DETAIL
Fund: CALIFORNIA LITERACY CAMPAIGN (298)
)ivision: LIBRARY -ADMINISTRATION (601)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description Budget
Budget
Actual
Rcmd Budget
5604 Capital Outlay -Vehicles 0
0
2,140
0
0
Total for Capital Outlay -Vehicles: 0
0
2,140
0
0
5605 Capital Outlay -Computer Equip 0
0
170
0
0
Total for Capital Outlay -Computer Equip: 0
0
170
0
0
TOTAL FOR CAPITAL OUTLAY: 0 0 2,310
I]
SF - 181
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LIBRARY SERVICES & TECH. ACT (302)
LIBRARY -ADMINISTRATION (601)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance 0 0 5,170 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 0 0 5,170 0 0
TOTAL FOR DIVISION 601:
0
0
5,170
0
0
OTAL FOR LIBRARY SERVICES & TECH. ACT:
0
0
5,170
0
0
C]
SF - 182
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: LIBRARY SERVICES & TECH. ACT (302)
Division: LIBRARY-ADMINISTRATION(601)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Obiect Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance
Supplies 0 0 5,170 0 0
Total for Operations & Maintenance: 0 0 5,170 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
SF - 183
5,170
s
s
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FAMILIES FOR LITERACY GRANT (308)
�0: GRANT MANAGEMENT (602)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
5010 Part Time Salaries
5030 Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5200 Operations & Maintenance
TOTAL FOR OPERATIONS & MAINTENANCE:
•
TOTAL FOR DIVISION 602:
V
u
0
18,630
18,630
0
0
0
3,580
3,580
0
0
0
30,890
30,890
0
0
0
500
500
0
0
0
500
500
0
0
0
1,000
1,000
0 0 0 31,890 31,890
TOTAL FOR FAMILIES FOR LITERACY 0 0 0 31,890 31,890
GRANT:
SF - 184
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Library
DIVISION: Families For Literacy Grant
FUND: 308
COST CENTER: 602
SF - 185
0
FY 2000/01
Fiscal Year 2001/02
OBJECT #
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth.
Funded
1100
PERSONNEL - FULL TIME
Library Assistant 1
0%
25%
25%
25%
25%
ALSO SEE:
California Literacy Campaign Grant (Fund 298)
Library Assistant 1
0%
75%
75%
75%
75%
1300
PERSONNEL- PARTTIME
Library Clerks, Pages
SF - 185
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
d: FAMILIES FOR LITERACY GRANT (308)
n: GRANT MANAGEMENT (602)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training
Library Meetings 0 0 0 500 500
Total for Travel, Meetings & Training: 0 0 0 500 500
5200 Operations & Maintenance
0 0 0 500 500
Total for Operations & Maintenance: 0 0 0 500 500
TOTAL FOR OPERATIONS & MAINTENANCE:
E
V 0 0 1,000 1,000
SF - 186
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: COP'S GRANT -UNIVERSAL (352)
): POLICE-ADMINISTRATION (701)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted
Object/Description
Estimated
Manager
Adopted
Budget Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5300 Contract Services 225,000 250,000
250,000
125,000
125,000
TOTAL FOR OPERATIONS & MAINTENANCE: 225,000 250,000
250,000
125,000
125,000
TOTAL FOR DIVISION 701: 225,000 250,000
250,000
125,000
125,000
TOTAL FOR COP'S GRANT - UNIVERSAL: 225,000 250,000
250,000
125,000
125,000
0
0
SF - 187
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: COP'S GRANT.- UNIVERSAL (352)
Division: POLICE -ADMINISTRATION (701)
0
SF - 188
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5300 Contract Services
Sheriffs Department
225,000
250,000
250,000
125,000
125,000
Total for Contract Services:
225,000
250,000
250,000
125,000
125,000
TOTAL FOR OPERATIONS & MAINTENANCE:
225,000
250,000
250,000
125,000
125,000
0
SF - 188
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: COP'S PROGRAM GRANT -STATE (354)
ti*: POLICE -ADMINISTRATION (701)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services 200,220 200,000 200,000 432,730 432,730
TOTAL FOR OPERATIONS & MAINTENANCE: 200,220 200,000 200,000 432,730 432,730
TOTAL FOR DIVISION 701:
200,220
200,000
200,000
432,730
432,730
TOTAL FOR COP'S PROGRAM GRANT -STATE:
200,220
200,000
200,000
432,730
432,730
SF - 189
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: COP'S PROGRAM GRANT -STATE (354)
Division: POLICE -ADMINISTRATION (701)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
Sheriff s Department 200,220 200,000 200,000 432,730 432,730
Total for Contract Services: 200,220 200,000 200,000 432,730 432,730
TOTAL FOR OPERATIONS & MAINTENANCE: 200,220 200,000 200,000 432,730 432,730
0
SF - 190
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LOCAL LAW ENFORCEMENT BLK '99 (363)
UW n: POLICE -ADMINISTRATION (701)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 0 0 20,270 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 20,270 0 0
TOTAL FOR DIVISION 701:
0 0 20,270 0 0
TOTAL FOR LOCAL LAW ENFORCEMENT 0 0 20,270 0 0
BLK '99:
0
SF - 191
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LOCAL LAW ENFORCEMENT BLK '99 (363)
Division: POLICE -ADMINISTRATION (701)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Obiect Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Accident Investigation System 0 0 20,270 0 0
Total for Capital Outlay -Equipment: 0 0 20,270 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 20,270 0 0
I]
SF - 192
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: LOCAL LAW ENFORCEMENT BLK 2000 (365)
IV: POLICE -ADMINISTRATION (701)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Object/Description Budget
Adopted Estimated
Budget Actual
Manager
Rcmd
Adopted
Budget
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 0
TOTAL FOR CAPITAL OUTLAY: 0
0 84,180
45,260
45,260
0 84,180
45,260
45,260
TOTAL FOR DIVISION 701: 0 0 84,180 45,260 45,260
TOTAL FOR LOCAL LAW ENFORCEMENT 0 0 84,180 45,260 45,260
BLK 2000:
0
SF - 193
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LOCAL LAW ENFORCEMENT BLK 2000 (365)
Division: POLICE -ADMINISTRATION (70 1)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description Budget
Budget Actual
Rcmd.
Budget
5603 Capital Outlay -Equipment
Digital Recorder 0
0 0
45,260
45,260
Digital Recorder w/Laser Tech 0
0 84,180
0
0
Total for Capital Outlay -Equipment: 0
0 84,180
45,260
45,260
TOTAL FOR CAPITAL OUTLAY: 0 0 84,180 45,260 45,260
•
0
SF - 194
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: CA LAW ENFORCEMENT PROGRAM (366)
GRANT MANAGEMENT (702)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
OWect/Description Budget Budget Actual Rcmd Budget
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
5605 Capital Outlay -Computer Equip
TOTAL FOR CAPITAL OUTLAY:
TOTAL FOR DIVISION 702:
0
0
0
107,600
107,600
0
0
0
31,850
31,850
0
0
0
139,450
139,450
0 0 0 139,450 139,450
TOTAL FOR CA LAW ENFORCEMENT 0 0 0 139,450 139,450
PROGRAM:
SF - 195
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: CA LAW ENFORCEMENT PROGRAM (366)
Division: GRANT MANAGEMENT (702)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description
Budget
Budget Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
Camera System (4)
0
0
0 12,000
12,000
Message Board (2)
0
0
0 64,100
64,100
Public Address System
0
0
0 15,000
15,000
Radar Trailer
0
0
0 16,500
16,500
Total for Capital Outlay -Equipment:
0
0
0 107,600
107,600
5605 Capital Outlay -Computer Equip
Color Printer -Crime Analysis
0
0
0 11,100
11,100
Color Printers (4)
0
0
0 2,750
2,750
Computer Sys. for Traffic Div.
0
0
0 12,000
12,000
Multi -Media Projector
0
0
0 6,000
6,000
Total for Capital Outlay -Computer Equip:
0
0
0 31,850
31,850
TOTAL FOR CAPITAL OUTLAY: 0 0 0 139,450 139,450
9
SF - 196
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
F nd: AD 82-1 6TH ST INDUSTRIAL (600) ANNUAL BUDGET SUMMARY
ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services 3,500 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 3,500 0 0 0 0
TOTAL FOR DIVISION 303:
3,500
0
0
0
0
TOTAL FOR AD 82 -16TH ST INDUSTRIAL:
3,500
0
0
0
0
0
SF - 197
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 82-1 6TH ST INDUSTRIAL (600)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
Survey & Design Consultant 3,500 0 0 0 0
Total for Contract Services: 3,500 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
3,500
SF - 198
11
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: AD 84-2 ALTA LOMA CHANNEL (604)
ENGINEERING -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services
5415 General Liability Charges
5501 Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
TOTAL FOR DIVISION 303:
TOTAL FOR AD 84-2 ALTA LOMA CHANNEL:
is
U
128,010
• 0
214,520
214,520
0
1,390
1,390
0
0
0
9,600
9,600
4,880
4,880
0
139,000
10,990
219,400
219,400
0
139,000
10,990
219,400
219,400
0
139,000
10,990
219,400
219,400
SF - 199
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS_& MAINTENANCE (5100) DETAIL
Fund: AD 84-2 ALTA LOMA CHANNEL (604)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5300 Contract Services
Additional work to Channel
0
128,010
0
214,520
214,520
Total for Contract Services:
0
128,010
0
214,520
214,520
5415 General Liability Charges
0
1,390
1,390
0
0
Total for General Liability Charges:
0
1,390
1,390
0
0
5501 Admin./General Overhead
0
9,600
9,600
4,880
4,880
Total for Admin✓General Overhead:
0
9,600
9,600
4,880
4,880
TOTAL FOR OPERATIONS & MAINTENANCE:
0
139,000
10,990
219,400
219,400
0
0
SF - 200
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: AD 86-2 R/C DRAINAGE DISTRICT (606)
n: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services
5415 General Liability Charges
TOTAL FOR OPERATIONS & MAINTENANCE:
TOTAL FOR DIVISION 303:
TOTAL FOR AD 86-2 R/C DRAINAGE DISTRICT:
0
0
340,680
350,000
0
420,750
420,750
3,410
3,500
3,500
0
0
344,090
353,500
3,500
420,750
420,750
344,090
353,500
3,500
420,750
420,750
344,090
353,500
3,500
420,750
420,750
SF -201
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 86-2 R/C DRAINAGE DISTRICT (606)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
Repairs on Drainage System 340,680 350,000 0 420,750 420,750
Total for Contract Services: 340,680 350,000 0 420,750 420,750
5415 General Liability Charges 3,410 3,500 3,500 0 0
Total for General Liability Charges: 3,410 3,500 3,500 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 344,090 353,500
SF - 202
3,500 420,750 420,750
0
is
`J
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: RANCHO CUCAMONGA CORP PARK (608)
D0: ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted
Obiect/Description
Estimated
Manager
Adopted
Budget Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance 0 0
10,000
0
5300 Contract Services 0 0
58,000
1,000
0
1,000
5330 Payment to Trustee 0 0
0
5500 Assessment Administration 0 0
479,350
479,350
5501 Admin./General Overhead 0 0
0
60
60
TOTAL FOR OPERATIONS & MAINTENANCE: 0
0
40,540
40,540
0
68,000
520,950
520,950
TOTAL FOR DIVISION 203:
0 0 68,000 520,950 520,950
TOTAL FOR RANCHO CUCAMONGA CORP 0 0 68,000 520,950 520,950
PARK:
SF - 203
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: RANCHO CUCAMONGA CORP PARK (608)
Division: ASSESSMENT DISTRICTS/CFDS(203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200.Operations & Maintenance 0 0 10,000 0 0
Total for Operations & Maintenance: 0 0 10,000 0 0
5300 Contract Services
Professional Services
0
0
58,000
1,000
1,000
Total for Contract Services:
0
0
58,000
1,000
1,000
5330 Payment to Trustee
0
0
0
479,350
479,350
Total for Payment to Trustee:
0
0
0
479,350
479,350
5500 Assessment Administration
0
0
0
60
60
Total for Assessment Administration:
0
0
0
60
60
5501 Admin./General Overhead
0
0
0
40,540
40,540
Total for AdminJGeneral Overhead:
0
0
0
40,540
40,540
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
68,000
520,950
520,950
SF - 204
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: CFD 2000-03 RANCHO SUMMIT (610) ANNUAL BUDGET SUMMARY
Det: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services 0 0 50,0000 0
TOTAL FOR OPERATIONS & MAINTENANCE: 0 0 50,000 0 0
TOTAL FOR DIVISION 203: 0 0 50,000 0 0
TOTAL FOR CFD 2000-03 RANCHO SUMMIT: 0 0 50,000 0 0
0
SF - 205
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: CFD 2000-03 RANCHO SUMMIT (6 10)
.Avision: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
Professional Services 0 0 50,000 0 0
Total for Contract Services: 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 0 0
SF - 206
50,000 0 0
50,000 0 0
•I
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: SPORTS COMPLEX (700)
n: ADMIN SRVCS-ADMINISTRATION (201)
OPERATIONS & MAINTENANCE
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object/Description
Adopted
Adopted
Estimated
Manager
Adopted
38,500
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
40,600
40,600
40,600
5206
O & M/Recreation Programs
5000 Regular Salaries
5005 Overtime Salaries
242,020
243,620
243,620
189,000
189,000
5010 Part Time Salaries
33,000
33,000
33,000
33,000
33,000
5030 Fringe Benefits
229,410
237,560
237,560
139,290
139,290
3,000
100,230
101,620
101,620
76,970
76,970
TOTAL FOR PERSONNEL SERVICES:
604,660
615,800
615,800
438,260
438,260
OPERATIONS & MAINTENANCE
5203
O & M/Complex Maintenance
31,100
38,500
38,500
38,500
38,500
5204
O & M/Facilities
41,800
40,600
40,600
40,600
40,600
5206
O & M/Recreation Programs
61,190
54,840
53,880
0
5251
Depreciation - Vehicles
2,380
4,320
4,320
4,320
0
4,320
5252
Emergency & Routine Veh Rent
3,000
3,000
3,000
3,000
3,000
5281
Depreciation - Equipment
1,850
2,670
2,670
2,670
2,670
5300
Contract Services
40,000
45,000
45,000
45,000
45,000
5302
Contract Sery/Complex Maint.
6,300
6,800
6,800
6,800
6,800
5303
Contract Serv/Reimbursable
0
0
5304
Contract Serv/Facilities
192,200
131,800
125,000
131,800
0
131,800
0
131,800
5305
Contract Serv/Recreation Prgs
106,190
112,520
106,250
0
0
5400
Telephone Utilities
22,000
22,800
7,800
7,800
7,800
401
Gas Utilities
7,350
7,720
8,720
8,720
8,720
402
Water Utilities
62,000
65,100
65,100
66,730
66,730
5403
Electric Utilities
175,000
185,000
185,000
268,250
268,250
5415
General Liability Charges
7,520
7,210
7,210
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
759,880
727,880
831,650
624,190
624,190
TOTAL FOR DIVISION 201:
1,364,540
1,343,680
1,447,450
1,062,450
1,062,450
•
SF - 207
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Sports Complex
FUND: 700
COST CENTER: 201
SF - 208
0
0
40
FY 2000/01
Fiscal Year 2001/02
OBJECT #
Adopted
Budget
Dept.
Request
Mgr. Rcmds.
Adopted
Budget
Auth.
Funded
5000
PER ONN - FUI L TIME
Recreation Coordinator'
100%
0%
0%
0%
0%
Recreation Coordinator'
25%
0%
0%
0%
0%
Maintenance Coordinator
100%
100%
100%
100%
100%
Lead Maint. Worker (Stadium)
100%
100%
100%
100%
100%
Lead Maint. Worker (Complex)
100%
100%
100%
100%
100%
Maintenance Suprv. (Complex)
25%
25%
25%
25%
25%
Maint. Worker (Stadium)
100%
100%
100%
100%
100%
Office Specialist II
50%
0%
0%
0%
0%
Moved to Division 401
ALSO SEE:
Recreation
Services (Fund 250
Recreation Coordinator
75%
75%
75%
50%
50%
Office Specialist II
50%
50%
50%
50%
50%
Maintenance -Public Works (1001-817)
Maintenance Suprv. (Complex)
65%
65%
65%
65%
65%
PD 85 (Fund 8481
Maintenance Suprv. (Complex)
10%
10%
10%
10%
10%
Sports Complex (700401)
Recreation Coordinator
0%
25%
25%
25%
25%
Office Specialist II
0%
100%
100%
100%
100%
Office Specialist II
0%
50%
50%
50%
50%
1200
PERSONNEL - OV RTIM
1300
PERSONNEL - PART TIME
Seasonal Workers/Maint.
720%
720%
720%
720%
720%
Seasonal Workers/Facilities
1800%
1800%
1800%
1800%
1800%
PR Rec Staff (PERS)
200%
0%
0%
0%
0%
PIT Rec Staff
1800%
0%
0%
0%
0%
SF - 208
0
0
40
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
_OPERATIONS & MAINTENANCE (5100) DETAIL
nd: SPORTS COMPLEX (700)
n: ADMIN SRVCS-ADMINISTRATION (201)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5203 O & M/Complex Maintenance
Materials & Supplies 31,100 38,500 38,500 38,500 38,500
Total for O & M/Complex Maintenance: 31,100 38,500 38,500 38,500 38,500
5204 O & M/Facilities
SUU Mhz System Supplies
1,200
1,200
1,200
1,200
1,200
Graffiti Removal Supplies
2,500
2,500
2,500
2,500
2,500
Janitorial Supplies
28,500
28,500
28,500
28,500
28,500
Office Supplies
3,300
3,300
3,300
3,300
3,300
Tools, Materials & Supplies
1,500
300
300
300
300
Uniforms
4,800
4,800
4,800
4,800
4,800
Total for O & M/Facilities:
41,800
40,600
40,600
40,600
40,600
5206 O & M/Recreation Programs
Adult Soccer { 1)
8,230
7,760
6,250
0
0
Adult Softball (1)
33,000
33,550
33,550
0
0
Flag Football (1)
2,350
1,950
1,200
0
0
Office Supplies (1)
1,200
200
200
0
0
Roller Hockey Program { 1 J
16,410
11,380
12,680
0
0
( I) Moved to Division 401
Total for O & M/Recreation Programs:
61,190
54,840
53,880
0
0
5251 Depreciation - Vehicles
2,380
4,320
4,320
4,320
4,320
Total for Depreciation - Vehicles:
2,380
4,320
4,320
4,320
4,320
5252 Emergency & Routine Veh Rent
Landscape (Complex)
3,000
3,000
3,000
3,000
3,000
Total for Emergency & Routine Veh Rent:
3,000
3,000
3,000
3,000
3,000
5281 Depreciation - Equipment
1,850
2,670
2,670
2,670
2,670
Total for Depreciation - Equipment:
1,850
2,670
2,670
2,670
2,670
5300 Contract Services
Security For Baseball Games
40,000
45,000
45,000
45,000
45,000
Total for Contract Services:
40,000
45,000
45,000
45,000
45,000
5302 Contract Sery/Complex Maint.
Batters Eye Remove & Install
4,000
4,000
4,000
4,000
4,000
Soil Testing
300
300
300
300
300
Uniform Rental
2,000
2,500
2,500
2,500
2,500
. Total for Contract Sery/Complex Maint.:
6,300
6,800
6,800
6,800
6,800
5303 Contract Serv/Reimbursable
Colt/Sod Replacement
0
0
125,000
0
0
Cyi WIR,
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: SPORTS COMPLEX (700) OPERATIONS & MAINTENANCE (5100) DETAIL
Division: ADMIN SRVCS-ADMINISTRATION (201)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Total for Contract Serv/Reimbursable: 0 0 125,000 0 0
5304 Contract Serv/Facilities
Annual Lght Pole Strctrl Analy
2,000
2,000
2,000
2,000
2,000
Ansul System Testing
500
500
500
500
500
Backflow Testing
400
400
400
400
400
Electrical Services
9,300
9,300
9,300
9,300
9,300
Elevator Service
3,300
3,300
3,300
3,300
3,300
Emergency Generator Service
2,700
2,700
2,700
2,700
2,700
Fire Extinguisher Service
1,300
1,300
1,300
1,300
1,300
HVAC (Stadium)
10,000
9,000
9,000
9,000
9,000
Janitorial Service
6,000
6,000
6,000
6,000
6,000
Locksmith Service
5,500
5,500
5,500
5,500
5,500
Mandatory Fire Spmklr 5yr Crt
6,000
0
0
0
0
Misc Repair/Fabrication
1,500
1,500
1,500
1,500
1,500
Painting Service
8,000
6,000
6,000
6,000
6,000
Pest Control Service
2,700
3,000
3,000
3,000
3,000
Plumbing Services
6,800
5,800
5,800
5,800
5,800
Pressure Wash Service
1,500
1,500
1,500
1,500
1,500
Refrigeration System Service
3,000
3,000
3,000
3,000
3,000
Roof/Facade/Awning Cleaning
6,000
6,000
6,000
6,000
6,000
Security Service (Guards)
62,500
65,000
65,000
65,000
65,000
Security System Maint-Cardkey
12,000
0
0
0
0
Security/Alarm Monitoring
11,200
0
0
0
0
Sports Light Maint & Equipment
30,000
0
0
0
0
Total for Contract Serv/Facilities:
192,200
131,800
131,800
131,800
131,800
5305 Contract Serv/Recreation Prgs
Utttctals: Flag Football { 1 }
11,170
13,910
7,800
0
0
Officials: Roller Hockey j l J
3,260
3,260
3,230
0
0
Officials: Soccer { 11
37,680
39,030
29,620
0
0
Officials: Softball ( 1)
51,580
53,820
51,300
0
0
Special Event Security j 1 }
2,500
2,500
14,300
0
0
Total for Contract Serv/Recreation Prgs:
106,190
112,520
106,250
0
0
5400 Telephone Utilities
22,000
22,800
7,800
7,800
7,800
Total for Telephone Utilities:
5401 Gas Utilities
22,000
7,350
22,800
7,720
7,800
8,720
7,800
8,720
7,800
8,720
Total for Gas Utilities:
5402 Water Utilities
7,350
7,720
8,720
8,720
8,720
Stadium Field
Stadium -Domestic
38,000
24,000
39,900
25,200
39,900
25,200
40,900
25,830
40,900
25,830
Total for Water Utilities:
62,000
65,100
65,100
66,730
66,730
SF - 210
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: SPORTS COMPLEX (700)
D* ADMIN SRVCS-ADMINISTRATION (201)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
5403 Electric Utilities
Building Maintenance
25,000
27,000
27,000
39,150
39,150
Stadium & Field Maintenance
150,000
158,000
158,000
229,100
229,100
Total for Electric Utilities:
175,000
185,000
185,000
268,250
268,250
5415 General Liability Charges
7,520
7,210
7,210
0
0
Total for General Liability Charges:
7,520
7,210
7,210
0
0
TOTAL FOR OPERATIONS & MAINTENANCE: 759,880 727,880 831,650 624,190 624,190
0
0
SF - 211
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: SPORTS COMPLEX (700)
COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL_ SERVICES
5000 Regular Salaries
0
0
0
74,410
74,410
5010 Part Time Salaries
0
0
0
98,900
98,900
5030 Fringe Benefits
0
0
0
32,170
32,170
TOTAL FOR PERSONNEL SERVICES:
0
0
0
205,480
205,480
OPERATIONS & MAINTENANCE
5206 O & M/Recreation Programs
0
0
0
55,340
55,340
5305 Contract Serv/Recreation Prgs
0
0
0
114,700
114,700
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
0
170,040
170,040
i
TOTAL FOR DIVISION 401:
0
0
0
375,520
375,520
TOTAL FOR SPORTS COMPLEX:
1,364,540
1,343,680
1,447,450
1,437,970
1,437,970
SF - 212
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Administrative Services
DIVISION: Sports Complex
FUND: 700
COST CENTER: 401
SF - 213
r'1
0
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
1100
PERSONNFI - F1 11 1- TIME
-
Recreation Coordinator'
0%
100%
100%
100%
100%
Recreation Coordinator'
0%
25%
25%
25%
25%
Office Specialist II '
0%
50%
50%
50%
50%
Moved from Division 201
ALSO SEE:
Recreatbn Servire-q
(Fund 1 )
Recreation Coordinator
0%
75%
75%
75%
75%
Office Specialist II
0%
50%
50%
50%
50%
1200
PERSONNEL - OVERTIME
1300
PERSONNEL - PART TIM
P/T Rec Staff (PERS)
0%
200%
200%
200%
200%
P/f Rec Staff
0%
1800%
1800%
1800%
1800%
SF - 213
r'1
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
Fund: SPORTS COMPLEX (700) OPERATIONS & MAINTENANCE (5100) DETAIL
*n: COMMUNITY SRVCS-ADMINISTRATION (401)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5206 O & M/Recreation Programs
Adult Soccer
0
0
0
6,710
6,710
Adult Softball
0
0
0
33,730
33,730
Flag Football
0
0
0
1,200
1,200
Office Supplies
0
0
0
200
200
Roller Hockey Program
0
0
0
13,500
13,500
Total for O & M/Recreation Programs:
0
0
0
55,340
55,340
5305 Contract Serv/Recreation Prgs
Officials: Flag Football
0
0
0
7,600
7,600
Officials: Roller Hockey
0
0
0
3,260
3,260
Officials: Soccer
0
0
0
32,800
32,800
Officials: Softball
0
0
0
61,620
61,620
Special Event Security
0
0
0
9,420
9,420
Total for Contract Serv/Recreation Prgs:
0
0
0
114,700
114,700
TOTAL FOR OPERATIONS & MAINTENANCE:
i
0 0 0 170,040 170,040
SF - 214
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: EQUIPNEHICLE REPLACEMENT (712)
�0: NON -DEPARTMENTAL GENERAL (001)
1999/2000
Fiscal
Year 2000/01
Fiscal Year
2001/02
Adopted
Object/Description
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 1,412,930 755,500 901,540 197,720 197,720
5604 Capital Outlay -Vehicles 676,560 0 555,860 647,660 647,660
TOTAL FOR CAPITAL OUTLAY: 2,089,490 755,500 1,457,400 845,380 845,380
TOTAL FOR DIVISION 001:
2,089,490
755,500
1,457,400
845,380
845,380
TOTAL FOR EQUIPNEHICLE REPLACEMENT:
2,089,490
755,500
1,457,400
845,380
845,380
C�
SF - 215
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: EQUIP/VEHICLE REPLACEMENT (712)
division: NON -DEPARTMENTAL GENERAL (001)
SF - 216
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
2 Excel Bac-Vac
0
59,000
59,000
0
0
3 Cushman Utility Carts
0
56,700
56,700
0
0
3 Taylor -Dunn Utility Carts
0
44,100
44,100
0
0
800 MHZ HT Radio Replcmnt (30)
78,000
26,000
26,000
0
0
800 MHZ Radios (4)
0
0
0
10,640
10,640
Arrow Board
1,340
0
0
0
0
Asphalt Roller/Compactor(2)
0
0
0
37,150
37,150
Bac-Vac
6,090
0
0
0
0
Chipper-Replcing Unit 582
0
0
0
41,000
41,000
Citywide Telephone System
850,000
0
0
0
0
Commercial Mower for City Hall
0
0
0
1,000
1,000
Cuda Parts Washer Replacement
0
0
0
9,300
9,300
Cushman -Replacing Unit 570
0
0
0
20,000
20,000
Excel Flail Mower
0
23,100
23,100
0
0
Exmark Sulky Mower
0
7,350
7,350
0
0
Fiber Optic Cabling
400,000
0
0
0
0
Fiber Optic Conduit
0
400,000
536,280
0
0
Flail Mower -Replaces Unit 560
0
0
0
24,000
24,000
HP Laserjet 4050 Printer
0
0
1,760
0
0
Heavy Duty Traf Line Remover(1
0
0
0
6,400
6,400
Hustler Bac-Vac for Red Hill
0
29,500
29,500
0
0
Infield Rake-Rcplcing Unit 549
0
0
0
12,500
12,500
Infield Rake-Rplcing Unit 548
0
0
0
12,500
12,500
Jacobsen Reel Mower
0
24,500
24,500
0
0
John Deere Utility Cart
0
8,200
8,200
0
0
Misc Small Equip(Heritage Pk)
0
0
3,500
0
0
Misc Small Equip(Red Hill Pk)
0
0
4,500
0
0
Range Wing
16,500
40,050
40,050
0
0
Replace(3) Mechanic Tool Boxes
0
0
0
8,130
8,130
Replacement Post Puller
0
0
0
3,300
3,300
Replmnt Generator(Form Board)
0
0
0
2,800
2,800
Spectra 800 MHZ Radios (6)
15,000
0
0
0
0
Stump Grinder
0
37,000
37,000
0
0
Sulky mower -Replaces Unit E514
0
0
0
6,500
6,500
Tractor
14,830
0
0
0
0
Traffic Line Remover-Rplc 6496
0
0
0
2,500
2,500
Trailer
1,560
0
0
0
0
Triking
10,690
0
0
0
0
Turf Vac
10,920
0
0
0
0
Universal Gym Replacement
8,000
0
0
0
0
Total for Capital Outlay -Equipment:
1,412,930
755,500
901,540
197,720
197,720
5604 Capital Outlay -Vehicles
2 Ford Ranger Lease Pmt(2 Of 3
0
0
8,560
8,560
8,560
CNG Sweeper-Replces Unit 1642
0
0
0
200,490
200,490
SF - 216
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: EQUIP/VEHICLE REPLACEMENT (712)
1)0: NON -DEPARTMENTAL GENERAL (001)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
CNG Sweeper-Replces Unit 1644
0
0
0
200,490
200,490
Chipper Truck w/Dump/Radio
0
0
0
61,000
61,000
F-250 Pick-up w/ser bed ladder
0
0
0
58,620
58,620
F-350 Super Rplc Asset#1322
30,000
0
29,360
0
0
F250 P/U Rplc Unt 591
0
0
0
29,500
29,500
F250 Util Bed P/U Rplc Unt800
0
0
0
29,500
29,500
F250 Util Bed P/U Rplc Unt803
0
0
0
29,500
29,500
John Deere Tractor-Rplc Un539
0
0
0
30,000
30,000
Rplc Asset #1246, Ford Explrer
21,000
0
0
0
0
Rplc Asset #252 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1232 Crown Victoria
22,000
0
0
0
0
Rplc Asset#1239 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1240 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1241 Ford Explorer
21,000
0
0
0
0
Rpic Asset#1242 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1243 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1244 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1245 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1248 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1249 Ford Explorer
21,000
0
0
0
0
Rplc Asset#1253 Chevy Cavilier
19,000
0
0
0
0
Rplc Asset#1254 Chevy Cavalier
19,000
0
0
0
0
Rplc Asset#1314 Ford F-250
24,000
0
25,170
0
0
Rplc Asset#1319 Dis Prep Van
20,000
0
0
0
0
Rplc Asset#1634 Ran.ger Pickup
13,140
0
0
0
0
Rplc Chevy Van for MIS
23,000
0
0
0
0
Rplc FA#1233 Crown Victoria
22,000
0
0
0
0
Rplc FA#1237 Econoline
41,670
0
48,740
0
0
Rplc FA#1256 Chevy Cavalier
19,000
0
0
0
0
Rplc FA#1315 Ford F-350 ST Bed
28,000
0
32,290
0
0
Rplc FA#1316 Ford F-350 St Bed
28,000
0
35,280
0
0
Rplc FA#1691 Air Sweeper
93,840
0
135,000
0
0
Rplc FA#34 Tractor
30,000
0
0
0
0
Rplc FA#37 Trailer
7,500
0
6,260
0
0
Rplc FA#601 Trailer
2,700
0
0
0
0
Rplc FA#603 Trailer
2,710
0
0
0
0
Storm Drain Truck Rplc Unit651
0
0
235,200
0
0
Total for Capital Outlay -Vehicles:
676,560
0
555,860
647,660
647,660
TOTAL FOR CAPITAL OUTLAY:
0
2,089,490 755,500 1,457,400 845,380 845,380
SF - 217
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: COMP/DATA IGS FUND RESERVES (714)
D: NON -DEPARTMENTAL GENERAL (001)
0
11
TOTAL FOR DIVISION 001:
1,165,600 321,100 867,880 697,690 697,690
TOTAL FOR COMP/DATA IGS FUND 1,165,600 321,100 867,880 697,690 697,690
RESERVES:
SF - 218
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
10,000
5,000
21,500
5,000
5,000
5152 Computer Software
510,000
91,850
321,130
38,200
38,200
5300 Contract Services
330,000
68,710
347,690
85,900
85,900
TOTAL FOR OPERATIONS & MAINTENANCE:
850,000
165,560
690,320
129,100
129,100
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
315,600
155,540
177,560
568,590
568,590
TOTAL FOR CAPITAL OUTLAY:
315,600
155,540
177,560
568,590
568,590
0
11
TOTAL FOR DIVISION 001:
1,165,600 321,100 867,880 697,690 697,690
TOTAL FOR COMP/DATA IGS FUND 1,165,600 321,100 867,880 697,690 697,690
RESERVES:
SF - 218
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: COMP/DATA IGS FUND RESERVES (714)
Division: NON -DEPARTMENTAL GENERAL (001) 40
5152 Computer Software
1st Yr annual Maint & Support
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
Exchange E-mail Server Upgrade
0
30,720
30,720
Finance & H.R. System Upgrade
10,000
5,000
21,500
5,000
5,000
Total for Travel, Meetings & Training:
10,000
5,000
21,500
5,000
5,000
5152 Computer Software
1st Yr annual Maint & Support
60,000
0
0
0
0
Business License Software
0
0
33,000
0
0
Document Management System
0
0
0
0
0
Exchange E-mail Server Upgrade
0
30,720
30,720
0
0
Fin & HR: Application Software
300,000
0
0
0
0
Fin & HR: Third Party Software
150,000
0
0
0
0
Oracle City Wide Site License
0
0
196,280
0
0
Replc ARGO with VDO Fleet Mnt.
0
0
0
8,200
8,200
Upgrade Tape Library ADSM & SW
0
0
0
30,000
30,000
Windows 2000 Upgrade
0
61,130
61,130
0
0
Total for Computer Software:
510,000
91,850
321,130
38,200
38,200
5300 Contract Services
Annual Software Maint-Bi-Tech
0
48,710
47,700
50,000
5000
Annual Software Maint-Tidemark
0
10,000
10,000
20,900
20,900
BL Software: Prof. Services
0
0
37,000
10,000
10,000
Document Management System
0
0
0
0
0
Fin & HR System: Prof Services
330,000
10,000
252,990
5,000
5,000
Total for Contract Services:
330,000
68,710
347,690
85,900
85,900
TOTAL FOR OPERATIONS & MAINTENANCE: 850,000 165,560 690,320 129,100 129,100
0
SF - 219
SF - 220
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY
(5600) DETAIL
Fund: COMP/DATA IGS FUND RESERVES (714)
*n: NON-DEPARTMENTAL GENERAL
(001)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Adopted
Rcmd
Budget
5605 Capital Outlay-Computer Equip
Backup PC for TeleStaff (Fire)
0
0
0
Barcode Scanner - Library (1)
0
0
2,800
2,800
Content Server for WWW
0
0
1,200
1,200
Document Management Server (4)
0
0
0
40,090
40,090
Fiber Optic Equip (4 offsites)
0
0
0
0
0
0
HP LaserJet 4050 TN-Senior Ctr
0
0
0
2,410
0
0
0
HP LaserJet 500
0
0
0
0
HP LaserJet 8100DNFinan
( ce)
0
0
2,210
2,210
HP Omnibook
0
3,700
0
0
IBM Netfinity
0
0
230
0
0
IBM RS6000 2GB RAM Memory
0
0
530
0
0
IBM RS6000 Hot Swap Drive (6)
0
0
0
13,000
13,000
IS Server(Intranet/Kiosk Redo)
0
0
51,050
0
51,050
13,500
0
13,500
Laser Fiche File Server(Clerk)
24,000
0
0
0
0
Laser Fiche Scanner(City Clerk
7,500
0
0
0
Laser Fiche Srvr Hard Drives
0
0
0
0
0
Multimedia Projectors
0
0
4,000
4,000
Notebook Computers(3) Pool Use
Oracle Server Upgrade
11,100
0
0
0
33,000
0
33,000
0
0
0
0
34,820
34,820
Personal Computer(2) Comm Ser.
5,200
0
0
Pioneer Standard IBM RS6000
0
0
15,150
0
0
0
RISC 6000 Fire Wall(Internet)
0
60,490
60,490
0
0
0
Receipt Printer - Library (2)
0
0
0
Replace Fire Server
0
0
0
700
700
Replacment Laptops (7)
0
0
25,000
25,000
Replc PCs: City Mgr/Clerks(4)
0
0
0
0
21,000
21,000
Replc PCs: City Mgr/Clerks(5)
13,000
0
0
10,400
10,400
Rpic HP LaserJet Printers (8)
0
0
0
0
22,500
0
22,500
Rplc Library DeskJet 1220
0
0
0
700
700
Rplc Library LaserJet 450OTN
0
0
0
4,000
4,000
Rplc Library ScanJet (1)
0
0
0
270
270
Rplc Library Tally T2060 Prntr
0
0
0
3,500
3,500
Rpic Library WYSE 325 Terminal
0
0
0
600
Rplc Network Switch & Hubs
0
0
0
0
600
Rpic PC's: IS Training (6)
0
0
0
15,600
0
15,600
Rplc PCs: Admin. Services (10)
26,000
0
0
0
Rpic PCs: Admin. Services (14)
0
0
0
36,400
0
36,400
Rplc PCs: Bldg & Safety (8)
20,800
0
0
0
0
Rplc PCs: Bldg & Safety (9)
0
0
0
23,400
23,400
Rplc PCs: Community Dev. (1)
2,600
0
0
2,600
2,600
Rplc PCs: Community Ser (11)
28,600
0
0
0
0
Rpic PCs: Community Ser (14)
0
0
0
36,400
36,400
Rplc PCs: Engineering (23)
59,800
0
0
59,800
59,800
Rplc PCs: Fire District (13)
0
0
0
33,800
33,800
Rplc PCs: Fire District (15)
39,000
0
0
0
0
SF - 220
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: COMP/DATA IGS FUND RESERVES (714)
Division: NON -DEPARTMENTAL GENERAL (001)
TOTAL FOR CAPITAL OUTLAY: 315,600 155,540 177,560 568,590 568,590
E
SF-221
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
Rplc PCs: GIS (2)
5,200
0
0
0
0
Rplc PCs: GIS (4)
0
0
0
10,400
10,400
Rplc PCs: Information Sys (3)
7,800
0
0
0
0
Rplc PCs: Information Sys (8)
0
0
0
20,800
20,800
Rplc PCs: Library (11)
28,600
0
0
0
0
Rplc PCs: Library (15)
0
0
0
39,000
39,000
Rplc PCs: Planning (7)
18,200
0
0
0
0
Rplc PCs: Planning (8)
0
0
0
20,800
20,800
Rplc PCs: Police (5)
13,000
0
0
0
0
Rplc PCs: Police (6)
0
0
0
15,600
15,600
Rplc PCs: Redevelopmnt (2)
5,200
0
0
5,200
5,200
Rplc Planning Printer HP 5000N
0
0
0
2,500
2,500
Rplc Remote Access Server
0
16,000
16,000
0
0
Scanner's for Desktops
0
0
0
9,000
9,000
Upgrade Exchange E -Mail Server
0
28,000
28,000
0
0
Upgrd Council Chambers Camera
0
0
0
4,000
4,000
Total for Capital Outlay -Computer Equip:
315,600
155,540
177,560
568,590
568,590
TOTAL FOR CAPITAL OUTLAY: 315,600 155,540 177,560 568,590 568,590
E
SF-221
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: AD 82-1R REDEMPTION FUND (800)
ASSESSMENT DISTRICTS/CFDS (203)
TOTAL FOR DIVISION 203: 49,240 63,250 780 256,210 256,210
TOTAL FOR AD 82-1R REDEMPTION FUND: 49,240 63,250 780 256,210 256,210
SF - 222
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object/Description
Budget
Budget Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5300 Contract Services
0
62,470 0
256,210
256,210
5415 General Liability Charges
490
630 630
0
0
5501 Admin./General Overhead
48,750
150 150
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
49,240
63,250 780
256,210
256,210
TOTAL FOR DIVISION 203: 49,240 63,250 780 256,210 256,210
TOTAL FOR AD 82-1R REDEMPTION FUND: 49,240 63,250 780 256,210 256,210
SF - 222
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
r und: AD 82 -IR REDEMPTION FUND (800)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5300 Contract Services
Additional District Improvemnt
0
62,470
0
256,210
256,210
Total for Contract Services:
0
62,470
0
256,210
256,210
5415 General Liability Charges
490
630
630
0
0
Total for General Liability Charges:
490
630
630
0
0
5501 Admin./General Overhead
48,750
150
150
0
0
Total for AdminJGeneral Overhead:
48,750
150
150
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
49,240
63,250
780
256,210
256.210
0
•
SF - 223
F nd:
)if:
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
AD 82-1R RESERVE FUND (801)
ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
9800 Transfer Out -AD 82-1R Redemp. 29,710 0 138,620 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 29,710 0 138,620 0 0
0
E
TOTAL FOR DIVISION 203:
29,710
0
138,620
0
0
TOTAL FOR AD 82-1R RESERVE FUND:
29,710
0
138,620
0
0
SF - 224
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 82-1R RESERVE FUND (801)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
9800 Transfer Out -AD 82-111 Redemp. 29,710 0 138,620 0 0
Total for Transfer Out -AD 82.1R Redemp.: 29,710 0 138,620 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 29,710 0 138,620
0
1]
SF - 225
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
F d: AD 84-1 REDEMPTION FUND (805) ANNUAL BUDGET SUMMARY
ASSESSMENT DISTRICTS/CFDS (203)
1999/2000
Fiscal Year
2000/01
Fiscal Year 2001/02
Adopted
Object/Description
Adopted
Estimated
Manager Adopted
Budget
Budget
Actual
Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services
5330
Payment to Trustee
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
TOTAL FOR DIVISION 203:
TOTAL FOR AD 54.1 REDEMPTION FUND:
0
0
1,000
0
1,000
1,000
1,000
1,739,550
1,645,960
1,645,960
1,684,900
1,684,900
18,490
18,040
18,040
0
0
21,230
24,930
24,930
26,530
26,530
86,980
132,660
132,660
140,210
140,210
1,867,250
1,821,590
1,822,590
1,852,640
1,852,640
1,867,250
1,821,590
1, 822,590
1,852,640
1,852,640
1,867,250
1,821,590
1,822,590
1,852,640
1,8 52, 640
SF - 226
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 84-1 REDEMPTION FUND (805)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd. Budget
5300 Contract Services
Arbitrage Calculations
1,000
0
1,000
1,000
1,000
Total for Contract Services:
1,000
0
1,000
1,000
1,000
5330 Payment to Trustee
1,739,550
1,645 960
1,645,960
1 684 900
1,684,900
Total for Payment to Trustee:
1,739,550
1,645,960
1,645,960
1,684,900
1,684,900
5415 General Liability Charges
18,490
18,040
18,040
0
0
Total for General Liability Charges:
18,490
18,040
18,040
0
0
5500 Assessment Administration
21,230
24,930
24,930
26,530
26,530
Total for Assessment Administration:
21,230
24,930
24,930
26,530
26,530
5501 Admin./General Overhead
86,980
132,660
132,660
140,210
140,210
Total for Admin./General Overhead:
86,980
132,660
132,660
140,210
140,210
TOTAL FOR OPERATIONS & MAINTENANCE: 1,867,250 1,821,590 1,822,590 1,852,640 1,852,640
SF - 227
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d•
un . AD 84-2 REDEMPTION FUND (807)
ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5330
Payment to Trustee
5415
General Liability Charges
5500
Assessment Administration
5501
Admin /G I O
140,000 0 0
1,440 1,080 1,080
1,500 0 0
. enera verhead
9604 Transfer Out -AD 84-2 .
2,800
7,500
7,500
4,880
4,880
TOTAL FOR OPERATIONS & MAINTENANCE:
0
104,400
104,400
65,000
65,000
145,740
112,980
112,980
69,880
69,880
TOTAL FOR DIVISION 203:
145,740
112,980
112,980
69,880
69,880
TOTAL FOR AD 84-2 REDEMPTION FUND:
145,740
112,980
112,980
69,880
69,880
0
•
SF - 228
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 84-2 REDEMPTION FUND (807)
Avision: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5330 Payment to Trustee
Debt Service Payment
140,000
0
0
0
0
Total for Payment to Trustee:
140,000
0
0
0
0
5415 General Liability Charges
1,440
1,080
1,080
0
0
Total for General Liability Charges:
1,440
1,080
1,080
0
0
5500 Assessment Administration
1,500
0
0
0
0
Total for Assessment Administration:
1,500
0
0
0
0
5501 AdminJGeneral Overhead
2,800
7,500
7,500
4,880
4,880
Total for AdminJGeneral Overhead:
2,800
7,500
7,500
4,880
4,880
9604 Transfer Out -AD 84-2
0
104,400
104,400
65,000
65,000
Total for Transfer Out -AD 84-2:
0
104,400
104,400
65,000
65,000
TOTAL FOR OPERATIONS & MAINTENANCE:
145,740 112,980 112,980 69,880 69,880
SF - 229
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: AD 84-2 SPECIAL RESERVE (808)
n: ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS .& MAINTENANCE
9807 Transfer Out -AD 84-2 Redemp. 4,500 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 4,500 0 0 0 0
TOTAL FOR DIVISION 203:
4,500
0
0
0
0
TOTAL FOR AD 84-2 SPECIAL RESERVE:
4,500
0
0
0
0
SF - 230
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
_OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 84-2 SPECIAL RESERVE (808)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Obiect Description Budget Budget Actual Rcmd Budget
9807 Transfer Out -AD 84-2 Redemp. 4,500 0 0 0 0
Total for Transfer Out -AD 84-2 Redemp.: 4,500 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
4,500 0 0 0 0
SF -231
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: AD 86-2 REDEMPTION FUND (8 10)
D: ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services
5330 Payment to Trustee
5415 General Liability Charges
5500 Assessment Administration
5501 Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
1,000
0
0
0 0
155,500
0
0
0 0
1,650
0
0
0 0
5,020
0
0
0 0
3,110
0
0
0 0
166,280
0
0
0 0
TOTAL FOR DIVISION 203:
166,280
0
0
0
0
TOTAL FOR AD 86-2 REDEMPTION FUND:
166,280
0
0
0
0
0
SF - 232
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 86-2 REDEMPTION FUND (8 10)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
_ Object Object Description
Budget
Budget Actual
Rcmd Budget
5300 Contract Services
Arbitrage Calculations
1,000
0
0
0
0
Total for Contract Services:
1,000
0
0
0
0
5330 Payment to Trustee
Trustee Payment
155,500
0
0
0
0
Total for Payment to Trustee:
155,500
0
0
0
0
5415 General Liability Charges
1,650
0
0
0
0
Total for General Liability Charges:
1,650
0
0
0
0
5500 Assessment Administration
5,020
0
0
0
0
Total for Assessment Administration:
5,020
0
0
0
0
5501 AdminJGeneral Overhead
3,110
0
0
0
0
Total for AdminJGeneral Overhead:
3,110
0
0
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
166,280 0 0 0 0
SF - 233
r]
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: AD 88-2 ETIWANDA/HIGHLND DEBT (812)
DW: ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300
Contract Services
5330
Payment to Trustee
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
9815
Transfer Out -AD 86-2 Excs Earn
TOTAL FOR OPERATIONS & MAINTENANCE:
TOTAL FOR DIVISION 203:
1,000
0
1,000
1,000
1,000
287,900
219,800
219,800
219,780
219,780
3,360
2,660
2,660
0
0
3,750
3,830
3,830
3,830
3,830
43,180
41,180
41,180
43,380
43,380
590
700
700
700
700
339,780
268,170
269,170
268,690
268,690
339,780 268,170 269,170 268,690 268,690
TOTAL FOR AD 88-2 ETIWANDA/HIGHLND 339,780 268,170 269,170 268,690 268,690
DEBT:
r�
SF - 234
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
and: AD 88-2 ETIWANDA/HIGHLND DEBT (812)
:cion: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
Arbitrage Calculations
1,000
0
1,000
1,000
1,000
Total for Contract Services:
1,000
0
1,000
1,000
1,000
5330 Payment to Trustee
287,900
219,800
219,800
219,780
219,780
Total for Payment to Trustee:
287,900
219,800
219,800
219,780
219,780
5415 General Liability Charges
3,360
2,660
2,660
0
0
Total for General Liability Charges:
3,360
2,660
2,660
0
0
5500 Assessment Administration
3,750
3,830
3,830
3,830
3,830
Total for Assessment Administration:
3,750
3,830
3,830
3,830
3,830
5501 AdminJGeneral Overhead
43,180
41,180
41,180
43,380
43,380
Total for AdminJGeneral Overhead:
43,180
41,180
41,180
43,380
43,380
9815 Transfer Out -AD 86-2 Excs Earn
590
700
700
700
700
Total for Transfer Out -AD 86-2 Excs Earn:
590
700
700
700
700
TOTAL FOR OPERATIONS & MAINTENANCE: 339,780
SF - 235
268,170 269,170 268,690
268,690
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: AD 89-I REDEMPTION (817)
�n: ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
503,860
0
0
0
5300 Contract Services
1,000
0
0
0
5330 Payment to Trustee
488,000
0
0
0 0
5415 General Liability Charges
4,990
0
0
0 0
5500 Assessment Administration
110
0
0
0 0
5501 Admin./General Overhead
9,760
0
0
0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
503,860
0 0
0
0
0 0
9
11
TOTAL FOR DIVISION 203:
503,860
0
0
0
0
TOTAL FOR AD 89-1 REDEMPTION:
503,860
0
0
0
0
SF - 236
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 89-1 REDEMPTION (817)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5300 Contract Services
Arbitrage Calculations
1,000
0
0
0
0
Total for Contract Services:
1,000
0
0
0
0
5330 Payment to Trustee
488,000
0
0
0
0
Total for Payment to Trustee:
488,000
0
0
0
0
5415 General Liability Charges
4,990
0
0
0
0
Total for General Liability Charges:
4,990
0
0
0
0
5500 Assessment Administration
110
0
0
0
0
Total for Assessment Administration:
110
0
0
0
0
5501 AdminJGeneral Overhead
9,760
0
0
0
0
Total for AdminJGeneral Overhead:
9,760
0
0
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
503,860
SF - 237
0
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: AD 91-2 REDEMPTION -DAY CANYON (83 8)
*n: ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300
Contract Services
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
0
28,000
28,000
28,000
35,000
35,000
310
310
310
0
0
1,260
1,380
1,380
1,380
1,380
1,460
1,460
1,460
3,130
3,130
31,030
31,150
31,150
39,510
39,510
TOTAL FOR DIVISION 203: 31,030 31,150 31,150 39,510 39,510
TOTAL FOR AD 91-2 REDEMPTION -DAY 31,030 31,150 31,150 39,510 .39,510
CANYON:
SF - 238
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 91-2 REDEMPTION -DAY CANYON (838)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5300 Contract Services
28,000
28,000
28,000
35,000
35,000
Total for Contract Services:
28,000
28,000
28,000
35,000
35,000
5415 General Liability Charges
310
310
310
0
0
Total for General Liability Charges:
310
310
310
0
0
5500 Assessment Administration
1,260
1,380
1,380
1,380
1,380
Total for Assessment Administration:
1,260
1,380
1,380
1,380
1,380
5501 AdminJGeneral Overhead
1,460
1,460
1,460
3,130
3,130
Total for AdminJGeneral Overhead:
1,460
1,460
1,460
3,130
3,130
TOTAL FOR OPERATIONS & MAINTENANCE: 31,030 31,150 31,150 39,510 39,510
0
0
SF - 239
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: AD 93-3 FOOTHILL MARKETPLACE (842)
0: ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300 Contract Services 3,000 0 1,000 1,000 1,000
5330 Payment to Trustee 391,770 356,500 356,500 375,800 375,800
5415 General Liability Charges 4,260 3,880 3,880 0 0
5500 Assessment Ad
mi
n Stratton
5501 Admin./General Overhead
60
31,340
60
31,790
60
31,790
60
33,350
60
33,350
TOTAL FOR OPERATIONS & MAINTENANCE:
430,430
392,230
393,230
410,210
410,210
11
0
TOTAL FOR DIVISION 203: 430,430 392,230 393,230 410,210 410 210
TOTAL FOR AD 93-3 FOOTHILL 430,430 392,230 393,230 410,210 410,210
MARKETPLACE:
SF - 240
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 93-3 FOOTHILL MARKETPLACE (842)
Division: ASSESSMENT DISTRICTS/CFDS (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
0
Arbitrage Calculations
3,000
0
1,000
1,000
1,000
Total for Contract Services:
3,000
0
1,000
1,000
1,000
5330 Payment to Trustee
391,770
356,500
356,500
375,800
375,800
Total for Payment to Trustee:
391,770
356,500
356,500
375,800
375,800
5415 General Liability Charges
4,260
3,880
3,880
0
0
Total for General Liability Charges:
4,260
3,880
3,880
0
0
5500 Assessment Administration
60
60
60
60
60
Total for Assessment Administration:
60
60
60
60
60
5501 AdminJGeneral Overhead
31,340
31,790
31,790
33,350
33,350
Total for AdminJGeneral Overhead:
31,340
31,790
31,790
33,350
33,350
TOTAL FOR OPERATIONS & MAINTENANCE: 430,430 392,230 393,230 410,210 410,210
0
SF - 241
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: PD 85 REDEMPTION FUND (848)
*n: ENGINEERWG -ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNELSERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5152
Computer Software
5200
Operations & Maintenance
5204
O & M/Facilities
5250
Vehicle Operations & Maint.
5251
Depreciation - Vehicles
5252
Emergency & Routine Veh Rent
5280
Equip Operations & Maint
5281
Depreciation - Equipment
5300
Contract Services
5304
Contract Serv/Facilities
5310
Tree Maintenance
5330
Payment to Trustee
400
Telephone Utilities
402
Water Utilities
5403
Electric Utilities
5415
General Liability Charges
5500
Assessment Ad '
278,440
297,800
297,800
321,000
321,000
0
2,500
2,500
2,500
2,500
7,600
10,400
10,400
10,400
10,400
103,170
110,400
110,400
118,980
118,980
389,210
421,100
421,100
452,880
452,880
0
3,000
3,000
0
0
88,550
106,300
106,300
106,300
106,300
21,500
20,000
20,000
20,000
20,000
29,000
29,000
5,000
5,000
5,000
3,520
6,390
6,390
6,390
6,390
4,000
4,000
4,000
4,000
4,000
10,400
11,000
11,000
11,000
11,000
4,520
21,380
21,380
21,380
21,380
15,900
17,300
17,300
17,800
17,800
19,000
19,000
19,000
19,000
19,000
8,000
10,000
10,000
10,000
10,000
669,330
670,000
670,000
670,000
670,000
4,000
4,200
4,200
4,200
4,200
103,000
108,150
108,150
108,150
108,150
105,000
110,250
110,250
128,810
128,810
13,470
14,010
14,010
0
0
inn stranon
5501 Admin./General Overhead
134,900
134,900
134,900
137,630
137,630
126,600
126,600
126,600
124,090
124,090
TOTAL FOR OPERATIONS & MAINTENANCE:
1,360,690
1,415,480
1,391,480
1,393,750
1,393,750
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
29,000
0
6,000
0
5603 Capital Outlay -Equipment
15,550
35,400
34,200
7,000
0
7,000
5650 Capital Project
53,000
50,000
0
50,000
50,000
TOTAL FOR CAPITAL OUTLAY:
97,550
85,400
40,200
57,000
57,000
TOTAL FOR DIVISION 303:
1,847,450
1,921,980
1,852,780
1,903,630
1,903,630
TOTAL FOR PD 85 REDEMPTION FUND:
1,847,450
1,921,980
1,852,780
1,903,630
1,903,630
SF - 242
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Resource Services FUND: 848
DIVISION: PD 85 Red Hill & Heritage Redemption COST CENTER: 303
SF - 243
0
is
0
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
1100
PERSONNEL - FULL TIME
Lead Maint. Worker (Heritage)
100%
100%
100%
100%
100%
Lead Maint. Worker (Red Hill)
100%
100%
100%
100%
100%
Maint. Worker (Heritage)
100%
100%
100%
100%
100%
Maint. Worker (Heritage)
100%
100%
100%
100%
100%
Maint. Worker (Red Hill)
100%
100%
100%
100%
100%
Maint. Worker (Red Hill)
100%
100%
100%
100%
100%
Maint. Worker (Red Hill)
100%
100%
100%
100%
100%
Maint. Worker (Heritage)
100%
100%
100%
100%
100%
Maint. Supervisor (Parks)
10%
10%
10%
10%
10%
1200
PERSONNEL - OVERTIME
1300
PERSONNEL - PART TIME
Seasonal Technician
100%
100%
100%
100%
100%
SF - 243
0
is
0
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: PD 85 REDEMPTION FUND (848)
*n: ENGINEERING - ADMINISTRATION (303)
SF - 244
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
5152 Computer Software
AutoCad For lrrig Redesign
0
3,000
3,000
0
Total for Computer Software:
0
3,000
3,000
0
0
0
5200 Operations & Maintenance
30 -Picnic Tables Replc Phase 1
0
10,500
10,500
10,500
10,500
Heritage: Park
35,000
36,000
36,000
38,700
38,700
Heritage: Parkways
2,550
100
100
100
Red Hill: Park
49,500
55,500
55,500
56,900
100
56,900
Red Hill: Parkways
0
100
100
100
Replc 6 Concrete Trash Cans
0
100
Rplc Tines For John Deere 2805
2,500
2,500
0
0
Warehouse Stock
0
1,600
1,600
0
0
1,500
0
0
0
0
Total for Operations & Maintenance:
88,550
106,300
106,300
106,300
106,300
5204 O & M/Facilities
Facilities
Warehouse Stock
20,000
20,000
20,000
20,000
20,000
1,500
0
0
0
0
Total for O & M/Facilities:
21,500
20,000
20,000
20,000
20,000
5250 Vehicle Operations & Maint.
Heritage
Red Hill
14,500
14,500
2,500
2,500
2,500
14,500
14,500
2,500
2,500
2,500
Total for Vehicle Operations & Maint.:
29,000
29,000
5,000
5,000
5,000
5251 Depreciation - Vehicles
3,520
6,390
6,390
6,390
6,390
Total for Depreciation - Vehicles:
3,520
6,390
6,390
6,390
6,390
5252 Emergency & Routine Veh Rent
4,000
4,000
4,000
4,000
4,000
Total for Emergency & Routine Veh Rent:
4,000
4,000
4,000
4,000
4,000
5280 Equip Operations & Maint
Heritage
4,700
5,000
5,000
5,000
5,000
Red Hill
5,700
6,000
6,000
6,000
6,000
Total for Equip Operations & Maint:
10,400
11,000
11,000
11,000
11,000
5281 Depreciation - Equipment
4,520
21,380
21,380
21,380
21,380
Total for Depreciation - Equipment:
4,520
21,380
21,380
21,380
21,380
5300 Contract Services
CCWD Man. Annual Backflow Cert
0
1,700
1,700
1,700
0 Heritage: Park
Heritage: Parkways
5,150
150
5,150
5,150
5,650
1,700
5,650
0
0
0
0
Red Hill: Park
10,450
10,450
10,450
10,450
10,450
Red Hill: Parkways
150
0
0
0
0
SF - 244
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: PD 85 REDEMPTION FUND (848)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year
2000/01
Fiscal Year
2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description Budget
Budget
Actual
Rcmd
Budget
Total for Contract Services:
15,900
17,300
17,300
17,800
17,800
5304 Contract Serv/Facilities
Facilities
17,000
17,000
17,000
17,000
17,000
Sports Pole Analysis
2,000
2,000
2,000
2,000
2,000
Total for Contract Serv/Facilities:
19,000
19,000
19,000
19,000
19,000
5310 Tree Maintenance
Heritage
4,000
5,000
5,000
5,000
5,000
Redhill
4,000
5,000
5,000
5,000
5,000
Total for Tree Maintenance:
8,000
10,000
10,000
10,000
10,000
5330 Payment to Trustee
669,330
670,000
670,000
670,000
670,000
Total for Payment to Trustee:
669,330
670,000
670,000
670,000
670,000
5400 Telephone Utilities
4,000
4,200
4,200
4,200
4,200
Total for Telephone Utilities:
4,000
4,200
4,200
4,200
4,200
5402 Water Utilities
i
Heritage
41,000
43,050
43,050
43,050
43,050 7
Redhill
62,000
65,100
65,100
65,100
65,100
Total for Water Utilities:
103,000
108,150
108,150
108,150
108,150
5403 Electric Utilities
Heritage
38,000
39,900
39,900
44,390
44,390
Red Hill
67,000
70,350
70,350
84,420
84,420
Total for Electric Utilities:
105,000
110,250
110,250
128,810
128,810
5415 General Liability Charges
13,470
14,010
14,010
0
0
Total for General Liability Charges:
13,470
14,010
14,010
0
0
5500 Assessment Administration
134,900
134,900
134,900
137,630
137,630
Total for Assessment Administration:
134,900
134,900
134,900
137,630
137,630
5501 Admin./General Overhead
126,600
126,600
126,600
124,090
124,090
Total for AdminJGeneral Overhead:
126,600
126,600
126,600
124,090
124,090
TOTAL FOR OPERATIONS & MAINTENANCE: 1,360,690 1,415,480 1,391,480 1,393,750 1,393,750
•
SF - 245
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
und: PD 85 REDEMPTION FUND (848) CAPITAL OUTLAY (5600) DETAIL
n: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
Bridge Repair @ Heritage
6,000
0
0
0
Fly Ball Netting -League Field
6,000
0
6,000
0
0
Replace 24 Concrete Trash Cans
10,000
0
0
0
Replace Lattice @ Amphitheater
5,000
0
0
0
Replace PVC Fencing
2,000
0
0
0
0
0
Total for Capital Outlay -Bldg Imprvments:
29,000
0
6,000
0
0
0
0
5603 Capital Outlay -Equipment
2 -John Deere Util Vehicle
0
16,200
16,200
0
0
3 -Canopies for John Deere Util
0
2,650
2,650
0
9-Calsense Wind Guages (10%)
1,200
1,200
0
1,200
0
Field Line Sprayer - Red Hill
0
4,750
4,750
0
1,200
Heritage: Echo Blower
500
0
0
0
Heritage: Misc Small Equip
1,750
0
0
0
Heritage: Power Trim Edger
550
0
0
0
0
0
Heritage:Blade Grinder & Sharp
750
0
0
0
Miscellaneous Equipment
0
5,000
0
5,000
0
0
0
Pressure Washer - Heritage
0
2,500
2,500
0
0
Red Hill: John Deere Gator
7,300
0
0
0
Red Hill: Misc Small Equipmnt
1,750
0
0
0
0
Red Hill:Blade Grinder & Sharp
750
0
0
0
Red Hill:John Deere Util Trail
1,000
0
0
0
0
0
Tractor Mount Fert Spread Hrtg
0
3,100
3,100
0
0
0
Walk -behind Aerifier
0
0
0
Total for Capital Outlay -Equipment:
15,550
35,400
0
34,200
5,800
5.800
7,000
7,000
5650 Capital Project 53,000 50,000 0 50,000 50,000
Total for Capital Project: 53,000 50,000 0 50,000 50,000
TOTAL FOR CAPITAL OUTLAY:
97,550 85,400 40,200 57,000 57,000
SF - 246
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
CAPITAL PROJECTS DETAIL
Funding Source: PD 85 REDEMPTION FUND (848)
Object: 5650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Project/
Adopted
Adopted Estimated
Manager
Adopted
Program Description
Budget
Budget Actual
Rcmd
Budget
1059 REHAB @ VARIOUS PARKS
20,000
0
0 0
0
1223 CALSENSE UPGRADES -RED HILL
13,000
0
0 0
0
1224 REHAB LAKE FILTRATION SYSTEM
20,000
50,000
0 50,000
50,000
TOTAL FOR PD 85 REDEMPTION FUND:
53,000
50,000
0 50,000
50,000
0
0
SF - 247
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: SOUTH ETIWANDA AD (852)
340: ENGINEERING - ADMINISTRATION (303)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5300
Contract Services
5330
Payment to Trustee
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
0
67,500
144,750
144,750
1,000
1,000
0
0
0
109,920
109,920
0
0
0
1,470
1,470
0
0
0
13,530
13,530
67,500
144,750
144,750
125,920
125,920
TOTAL FOR DIVISION 303:
67,500
144,750
144,750
125,920
125,920
TOTAL FOR SOUTH ETIWANDA AD:
67,500
144,750
144,750
125,920
125,920
SF - 248
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: SOUTH ETIWANDA AD (852)
Division: ENGINEERING - ADMINISTRATION (303)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5300 Contract Services
Assessment District Formation
67,500
144,750
144,750
1,000
1,000
Total for Contract Services:
67,500
144,750
144,750
1,000
1,000
5330 Payment to Trustee
Payment to Trustee
0
0
0
109,920
109,920
Total for Payment to Trustee:
0
0
0
109,920
109,920
5500 Assessment Administration
0
0
0
1,470
1,470
Total for Assessment Administration:
0
0
0
1,470
1,470
5501 Admin./General Overhead
0
0
0
13,530
13,530
Total for AdminJGeneral Overhead:
0
0
0
13,530
13,530
TOTAL FOR OPERATIONS & MAINTENANCE:
67,500
144,750
144,750
125,920
125,920
9
SF - 249
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F nd: AD 1999-1 REFUNDING REDEMPTION (854)
): ASSESSMENT DISTRICTS/CFOs (203)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5330
Payment to Trustee
5415
General Liability Charges
5500
Assessment Administration
5501
Admin./General Overhead
TOTAL FOR OPERATIONS & MAINTENANCE:
0
TOTAL FOR DIVISION 203:
0
511,580
496,650
511,580
511,580
0
5,590
5,590
0
0
0
5,230
5,230
5,230
5,230
0
42,220
10,040
3,000
3,000
0
564,620
517,510
519,810
519,810
0 564,620 517,510 519,810 519,810
TOTAL FOR AD 1999-1 REFUNDING 0 564,620 517,510 519,810 519,810
REDEMPTION:
SF - 250
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AD 1999-1 REFUNDING REDEMPTION (854)
0
5,590
5,590
0
)ivision: ASSESSMENT DISTRICTS/CFDS (203)
Total for General Liability Charges:
0
5,590
5,590
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description Budget
Budget
Actual
Rcmd
Budget
5330 Payment to Trustee 0
511,580
496,650
511,580
511,580
Total for Payment to Trustee: 0
511,580
496,650
511,580
511,580
5415 General Liability Charges
0
5,590
5,590
0
0
Total for General Liability Charges:
0
5,590
5,590
0
0
5500 Assessment Administration
0
5,230
5,230
5,230
5,230
Total for Assessment Administration:
0
5,230
5,230
5,230
5.230
5501 Admin./General Overhead
0
42,220
10,040
3,000
3,000
Total for AdminJGeneral Overhead:
0
42,220
10,040
3,000
3,000
TOTAL FOR OPERATIONS & MAINTENANCE:
0
564,620
517,510
519,810
519,810
0
0
SF -251
I , r :
0
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
TABLE OF CONTENTS
Budget Summary of All Funds:
Historical Expenditure Budgets for All RDA Funds
Expenditure Detail:
11,107.01
2500801
Debt Service
RDA -2
2502801
Regional Facilities
RDA -4
2504801
Sewer & Water Facilities
RDA -6
2505801
Fire Protection — RDA
RDA -8
2506801
Tax Allocation Bonds — Special
RDA -11
2620801
Administration
RDA -13
2622801
Affordable Housing
RDA -19
2624801
Civic Center Reserve
RDA -23
2626801
Foothill Blvd./I-15 Interchange
RDA -26
2628801
Historic Preservation
RDA -28
2630801
Library
RDA -31
2634801
Non -Tax Loan — Sanwa
RDA -34
2640801
RDA Infrastructure
RDA -36
2642801
Redevelop Regional Shopping
RDA -39
2644801
Regional Project Fund
RDA -42
2646801
Sports Complex Capital Improvements
RDA -45
0
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND
•
RDA -1
1999/2000
2000/01
2001/02
Fund/Description
Adopted
Budget
Adopted
Adopted
Budget
Budget
500
DEBT SERVICE
16,250,675
17,297,030
17,823,820
502
REGIONAL FACILITIES
3,383,490
3,642,710
3,639,360
504
SEWER& WATER FACILITIES
1,148,880
1,205,000
1,140,000
505
FIRE PROTECTION - RDA
6,032,750
2,774,800
2,843,660
506
TAX ALLOCATION BONDS -SPECIAL
11,235,240
11,197,440
10,232,280
620
ADMINISTRATION
4,346,420
2,411,135
2,268,140
622
AFFORDABLE HOUSING
5,154,805
5,194,695
5,188,855
624
CIVIC CENTER RESERVE
840,000
149,000
161,000
626
FOOTHILL BLVD/1- 15 INTERCHANGE
675,000
0
0
628
HISTORIC PRESERVATION
70,000
90,000
90,000
630
LIBRARY
191,000
190,000
223,700
634
NON -TAX LOAN - SANWA
387,250
387,250
356,000
640
RDA INFRASTRUCTURE
13,339,160
10,157,140
3,586,000
642
REDEVELOP REGIONAL SHOPPING
0
28,500
44,000
644
REGIONAL PROJECT FUND
110,000
55,250
1,055,250
646
SPORTS COMPLEX CAPITAL IMPRVM
311,000
86,700
74,000
TOTAL FOR REDEVELOPMENT AGENCY:
63,475,670
54,866,650
48,726,065
•
RDA -1
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
36d: DEBT SERVICE (500)
n: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5515
T/I Pass Through Payment -City
5516
T/I Pass Through Pmt -County
5520
T/I Pass Through Pmt-Fiscl Agt
5702
Long -Term Debt Repayment
5720
Misc Contributions to City
TOTAL FOR OPERATIONS & MAINTENANCE:
0
TOTAL FOR DIVISION 801:
1,485,215
1,676,370
1,695,230
2,143,020
2,143,020
861,120
891,260
843,000
872,000
872,000
7,153,540
6,967,650
6,966,415
6,186,750
6,186,750
6,162,800
7,173,750
7,277,670
8,034,050
8,034,050
588,000
588,000
588,000
588,000
588,000
16,250,675
17,297,030
17,370,315
17,823, 820
17,823,820
16,250,675 17,297,030 17,370, 315 17,823,820 17,823,820
TOTAL FOR DEBT SERVICE: 16,250,675 17,297,030 17,370,315 17,823,820 17,823,820
RDA -2
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
Fund: DEBT SERVICE (500) NT
OPERATIONS & MAIENANCE (5100) DETAIL
Avision: RDA ADMINISTRATION (801)
0
5702 Long -Term Debt Repayment
City Loan Repayment
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
7,200,000
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5515 T/I Pass Through Payment -City
350,000
Total for Long -Term Debt Repayment:
6,162,800
7,173,750
7,277,670
Payment to School Districts
1,485,215
1,676,370
1,695,230
2,143,020
2,143,020
Total for T/I Pass Through Payment -City:
1,485,215
1,676,370
1,695,230
2,143,020
2,143,020
5516 T/I Pass Through Pmt -County
Pass-Thru Agreement Expense
861,120
891,260
843,000
872,000
872,000
Total for T/I Pass Through Pmt -County:
861,120
891,260
843,000
872,000
872,000
5520 TR Pass Through Pmt-Fiscl Agt
7,153,540
6 967 650
6,966,415
6 186 750
6,186,750
Total for T/I Pass Through Pmt-Fiscl Agt:
7,153,540
6,967,650
6,966,415
6,186,750
6,186,750
5702 Long -Term Debt Repayment
City Loan Repayment
5,500,000
6,500,000
6,500,000
7,200,000
7,200,000
County Collection Fee
312,800
323,750
467,670
484,050
484,050
DDA -RA 90-013
350,000
350,000
310,000
350,000
350,000
Total for Long -Term Debt Repayment:
6,162,800
7,173,750
7,277,670
8,034,050
8,034,050
5720 Misc Contributions to City
Utvic Uenter Uround Lease 588,000 588,000 588,000 588,000 588,000
Total for Misc Contributions to City: 588,000 588,000 588,000 588,000 588,000
TOTAL FOR OPERATIONS & MAINTENANCE:
16,250,675 17,297,030 17,370,315 17,823,820 17,823,820
I
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: REGIONAL FACILITIES (502)
�i: RDA ADMINISTRATION (801)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5515 T/I Pass Through Payment -City
1,627,170
1,986,390
1,842,230
1,983,040
1,983,040
5702 Long -Term Debt Repayment
781,320
681,320
699,230
681,320
681,320
5725 Other Expenditures to City
975,000
975,000
975,000
975,000
975,000
TOTAL FOR OPERATIONS & MAINTENANCE:
3,383,490
3,642,710
3,516,460
3,639,360
3,639,360
TOTAL FOR DIVISION 801:
3,639,360
3,383,490
3,642,710
3,516,460
3,639,360
TOTAL FOR REGIONAL FACILITIES:
3,383,490
3,642,710
3,516,460
3,639,360
3,639,360
0
RDA -4
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: REGIONAL FACILITIES (502)
Avision: RDA ADMINISTRATION (801)
5725 Other Expenditures to
Payment of CFD 84-1 Loan 975,000 975,000 975,000 975,000 975,000
Total for Other Expenditures to City: 975,000 975,000 975,000 975,000 975,000
TOTAL FOR OPERATIONS & MAINTENANCE:
3,383,490 3,642,710 3,516,460 3,639,360 3,639,360
RDA -5
0
r]
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5515 T/I Pass Through Payment -City
County Mitigation Fund
1,232,690
1,572,180
1,428,020
1,548,120
1,548,120
Library Pass Thru Agreement
394,480
414,210
414,210
434,920
434,920
Total for T/I Pass Through Payment -City:
1,627,170
1,986,390
1,842,230
1,983,040
1,983,040
5702 Long -Term Debt Repayment
Payment of City Loan
100,000
0
0
0
0
Payment of Federal Loan
681,320
681,320
699,230
681,320
681,320
Total for Long -Term Debt Repayment:
781,320
681,320
699,230
681,320
681,320
5725 Other Expenditures to
Payment of CFD 84-1 Loan 975,000 975,000 975,000 975,000 975,000
Total for Other Expenditures to City: 975,000 975,000 975,000 975,000 975,000
TOTAL FOR OPERATIONS & MAINTENANCE:
3,383,490 3,642,710 3,516,460 3,639,360 3,639,360
RDA -5
0
r]
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
nd: SEWER & WATER FACILITIES (504)
RDA ADMINISTRATION (801)
TOTAL FOR DIVISION 801: 1,148,880 1,205,000 1,105,000 1,140,000 1,140,000
TOTAL FOR SEWER & WATER FACILITIES: 1,148,880 1,205,000 1,105,000 1,140,000 1,140,000
0
RDA -6
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5515 T/I Pass Through Payment -City
1,143,880
1,200,000
1,100,000
1,135,000
1,135,000
9000 Operating Transfer Out
5,000
5,000
5,000
5,000
5 000
TOTAL FOR OPERATIONS & MAINTENANCE:
1,148,880
1,205,000
1,105,000
1,140,000
1,140,000
TOTAL FOR DIVISION 801: 1,148,880 1,205,000 1,105,000 1,140,000 1,140,000
TOTAL FOR SEWER & WATER FACILITIES: 1,148,880 1,205,000 1,105,000 1,140,000 1,140,000
0
RDA -6
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
round: SEWER & WATER FACILITIES (504)
;�-ision: RDA ADMINISTRATION (801)
9000 Operating Transfer Out
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
5,000
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
5515 T/I Pass Through Payment -City
Pass Thru Agreements
1,143,880
1,200,000
1,100,000
1135 000
1,135,000
Total for T/I Pass Through Payment -City:
1,143,880
1,200,000
1,100,000
1,135,000
1,135,000
9000 Operating Transfer Out
5,000
5,000
5,000
5,000
5,000
Total for Operating Transfer Out:
TOTAL FOR OPERATIONS & MAINTENANCE:
5,000
1,148,880
5,000
1,205,000
5,000
1,105,000
5,000
1,140,000
5,000
1,140,000
0
0
L[7
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: FIRE PROTECTION - RDA (505)
): RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5152
Computer Software
5200
Operations & Maintenance
5300
Contract Services
5325
Planning, Survey & Design
5520
T/I Pass Through Pmt-Fiscl Agt
9000
Operating Transfer Out
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5602
Capital Outlay -Bldg Imprvments
5603
Capital Outlay -Equipment
5604
Capital Outlay -Vehicles
5605
Capital Outlay -Computer Equip
TOTAL FOR CAPITAL OUTLAY:
0
100
100
100
100
12,650
0
0
3,720
3,720
418,320
418,320
458,320
482,070
482,070
109,000
114,710
114,710
120,770
120,770
0
0
118,000
115,000
115,000
1,578,600
1,741,910
1,741,604
1,546,690
1,546,690
27,180
29,760
29,760
30,810
30,810
2,145,750
2,304,800
2,462,494
2,299,160
2,299,160
3,873,500
5,000
2,921,120
62,250
62,250
0
125,000
771,340
143,750
143,750
0
340,000
678,000
331,500
331,500
13,500
0
0
7,000
7,000
3,887,000
470,000
4,370,460
544,500
544,500
0
TOTAL FOR DIVISION 801:
6,032,750
2,774,800
6,832,954
2,843,660
2,843,660
.
TOTAL FOR FIRE PROTECTION - RDA:
6,032,750
2,774,800
6,832,954
2,843,660
2,843,660
0
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE PROTECTION - RDA (505)
Division: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training 0 100 100 100 100
Total for Travel, Meetings & Training: 0 100 100 100 100
5152 Computer Software
9
Uomputerbottware
5,150
0
0
2,600
2,600
GIS Software
7,500
0
0
1,120
1,120
Total for Computer Software:
12,650
0
0
3,720
3,720
5200 Operations & Maintenance
Me UlStnCt Augmentation
413,320
413,320
413,320
413,320
413,320
Ladder Truck Supplies
0
0
0
63,750
63,750
Maintenance & Operations
5,000
5,000
45,000
5,000
5,000
Total for Operations & Maintenance:
418,320
418,320
458,320
482,070
482,070
5300 Contract Services
Fire Safety 81,000
86,710
86,710
92,770
92,770
Legal 28,000
28,000
28,000
28,000
28,000
Total for Contract Services: 109,000
114,710
114,710
120,770
120,770
5325 Planning, Survey & Design
Maintenance Facility
0
0
118,000
0
0
Training Tower Design
0
0
0
15,000
15,000
Update Fire Station #3
0
0
0
100,000
100,000
Total for Planning, Survey & Design:
0
0
118,000
115,000
115,000
5520 T/I Pass Through Pmt-Fiscl Agi
Debt Service Pay to Fund 506
1,578,600
1,741,910
1,741,604
1,546,690
1,546,690
Total for T/I Pass Through Pmt-Fiscl Agt:
9000 Operating Transfer Out
1,578,600
1,741,910
1,741,604
1,546,690
1,546,690
Administrative Fee to Fund 620
27,180
29,760
29,760
30,810
30,810
Total for Operating Transfer Out:
TOTAL FOR OPERATIONS & MAINTENANCE:
27,180
2,145,750
29,760
2,304,800
29,760
2,462,494
30,810
2,299,160
30,810
2,299,160
r tt
I J
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
d: FIRE PROTECTION - RDA (505)
: RDA ADMINISTRATION (801)
Roof System -Station 174 0
Steam Cleaning Facility 100,000
Test Pit 67,000
Total for Capital Outlay -Bldg Imprvments: 3,873,500
5603 Capital Outlay -Equipment
H
47,650
5,000 2,921,120 62,250
47,650
0
62,250
Ladder Truck Equipment
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
21,250
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
0
125,000
771,340
Landscape Improvements-Sta 174
6,500
0 0
14,600 14,600
Maintenance Facility
3,700,000
5,000 2,921,120
0 0
Roof System -Station 174 0
Steam Cleaning Facility 100,000
Test Pit 67,000
Total for Capital Outlay -Bldg Imprvments: 3,873,500
5603 Capital Outlay -Equipment
H
47,650
5,000 2,921,120 62,250
47,650
0
62,250
Ladder Truck Equipment
0
0
0
21,250
21,250
Technical Reserve Tools, Sta 5
0
0
0
10,000
10,000
Tools/Equip Vehicle Maint Fac
0
125,000
771,340
112,500
112,500
Total for Capital Outlay -Equipment:
0
125,000
771,340
143,750
143,750
5604 Capital Outlay -Vehicles
Crown Victoria 0 0 0 27,500 27,500
Equipment for Fire Engine
0
40,000
28,000
0
0
Ford Explorer
0
0
0
29,000
29,000
' Lease/Purchase Truck
0
300,000
650,000
0
0
Replacement Water Tender
0
0
0
275,000
275,000
Total for Capital Outlay -Vehicles:
0
340,000
678,000
331,500
331,500
5605 Capital Outlay -Computer Equip
Computer Hardware
13,500
0
0
7,000
7,000
Total for Capital Outlay -Computer Equip:
13,500
0
0
7,000
7,000
TOTAL FOR CAPITAL OUTLAY:
3,887,000 470,000 4,370,460 544,500 544,500
RDA - 10
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: TAX ALLOCATION BONDS -SPECIAL (506)
division: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted Adopted Estimated
Manager
Adopted
Object/Description Budget Budget Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5702 Long -Term Debt Repayment 11,235,240 11,197,440 11,197,440
10,232 280
10,232,280
TOTAL FOR OPERATIONS & MAINTENANCE: 11,235,240 11,197,440 11,197,440
10,232,280
10,232,280
TOTAL FOR DIVISION 801:
11,235,240 11,197,440 11,197,440 10,232,280 10,232,280
TOTAL FOR TAX ALLOCATION 11,235,240 11,197,440 11,197,440 10,232,280 10,232,280
BONDS -SPECIAL:
0
0
RDA - I 1
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
_OPERATIONS & MAINTENANCE (5100) DETAIL
F d: TAX ALLOCATION BONDS -SPECIAL (506)
D: RDA ADMINISTRATION (801)
TOTAL FOR OPERATIONS & MAINTENANCE: 11,235,240 11,197,440 11,197,440 10,232,280 10,232,280
0
E
RDA - 12
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5702 Long -Term Debt Repayment
11,235,240
11,197,440
11,197,440
10,232,280
10,232,280
Total for Long -Term Debt Repayment:
11,235,240
11,197,440
11,197,440
10,232,280
10,232,280
TOTAL FOR OPERATIONS & MAINTENANCE: 11,235,240 11,197,440 11,197,440 10,232,280 10,232,280
0
E
RDA - 12
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: ADMINISTRATION (620)
Wision: RDA ADMINISTRATION (801)
Travel, Meetings & Training
5,000
5,000
8,000
5,000
5,000
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
3,000
Adopted
Adopted
Estimated
Manager
Adopted
_ Object/Description
Budget
Budget
Actual
Rcmd
Budget
Computer Software
0
0
0
5,800
5,800
PERSONNEL SERVICES
Membership Dues
49,190
52,270
53,270
54,650
5000 Regular Salaries
428,620
491,940
531,040
562,390
562,390
5005 Overtime Salaries
0
0
0
500
500
5030 Fringe Benefits
161,730
182,120
196,480
208,080
208,080
TOTAL FOR PERSONNEL SERVICES:
590,350
674,060
727,520
770,970
770,970
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5,000
5,000
8,000
5,000
5,000
5105
Mileage
3,000
3,000
3,000
3,000
3,000
5110
Economic Development
364,670
561,665
679,580
629,080
629,080
5152
Computer Software
0
0
0
5,800
5,800
5160
Membership Dues
49,190
52,270
53,270
54,650
54,650
5200
Operations & Maintenance
105,500
110,700
110,100
104,300
104,300
5251
Depreciation - Vehicles
10,000
0
0
0
0
5300
Contract Services
518,600
189,400
792,700
644,800
644,800
5325
Planning, Survey & Design
5,000
5,000
41,000
0
0
5416
General Liability Insurance
110
40
0
40
40
9000
Operating Transfer Out
2,650,000
800,000
820,000
50,000
50,000
TOTAL FOR OPERATIONS & MAINTENANCE:
3,711,070
1,727,075
2,507,650
1,496,670
1,496,670
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
5603 Capital Outlay -Equipment
5604 Capital Outlay -Vehicles
5605 Capital Outlay -Computer Equip
TOTAL FOR CAPITAL OUTLAY:
10,000 0 150,000 0 Ole
0
0
0
500
500
25,000
0
0
0
0
10,000
10,000
10,000
0
0
45,000
10,000
160,000
500
500
TOTAL FOR DIVISION 801:
4,346,420
2,411,135
3,395,170
2,268,140
2,268,140
TOTAL FOR ADMINISTRATION:
4,346,420
2,411,135
3,395,170
2,268,140
2,268,140
7a7_61t3
9
4
4
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Redevelopment Agency Administration
DIVISION: Various
FUND: 620
COST CENTER: 801
RDA - 14
FY 2000/01
Fiscal Year 2001/02
Adopted
Dept.
Mgr. Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth. Funded
5000
PERSONNEL - FULL TIME
City Manager
25%
25%
25% 25%
25%
RDA Manager
85%
85%
85% 85%
85%
Administrative Services Director
20%
20%
20% 20%
20%
Finance Officer
10%
10%
10% 10%
10%
Senior Accountant
80%
80%
80% 80%
80%
Senior Account Technician
90%
90%
90% 90%
90%
Account Clerk
100%
0%
0% 0%
0%
Account Technician
0%
100%
100% 100%
100%
Community Development Director
10%
10%
10% 10%
10%
Senior RDA Analyst
40%
40%
40% 40%
40%
Redevelopment Analyst
85%
85%
85% 85%
85%
Redevelopment Analyst
85%
85%
85% 85%
85%
Assistant RDA Analyst
85%
85%
85% 85%
85%
Office Specialist II
85%
85%
85% 85%
85%
Board President
100%
100%
100% 100%
100%
Board Members
400%
400%
400% 400%
4000%
Office Specialist 1
50%
50%
50% 50%
50%
Redevelopment Technician
85%
85%
85% 85%
85%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
RDA - 14
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: ADMINISTRATION (620)
Division: RDA ADMINISTRATION (801)
L
5110 Economic Development
800 - Fax on Demand Program
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
1,500
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
350,000
Business Appreciation
1,670
2,080
2,080
Calif Redev Assoc (CRA)
2,000
2,000
3,500
2,000
2,000
Int'l Council of Shopping Ctrs
2,000
2,000
3,500
2,000
2,000
Legislative Meetings
1,000
1,000
1,000
1,000
1,000
Total for Travel, Meetings & Training:
5,000
5,000
8,000
5,000
5,000
5105 Mileage
3,000
3,000
3,000
3,000
3,000
Total for Mileage:
3,000
3,000
3,000
3,000
3,000
5110 Economic Development
800 - Fax on Demand Program
1,500
1,500
1,500
1,500
1,500
800 Area Code Phone Line
2,000
1,000
1,000
1,000
1,000
Advertising/Promotions
206,000
331,085
410,000
350,000
350,000
Business Appreciation
1,670
2,080
2,080
2,080
2,080
Business Development
0
10,000
0
10,000
10,000
Buy.Com Golf Tournament
0
30,000
35,000
30,000
30,000
Economic Dev Strategy Programs
5,000
5,000
15,000
5,000
5,000
Foothill Blvd Banner Program
20,000
0
0
0
0
Foothill Blvd Marketing
0
0
0
20,000
20,000
Joint Venture Marketing
0
20,000
39,000
40,000
40,000
Miscellaneous Photography
1,500
1,500
6,500
1,500
1,500
Regional Mall Marketing
0
0
0
7,000
7,000
Small Business Dev Center
15,000
15,000
15,000
15,000
15,000
Souvenir Shop
20,000
20,000
20,000
20,000
20,000
Stadium Promotionals
7,000
7,000
7,000
7,000
7,000
Third Party Elec Certif Prog
20,000
30,000
15,000
30,000
30,000
Trade Shows/Exhibits
30,000
50,000
75,000
50,000
50,000
Visions Newsletter
35,000
37,500
37,500
39,000
39,000
Total for Economic Development:
364,670
561,665
679,580
629,080
629,080
5152 Computer Software
Computer Software and Training
Sympro Investment Software
0
0
0
0
0
0
4,500
1,300
4,500
1,300
Total for Computer Software:
0
0
0
5,800
5,800
5160 Membership Dues
American Econ Dev Council
490
500
500
500
500
Cal Assoc for Local Econ Dev
600
600
650
600
600
Calif Redevelopment Assoc
15,000
15,000
15,560
16,000
16,000
Council for Urban Econ Dev
0
400
400
400
400
Friends of the Airport
100
100
100
100
100
Inland Emp Marketing Partnrshp
30,800
32,270
32,660
33,500
33,500
Institute for a Better Calif
0
1,200
1,200
1,200
1,200
Int'l Council of Shopping Ctrs
1,000
1,000
1,000
1,000
1,000
NAIOP
700
700
700
850
850
Nat'l Assoc of Housing/RDA Off
300
300
300
300
300
RDA - 15
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: ADMINISTRATION (620)
> n: RDA ADMINISTRATION (801)
5200 Operations & Maintenance
Bank Administrative Fees
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
45,000
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description
Budget
Budget Actual
Rcmd
Budget
Urban Land Institute (ULI)
200
200 200
200
200
Total for Membership Dues:
49,190
52,270 53,270
54,650
54,650
5200 Operations & Maintenance
Bank Administrative Fees
45,000
45,000
45,000
45,000
45,000
Computer Software and Training
3,000
4,500
4,500
0
0
IDC On Line Service
500
500
500
500
500
Implementation Plan Report
12,500
0
0
0
0
MEP Accounting Software
600
600
0
0
0
Office Supplies
7,500
8,300
8,300
8,300
8,300
Postage
20,000
30,000
30,000
30,000
30,000
Printing and Publications
5,000
10,000
10,000
10,000
10,000
Public Relations Promotions
10,000
10,000
10,000
10,000
10,000
Sympro Investment Software
900
1,300
1,300
0
0
Sympro Investment Training
500
500
500
500
500
Total for Operations & Maintenance:
105,500
110,700
110,100
104,300
104,300
5251 Depreciation - Vehicles
Vehicle Maint/Depreciation
10,000
0
0
0
0
Total for Depreciation - Vehicles:
10,000
0
0
0
0
5300 Contract Services
Audit Services
25,000
14,500
14,500
14,500
14,500
Bond Trustee Services
15,000
15,000
15,000
15,000
15,000
Computer Maintenance
4,160
4,160
4,160
4,160
4,160
Costar Information Services
7,500
7,500
7,500
7,500
7,500
County Charge -Pass Thru Calc
0
300
300
300
300
ECAP Srvcs-Econ Dev/Data
12,000
14,000
12,000
14,000
14,000
Economic Strategy Update
0
0
0
100,000
100,000
Envirommntl Rpt -Regina Winery
0
0
11,000
0
0
Fixed Asset Inventory/Valuatn
25,000
0
18,500
0
0
Foothill Blvd Design Standards
0
0
120,000
0
0
Graphics Standards Manual
0
0
0
23,000
23,000
Inside Rancho Prj GIS Planning
5,000
7,000
17,000
15,000
15,000
Kaufmann & Broad Rmb. Fees
0
0
43,800
0
0
Legal Services
75,000
75,000
75,000
75,000
75,000
MIS Charge
7,840
7,840
7,840
7,840
7,840
Photocopier maintenance
0
0
0
15,000
15,000
Plan Amendment
0
0
99,000
0
0
Property Tax Consultant (50%) (1 J
0
0
0
8,400
8,400
RC Chamber of Commerce
42,100
44,100
47,100
45,100
45,100
RC Family Sports Center
300,000
0
300,000
300,000
300,000
(II Also see General Fund -Finance
Division (206)
RDA - 16
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: ADMINISTRATION (620)
Division: RDA ADMINISTRATION (80 1)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Total for Contract Services: 518,600 189,400 792,700 644,800 644,800
5325 Planning, Survey & Design
Demo/Abate Plans -Regina Winery 0 0 41,000 0 0
Foothill Banner Program Design 5,000 5,000 0 0 0
Total for Planning, Survey & Design: 5,000 5,000 41,000 0 0
5416 General Liability Insurance 110 40 0 40 40
Total for General Liability Insurance: 110 40 0 40 40
9000 Operating Transfer Out
Fund 628 -Historical Pres Fund
50,000
50,000
50,000
50,000
50,000
Fund 640 -Fiber Optic/Loop
0
750,000
750,000
0
0
Fund 640 -Hermosa Storm Drain
2,600,000
0
0
0
0
Fund 642 -Regional Mall
0
0
20,000
0
0
Total for Operating Transfer Out:
2,650,000
800,000
820,000
50,000
50,000
TOTAL FOR OPERATIONS & MAINTENANCE: 3,711,070 1,727,075 2,507,650 1,496,670 1,496,670
•
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
d: ADMINISTRATION (620)
n: RDA ADMINISTRATION (801)
5603 Capital Outlay -Equipment
Typewriter 0 0 0 500
500
Total for Capital Outlay -Equipment:
500 500
5604 Capital Outlay -Vehicles_
Vehicle 25,000 0 0 0 0
Total for Capital Outlay -Vehicles: 25,000 0 0 0 0
5605 Capital Outlay -Computer Equip
Replacement Computers 10,000 10,000 10,000 0 0
Total for Capital Outlay -Computer Equip: 10,000 10,000 10,000 0 0
0 TOTAL FOR CAPITAL OUTLAY:
0
ttt 10,000 160,000 500 500
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
Demo & Abate -Regina Winery
0
0 150,000
0 0
RC Family Sports Center
10,000
0 0
0 0
Total for Capital Outlay -Bldg Imprvments:
10,000
0 150,000
0 0
5603 Capital Outlay -Equipment
Typewriter 0 0 0 500
500
Total for Capital Outlay -Equipment:
500 500
5604 Capital Outlay -Vehicles_
Vehicle 25,000 0 0 0 0
Total for Capital Outlay -Vehicles: 25,000 0 0 0 0
5605 Capital Outlay -Computer Equip
Replacement Computers 10,000 10,000 10,000 0 0
Total for Capital Outlay -Computer Equip: 10,000 10,000 10,000 0 0
0 TOTAL FOR CAPITAL OUTLAY:
0
ttt 10,000 160,000 500 500
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: AFFORDABLE HOUSING (622)
Division: RDA ADMINISTRATION (801)
0
TOTAL FOR DIVISION 801: 5,154,805 5,194,695 7,878,695 5,1.88,855 5,188,855 0
TOTAL FOR AFFORDABLE HOUSING: 5,154,805 5,194,695 7,878,695 5,188,855 5,188,855
RDA - 19
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
117,640
126,630
126,630
98,880
98,880
5030 Fringe Benefits
43,530
44,650
44,650
36,590
36,590
TOTAL FOR PERSONNEL SERVICES:
161,170
171,280
171,280
135,470
135,470
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
1,000
1,000
1,000
1,000
1,000
5200 Operations & Maintenance
1,000
1,000
1,000
1,000
1,000
5240 Operation of Acquired Property
20,000
20,000
20,000
20,000
20,000
5300 Contract Services
25,000
30,000
25,000
25,000
25,000
5520 T/I Pass Through Pmt-Fiscl Agt
2,503,100
2,487,880
2,487,880
2,498,850
2,498,850
5700 Interest Expense
135,000
135,000
135,000
135,000
135,000
5702 Long -Term Debt Repayment
790,000
790,000
3,490,000
790,000
790,000
9000 Operating Transfer Out
799,535
799,535
799,535
799,535
799,535
TOTAL FOR OPERATIONS & MAINTENANCE:
4,274,635
4,264,415
6,959,415
4,270,385
4,270,385
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
719,000
759,000
748,000
783,000
783,000
TOTAL FOR CAPITAL OUTLAY:
719,000
759,000
748,000
783,000
783,000
TOTAL FOR DIVISION 801: 5,154,805 5,194,695 7,878,695 5,1.88,855 5,188,855 0
TOTAL FOR AFFORDABLE HOUSING: 5,154,805 5,194,695 7,878,695 5,188,855 5,188,855
RDA - 19
0
4
4
CITY OF RANCHO CUCAMONGA
FISCAL YEAR 2001/02 PERSONNEL ALLOCATION
DEPARTMENT: Redevelopment Agency Administration
DIVISION: Various
FUND: 622
COST CENTER: 801
RDA - 20
FY 2000/01
Fiscal Year
2001/02
Adopted
Dept.
Mgr.
Rcmds.
Adopted
OBJECT
#
Budget
Request
Budget
Auth.
Funded
5000
PERSONNEL - FULL TIME
RDA Manager
15%
15%
15%
15%
15%
Senior Account Technician
10%
10%
10%
10%
10%
Senior RDA Analyst
60%
60%
60%
60%
60%
Redevelopment Analyst
15%
15%
15%
15%
15%
Redevelopment Analyst
15%
15%
15%
15%
15%
Assistant RDA Analyst
15%
15%
15%
15%
15%
Office Specialist II
15%
15%
15%
15%
15%
Redevelopment Technician
15%
15%
15%
15%
15%
5005
PERSONNEL - OVERTIME
5010
PERSONNEL - PART TIME
RDA - 20
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: AFFORDABLE HOUSING (622)
Division: RDA ADMINISTRATION (801)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
1,000
1,000
1,000
1,000
1,000
Total for Travel, Meetings & Training:
1,000
1,000
1,000
1,000
1,000
5200 Operations & Maintenance
1,000
1,000
1,000
1,000
1,000
Total for Operations & Maintenance:
1,000
1,000
1,000
1,000
1,000
5240 Operation of Acquired Property
20,000
20,000
20,000
20,000
20,000
Total for Operation of Acquired Property:
20,000
20,000
20,000
20,000
20,000
5300 Contract Services
Housing Production Plan
0
5,000
0
0
0
Legal Services
25,000
25,000
25,000
25,000
25,000
Total for Contract Services:
25,000
30,000
25,000
25,000
25,000
5520 T/I Pass Through Pmt-Fiscl Agt
Tax Increment Transfer Out
2,503,100
2,487,880
2,487,880
2,498,850
2,498,850
Total for T/I Pass Through Pmt-Fiscl Agt:
2,503,100
2,487,880
2,487,880
2,498,850
2,498,850
5700 Interest Expense
135,000
135,000
135,000
135,000
135,000
Total for Interest Expense:
135,000
135,000
135,000
135,000
135,000
5702 Long -Term Debt Repayment
N.T. Pledge Agree(O.Jones)
0
0
2,700,000
0
0
SCHDC Loan/Pledge Agrreement
790,000
790,000
790,000
790,000
790,000
Total for Long -Term Debt Repayment:
790,000
790,000
3,490,000
790,000
790,000
9000 Operating Transfer Out
Promissory Note -Villa Pacifica
413,685
413,685
413,685
413,685
413,685
Transfer to Fund 634
385,850
385,850
385,850
385,850
385,850
Total for Operating Transfer Out:
799,535
799,535
799,535
799,535
799,535
TOTAL FOR OPERATIONS & MAINTENANCE: 4,274,635 4,264,415
RDA -21
6,959,415 4,270,385 4,270,385
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
d: AFFORDABLE HOUSING (622)
D : RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
CHFA Reserve Payment
337,000
337,000
337,000
337,000
337,000
First Time Homebuyer Program
300,000
300,000
300,000
300,000
300,000
Habitat for Humanity
82,000
122,000
111,000
146,000
146,000
Total for Capital Outlay -Bldg Imprvments:
719,000
759,000
748,000
783,000
783,000
0
0
TOTAL FOR CAPITAL OUTLAY: 719,000 759,000 748,000 783,000 783,000
RDA - 22
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: CMC CENTER RESERVE (624)
Division: RDA ADMINISTRATION (801)
840,000
149,000
948,510
161,000
161,000
TOTAL FOR CIVIC CENTER RESERVE:
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
161,000
Adopted
Adopted
Estimated
Manager
Adopted
Obiect/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
0
0
4,930
0
0
5300 Contract Services
0
0
7,980
0
0
5325 Planning, Survey & Design
0
0
215,000
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
0
227,910
0
0
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
840,000
109,000
680,600
161,000
161,000
5605 Capital Outlay -Computer Equip
0
40,000
40,000
0
0
TOTAL FOR CAPITAL OUTLAY:
840,000
149,000
720,600
161,000
161,000
TOTAL FOR DIVISION 801:
840,000
149,000
948,510
161,000
161,000
TOTAL FOR CIVIC CENTER RESERVE:
840,000
149,000
948,510
161,000
161,000
0
0
RDA - 23
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
#nd: CIVIC CENTER RESERVE (624)
n: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5200 Operations & Maintenance 0 0 4,930 0 0
Total for Operations & Maintenance: 0 0 4,930 0 0
5300 Contract Services 0 0 7,980 0 0
Total for Contract Services: 0 0 7,980 0 0
5325 Planning, Survey & Design
PD Third Floor/Seismic Retroft 0 0 215,000 0 0
Total for Planning, Survey & Design: 0 0' 215,000 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 0 0 227,910 0 0
Is
RDA - 24
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
_CAPITAL OUTLAY (5600) DETAIL
Fund: CIVIC CENTER RESERVE (624)
Division: RDA ADMINISTRATION (801)
0
TOTAL FOR CAPITAL OUTLAY: 840,000 149,000 720,600 161,000 161,000
0
i
RDA - 25
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
ADA Modifications
88,000
88,000
88,000
40,000
40,000
Carpet Replacement
330,000
0
279,770
0
0
Fuel Storage Tank
0
9,000
9,000
9,000
9,000
Slurry Seal North Parking Lot
0
12,000
12,000
12,000
12,000
Waterproofing, painting
422,000
0
291,830
100,000
100,000
Total for Capital Outlay -Bldg Imprvments:
840,000
109,000
680,600
161,000
161,000
5605 Capital Outlay -Computer Equip
Firewall Network Router
0
40,000
40,000
0
0
Total for Capital Outlay -Computer Equip:
0
40,000
40,000
0
0
TOTAL FOR CAPITAL OUTLAY: 840,000 149,000 720,600 161,000 161,000
0
i
RDA - 25
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: FOOTHILL BLVD/I-15 INTERCHANGE (626)
RDA ADMINISTRATION (SOl)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
9000 Operating Transfer Out 675,000 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 675,000 0 0 0 0
0
0
TOTAL FOR DIVISION 801: 675,000 0 0 0 0
TOTAL FOR FOOTHILL BLVD/I-15 675,000 0 0 0 0
INTERCHANGE:
RDA - 26
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FOOTHILL BLVD/1-15 INTERCHANGE (626)
Division: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
9000 Operating Transfer Out
Transfer to Fund 640 675,000 0 0 0 0
Total for Operating Transfer Out: 675,000 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 675,000 0 0 0 0
0
1:7�7:dY1
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: HISTORIC PRESERVATION (628)
)i: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
20,000
40,000
40,000
40,000
40,000
5300 Contract Services
0
0
20,000
0
0
5325 Planning, Survey & Design
0
0
41,130
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
20,000
40,000
101,130
40,000
40,000
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
50,000
50,000
0
50,000
50,000
TOTAL FOR CAPITAL OUTLAY:
50,000
50,000
0
50,000
50,000
TOTAL FOR DIVISION 801:
70,000
90,000
101,130
90,000
90,000
TOTAL FOR HISTORIC PRESERVATION:
70,000
90,000
101,130
90,000
90,000
9
0
RDA - 28
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
_OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: HISTORIC PRESERVATION (628)
Division: RDA ADMINISTRATION (801)
5300 Contract Services
hnvironmental Report 0 0 20,000 0 0
Total for Contract Services: 0 0 20,000 0 0
5325 Planning, Survey & Design
Demolition & Abatement Plans 0 0 41,130 0 0
Total for Planning, Survey & Design: 0 0 41,130 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 20,000 40,000 101,130 40,000 40,000
0
0
RDA - 29
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
Regina Winery Maintenance
20,000
40,000
40,000
40,000
40,000
Total for Operations & Maintenance:
20,000
40,000
40,000
40,000
40,000
5300 Contract Services
hnvironmental Report 0 0 20,000 0 0
Total for Contract Services: 0 0 20,000 0 0
5325 Planning, Survey & Design
Demolition & Abatement Plans 0 0 41,130 0 0
Total for Planning, Survey & Design: 0 0 41,130 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 20,000 40,000 101,130 40,000 40,000
0
0
RDA - 29
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
_CAPITAL OUTLAY (5600) DETAIL
d: HISTORIC PRESERVATION (628)
Di: RDA ADMINISTRATION (801)
TOTAL FOR CAPITAL OUTLAY: 50,000 50,000 0 50,000 50,000
0
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description
Budget
Budget Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
Project Area Historic Preserve
50,000
50,000 0
50,000
50,000
Total for Capital Outlay -Bldg Imprvments:
50,000
50,000 0
50,000
50,000
TOTAL FOR CAPITAL OUTLAY: 50,000 50,000 0 50,000 50,000
0
0
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: LIBRARY (630)
Avision: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5207 O & M/Capital Supplies
5300 Contract Services
5325 Planning, Survey & Design
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
5605 Capital Outlay -Computer Equip
5606 Capital Outlay-Fum/Fixtures
TOTAL FOR CAPITAL OUTLAY:
140,000
145,000
139,100
178,700
178,700
24,000
0
16,560
0
0
10,000
0
0
0
0
174,000
145,000
155,660
178,700
178,700
12,000
40,000
40,000
35,000
35,000
0
0
79,000
0
0
5,000
5,000
7,900
10,000
10,000
17,000
45,000
126,900
45,000
45,000
TOTAL FOR DIVISION 801:
191,000
190,000
282,560
223,700
223,700
TOTAL FOR LIBRARY:
191,000
190,000
282,560
223,700
223,700
0
RDA - 31
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Eund:
LIBRARY (630)
: RDA ADMINISTRATION (801)
Contract Services
master Flan Update 24,000 0 16,560 0 0
Total for Contract Services: 24,000 0 16,560 0 0
5325 Planning, Survey & Design
Donor Wall Design 1010W 0 0 0 0
Total for Planning, Survey & Design: 10,000 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
174,000 145,000 155,660 178,700 178,700
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5207 O & M/Capital Supplies
Biography Resource Center
0
0
0
6,500
6,500
Book Materials
20,000
100,000
94,100
80,000
80,000
Business Magazine Index
12,500
12,500
12,500
0
0
Children's Update Fund
0
0
0
10,000
10,000
Dynix System Upgrades
70,000
0
0
0
0
Health Reference Center
8,500
8,500
8,500
0
0
History Resource Center
0
0
0
12,000
12,000
Literacy Resource Center
0
0
0
17,000
17,000
Magazine Index
9,500
9,500
9,500
30,000
30,000
Mitchell's subscription CD ROM
0
0
0
6,000
6,000
Net Library - Electronic Books
0
0
0
7,500
7,500
PC Computer Upgrades
5,000
0
0
0
0
Poem Finder/Novel List
0
0
0
1,700
1,700
Reference Center Magazines
14,500
14,500
14,500
0
0
Reference USA
0
0
0
6,500
6,500
Social Issues and Resources
0
0
0
1,500
1,500
Total for O & M/Capital Supplies:
140,000
145,000
139,100
178,700
178,700
Contract Services
master Flan Update 24,000 0 16,560 0 0
Total for Contract Services: 24,000 0 16,560 0 0
5325 Planning, Survey & Design
Donor Wall Design 1010W 0 0 0 0
Total for Planning, Survey & Design: 10,000 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
174,000 145,000 155,660 178,700 178,700
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: LIBRARY (630)•
Division: RDA ADMINISTRATION (801)
0
18,000
18,000
0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted Estimated
Manager Adapted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
35,000
5605 Capital Outlay -Computer Equip
ADA Retrofits
12,000
12,000 12,000
0 0
Donor Wall Installation
t ttt � ttt
Replace Entry Carpet
0
18,000
18,000
0
0
Staff Area Remodel
0
0
0
35,000
35,000
Total for Capital Outlay -Bldg Imprvments:
12,000
40,000
40,000
35,000
35,000
5605 Capital Outlay -Computer Equip
Client Server
0
0
75,000
0
0
Computer terminals
0
0
4,000
0
0
Total for Capital Outlay -Computer Equip:
0
0
79,000
0
0
5606 Capital Outlay-Furn/Fixtures
Misc Replacement Furnishings
5,000
5,000
7,900
10,000
10,000
Total for Capital Outlay-Furn/Fixtures:
5,000
5,000
7,900
10,000
10,000
TOTAL FOR CAPITAL OUTLAY: 17,000 45,000 126,900 45,000 45,000
•
is
11107:wig]
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
od: NON -TAX LOAN - SANWA (634)
n: RDA ADMINISTRATION (801)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5700 Interest Expense
200,640
200,640
126,980
106,000
106,000
5702 Long -Term Debt Repayment
186,610
186,610
225,860
250,000
250,000
TOTAL FOR OPERATIONS & MAINTENANCE:
387,250
387,250
352,840
356,000
356,000
is
TOTAL FOR DIVISION 801:
387,250 387,250 352,840 356,000 356,000
TOTAL FOR NON -TAX LOAN - SANWA: 387,250 387,250 352,840 356,000 356,000
RDA - 34
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: NON -TAX LOAN - SANWA (634)
Division: RDA ADMINISTRATION (801)
Object Object Description
1999/2000
Adopted
Budget
Fiscal Year 2000/01
Adopted Estimated
Budget Actual
Fiscal Year 2001/02
Manager Adopted
Rcmd Budget
5700 Interest Expense
Sanwa Loan
200,640
200,640
126,980
106,000
106,000
Total for Interest Expense:
5702 Long -Term Debt Repayment
200,640
200,640
126,980
106,000
106,000
Sanwa Loan
186,610
186,610
225,860
250,000
250,000
Total for Long -Term Debt Repayment:
186,610
186,610
225,860
250,000
250,000
TOTAL FOR OPERATIONS & MAINTENANCE:
387,250 387,250 352,840 356,000 356,000
0
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: RDA INFRASTRUCTURE (640)
TOTAL FOR DIVISION 801:
13,339,160
10,157,140
9,922,360
3,586,000
Di :RDA ADMINISTRATION (801)
0
TOTAL FOR RDA INFRASTRUCTURE:
13,339,160
10,157,140
9,922,360
3,586,000
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
5000 Regular Salaries
98,320
0
0
0
0
5030 Fringe Benefits
36,050
0
0
0
0
TOTAL FOR PERSONNEL SERVICES:
134,370
0
0
0
0
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
5,000
1,000
1,000
1,000
1,000
5300 Contract Services
143,000
143,000
143,000
0
0
5325 Planning, Survey & Design
462,520
724,520
501,740
50,000
50,000
TOTAL FOR OPERATIONS & MAINTENANCE:
610,520
868,520
645,740
51,000
51,000
CAPITAL OUTLAY
5600 Capital Outlay -Land
568,000
568,000
50,000
200,000
200,000
5602 Capital Outlay -Bldg Imprvments
12,026,270
8,680,620
9,186,620
2,857,000
2,857,000
5605 Capital Outlay -Computer Equip
0
40,000
40,000
478,000
478,000
TOTAL FOR CAPITAL OUTLAY:
12,594,270
9,288,620
9,276,620
3,535,000
3,535,000
L
RDA - 36
TOTAL FOR DIVISION 801:
13,339,160
10,157,140
9,922,360
3,586,000
3,586,000
0
TOTAL FOR RDA INFRASTRUCTURE:
13,339,160
10,157,140
9,922,360
3,586,000
3,586,000
L
RDA - 36
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: RDA INFRASTRUCTURE (640)
Division: RDA ADMINISTRATION (801)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5200 Operations & Maintenance
5,000
1,000
1,000
1,000
1,000
Total for Operations & Maintenance:
5,000
1,000
1,000
1,000
1,000
5300 Contract Services
Lower Hermosa St (4th to RR)
143,000
143,000
143,000
0
0
Total for Contract Services:
143,000
143,000
143,000
0
0
5325 Planning, Survey & Design
Corporate Yard
50,000
0
0
0
0
Foothill Bl Fiber Optics
0
100,000
100,000
0
0
Foothill Median-Vineyard/Haven
82,740
82,740
119,740
0
0
Foothill -Hermosa Storm Drain
0
212,000
212,000
0
0
Lower Hermosa St (4th to RR)
329,780
329,780
70,000
50,000
50,000
• Total for Planning, Survey & Design:
462,520
724,520
501,740
50,000
50,000
TOTAL FOR OPERATIONS & MAINTENANCE:
610,520 868,520 645,740 51,000 51,000
RDA - 37
0
0
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
d: RDA INFRASTRUCTURE (640)
: RDA ADMINISTRATION (801)
0 TOTAL FOR CAPITAL OUTLAY:
12,594,270 9,288,620 9,276,620 3,535,000 3,535,000
RDA - 38
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
5600 Capital Outlay -Land
Lower Hermosa Storm Drain
568,000
568,000
50,000
200,000
200,000
Total for Capital Outlay -Land:
568,000
568,000
50,000
200,000
200,000
5602 Capital Outlay -Bldg Imprvments
ADA Modifications -Corp Yard
30,000
30,000
30,000
0
0
Corporate Yard - Phase 2
450,000
450,000
450,000
0
0
Foothill BI Fiber Optics
0
750,000
0
750,000
750,000
Foothill Boulevard Median
2,106,270
1,010,620
2,106,620
0
0
Fourth St Storrs Drain
400,000
0
0
0
0
Hermosa/Foothill Storm Drain
2,600,000
0
0
0
0
Lower Hermosa Storm Drain
6,440,000
6,440,000
6,600,000
2,107,000
2,107,000
Total for Capital Outlay -Bldg Imprvments:
12,026,270
8,680,620
9,186,620
2,857,000
2,857,000
5605 Capital Outlay -Computer Equip
Computer Equipment -Fiber Optic
0
0
0
478,000
478,000
Firewall Network Router
0
40,000
40,000
0
0
Total for Capital Outlay -Computer Equip:
0
an Mn
en rM
ens non
ncc nnn
0 TOTAL FOR CAPITAL OUTLAY:
12,594,270 9,288,620 9,276,620 3,535,000 3,535,000
RDA - 38
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: REDEVELOP REGIONAL SHOPPING (642)
Division: RDA ADMINISTRATION (801)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
0
1,500
1,500
2,000
2,000
5200 Operations & Maintenance
0
2,000
2,000
2,000
2,000
5240 Operation of Acquired Property
0
0
5,220
0
0
5300 Contract Services
0
25,000
127,780
40,000
40,000
TOTAL FOR OPERATIONS & MAINTENANCE:
0
28,500
136,500
44,000
44,000
CAPITAL OUTLAY
5600 Capital Outlay -Land
0
0
13,900,000
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
13,900,000
0
0
TOTAL FOR DIVISION 801: 0 28,500 14,036,500 44,000 44,000
TOTAL FOR REDEVELOP REGIONAL 0 28,500 14,036,500 44,000 44,000
SHOPPING:
0
RDA - 39
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: REDEVELOP REGIONAL SHOPPING (642)
: RDA ADMINISTRATION (801)
5300 Contract Services
tsnvlronmental Report
1 IXI t
Preparation of Legal Documents
Professional Services
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
40,000
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
1,500
1,500
2,000
2,000
Total for Travel, Meetings & Training:
0
1,500
1,500
2,000
2,000
5200 Operations & Maintenance
0
2,000
2,000
2,000
2,000
Total for Operations & Maintenance:
0
2,000
2,000
2,000
2,000
5240 Operation of Acquired Property
0
0
5,220
0
0
Total for Operation of Acquired Property:
0
0
5,220
0
0
5300 Contract Services
tsnvlronmental Report
1 IXI t
Preparation of Legal Documents
Professional Services
0
0
25,000
0
40,000
67,780
40,000
0
40,000
0
Total for Contract Services:
0
25,000
127,780
40,000
40,000
TOTAL FOR OPERATIONS & MAINTENANCE -
9
0 28,500 136,500 44,000 44,000
RDA - 40
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: REDEVELOP REGIONAL SHOPPING (642)
Division: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5600 Capital Outlay -Land 0 0 13,900,000 0 0
Total for Capital Outlay -Land: 0 0 13,900,000 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 13,900,000
0
RDA -41
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
ad: REGIONAL PROJECT FUND (644)
n: RDA ADMINISTRATION (801)
TOTAL FOR DIVISION 801:
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
1,055,250
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
0
250
250
250
250
5200 Operations & Maintenance
10,000
5,000
5,000
5,000
5,000
5702 Long -Term Debt Repayment
100,000
50,000
50,000
50,000
50,000
TOTAL FOR OPERATIONS & MAINTENANCE:
110,00
55,250
55,250
55,250
55,250
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
0
0
0
1,000 000
1,000,000
TOTAL FOR CAPITAL OUTLAY:
0
0
0
1,000,000
1,000,000
TOTAL FOR DIVISION 801:
110,000
55,250
55,250
1,055,250
1,055,250
TOTAL FOR REGIONAL PROJECT FUND:
110,000
55,250
55,250
1,055,250
1,055,250
0
RDA - 42
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: REGIONAL PROJECT FUND (644)
Division: RDA ADMIMSTRATION (801)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
Bureau of Reclamation
0
250
250
250
250
Total for Travel, Meetings & Training:
0
250
250
250
250
5200 Operations & Maintenance
10,000
5,000
5,000
5,000
5,000
Total for Operations & Maintenance:
10,000
5,000
5,000
5,000
5,000
5702 Long -Term Debt Repayment
City Loan Repayment
100,000
50,000
50,000
50,000
50,000
Total for Long -Term Debt Repayment:
100,000
50,000
50,000
50,000
50,000
TOTAL FOR OPERATIONS & MAINTENANCE:
110,000
55,250
55,250
55,250
55,250
0
0
RDA - 43
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
F d: REGIONAL PROJECT FUND (644)
D: RDA ADMINISTRATION (801)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object ObiectDescription Budget Budget Actual Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
Etiwanda Flood Control Channel 0 0 0 1,000,000 1,000,000
Total for Capital Outlay -Bldg Imprvments: 0 0 0 1,000,000 1,000,000
TOTAL FOR CAPITAL OUTLAY:
0
0 0 0 1,000,000 1,000,000
RDA - 44
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: SPORTS COMPLEX CAPITAL IMPRVMT (646)
)ivision: RDA ADMINISTRATION (801)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5200 Operations & Maintenance
11900
1,500
1,500
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
1,900
1,500
1,500
0
0
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
299,400
85,200
75,220
74,000
74,000
5603 Capital Outlay -Equipment
5,900
0
0
0
0
5605 Capital Outlay -Computer Equip
3,800
0
0
0
0
TOTAL FOR CAPITAL OUTLAY:
309,100
85,200
75,220
74,000
74,000
TOTAL FOR DIVISION 801: 311,000 86,700 76,720 74,000 74,000
TOTAL FOR SPORTS COMPLEX CAPITAL 311,000 86,700 76,720 74,000 74,000
IMPRVMT:
1]
9
RDA - 45
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
F d: SPORTS COMPLEX CAPITAL IMPRVMT (646)
D: RDA ADMINISTRATION (801)
TOTAL FOR OPERATIONS & MAINTENANCE:
0
1,900 1,500 1,500 0 0
0
RDA - 46
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
5200 Operations & Maintenance
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager Adopted
Rcmd Budget
Desk Jet Printer
Replacement Lighting -Canopies
400
1,500
0
1,500
0
1,500
0 0
0 0
Total for Operations & Maintenance:
1,900
1,500
1,500
0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
0
1,900 1,500 1,500 0 0
0
RDA - 46
RANCHO CUCAMONGA REDEVELOPMENT AGENCY
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: SPORTS COMPLEX CAPITAL IMPRVMT (646)
Division: RDA ADMINISTRATION (801)
5603 Capital Outlay -Equipment
Replacement Batting Cage
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0 0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5602 Capital Outlay -Bldg Imprvments
0
0
0 0
Total for Capital Outlay -Computer Equip:
3,800
ADA Retrofits
70,000
70,000
0
70,000
70,000
Complete Flush Valve Retrofit
10,000
0
0
0
0
Divider Wall in Maint Shop
13,000
10,000
0
0
0
Exterior Painting/Stucco Rpr
50,000
0
74,020
0
0
Fixture Relamping
1,500
0
0
0
0
HVAC Modification
14,000
0
0
0
0
Interior Wall Coatings
600
0
0
0
0
Resurfacing Roller Hockey Lot
8,000
0
0
0
0
Roof/Gutter Repair
1,100
0
0
0
0
Sanitary PCC Under Bleachers
25,000
0
0
0
0
Sanitary Sewer/Interceptor
1,200
1,200
1,200
0
0
Seat Replacements
5,000
4,000
0
4,000
4,000
Security System Upgrade
100,000
0
0
0
0
Total for Capital Outlay -Bldg Imprvments:
299,400
85,200
75,220
74,000
74,000
5603 Capital Outlay -Equipment
Replacement Batting Cage
5,900
0
0
0 0
Total for Capital Outlay -Equipment:
5,900
0
0
0 0
5605 Capital Outlay -Computer Equip
Computer
3,800
0
0
0 0
Total for Capital Outlay -Computer Equip:
3,800
0
0
0 0
TOTAL FOR CAPITAL OUTLAY: 309,100 85,200 75,220 74,000 74,000
MIMI"
FIRE DISTRICT
I* RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
TABLE OF CONTENTS
Budget Summary of All Funds:
Historical Revenue & Expenditure Budgets for All Fire District Funds FD -1
General Fund Summaries:
Historical General Fund Revenue Budget FD -2
Historical General Fund Expenditure Budget by Department FD -4
General Fund Expenditure Detail:
3281501
Fire Administration
FD -5
3281502
Communications
FD -11
3281503
Emergency Preparedness
FD -15
3281504
Emergency Medical Services
FD -17
3281505
Finance Services
FD -22
3281506
Fire Safety
FD -25
3281507
Hazardous Materials
FD -30
3281508
Operations
FD -35
3281509
Paramedic Program
FD -39
3281510
Personnel Development
FD -43
3281511
Fire Station #171
FD -47
3281512
Fire Station #172
FD -52
3281513
Fire Station #173
FD -56
3281514
Fire Station #174
FD -61
3281515
Fire Station #175
FD -66
3281525
Community Relations
FD -71
3281526
Technical Rescue
FD -73
3281527
Vehicle/Equipment Maintenance
FD -77
3281530
RDA Reimbursable Programs
FD -83
r�
U
Mello Roos District 85-1 Summaries: 0
Historical Mello Roos 85-1 Revenue Budget FD -85
Historical Mello Roos 85-1 Expenditure Budget by Department FD -86
Mello Roos District 85-1 Expenditure Detail:
3282501
Fire Administration
FD -87
3282506
Fire Safety
FD -90
3282508
Operations
FD -92
3282510
Personnel Development
FD -94
3282514
Fire Station #174
FD -96
3282515
Fire Station #175
FD -98
3282527
Vehicle/Equipment Maintenance
FD -100
Mello Roos District 88-1 Summaries:
Historical Mello Roos 88-1 Revenue Budget FD -102
Historical Mello Roos 88-1 Expenditure Budget by Department FD -103
Mello Roos District 88-1 Expenditure Detail:
3283501 Fire Administration FD -104
3283516 Fire Station FD -106
11
0
F__1
ILJ
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 BUDGET
SUMMARY OF BUDGETED REVENUE AND EXPENDITURES
SII --101m
1998/99
1999/2000
2000/2001
2001/2002
ADOPTED
ADOPTED
ADOPTED
ADOPTED
DESCRIPTION
BUDGET
BUDGET
BUDGET
BUDGET
I. Revenues
General Fund
7,582,730
7,886,090
8,685,000
9,583,240
Mello Roos 85-1
2,686,370
2,609,520
2,803,500
3,000,410
Mello Roos 88-1
319,970
427,780
1,928,500
2,093,800
Total Revenues
10,589,070
10,923,390
13,417,000
14,677,450
II. Expenditures
General Fund
7,582,730
7,886,090
8,685,000
9,583,240
Mello Roos 85-1
2,686,370
2,609,520
2,803,500
3,000,410
Mello Roos 88-1
15,000
7,000
1,928,500
2,093,800
Total Expenditures 1
10,284,100
10,502,610
13,417,000
14,677,450
SII --101m
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
.Fund: FIRE FUND (28 1)
Budgeted
Budgeted
Revenue
Revenue
Revenue
Estimate
Fiscal Year
Object/Description
Fiscal Year
Fiscal Year
1999/2000
2000/01
2001/02
TAXES (4100)
4101 Property Taxes-CY Secured
4,998,510
5,194,420
5,264,820
4102 Property Taxes-CY Unsecured
252,700
374,040
378,950
4103 Property Taxes-PY Sec & Unsec
288,600
278,940
277,000
4104 Property Taxes-Penalties/Int.
11,830
101,740
106,650
4105 Property Taxes -Supplemental
61,130
98,490
90,920
4106 Property Taxes -Unitary
226,640
308,150
336,440
4110 Homeowners Exemption
148,120
145,380
148,780
TOTAL FOR TAXES:
5,987,530
6,501,160
6,603,560
FINES & FORFEITURES (4300)
4302 Parking Citations
1,000
500
1,000
4313 Other Fines & Forfeitures
1,000
1,000
1,000
TOTAL FOR FINES & FORFEITURES:
2,000
1,500
2,000
USE OF MONEY & PROPERTY (4400)
4401 Interest Earnings
143,980
157,560
255,040
4419 Other Rental/Lease Income
Mobile Transmitter Site Rent
12,000
25,740
25,450
Rental Income
31,260
32,320
33,670
Subtotal for: 4419
43,260
58,060
59,120
4440 Sale of Fixed Assets
2,000
2,000
2,000
TOTAL FOR USE OF MONEY & PROPERTY:
189,240
217,620
316,160
CHARGES FOR SERVICES (4500)
4501 Plan Check Fees
Annual Permit Program
70,000
70,000
70,000
FSD Fees
190,680
177,030
238,780
Subtotal for: 4501
260,680
247,030
308,780
4545 First Responder Agreement
266,870
292,000
345,000
TOTAL FOR CHARGES FOR SERVICES:
527,550
539,030
653,780
OTHER (4900)
4901 Other Revenue
5,000
5,000
5,000
4911 Reimbursement from Other Funds
Reimb From City-Communctn Tech
29,700
34,790
31,830
Reimb From RDA -Fire Plans Exmn
85,750
86,640
92,770
Subtotal for: 4911
115,450
121,430
124,600
4913 State Mandated Reimbursement
0
0
20,000
TOTAL FOR OTHER:
120,450
126,430
149,600
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
Fund: FIRE FUND (28 1)
Budgeted Budgeted Revenue
Revenue Revenue Estimate
Fiscal Year Fiscal Year Fiscal Year
Obiect/Descriotion 1999/2000 2000/01 2001/02
TRANSFER IN (8000)
8001 Transfer In -General Fund
Transfer In From City
646,000
885,940
1,136,770
8505 TransferIn-FireProtectn RDA
413,320
413,320
413,320
8999 Transfer In From Fund Balance
0
0
308,050
TOTAL FOR TRANSFER IN:
1,059,320
1,299,260
1,858,140
TOTAL FOR FIRE FUND:7,886,090 8,685,000 9,583,240
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND, DIVISION
CJ
281 FIRE FUND
501 FIRE ADMINISTRATION
502 COMMUNICATIONS
503 EMERGENCY PREPAREDNESS
504 EMERGENCY MEDICAL SERVICES
505 FINANCE SERVICES
506 FIRE SAFETY
507 HAZARDOUS MATERIALS
508 OPERATIONS
509 PARAMEDIC PROGRAM
510 PERSONNEL DEVELOPMENT
511 FIRE STATION #171
512 FIRE STATION #172
513 FIRE STATION #173
514 FIRE STATION #174
515 FIRE STATION #175
525 COMMUNITY RELATIONS
526 TECHNICAL RESCUE
527 VEHICLE/EQUIPMENT MAINTENANCE
530 RDA REIMBURSABLE PROGRAMS
1,664,410
1999/2000
2000/01
2001/02
Fund/Description
Adopted
Adopted
Adopted
Division/Description
Bndget
Budget
Budget
CJ
281 FIRE FUND
501 FIRE ADMINISTRATION
502 COMMUNICATIONS
503 EMERGENCY PREPAREDNESS
504 EMERGENCY MEDICAL SERVICES
505 FINANCE SERVICES
506 FIRE SAFETY
507 HAZARDOUS MATERIALS
508 OPERATIONS
509 PARAMEDIC PROGRAM
510 PERSONNEL DEVELOPMENT
511 FIRE STATION #171
512 FIRE STATION #172
513 FIRE STATION #173
514 FIRE STATION #174
515 FIRE STATION #175
525 COMMUNITY RELATIONS
526 TECHNICAL RESCUE
527 VEHICLE/EQUIPMENT MAINTENANCE
530 RDA REIMBURSABLE PROGRAMS
1,664,410
1,696,880
1,782,600
69,130
76,850
127,060
3,750
20,750
21,250
54,310
111,280
108,430
137,960
150,910
161,080
460,400
424,570
436,520
72,240
76,790
91,540
48,680
56,300
301,450
266,870
316,180
352,960
53,100
51,120
57,650
913,930
1,014,590
1,049,580
916,520
1,015,290
1,053, 310
924,790
1,011,380
1,105,730
987,890
1,039,900
1,130,860
803,920
1,021,400
1,132,090
9,000
9,570
8,870
6,700
28,930
33,740
411,200
475,670
535,750
81,290
86,640
92,770
TOTAL FOR FIRE FUND: 7,886,090 8,685,000 9,583,240
I •
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FIRE FUND (28 1)
)i9: FIRE ADMINISTRATION (501)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
570,930
642,900
623,090
692,820
692,820
5005
Overtime Salaries
68,070
58,790
55,020
58,650
58,650
5030
Fringe Benefits
123,290
0
0
0
0
5031
Medical Insurance
0
54,300
55,440
61,520
61,520
5032
Medical Insurance- Retired
73,500
78,840
86,050
105,240
105,240
5033
Dental Insurance
0
7,200
7,080
7,680
7,680
5034
Optical Insurance
0
2,400
1,830
1,920
1,920
5035
P.E.R.S.
0
55,450
54,420
58,750
58,750
5036
P.E.R.S. - EPMC
0
4,770
4,630
5,020
5,020
5037
Long -Term Disability
0
600
1,270
1,020
1,020
5038
Life Insurance
0
2,400
2,060
2,400
2,400
5050
Medicare
1,320
1,970
1,720
1,830
1,830
5052
Workers' Compensation
0
36,830
24,070
27,750
27,750
5054
Deferred Compensation (457)
0
1,400
1,300
1,450
1,450
5055
401A Plan
0
13,000
13,190
12,620
12,620
5060
Tuition Reimbursement
10,500
10,000
5,000
10,000
10,000
TOTAL FOR PERSONNEL SERVICES:
847,610
970,850
936,170
1,048,670
1,048,670
OPERATIONS & MAINTENANCE
jft()0
Travel, Meetings & Training
5,850
10,000
16,050
10,200
10,200
50
Office Supplies & Equipment
20,390
20,900
20,700
22,500
22,500
5151
Postage
1,200
1,200
750
1,200
1,200
5152
Computer Software
2,260
0
1,650
20,460
20,460
5160
Membership Dues
910
1,160
1,130
1,350
1,350
5161
Publications & Subscriptions
1,330
1,350
1,330
1,400
1,400
5165
Licenses, Permits & Fees
300
200
100
200
200
5200
Operations & Maintenance
1,830
600
2,500
700
700
5300
Contract Services
493,920
405,020
372,770
380,510
380,510
5321
Fire Incident Costs
1,160
1,200
2,500
1,500
1,500
5400
Telephone Utilities
18,120
15,000
16,000
18,000
18,000
5401
Gas Utilities
410
410
600
800
800
5402
Water Utilities
660
750
750
800
800
5403
Electric Utilities
3,630
3,200
3,500
3,900
3,900
5416
General Liability Insurance
65,000
45,000
38,500
45,000
45,000
5510
Property Tax Admin. Fee
114,000
122,500
120,000
125,000
125,000
5700
Interest Expense
55,830
67,540
87,260
100,410
100,410
5702
Long -Term Debt Repayment
30,000
30,000
35,000
0
0
TOTAL FOR OPERATIONS & MAINTENANCE:
816,800
726,030
721,090
733,930
733,930
CAPITAL OUTLAY
5605
Capital Outlay -Computer Equip
0
0
990
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
990
0
n
0
TOTAL FOR DIVISION 501: 1,664,410 1,696,880 1,658,250 1,782,600 1,782 600
FD -5
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: ADMINISTRATION
FUND: 281
COST CENTER: 501
OBJECT
#
FY 00/01
Authorized
Fiscal Year
2001/2002
Dept.
M r.
Rcmds
Adopted
Auth.
Funded
F5000
REGULAR SALARIES
Level
Request
Budget
SAFETY
Fire Chief
100%
100%
100%
100%
100%
Fire Deputy Chief
100%
100%
100%
100%
100%
Fire Battalion Chief
200%
200%
200%
200%
200%
NON -SAFETY
Admin. Services Officer (Fire)
100%
100%
100%
100%
100%
Administrative Secretary "
100%
100%
100%
100%
100%
Office Specialist II
100%
100%
100%
100%
100%
Fire Information Systems Technician
100%
100%
100%
100%
100%
Information Systems Specialist
0%
50%
0%
0%
0%
Holiday Buyback
Uniform Allowance
Deferred Comp/Admin Leave
5005
OVERTIME SALARIES
Emergency
Non -Emergency
Maps, Preplans, Clerical
0
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
F nd: FIRE FUND (281)
): FIRE ADMINISTRATION (501)
Total for Postage: 1,200 1,200 750
5152 Computer Software
1,200 1.200
1,200 1.200
ArcView Software
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
Computer Backup Media
0
0
300
AFSS Annual Meeting
600
300
200
300
300
AFSS Quarterly Meetings
200
200
300
200
200
Annual Calif Chiefs Meeting
950
950
1,000
950
950
California Fire Academy
550
650
650
650
650
ESRI Conference
0
1,000
980
1,000
1,000
Legislative Meetings
2,000
2,000
1,800
2,000
2,000
Monthly SAFERS Meetings
50
100
120
100
100
New Apparatus Engineering Mtgs
0
0
5,800
0
0
Prof Development - Computers
1,000
1,000
900
1,000
1,000
Professional Development Class
500
500
600
500
500
SunPro RMS Conf Registration
0
1,800
2,100
2,000
2,000
TeleStaff Conf Registration
0
1,500
1,600
1,500
1.500
Total for Travel, Meetings & Training:
5,850
10,000
16,050
10,200
10,200
5150 Office Supplies & Equipment
Mapping & Block Plans
2,390
2,400
2,200
2,500
2,500
Office Supplies & Equipment
18,000
18,500
18,500
20,000
20.000
i Total for Office Supplies & Equipment:
20,390
20,900
20,700
22,500
22.500
Total for Postage: 1,200 1,200 750
5152 Computer Software
1,200 1.200
1,200 1.200
ArcView Software
350
0
0
0
0
Chameleon NFS (for ArcView)
500
0
0
0
0
Color Printer Netwrk Card/Upgr
500
0
0
0
0
Computer Backup Media
0
0
300
0
0
Crystal Report Software
310
0
0
0
0
Microsoft Exchange Access
0
0
50
0
0
Office 2000 Professional
0
0
290
0
0
Standard TeleStaff Software
0
0
0
460
461)
SunPro SMS Cadlink
0
0
0
10,000
10.000
Tiburon/SunPro Interface
0
0
0
10,000
10.01x)
Visio Technical Software
600
0
1,010
0
0
Total for Computer Software:
2,260
0
1,650
20,460
20,460
5160 Membership Dues
AFSS Memberships
60
50
50
40
40
Calif Fire Chiefs Association
160
150
140
160
160
California SAFERS
30
30
40
30
30
Fire Districts Assoc of Calif
440
400
430
550
550
.Intl Assoc of Fire Chiefs
140
170
160
170
170
Miscellaneous Memberships
0
100
60
150
150
Natl Fire Protection Assoc
80
260
250
250
250
FT) -7
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
Division: FIRE ADMINISTRATION (501)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
Total for Membership Dues:
910
1,160
1,130
1,350
1,350
5161 Publications & Subscriptions
Info Training Technical Subsrp
30
100
90
100
100
Legal Advertisements/Notices
400
400
420
400
400
Other Subscriptions
600
600
520
600
600
Shift Calendars
300
250
300
300
300
Total for Publications & Subscriptions:
1,330
1,350
1,330
1,400
1,400
5165 Licenses Permits & Fees
300
200
100
200
200
Total for Licenses, Permits & Fees:
300
200
100
200
200
5200 Operations & Maintenance
General Maintenance & Repairs
1,580
500
2,500
600
600
Janitorial Supplies
250
100
0
100
100
Total for Operations & Maintenance:
1,830
600
2,500
700
700
5300 Contract Services
Audit Services
5,660
5,000
4,000
4,000
4,000
Building Alarm System
1,580
1,500
1,620
1,650
1,650
Comp System Maint & Developmnt
2,500
2,000
0
500
500
Copier/Typewriter Maint Agrmnt
2,650
1,500
1,480
1,500
1,500
Dispatch Contract (West End)
275,000
275,000
273,170
275,000
275,000
FAX Machine Maintenance Agnnnt
390
350
80
250
250
Fire Defense Study
47,000
0
0
0
0
Fire Inc Consult/Proj Mgt Fees
14,400
0
0
0
0
Fire Inc/TeleStaff Intrfc Mnt
750
750
750
750
750
Fire Incident Rprt Systm Maint
3,000
3,500
6,700
3,500
3,500
Fumigation
320
250
230
250
250
Hardware/Software/Network Cnfg
20,000
20,000
0
10,000
10,000
Hazardous Materials Analysis
5,000
0
0
0
0
Janitorial Services
300
320
370
360
360
Legal Services
15,000
13,000
12,000
13,000
13,000
MIP Software Maintenance
1,610
0
0
0
0
MIS Dept Support HQ & Finance
13,770
0
0
0
0
Maps, Blocks & Preplans
5,000
8,000
21,000
10,500
10,500
Misc Contract Services
0
0
1,630
0
0
Other Maintenance Agreements
1,500
500
200
400
400
P.O. Box Rental
350
350
420
450
450
Postage Meter Maint/Rent Agrmt
1,340
1,300
1,400
1,400
1,400
TeleStaff Maintenance Agrmnt
2,000
2,000
2,000
2,000
2,000
Telecommunication System Maint
2,500
0
0
0
0
Telephone Repair Contract
3,000
2,000
200
0
0
Voice Mail Maintenance Agrmnt
600
0
0
0
0
WANG Payroll Programming
2,000
1,000
50
0
0
WECA 800 MHz JPA Administrate
40,000
46,000
45,470
45,000
45,000
IIRK
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: FIRE FUND (281)
n: FIRE ADMINISTRATION (501)
Total for General Liability Insurance: 65,000 45,000 38,500 45,000 45,000
5510 Property Tax Admin. Fee 114,000 122,500 120,000 125,000 125,000
Total for Property Tax Admin. Fee: 114,000 122,500 120,000 125,000 125,000
5700 Interest Expense
avu mrtz xaoio system 6,830
TRANS Note 49,000
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
100,410
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
West End Bomb Squad Contract
6,000
0
0
0
West End IPA HazMat Team
20,700
20,700
0
10,000
0
10,000
Total for Contract Services:
493,920
405,020
372,770
380,510
380,510
5321 Fire Incident Costs
1,160
1,200
2,500
1,500
1,500
Total for Fire Incident Costs:
1,160
1,200
2,500
1,500
1,500
5.400 Telephone Utilities
18,120
15,000
16,000
18,000
18,000
Total for Telephone Utilities:
18,120
15,000
16,000
18,000
18,000
5401 Gas Utilities
410
410
600
800
800
Total for Gas Utilities:
410
410
600
800
800
5402 Water Utilities
660
750
750
800
800
Total for Water Utilities:
660
750
750
800
800
5403 Electric Utilities
3,630
3,200
3,500
3,900
3,900
Total for Electric Utilities:
3,630
3,200
3,500
3,900
3,900
Total for General Liability Insurance: 65,000 45,000 38,500 45,000 45,000
5510 Property Tax Admin. Fee 114,000 122,500 120,000 125,000 125,000
Total for Property Tax Admin. Fee: 114,000 122,500 120,000 125,000 125,000
5700 Interest Expense
avu mrtz xaoio system 6,830
TRANS Note 49,000
7,540
60,000
4,760
82,500
0
100,410
0
100,410
Total for Interest Expense: 55,830
67,540
87,260
100,410
100,410
5702 Long -Term Debt Repayment 30,000 30,000 35,000 0 0
Total for Long -Term Debt Repayment: 30,000 30,000 35,000 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 816,800 726,030 721,090 733,930 733,930
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: FIRE FUND (28 1)
)ivision: FIRE ADMINISTRATION (501)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
CD Writer 0 0 500 0 0
Pool Printer for Laptop 0 0 490 0 0
Total for Capital Outlay -Computer Equip: 0 0 990 0 0
TOTAL FOR CAPITAL OUTLAY:
FD -10
990 0
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
F d: FIRE FUND (281)
): COMMUNICATIONS (502)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
5035
5036
5037
5038
5052
Optical Insurance
P.E.R.S.
P.E.R.S. - EPMC
Long -Term Disability
45,200
50,880
45,750
52,250
52,250
1,270
3,140
750
1,500
1,500
10,820
0
0
0
0
0
3,600
3,600
3,600
3,600
0
900
940
960
960
0
300
230
240
240
0
3,340
3,520
3,490
3,490
0
240
240
240
240
0
200
700
720
720
Life Insurance
0
200
250
300
300
Workers' Compensation
0
1,770
190
350
350
TOTAL FOR PERSONNEL SERVICES:
57,290
64,570
56,170
63,650
63,650
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5160
Membership Dues
5161
Publications & Subscriptions
5280
Equip Operations & Maint
5300 Contract Services
T.L FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5603 C ' 10
250
200
0
100
100
50
50
30
80
80
0
30
20
30
30
8,000
8,400
10,910
8,900
8,900
3,540
3,600
3,450
3,900
3,900
11,840
12,280
14,410
13,010
13,010
apita utlay-Equipment
u
0
4,700
0
0
5604 Capital Outlay -Vehicles
0
0
0
50,400
50,400
TOTAL FOR CAPITAL OUTLAY:
0
0
4,700
50,400
50,400
TOTAL FOR DIVISION 502: 69,130 76,850 75,280 127,060 127,060
FD -11
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: COMMUNICATIONS
FUND: 281
COST CENTER: 502
OBJECT
#
FY 00/01
Authorized
Fiscal Year
2001/2002
Dept.
M r.
Rcmds
Adopted
Auth.
Funded
Level
Request
Bud et
5000
REGULAR SALARIES
Communications Technician
100%
100%
100%
100%
100%
ALSO SEE EST. REVENUE (Page 1)
01-5100 Funding 50.0%
Holiday Buyback
Uniform Allowance
5005
OVERTIME SALARIES
FD -12
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
)i1a: COMMUNICATIONS (502)
5161 Publications & Subscriptions
Communications Manuals 0 30 20 30 30
Total for Publications & Subscriptions: 0 30 20 30 30
5280 Equip Operations & Maint
naucrncs-runaDie xaaio/Lquip
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
2,000
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5100 Travel, Meetings & Training
0
800
1,400
Communication Conf. & Seminars
250
200 0
100 100
Total for Travel, Meetings & Training:
250
200 0
100 100
5160 Membership Dues
50
50 30
80 80
Total for Membership Dues:
50
50 30
80 80
5161 Publications & Subscriptions
Communications Manuals 0 30 20 30 30
Total for Publications & Subscriptions: 0 30 20 30 30
5280 Equip Operations & Maint
naucrncs-runaDie xaaio/Lquip
2,000
2,000
2,910
2,000
2,000
Head Set System Repairs
1,000
1,000
500
1,500
1,500
Portable Radio Battery Condtm
0
800
1,400
0
0
Radio Equipment Repairs
3,000
3,000
3,200
4,000
4,000
Spec Tools & Electronic Suppl
500
400
2,100
400
400
Station Alarm Systems Repairs
1,500
1,200
800
1,000
1,000
Total for Equip Operations & Maint:
8,000
8,400
10,910
.8,900
8,900
5300 Contract Services
Inter -Agency Comm. System
Paging Service
1,860
1,680
1,850
1,750
1,700
1,750
3,200
700
3,200
700
Total for Contract Services:
3,540
3,600
3,450
3,900
3,900
TOTAL FOR OPERATIONS & MAINTENANCE:
0
11,840 12,280 14,410 13,010 13,010
13
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) CAPITAL OUTLAY (5600) DETAIL
Division: COMMUNICATIONS (502)
is
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Bendix King Mobile Radio 0 0 1,400 0 0
Bendix King Portable Radio 0 0 3,300 0 0
Total for Capital Outlay -Equipment: 0 0 4,700 0 0
5604 Capital Outlay -Vehicles
Retrofit Comm Van - Phase I 0 0 0 50,400 50,400
Total for Capital Outlay -Vehicles: 0 0 0 50,400 50,400
TOTAL FOR CAPITAL OUTLAY:
0 0 4,700 50,400 50,400
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
04F d: FIRE FUND (281)
: EMERGENCY PREPAREDNESS (503)
•
TOTAL FOR DIVISION 503: 3,750 20,750 22,280 21,250 21,250
FD -15
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Obiect/Description
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager
Rcmd
Adopted
Budget
PERSONNEL SERVICES
5005 Overtime Salaries
TOTAL FOR PERSONNEL SERVICES:
2,000
0
0
0
0
2,000
0
0
0
0
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training
5155 Public Relations/Educ Material
5200 Operations & Maintenance
TOTAL FOR OPERATIONS & MAINTENANCE:
1,500
0
250
1,500
19,000
250
1,700
20,580
0
1,500
19,500
250
1,500
19,500
250
21,250
1,750
20,750
22,280
21,250
•
TOTAL FOR DIVISION 503: 3,750 20,750 22,280 21,250 21,250
FD -15
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
Avision: EMERGENCY PREPAREDNESS (503)
5155 Public RelationstEduc Material
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description
Budget
Budget Actual
Rcmd
Budget
5100 Travel, Meetings & Training
480
500
500
Business Fire Safety
Emerg. Preparedness Seminars
500
500 300
500
500
Emerg. Preparedness Training
1,000
1,000 1,400
1,000
1,000
Total for Travel, Meetings & Training:
1,500
1,500 1,700
1,500
1,500
5155 Public RelationstEduc Material
Adopt -A -School
0
500
500
500
500
Adult Fire Safety
0
500
480
500
500
Business Fire Safety
0
500
200
500
500
Drowning Prevention Program
0
500
5,900
500
500
Fire Prev Week/Community Prog
0
6,000
6,000
7,000
7,000
Fire Station Pub Educ Handouts
0
1,500
2,000
3,750
3,750
Juvenile Firesetter Program
0
250
250
250
250
Learn Not to Bum Elementary
0
1,750
1,000
0
0
Learn Not to Bum Pre -School
0
1,250
750
0
0
Library Fire Safety Center
0
500
500
500
500
Risk Watch
0
5,750
3,000
6,000
6,000
Total for Public Relations/Educ Material:
0
19,000
20,580
19,500
19,500
5200 Operations & Maintenance
•
Certification Costs
250
250
0
250
250
Total for Operations & Maintenance:
250
250
0
250
250
TOTAL FOR OPERATIONS & MAINTENANCE:
1,750
20,750
22,280
21,250
21,250
•
FD -16
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fwd: FIRE FUND (28 1) ANNUAL BUDGET SUMMARY
-)W: EMERGENCY MEDICAL SERVICES (504)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Obiect/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5100
Travel, Meetings -& Training
5150
Office Supplies & Equipment
5152
5000
Regular Salaries
0
5161
Publications & Subscriptions
5200
Operations & Maintenance
5031
Medical Insurance
L FOR OPERATIONS & MAINTENANCE:
41,270
18,430
48,580
48,580
5033
Dental Insurance
0
7,850
1,200
3,600
3,600
5034
Optical Insurance
0
900
320
960
960
5035
P.E.R.S.
0
300
70
240
240
5036
P.E.R.S. - EPMC
0
4,640
1,850
5,300
5,300
5038
Life Insurance
0
330
130
370
370
5050
Medicare
0
300
80
300
300
5052
Workers' Compensation
0
970
300
1,100
1,100
5054
Deferred Compensation (457)
0
540
150
500
500
0
1,270
700
1,450
1,450
TOTAL FOR PERSONNEL SERVICES:
0
58,370
23,230
62,400
62,400
OPERATIONS & MAINTENANCE
5100
Travel, Meetings -& Training
5150
Office Supplies & Equipment
5152
Computer Software
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
00
Contract Services
L FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
TOTAL FOR CAPITAL OUTLAY:
6,900
7,910
5,450
8,200
8,200
2,150
1,650
1,650
1,650
1,650
0
0
520
0
0
200
270
660
500
500
2,560
2,580
1,910
1,660
1,660
42,250
40,250
48,400
33,820
33,820
250
250
180
200
200
54,310
52,910
58,770
46,030
46,030
0
0
31,500
0
0
0
0
31,500
0
0
TOTAL FOR DIVISION 504: 54,310 111,280 113,500 108,430 108,430
FD -17
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: EMERGENCY MEDICAL SERVICE
FUND: 281
COST CENTER: 504
0
•
9
FY 00/01
Authorized
Fiscal Year
2001/2002
Dept.
Mgr.
Rcmds
Adopted
OBJECT
#
Level
Reguest
Budget
Auth.
I Funded
5000
REGULAR SALARIES
Emergency Medical Services Administrator
70%
70%
70%
70%
70%
(Also see 5282501-5000)
Holiday Buyback
Uniform Allowance
Deferred Comp/Admini-eave
0
•
9
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
[*F nd: FIRE FUND (281)
EMERGENCY MEDICAL SERVICES (504)
5152 Computer Software
Microsoft Exchange Access
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0 0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
400
0
100
Total for Membership Dues:
200
270
660
Calif Chiefs EMS Conference
910
880
500
1,200
1,200
EMS Instructor Workshop
1,030
0
0
0
150
EMSAAC Conference
930
930
700
700
0
700
National EMS Conference
0
2,500
2,500
2,800
2,800
S.B. County EMS Symposium
2,030
1,600
1,000
2,000
2,000
Sacramento Legis. - EMS
2,000
2,000
750
1,500
1,500
Total for Travel, Meetings & Training:
6,900
7,910
5,450
8,200
8,200
5150 Office Supplies & Equipment
01A Report Forms (ICEMA Req.)
2,000
1,500
1,500
1,500
1,500
Storage Box Replacement
150
150
150
150
150
Total for Office Supplies & Equipment:
2,150
1,650
1,650
1,650
1,650
5152 Computer Software
Microsoft Exchange Access
0
0
50
0 0
Office 2000 Professional
0
0
290
0 0
Visio Technical Software
0
0
180
0 0
0 Total for Computer Software:
0
0
520
0
0
5160 Membership Dues
130
130
130
150
150
Cal Chiefs EMS -Southern Seem
EMSAAC
S.B. County EMS Officers
150
0
50
170
0
100
390
150
120
400
0
100
400
0
100
Total for Membership Dues:
200
270
660
500
500
5161 Publications & Subscriptions
ACLS & PALS Manual Updates
1,530
1,400
930
800
800
EMS Insider Subscription
130
130
130
150
150
EMSA (ICEMA) Manual Updates
0
250
200
230
230
EMSA BLS Updates
230
530
400
130
130
EMT -1 Cirriculum Update
500
100
100
200
200
LEMS Subscription
170
170
150
150
150
Total for Publications & Subscriptions:
2,560
2,580
1,910
1,660
1,660
5200 Operations & Maintenance
BLS & EMT Equipment Replacemnt
4,300
2,750
2,500
1,500
1,500
CPR & First Aide Recertificam
300
300
300
300
300
EMS Supplies & Materials
23,400
20,850
20,500
18,000
18,000
EMT State Recertification
200
1,250
1,000
1,000
1,000
EMT -1 Instructor
400
100
100
100
100
Instructor Recertification
920
0
600
1,000
1,000
Large Splint Replacement
2,000
3,600
1,500
1,000
1,000
Local PALS/ACLSBTLS Recert.
430
600
400
300
300
Medical Oxygen/Cylinder Rental
7,500
8,000
7,500
8,000
8,000
FD - 19
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
)ivision: EMERGENCY MEDICAL SERVICES (504)
5300 Contract Services
Medical Waste Hauler Permit 250 250 180 200 200
Total for Contract Services: 250 250 180 200 200
TOTAL FOR OPERATIONS & MAINTENANCE: 54,310 52,910 58,770 46,030 46,030
FD - 20
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
Miller Body Splint & Parts
0
0
0
1,620
1,620
02 Regulators & Cylinder Kits
2,800
2,800
2,000
1,000
1,000
Pulse Oximetry Replacement
0
0
8,500
0
0
Replacement Backboards
0
0
2,000
0
0
Suction Unit Replacement Reprs
0
0
1,500
0
0
Total for Operations & Maintenance:
42,250
40,250
48,400
33,820
33,820
5300 Contract Services
Medical Waste Hauler Permit 250 250 180 200 200
Total for Contract Services: 250 250 180 200 200
TOTAL FOR OPERATIONS & MAINTENANCE: 54,310 52,910 58,770 46,030 46,030
FD - 20
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: FIRE FUND (28 1)
1i* EMERGENCY MEDICAL SERVICES (504)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Ouday-Equipment
Auto Ext Defibrillators (4) { 1) 0 0 14,000 0 0
Auto Ext Defibrillators (Polc) (2) 0 0 17,500 0 0
Total for Capital Outlay -Equipment: 0 0 31,500 0 0
0
TOTAL FOR CAPITAL OUTLAY: 0 0 31,500 0 0
FD -21
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FIRE FUND (28 1)
1i)* FINANCE SERVICES (505)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries
100,630
110,080
112,610
118,770
118,770
5005 Overtime Salaries
0
0
500
0
0
5030 Fringe Benefits
37,230
40,730
42,310
42,310
42,310
TOTAL FOR PERSONNEL SERVICES:
137,860
150,810
155,420
161,080
161,080
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training 100 100 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE: 100 100 0 0 0
0
TOTAL FOR DIVISION 505: 137,960 150,910 155,420 161,080 161,080
FD -22
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: FINANCE SERVICES
FUND: 261
COST CENTER: 505
FD -23
n
L.J
0
9
FY 00/01
Fiscal Year
2001/2002
OBJECT
5000
#
REGULAR SALARIES
Authorized
Level
Dept.M
Request
r.
Rcmds
Adopted
Budget
Auth.
Funded
Account Clerk
Personnel Clerk
Senior Accountant
Fire Board
G I S Technician
100%
50%
100%
500%
0%
100%
50%
100%
500%
100%
100%
50%
100%
500%
0%
100%
50%
100%
500%
0%
100%
50%
100%
500%
0%
ALSO SEE:
City of Rancho Cucamonaa-Personnel !1001-2101
Personnel Clerk
50%
50%
50%
50%
50%
5005
OVERTIME SALARIES
FD -23
n
L.J
0
9
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
)w: FINANCE SERVICES (505)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training 100 100 0 0 0
Total for Travel, Meetings & Training: 100 100 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
n
0
100 100
FD -24
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FIRE FUND (28 1)
)i&: FIRE SAFETY (506)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual RemitBudget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5010
Part Time Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5037
Long -Term Disability
5038
Life Insurance
5050
Medicare
5052
Workers' Compensation
5055
401A Plan
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5150
Office Supplies & Equipment
51
Postage
52
Computer Software
5155
Public Relations/Educ Material
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
5285
Safety Gear & Equipment
5291
Equipment Supplies & Repairs
5300
Contract Services
5321
Fire Incident Costs
5400
Telephone Utilities
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5605 Capital Outlay -Computer Equip
TOTAL FOR CAPITAL OUTLAY:
I" -
L -1
264,280
247,280
189,000
263,970
263,970
23,820
28,740
48,300
40,030
40,030
24,010
20,580
14,760
20,060
20,060
74,240
0
0
0
0
0
29,760
19,330
25,650
25,650
0
3,600
2,810
3,840
3,840
0
1,200
690
960
960
0
19,690
16,960
22,250
22,250
0
1,700
1,490
1,880
1,880
0
480
250
660
660
0
840
760
1,200
1,200
4,130
4,820
3,130
4,120
4,120
0
19,340
6,730
10,250
10,250
0
3,640
4,090
4,020
4,020
390,480
381,670
308,300
398,890
398,890
9,000
9,000
9,000
10,000
10,000
14,000
11,000
6,800
8,000
8,000
3,500
3,500
500
.1,000
1,000
1,200
1,380
4,110
0
0
23,000
0
0
0
0
1,090
1,100
1,040
1,350
1,350
4,000
4,000
2,800
3,200
3,200
250
220
220
80
80
2,500
2,000
1,700
3,500
3,500
2,500
2,500
2,000
2,600
2,600
1,100
600
100
300
300
100
100
0
100
100
7,680
7,500
7,060
7,500
7,500
69,920
42,900
35,330
37,630
37,630
0
0
3,170
0
0
0
0
3,170
0
0
TOTAL FOR DIVISION 506: 460,400 424,570 346,800 436,520 436,520
FD -25
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: FIRE SAFETY
FUND: 281
COST CENTER: 506
FD -26
9
0
0
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.r.
Request
Rcmds
Adopted
Bud et
Auth.M Funded
5000
REGULAR SALARIES
SAFETY
Fire Battalion Chief/Fire Marshal
100%
100%
100% 100°/a
100%
Fire Inspector
100%
100%
100% 100%
100%
NON -SAFETY
Fire Prevention Specialist II
100%
100%
100% 100%
100%
Fire Prevention Specialist 1
0%
100%
0% 0%
0%
Office Specialist 1
100%
100%
100% 100%
100%
Holiday Buyback
Uniform Allowance
Deferred Comp./Admin. Leave
5005
OVERTIME SALARIES
Emergency
Non -Emergency
5010
PART TIME SALARIES
Fire Prevention Specialist
100%
100%
100% 100%
100%
FD -26
9
0
0
Fund: FIRE FUND (281)
D*: FIRE SAFETY (506)
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
5152 Computer Software
R Microsoft Exchange Access
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
Software Upgrades & Replacemnt
1,200
1,380
2,430
Accelerant Det. K-9 Training
2,900
2,900
2,900
2,000
2,000
ICBO Training
400
400
200
0
0
Mgt Training/Job Related Admin
0
0
1,400
1,000
1,000
New Const. Unit Training/Cert.
1,100
1,100
400
0
0
Penal Code 452 Training/Cert.
1,900
1,900
2,500
3,500
3,500
Public Fire/Burn Education Trn
1,500
1,500
800
0
0
Special: Codes, HazMat, SFMO
1,200
1,200
800
3,500
3,500
Total for Travel, Meetings & Training:
9,000
9,000
9,000
10,000
10,000
5150 Office Supplies & Equipment
0
Fire Station Pub Sfty Handouts
1,000
0
0
Office Supplies & Equipment
14,000
11,000
6,500
8,000
8,000
Replacement TVNCR
0
0
300
0
0
Total for Office Supplies & Equipment:
14,000
11,000
6,800
8,000
8,000
5151 Postage
3 500
3 500
500
1,000
1,000
Total for Postage:
3,500
3,500
500
1,000
1,000
5152 Computer Software
R Microsoft Exchange Access
0
0
120
0
0
Office 2000 Professional
0
0
570
0
0
PCMCIA Card Reader
0
0
100
0
0
Software Upgrades & Replacemnt
1,200
1,380
2,430
0
0
Visio Technical Software
0
0
890
0
0
Total for Computer Software:
1,200
1,380
4,110
0
0
5155 Public Relations(Educ Material
Adopt -A -School
1,000
0
0
0
0
Adult Fire Safety
500
0
0
0
0
Business Fire Safety
1,000
0
0
0
0
Drowning Prevention Program
500
0
0
0
0
Fire Prev Week/Community Prog
3,500
0
0
0
0
Fire Station Pub Sfty Handouts
1,000
0
0
0
0
Juvenile Firesetter Program
1,250
0
0
0
0
Learn Not to Burn Elementary
10,750
0
0
0
0
Learn Not to Burn Pre -School
1,250
0
0
0
0
Library Fire Safety Center
500
0
0
0
0
Risk Watch
1,750
0
0
0
0
Total for Public Relations/Educ Material:
23,000
0
0
0
0
5160 Membership Dues
Calif Conf of Arson Investgtrs
Calif Fire Chiefs Assoc
150
100
150
100
150
100
150
100
150
Canine Accelerant Detctn Assoc
40
40
40
40
100
40
Claris Fire Marshal Fire Safty
0
0
0
200
200
HazMat Association
30
30
30
30
30
FD - 27
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
)ivision: FIRE SAFETY (506)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Int Assoc of Arson Investgtrs
50
50
50
50
50
Int Conf of Building Officials
200
200
200
200
200
Int Fire Code Institute
250
250
250
250
250
Nall Fire Protection Assoc
100
100
100
110
110
North Amer Police Work Dog Asc
0
0
40
40
40
S.B. Co Fire Prev Officers Asc
20
30
30
120
120
San Bern. Arson Task Force
50
50
50
60
60
Western Fire Chiefs Assoc 100 100 0 0 0
Total for Membership Dues: 1,090 1,100 1,040 1,350 1,350
5161 Publications & Subscriptions
Required Codes & Standards 4,000 4,000 2,800 3,200 3,200
Total for Publications & Subscriptions: 4,000 4,000 2,800 3,200 3,200
5200 Operations & Maintenance
Environmental Assessor 110 80 80 80 80
ICBO Certification 140 140 140 0 0
Total for Operations & Maintenance: 250 220 220 80 80
5285 Safety Gear & Equipment
Inspector/Investigator Safety 1,500 1,000 1,200 3,200 3.2.00
Reserve Inspector Program 1,000 1,000 500 300 300
Total for Safety Gear & Equipment: 2,500 2,000 1,700 3,500 3.500
5291 Equipment Supplies & Repairs
Inspector Supplies & Equipment
2,500
2,500
1,000
1,400
1.400
_ Spec Investigation Equip/Suppl
0
0
1,000
1,200
1.200
Total for Equipment Supplies & Repairs:
2,500
2,500
2,000
2,600
2.600
5300 Contract Services
Plan Check Consulting Fees
1,000
500
100
200
2(X)
Typewriter Maint Agreements
100
100
0
100
100
Total for Contract Services:
1,100
600
100
300
I(X)
5321 Fire Incident Costs
100
100
0
100
100
Total for Fire Incident Costs:
100
100
0
100
100
5400 Telephone Utilities
7,680
7,500
7,060
7,500
7.500
Total for Telephone Utilities:
7,680
7,500
7,060
7,500
7,500
TOTAL FOR OPERATIONS & MAINTENANCE:
69,920
42,900
35,330
37,630
37,630
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
)ifF d: FIRE FUND (281)
FIRE SAFETY (506)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5605 Capital Outlay -Computer Equip
External CD Writer 0 0 350 0 0
Work Station for FPS II n n 17 RIM n n
0
Total for Capital Outlay -Computer Equip:
3,170
TOTAL FOR CAPITAL OUTLAY: 0 0 3,170
FD -29
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FIRE FUND (28 1)
5100
Travel, Meetings & Training
5160
Membership Dues
5161
DW: HAZARDOUS MATERIALS (507)
5200
Operations & Maintenance
5285
Safety Gear & Equipment
5290
Specialized Tools & Equipment
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Telephone Utilities
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
PERSONNEL SERVICES
4,500
4,000
7,000
6,000
6,000
5000 Regular Salaries
38,830
38,160
35,920
44,520
44,520
5005 Overtime Salaries
13,360
14,070
14,920
17,620
17,620
5030 Fringe Benefits
5,480
0
0
0
0
5035 P.E.R.S.
0
3,630
3,330
4,200
4,200
5036 P.E.R.S. - EPMC
0
330
310
420
420
5050 Medicare
670
430
340
550
550
5052 Workers' Compensation
0
2,640
1,570
2,580
2,580
TOTAL FOR PERSONNEL SERVICES:
58,340
59,260
56,390
69,890
69,890
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
5285
Safety Gear & Equipment
5290
Specialized Tools & Equipment
5300
Contract Services
5400
Telephone Utilities
TOTAL FOR OPERATIONS & MAINTENANCE:
APITAL OUTLAY
5603 Capital Outlay -Equipment
5605 Capital Outlay -Computer Equip
TOTAL FOR CAPITAL OUTLAY:
0
2,700
2,800
1,500
9,400
9,400
200
200
190
200
200
700
700
500
850
850
100
100
100
100
100
1,200
1,600
4,410
0
0
4,400
4,530
4,500
4,500
4,500
4,000
7,000
6,000
6,000
6,000
600
600
500
600
600
13,900
17,530
17,700
21,650
21,650
0 240
0 240
TOTAL FOR DIVISION 507: 72,240 76,790 74,330 91,540 91,540
FD -30
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: HAZARDOUS MATERIALS
FUND: 281
COST CENTER: 507
FD -31
9
1]
0
FY 00/01
Authorized
Fiscal Year
2001/2002
Dept.
mgr.
Rcmds
Adopted
OBJECT
#
Level
Re uest
Bud et
Auth.
I Funded
5000
REGULAR SALARIES
HazMat Stipend (14 Employees)
100%
100%
100%
100%
100%
Holiday Buyback
5005
OVERTIME SALARIES
Personnel Leave Coverage
FLSA Differential
FD -31
9
1]
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
0W: HAZARDOUS MATERIALS (507)
5160 Membership Dues
a.ts. County HazMat RA 200 200 190 200 200
Total for Membership Dues: 200 200 190 200 200
5161 Publications & Subscriptions
HazMat Tech/Refmc Manuals 500 500 400 350 350
HazMat Transportation Regulatn 200 200 100 500 500
Total for Publications & Subscriptions: 700 700 500 850 850
5200 Operations & Maintenance
Certtncatton Costs
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
100
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
200
Air Purifying Respirator Crtdg
0
0
960
Ann] HazMat Transportatn Recrt
0
0
0
1,000
1,000
CHMIA Conference
700
0
0
0
0
CSTI HazMat Spec Initial Train
0
0
0
5,400
5,400
CSTI-HazMat Spec Refresher Crt
2,000
2,800
1,500
3,000
3,000
Total for Travel, Meetings & Training:
2,700
2,800
1,500
9,400
9,400
5160 Membership Dues
a.ts. County HazMat RA 200 200 190 200 200
Total for Membership Dues: 200 200 190 200 200
5161 Publications & Subscriptions
HazMat Tech/Refmc Manuals 500 500 400 350 350
HazMat Transportation Regulatn 200 200 100 500 500
Total for Publications & Subscriptions: 700 700 500 850 850
5200 Operations & Maintenance
Certtncatton Costs
100
100
100
100
100
• Total for Operations & Maintenance:
100
100
100
100
100
5285 Safety Gear & Equipment
200
210
200
200
200
Air Purifying Respirator Crtdg
0
0
960
0
0
Chemtape 2-HazMat Suit Resistv
0
200
200
0
0
HazMat Container ID Labls/Tags
0
200
200
0
0
Ion Amp Comp/Chemical Test Str
0
500
400
0
0
Level "A" Chemical Prot Suits
0
0
2,000
0
0
Material Spill Contaimmnt Prod
0
500
450
0
0
Nomex Jumpsuits
1,200
0
0
0
0
Vermiculite Packaging Material
0
200
200
0
0
Total for Safety Gear & Equipment:
1,200
1,600
4,410
0
0
5290 Specialized Tools & Equipment
Assorted Labware
200
210
200
200
200
Assrt MSA Colormeuic Tubes
500
510
500
500
500
Restock Chlorine/PCB Test Kits
200
210
200
200
200
Restock Disposable Supplies
500
520
500
500
500
Restock HazTech/HazCat Kits
1,500
1,540
1,400
1,500
1,500
Restock Spill Control Material
1,500
1,540
1,700
1,600
1,600
Total for Specialized Tools & Equipment:
4,400
4,530
4,500
4,500
4,500
5300 Contract Services
HazMat Incident Disposal Costs
Recalibrate/Rplc Monitor Sensr
Total for Contract Services:
0 3,000 4,000
4,000 4,000 2,000
4,000 7,000 6,000
FD -32
3,000
3,000
3,000
3,000
. 111
.111
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
600
Fuhd: FIRE FUND (28 1)
600
600
13,900
Division: HAZARDOUS MATERIALS (507)
17,700
21,650
21,650
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5400 Telephone Utilities
Cellular Phone Charges
600
600 500
600 600
Total for Telephone Utilities:
TOTAL FOR OPERATIONS & MAINTENANCE:
600
600
500
600
600
13,900
17,530
17,700
21,650
21,650
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) CAPITAL OUTLAY (5600) DETAIL
Di*: HAZARDOUS MATERIALS (507)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Obiect Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Total for Capital Outlay -Equipment:
5605 Capital Outlay -Computer
0
0
Inkjet Printer for HazMat Vhcl 0 0 240 0 0
Total for Capital Outlay -Computer Equip: 0 0 240 0 0
TOTAL FOR CAPITAL OUTLAY:
0 0 240 0 0
FD -34
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FIRE FUND (28 1)
lift: OPERATIONS (508)
TOTAL FOR DIVISION 508:
E
48,680 56,300 90,700 301,450 301,450
FD -35
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5280 Equip Operations & Maint
810
1,550
0
1,000
1,000
5285 Safety Gear & Equipment
24,940
31,850
58,700
35,450
35,450
5290 Specialized Tools & Equipment
11,930
11,900
6,860
3,350
3,350
5291 Equipment Supplies & Repairs
11,000
11,000
17,140
11,000
11,000
TOTAL FOR OPERATIONS & MAINTENANCE:
48,680
56,300
82,700
50,800
50,800
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
0
0
0
250,650
250,650
5605 Capital Outlay -Computer Equip
0
0
8,000
0
0
TOTAL FOR CAPITAL OUTLAY:
0
0
8,000
250,650
250,650
TOTAL FOR DIVISION 508:
E
48,680 56,300 90,700 301,450 301,450
FD -35
Fund: FIRE FUND (281)
Division: OPERATIONS (508)
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
9
5285 Safety Gear & Equipment
Brush Jackets & Pants
1999/2000
Fiscal Year 2000/01
1,780
Fiscal Year 2001/02
1,800
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description
Budget
Budget Actual
500
Rcmd
Budget
5280 Equip Operations & Maint
700
Leather Safety Boots
4,000
5,500
5,400
Cordless Power Drill/Batt Chrg
0
100
0
0
0
Inst Kohler Lights w/Chrg R175
0
750
0
0
0
Inst VHF HT Battery Chrg ME175
0
100
0
0
2,700
Inst VHF HT Battery Chrg R175
0
100
0
0
0
Rplc Hoses -Hurst Tool for 174
810
0
0
1,000
0
1,000
Upgrade VHF Radio (NM175)
0
500
0
0
0
Total for Equip Operations & Maint:
810
1,550
0
1,000
1,000
5285 Safety Gear & Equipment
Brush Jackets & Pants
1,800
1,800
1,780
1,800
1,800
Fire Shelters
1,500
0
2,050
0
0
Helmet Face Shields/ID/Fronts
500
700
710
700
700
Leather Safety Boots
4,000
5,500
5,400
5,650
5,650
Other Safety Gear
160
150
100
200
200
Rain Gear/Covralls/Rubbr Boots
1,400
1,400
1,300
1,400
1,400
Repair/Decon - Turnout Gear
2,800
2,800
2,700
2,900
2,900
Replacement Turnouts
4,000
5,600
5,500
6,200
6,200
Replc Bullet Proof Vests
0
0
21,810
0
0
Rpcl Patches, Badges & Decals
1,340
1,500
1,400
1,500
1,500
Rplc Bulbs & Parts
350
350
300
350
350
Rplc Fire Hoods
700
700
600
700
700
Rplc Flashlights
450
450
400
450
450
Rplc Safety Gloves/Brush Gear
1,200
1,200
1,100
1,250
1,250
Rplc Safety Goggles
800
800
790
800
800
Rplc Safety Helmets
1,350
1,900
1,950
1,900
1,900
Safety Gear, Tools & Equipment
690
700
700
700
700
Sewing Supplies, Mads, Thread
0
0
0
2,000
2,000
Suspenders
300
300
310
300
300
Turnout Boots
1,600
5,000
4,800
1,650
1,650
Wildland Leather Safety Boots
0
1,000
5,000
5,000
5,000
Total for Safety Gear & Equipment:
24,940
31,850
58,700
35,450
35,450
5290 Specialized Toots & Equipment
30 -Min Composite Air Cylinders
4,830
4,800
0
0
0
Air Bottle Hydrostatic Testing
600
600
1,660
600
600
SCBA Air Compressor Maint
1,500
1,500
1,000
750
750
SCBA Replacement Parts
5,000
5,000
4,200
2,000
2,000
Total for Specialized Tools & Equipment:
11,930
11,900
6,860
3,350
3,350
5291 Equipment Supplies & Repairs
1-3/4" Fire Hose (50 lengths)
1,220
1,200
3,150
1,200
1,200
2-1/2" Dura -Pak Fire Hose
2,920
2,900
0
2,900
2,900
4" Dura -Pak Fire Hose
4,440
4,500
7,100
4,500
4,500
4" Dura -Pak Soft Suction (20')
1,520
1,500
2,100
1,500
1,500
Gate Access Locks/Keys
0
0
2,380
0
0
Fund: FIRE FUND (28 1)
t10: OPERATIONS (508)
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
General Hose Repair
Replacement Flags
500 500 600 500 500
0 0 1,360 0 0
Replacement Nozzles/Couplings 400 400 450 400 400
Total for Equipment Supplies & Repairs: 11,000 11,000 17,140 11,000 11,000
TOTAL FOR OPERATIONS & MAINTENANCE:
48,680 56,300 82,700 50,800 50,800
FD -37
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: FIRE FUND (28 1)
Division: OPERATIONS (508)
0
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
Replc SCBA w/High Pressure Unt 0 0 0 250,650 250,650
Total for Capital Outlay -Equipment: 0 0 0 250,650 250,650
5605 Capital Outlay -Computer Equip
Field Laptop 0 0 8,000 0 0
Total for Capital Outlay -Computer Equip: 0 0 8,000 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 8,000 250,650 250,650
n
L J
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
d: FIRE FUND (281)
li : PARAMEDIC PROGRAM (509)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000 Regular Salaries 149,760 181,500 157,880 198,000 198,000
5005 Overtime Salaries 52,500 57,070 71,050 76,170 76,170
5030 F
OPERATIONS & MAINTENANCE
5150
nnge Benefits
20,980
0
0
0
0
5035
P.E.R.S.
0
16,900
14,910
18,480
18,480
5036
P.E.R.S. - EPMC
0
1,500
1,350
1,440
1,440
5050
Medicare
3,040
3,720
3,350
4,500
4,500
5052
Workers' Compensation
0
12,180
7,410
11,290
11,290
TOTAL FOR PERSONNEL SERVICES:
226,280
272,870
255,950
309,880
309,880
OPERATIONS & MAINTENANCE
5150
Office Supplies & Equipment
5200
Operations & Maintenance
5281
Depreciation - Equipment
5300
Contract Services
5400
Telephone Utilities
5416
General Liability Insurance
TOTAL FOR OPERATIONS & MAINTENANCE:
200
100
100
100
100
12,390
12,210
14,800
14,800
14,800
11,000
11,000
11,000
6,000
6,000
13,600
13,600
13,600
14,980
14,980
0
3,000
3,400
3,600
3,600
3,400
3,400
3,400
3,600
3,600
40,590
43,310
46,300
43,080
43,080
CAPITAL OUTLAY
003 Capital Outlay -Equipment 0 0 23,740 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 23,740 0 0
TOTAL FOR DIVISION 509: 266,870 316,180 325,990 352,960 352,960
MUM
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: PARAMEDIC PROGRAM
FUND: 281
COST CENTER: 509
r'1
L..J
0
0
FY 00/01
Authorized
Fiscal Year
2001/2002
Dept.
M r.
Rcmds
Adopted
OBJECT
#
Levet
Re uest
Budget
Auth.
Funded
5000
REGULAR SALARIES
Paramedic Stipend (24 Employees)
100%
100%
100%
100%
100%
Holiday Buyback
5005
OVERTIME SALARIES
Personnel Leave Coverage
FLSA Differential
r'1
L..J
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
A* PARAMEDIC PROGRAM (509)
5300 Contract Services
Cardiac Equip Service Agreemnt
Medical Director
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
6,980
8,000
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Bud et
Budget
Actual
Rcmd
Budget
5150 Office Supplies & Equipment
3,600
Total for Telephone Utilities:
0
3,000
3,400
Miscellaneous Paramedic Forms
200
100
100
100
100
Total for Office Supplies & Equipment:
200
100
100
100
100
5200 Operations & Maintenance
ACLS & PALS Certification
90
180
1,100
400
400
Cont Educ Training - PALS/ACLS
720
700
700
700
700
New Skills Training Eqp/Supp]
1,500
1,200
700
3,500
3,500
Paramedic Supplies
8,500
9,000
11,000
9,000
9,000
State License/Co. Accred Fees
1,580
1,130
1,300
1,200
1,200
Total for Operations & Maintenance:
12,390
12,210
14,800
14,800
14,800
5281 Depreciation - Equipment
11,000
11,000
11,000
6,000
6,000
Total for Depreciation - Equipment:
11,000
11,000
11,000
6,000
6,000
5300 Contract Services
Cardiac Equip Service Agreemnt
Medical Director
5,600
8,000
5,600
8,000
5,600
8,000
6,980
8,000
6,980
8,000
Total for Contract Services:
5400 Telephone Utilities
13,600
13,600
13,600
14,980
14,980
Cellular Phone Charges
0
3,000
3,400
3,600
3,600
Total for Telephone Utilities:
0
3,000
3,400
3,600
3,600
5416 General Liability Insurance 3,400 3,400 3,400 3,600 3,600
Total for General Liability Insurance: 3,400 3,400 3,400 3,600 3,600
1 ,:'TAL FOR OPERATIONS & MAINTENANCE: 40,590 43,310 46,300 43,080 43,080
0
PL) -41
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) CAPITAL OUTLAY (5600) DETAIL
Division: PARAMEDIC PROGRAM (509)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
LifePak Defibrillator 0 0 23,740 0 0
Total for Capital Outlay -Equipment: 0 0 23,740 0 0
TOTAL FOR CAPITAL OUTLAY:
n
FD - 42
23,740
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fu d: FIRE FUND (281)
ivPERSONNEL DEVELOPMENT (5 10)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5100
Travel, Meetings & Training
5150
Office Supplies & Equipment
5152
Computer Software
5160
Membership Dues
5161
Publications & Subscriptions
5200
Operations & Maintenance
5290
Specialized Tools & Equipment
5291
Equipment Supplies & Repairs
5300
Contract Services
TOTAL FOR OPERATIONS & MAINTENANCE:
34,800
34,250
28,400
37,500
37,500
1,500
1,200
3,200
1,200
1,200
0
0
1,200
0
0
650
350
250
250
250
5,000
4,670
6,260
4,700
4,700
1,650
2,250
1,500
3,000
3,000
1,000
1,900
1,000
1,500
1,500
2,000
2,000
2,200
2,500
2,500
6,500
4,500
5,000
7,000
7,000
53,100
51,120
49,010
57,650
57,650
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 0 0 1,710 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 1,710 0 0
TOTAL FOR DIVISION 510:
11
C1
53,100 51,120 50,720 57,650 57,650
FD - 43
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
)ivision: PERSONNEL DEVELOPMENT (5 10)
0
5160 Membership Dues
Calif Fire Chiefs Assoc - SCTO
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
30
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
0
National Fire Protection Assc
0
0
120
Chief Officer Training
0
0
0
1,000
1,000
Computer Training
10,000
10,000
4,000
8,000
8,000
EVOC Training
2,200
2,200
1,000
2,500
2,500
Emerg Medical Service Training
0
0
0
1,000
1,000
Fire Dept Incident Command
0
0
0
2,000
2,000
Fire Rescue West
0
0
4,900
5,000
5,000
Hazardous Materials Training
3,850
3,250
1,500
2,500
2,500
Mini Academy -Recruit Training
0
0
0
1,000
1,000
National Fire Academy
0
0
0
1,500
1,500
Prof Devlpmnt/Continuing Educ
1,500
1,500
2,000
1,000
1,000
Public Safety Seminar -G Graham
0
0
6,000
0
0
So Calif Training Officers
0
0
0
500
500
State Fire Marshal Training
5,200
5,300
1,000
3,000
3,000
Supervisory Development
2,000
1,900
1,000
1,500
1,500
Technical Rescue Training
3,050
3,000
3,000
3,000
3,000
Training Company Operations
2,500
2,500
2,000
2,000
2,000
Training Officer's Conference
4,500
4,600
2,000
2,000
2,000
Total for Travel, Meetings & Training:
34,800
34,250
28,400
37,500
37,500
_5150 Office Supplies & Equipment
1,500
1,200
3,200
1,200
1,200
Total for Office Supplies & Equipment:
1,500
1,200
3,200
1,200
1,200
5152 Computer Software
Adobe Photoshop 6.0
0
0
600
0
0
Adobe Premier 5.1
0
0
600
0
0
Total for Computer Software:
0
0
1,200
0
0
5160 Membership Dues
Calif Fire Chiefs Assoc - SCTO
0
0
30
30
30
Fire Dept Safety Officers Assc
0
0
80
80
80
Membership Dues
650
350
0
0
0
National Fire Protection Assc
0
0
120
120
120
SBCFTO Association
0
0
20
20
20
Total for Membership Dues: 650 350 250 250 250
5161 Publications & Subscriptions
American Heat/Pulse/Medcl Updt
360
270
270
300
300
CERT Training Manuals
0
0
1,990
0
0
Cal State Training
1,500
1,000
1,000
1,000
1,000
Technical Publications
2,140
2,400
2,400
2,400
2,400
Training Tapes/Updates
1,000
1,000
600
1,000
1,000
Total for Publications & Subscriptions:
5,000
4,670
6,260
4,700
4,700
.
5200 Operations & Maintenance
DMV Certification 0 600 400 1,000 1,000
FD - 44
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
DW: PERSONNEL DEVELOPMENT (5 10)
5300 Contract Services
.muv r.n LuamUcl AGIILaI 0 1,000
I
nstrucnonal Costs
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
5,000
Budget
Budget
Actual
Rcmd
Budget
First Resp/Decon/ICS/FRO Cert
700
450
300
500
500
State Chief Officr/Fire Officr
550
800
500
1,000
1,000
Strike Team Leader Recert.
400
400
300
500
500
Total for Operations & Maintenance:
1,650
2,250
1,500
3,000
3,000
5290 Specialized Tools & Equipment
1,000
1,900
1,000
1,500
1,500
Total for Specialized Tools & Equipment:
1,000
1,900
1,000
1,500
1,500
5291 Equipment Supplies & Repairs
Smoke Mach Maint/Smoke Juice
0
0
Vent Props/Signs/fools/Tnch Mt
2,000
2,000
0
2,200
500
2,000
500
2,000
Total for Equipment Supplies & Repairs:
2,000
2,000
2,200
2,500
2,500
5300 Contract Services
.muv r.n LuamUcl AGIILaI 0 1,000
I
nstrucnonal Costs
4,000
2,000
800
2,000
2,000
Recruitmnt/Promotional Testing
2,500
1,500
4,200
5,000
5,000
Total for Contract Services:
6,500
4,500
5,000
7,000
7,000
OL FOR OPERATIONS & MAINTENANCE:
53,100 51,120 49,010 57,650 57,650
FD - 45
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: FIRE FUND (28 1)
Division: PERSONNEL DEVELOPMENT (510)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5603 Capital Outlay -Equipment
DVD Player 0 0 810 0 0
Digital Still Camera 0 0 900 0 0
Total for Capital Outlay -Equipment: 0 0 1,710 0 0
TOTAL FOR CAPITAL OUTLAY:
M
1,710
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) ANNUAL BUDGET SUMMARY
)i*: FIRE STATION #171 (5] 1)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5038
Life Insurance
5050
Medicare
5052
Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
551,750
581,820
554,640
613,480
613,480
194,670
224,470
221,860
233,870
233,870
132,600
0
0
0
0
0
47,600
45,690
50,810
50,810
0
8,100
8,120
8,640
8,640
0
2,700
1,950
2,130
2,130
0
54,750
52,210
56,620
56,620
0
4,980
4,680
5,100
5,100
0
2,700
2,140
2,700
2,700
3,130
4,650
4,640
3,390
3,390
0
50,000
28,410
34,290
34,290
882,150
981,770
924,340
1,011,030
1,011,030
OPERATIONS & MAINTENANCE
5150 Office Supplies & Equipment
200
100
140
5152 Computer Software
0
300
150
150
5165 Licenses, Permits & Fees
750
800
180
800
0
800
0
5200 Operations & Maintenance
13,890
16,350
17,410
11,650
800
11,650
5300 Contract Services
5,390
3,750
6,620
3,850
3,850
00 Telephone Utilities
1,310
2,970
6,750
.6,950
6,950
Ol Gas Utilities
5402 Water Utilities
1,240
1,150
1,500
2,000
2,000
5403 Electric Utilities
510
7,050
500
6,900
530
8,400
650
12,500
650
12,500
TOTAL FOR OPERATIONS & MAINTENANCE:
30,340
32,820
42,330
38,550
38,550
CAPITAL OUTLAY
5602 Capital Outlay -Bldg Imprvments
1,440
0
40,600
0
5603 Capital Outlay -Equipment
0
0
25,000
0
0
0
TOTAL FOR CAPITAL OUTLAY:
1,440
0
65,600
0
0
TOTAL FOR DIVISION 511: 913,930 1,014,590 1,032,270 1,049,580 1,049,580
FD - 47
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: STATION 1
FUND: 281
COST CENTER: 511
F11-91NER
n
�J
•
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Request
M r. Rcmds
Adopted
Bud et
Auth.
Funded
5000
REGULAR SALARIES
SAFETY
Fire Captain
Fire Engineer
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
Firefighter
300%
300%
300%
300%
300%
Holiday Buyback
Uniform Allowance
5005
OVERTIME SALARIES
Personnel Leave Coverage
FLSA Differential
F11-91NER
n
�J
•
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
_OPERATIONS & MAINTENANCE (51001 DETAIL
Fund: FIRE FUND (281)
IN& FIRE STATION #171 (511)
5200 Operations & Maintenance
s -toot Shop Light -Locker Area
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5150 Office Supplies & Equipment
200
100
140
150
150
Total for Office Supplies & Equipment:
200
100
140
150
150
5152 Computer Software
8.000
Heavy Duty Jack & Jack Stands
0
230
220
Software Upgrades
0
300
0
0
0
Visio Technical Software
0
0
180
0
0
Total for Computer Software:
0
300
180
0
0
516.5 Licenses, Permits & Fees
750
800
800
800
800
Total for Licenses, Permits & Fees:
750
800
800
800
800
5200 Operations & Maintenance
s -toot Shop Light -Locker Area
60
0
0
0
0
Ceiling Tiles-Apparatus/Kitchn
0
1,150
3,600
0
0
Cement South Side of Station
0
0
0
0
0
Exhaust System Intake Repairs
200
200
0
0
0
General Maintenance & Repairs
8,000
8,000
7,000
8,000
8.000
Heavy Duty Jack & Jack Stands
0
230
220
0
0
Household Expenses- Bedding
Inst Combinam Lock -Rear Door
650
80
300
0
100
300
300
0
0
0
Janitorial Supplies
2,650
2,600
2,700
2,650
2.650
Kitchen Replacement Items
300
200
930
200
200
Paint Dayroom
0
300
250
0
0
Paint Station Int & Ext Trim
1,000
0
0
0
0
Regrout Locker/Bath Tiles
300
0
0
0
0
Regrout Restroom Sink Top
0
200
0
0
0
Replace Carpeting
0
0
1,730
0
0
Rplc Flourscent Light Covers
0
320
0
0
0
Rplc Front Entry Window Covmg
0
100
90
0
0
Rplc Front Restroom Vanity
0
250
300
0
0
Rplc Light Covers-Office/Dorm
0
320
300
0
0
Rplc Main Restroom Toilets
0
1,400
0
0
0
Rplc Medicine CabinbetfVanity
250
0
0
0
0
Rplc Restroom Floor Cove Trim
0
150
100
0
0
Rplc Shower Stall Valve
0
150
0
0
U
Shampoo Rugs & Clean Furniture
400
400
0
500
500
Table Lamp for Dayroom
0
80
90
0
0
Total for Operations & Maintenance:
13,890
16,350
17,410
11,650
11.650
5300 Contract Services
Fumigation
280
250
240
250
250
HVAC Service Contract
560
500
250
500
500
Janitorial Services
3,150
2,000
2,200
2,100
2,100
Misc Contract Services
0
0
200
0
0
Station Doors Maint Agtmnt
1,400
1,000
3,730
1,000
1,000
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: FIRE FUND (284)
:ion: FIRE STATION #171 (511)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Obiect Object Description Budget Budget Actual Rcmd Budget
Total for Contract Services: 5,390 3,750 6,620 3,850 3,850
5400
Telephone Utilities
1,310
2,970
6,750
6,950
6,950
Total for Telephone Utilities:
1,310
2,970
6,750
6,950
6,950
5401
Gas Utilities
1,240
1,150
1,500
2,000
2,000
Total for Gas Utilities:
1,240
1,150
1,500
2,000
2,000
5402
Water Utilities
510
500
530
650
650
Total for Water Utilities:
510
500
530
650
650
5403
Electric Utilities
7,050
6,900
8,400
12,500
12,500
Total for Electric Utilities:
7,050
6,900
8,400
12,500
12,500
TOTAL FOR OPERATIONS & MAINTENANCE:
30,340 32,820 42,330 38,550 38,550
FD -50
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
d: FIRE FUND (281)
)ifF : FIRE STATION#171 (511)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budget
Budget
Actual
Rcmd Budget
5602 Capital Outlay -Bldg Imprvments
Disaster Preparedness Shed
720
0
0
0
0
Storage Shed w/Concrete Base
720
0
0
0
0
Undergmd Fuel Tank Replcmnt
0
0
40,600
0
0
Total for Capital Outlay -Bldg Imprvments:
1,440
0
40,600
0
0
5603 Capital Outlay -Equipment
Replc Emergency Generator
0
0
25,000
0
0
Total for Capital Outlay -Equipment:
0
0
25,000
0
0
TOTAL FOR CAPITAL OUTLAY: 1,440 0 65,600
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FIRE FUND (281)
)iq: FIRE STATION #172(512)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5038 Life Insurance
5050 Medicare
5052 Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5150 Office Supplies & Equipment
5152 Computer Software
5165 Licenses, Permits & Fees
5200
Operations & Maintenance
5300
Contract Services
000
Telephone Utilities
01
Gas Utilities
5402
Water Utilities
5403
Electric Utilities
TOTAL FOR OPERATIONS & MAINTENANCE:
551,750
572,390
556,080
609,700
609,700
172,970
213,750
222,440
232,420
232,420
142,030
0
0
0
0
0
54,000
56,660
55,490
55,490
0
8,100
8,510
8,640
8,640
0
2,700
2,040
2,160
2,160
0
53,590
51,390
56,270
56,270
0
4,880
4,610
5,070
5,070
0
2,700
2,340
2,700
2,700
6,970
7,620
7,960
8,040
8,040
0
47,010
28,080
34,070
34,070
873,720
966,740
940,110
1,014,560
1,014,560
400
400
150
400
400
0
300
180
0
0
750
750
1,120
750
750
18,740
22,330
36,230
17,250
17,250
10,050
8,400
7,240
4,100
4,100
3,150
7,200
1,950
2,050
2,050
1,990
1,560
2,100
2,200
2,200
1,380
890
1,100
1,500
1,500
6,340
6,720
8,400
10,500
10,500
42,800
48,550
58,470
38,750
38,750
TOTAL FOR DIVISION 512: 916,520 1,015,290 998,580 1,053,310 1,053,310
FD -52
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: STATION 2
FUND: 281
COST CENTER: 512
FD -53
0
•
•
FY 00/01
Fiscal Year 2001/2002
OBJECT*
Authorized
Level
Dept.M
Request
r. Rcmds
Adopted
Bud et
Auth.
Funded
5000
REGULAR SALARIES
SAFETY
Fire Captain
Fire Engineer
Firefighter
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
Holiday Buyback
Uniform Allowance
5005
OVERTIME SALARIES
Personnel Leave Coverage
FLSA Differential
FD -53
0
•
•
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE [5100) DETAIL
Fund: FIRE FUND (281)
DW: FIRE STATION #172 (512)
5300 Contract Services
k opter maintenance Agreement
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
Adopted
Adopted
Estimated
Manager
Adopted
200
Budget
Budget
Actual
Rcmd
Budget
5150 Office Supplies & Equipment
400
400
150
400
400
Total for Office Supplies & Equipment:
400
400
150
400
1,500
1,200
1,200
Total for Contract Services:
10,050
8,400
400
5152 Computer Software
4,100
Software Upgrades
0
300
0
0
0
Visio Technical Software
0
0
180
0
0
Total for Computer Software:
0
300
180
0
0
5165 Licenses Permits & Fees
750
750
1,120
750
750
Total for Licenses, Permits & Fees:
750
750
1,120
750
750
5200 Operations & Maintenance
General Maintenance & Repairs
7,510
7,800
7,750
7,800
7,800
Household Expenses - Bedding
700
300
100
1,600
1,600
Install Door Sensors
0
0
1,700
0
0
Janitorial Supplies
3,030
2,600
2,700
2,650
2,650
Kitchen Replacement Items
500
200
100
200
200
Paint Station Exterior
1,500
1,500
5,000
0
0
Remodel Station Bathroom
Repair Acoustical Ceiling
5,000
500
5,000
5,300
0
0
Repair Recliners
0
0
480
0
0
0
0
0
0
Repair Utility Room Door
0
300
270
0
0
Replace Air Conditioning Unit
0
0
5,000
0
Replace Heater
0
0
2,100
0
0
0
Replace Recliners (2)
0
0
1,250
0
0
Replace Window Coverings
0
1,600
1,470
0
0
Replc Capt/Eng Chairs
0
0
500
0
0
Replc Carpet/Rmv & Reinst Part
0
0
0
5,000
5,000
Rplc Dormatory Furniture
0
1,300
1,240
0
0
Rplc Mechanics' Bathroom Sink
0
300
320
0
Rplc Utility Room Sink
0
500
480
0
0
0
Shampoo Rugs & Clean Furniture
0
450
500
0
Tint Front Building Windows
0
0
0
450
0
0
Total for Operations & Maintenance:
18,740
22,330
36,230
17,250
17,250
5300 Contract Services
k opter maintenance Agreement
840
800
0
0
0
Fumigation
210
200
190
200
200
Janitorial Services
7,000
5,300
5,350
2,200
2,200
Misc Contract Services
0
600
200
500
500
Station Doors Maintenance Agrm
2,000
1,500
1,500
1,200
1,200
Total for Contract Services:
10,050
8,400
7,240
4,100
4,100
Total for Telephone Utilities:
3,150 7,200 1,950 2,050 2,050
3,150 7,200 1,950 2,050 2,050
Fly - 5d
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
Division: FIRE STATION #172 (512)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5401 Gas Utilities
1,990
1,560
2,100
2,200
2,200
Total for Gas Utilities:
1,990
1,560
2,100
2,200
2,200
5402 Water Utilities
1,380
890
1,100
1,500
1,500
Total for Water Utilities:
1,380
890
1,100
1,500
1,500
5403 Electric Utilities
6,340
6,720
8,400
10,500
10,500
Total for Electric Utilities:
6,340
6,720
8,400
10,500
10,500
TOTAL FOR OPERATIONS & MAINTENANCE:
42,800 48,550 58,470 38,750 38,750
FD -55
11
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: FIRE FUND (28 1)
)i# FIRE STATION #173 (513)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5038
Life Insurance
5050
Medicare
5052
Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5150
Office Supplies & Equipment
5152
Computer Software
5165
Licenses, Permits & Fees
5200
Operations & Maintenance
5300
Contract Services
0
Utilities
orTelephone
,
Gas Utilities
5402
Water Utilities
5403
Electric Utilities
TOTAL FOR OPERATIONS & MAINTENANCE:
554,280
581,820
595,580
627,110
627,110
184,510
196,240
190,590
239,110
239,110
135,560
0
0
0
0
0
50,760
55,950
60,480
60,480
0
8,100
8,270
8,640
8,640
0
2,700
2,080
2,160
2,160
0
54,750
56,650
57,870
57,870
0
4,980
5,080
5,220
5,220
0
2,700
2,230
2,700
2,700
4,390
4,740
4,690
5,580
5,580
0
48,960
28,520
35,060
35,060
878,740
955,750
949,640
1,043,930
1,043,930
500
300
520
300
300
0
300
560
0
0
270
250
250
250
250
12,040
17,700
20,510
19,550
19.550
23,720
23,670
22,760
24,600
24,600
2,300
6,700
7,460
7,000
7,000
1,200
1,290
2,560
2,900
2,900
1,350
1,350
1,780
2,000
2,000
3,470
4,070
4,760
5,200
5.200
44,850
55,630
61,160
61,800
61,800
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 1,200 0 1,500 0 0
TOTAL FOR CAPITAL OUTLAY: 1,200 0 1,500 0 0
TOTAL FOR DIVISION 513:
924,790 1,011,380 1,012,300 1,105,730 1.10 ,30
FD - 56
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: STATION 3
FUND: 281
COST CENTER: 513
FD -57
0
0
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Request
M r. RcmdsAdopted
Bud et
Auth.
T Funded
5000
REGULAR SALARIES
SAFETY
Fire Captain
300%
300%
300%
300%
300%
Fire Engineer
Firefighter
300%
300%
300%
300%
300%
300%
300%
300%
300%
300%
Holiday Buyback
Uniform Allowance
5005
CONSTANT STAFFING/OVERTIME
Personnel Leave Coverage
FLSA Differential
FD -57
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
)i*F d: FIRE FUND (28 1)
: FIRE STATION #173 (513)
5152 Computer Software
Fireline Graphics 0 0 130 0 0
Software Upgrades 0 300 0 0 0
Visio Technical Software 0 0 430 0 0
Total for Computer Software: 0 300 560 0 0
5165 Licenses, Permits & Fees 270 250 250 250 250
Total for Licenses, Permits & Fees: 270 250 250 250 250
5200 Operations & Maintenance
2-1/2 Ton Floor JackNehcl Mat
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budeet
Budget
Actual
Rcmd Budget
5150 Office Supplies & Equipment
0
100
100
Enclose Computer/Comm Cabling
Office Supplies & Equipment
500
300
140
300 300
Replc FAX Machine (EMS/HazMat)
0
0
300
0 0
Telephone for Engineers' Desk
0
0
80
0 0
Total for Office Supplies & Equipment:
500
300
520
300 300
5152 Computer Software
Fireline Graphics 0 0 130 0 0
Software Upgrades 0 300 0 0 0
Visio Technical Software 0 0 430 0 0
Total for Computer Software: 0 300 560 0 0
5165 Licenses, Permits & Fees 270 250 250 250 250
Total for Licenses, Permits & Fees: 270 250 250 250 250
5200 Operations & Maintenance
2-1/2 Ton Floor JackNehcl Mat
0
150
160
0
0
Bay #2 Truck Room Lightng Upgr
250
0
0
0
0
Captains' Room Bulletin Board
0
0
0
100
100
Enclose Computer/Comm Cabling
0
600
0
0
0
Enlarge Front Porch Roof
0
0
0
0
0
General Maintenance & Repairs
5,000
8,000
13,000
8,000
8,000
Household Expenses - Bedding
1,800
300
100
200
200
Inst Front Gate Buzzer
0
300
0
0
0
Inst Front Gate Emerg Phone
0
500
0
0
0
Inst Rain Gutters
0
540
0
0
0
Inst Vehicle Parts Cabinets
0
350
0
0
0
Install Restroom Storage Cabot
0
0
0
250
250
Janitorial Supplies
2,940
2,600
2,700
2,650
2,650
Kitchen Replacement Items
400
200
210
250
250
Paint Station Exterior
0
0
0
1,200
1,200
Physical Training Equip Covers
250
0
0
0
0
Pressure Wash Barn
0
0
0
500
500
Repaint Station Interior
0
1,200
0
0
0
Repaint/Wallpaper Station Int
450
0
0
0
0
Replace Carpeting
0
0
0
2,500
2,500
Replace Leaf Blower
0
0
320
0
0
Replace Shop Tool Box
0
0
0
900
900
Replace Stove
0
0
0
0
0
Replace Stove Vent Hood
0
0
0
0
0
Replace Trailer Skirt/Siding
0
0
2,000
0
0
Replc Metal Cabinet -EMS Suppl
0
0
0
2,500
2,500
Rpl Training Room Swamp Cooler
0
600
900
0
0
Rplc Baseboard & Door Trim
0
500
0
0
0
Rplc Cordless Drill/Station Rp
0
200
220
0
0
Rplc Training Area Ceiling Fan
0
300
0
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (281)
Division: FIRE STATION #173 (513)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Rplc Water Heater
0
360
590
0
0
Rplc Window Screens
0
400
0
0
0
Shampoo Rugs & Clean Furniture
600
600
310
500
500
Vehicle Maint Hardware/Cabinet
350
0
0
0
0
Total for Operations & Maintenance:
12,040
17,700
20,510
19,550
19,550
5300 Contract Services
Fumigation
500
270
260
280
280
Janitorial Services
1,980
1,700
2,080
2,200
2,200
Misc Contract Services
0
0
200
0
0
Property Lease Agreement
18,740
19,200
19,220
19,620
19,620
Station Doors Maintenance Agrm
2,500
2,500
1,000
2,500
2,500
Total for Contract Services:
23,720
23,670
22,760
24,600
24,600
5400 Telephone Utilities
2,300
6,700
7,460
7 000
7,000
Total for Telephone Utilities:
2,300
6,700
7,460
7,000
7,000
5401 Gas Utilities
1,200
1,290
2,560
2,900
2,900
Total for Gas Utilities:
1,200
1,290
2,560
2,900
2,900
5402 Water Utilities
1,350
1,350
1,780
2,000
2,000
Total for Water Utilities:
1,350
1,350
1,780
2,000
2,000
5403 Electric Utilities
3,470
4,070
4,760
5,200
5,200
Total for Electric Utilities:
3,470
4,070
4,760
5,200
5,200
TOTAL FOR OPERATIONS & MAINTENANCE: 44,850 55,630 61,160 61,800 61,800
0
FD -59
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) CAPITAL OUTLAY (5600) DETAIL
*n: FIRE STATION #173 (513)
i
TOTAL FOR CAPITAL OUTLAY: 1,200
willw0flo
1J1
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager Adopted
Object Object Descrbdion
Budget
Budget Actual
Rcmd Budget
5603 Capital Outlay -Equipment
Ice Machine
1,200
0 0
0 0
Replacement Copan
0
0 1,500
0 0
Total for Capital Outlay -Equipment:
1,200
0 1,500
0 0
i
TOTAL FOR CAPITAL OUTLAY: 1,200
willw0flo
1J1
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
)if: FIRE FUND (281)
: FIRE STATION #174(514)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5038
Life Insurance
5050
Medicare
5052
Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5150
Office Supplies & Equipment
5152
Computer Software
5165
Licenses, Permits & Fees
5200
Operations & Maintenance
5280
Equip Operations & Maint
544,140
Contract Services
000
00
Telephone Utilities
5401
Gas Utilities
5402
Water Utilities
5403
Electric Utilities
TOTAL FOR OPERATIONS & MAINTENANCE:
554,280
574,250
544,140
621,840
621,840
196,840
193,280
326,490
237,080
237,080
142,770
0
0
0
0
0
61,300
54,400
63,040
63,040
0
8,100
7,830
8,100
8,100
0
2,700
2,040
2,160
2,160
0
54,060
53,600
57,390
57,390
0
4,910
4,810
5,170
5,170
0
2,700
2,110
2,700
2,700
4,340
4,240
5,120
6,860
6,860
0
49,060
29,140
34,770
34,770
898,230
954,600
1,029,680
1,039,110
1,039,110
750
500
500
500
500
0
300
180
0
0
770
850
850
850
850
24,350
23,560
52,810
21,700
21,700
0
580
1,280
0
0
20,160
18,450
17,840
18,700
18,700
7,620
7,900
10,500
10,000
10,000
4,310
3,500
5,700
6,500
6,500
8,100
7,090
7,800
8,500
8,500
23,600
22,570
23,500
25,000
25,000
89,660
85,300
120,960
91,750
91,750
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 0 0 9,600 0 0
TOTAL FOR CAPITAL OUTLAY: 0 0 9,600 0 0
TOTAL FOR DIVISION 514: 987,890 1,039,900 1,160,240 1,130,860 1,130 860
FD -61
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: STATION 4
FUND: 281
COST CENTER: 514
OBJECT
#
FY 2000/01
Authorized
Fiscal Year
2001/2002
Dept.
M r.
Rcmds
Adopted
Auth.
Funded
Level
Request
Budget
GULAR SALARIES
SAFETY
Captain
300%
300%
300%
300%
300%
7Holi
Engineer
300%
300%
300%
300%
300%
fighter
300%
300%
300%
300%
300%
day Buyback
UniformAllowance
5005
OVERTIME SALARIES
Personnel Leave Coverage
FLSA Differential
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
F d: FIRE FUND (281)
7: FIRE STATION #174 (514)
5152 Computer Software
Software Upgrades
Visio Technical Software
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
0
Adopted
Adopted Estimated
Manager Adopted
Object Object Description
Budget
Budget Actual
Rcmd Budget
5150 Office Supplies & Equipment
750
500 500
500 500
Total for Office Supplies & Equipment:
750
500 500
500 500
5152 Computer Software
Software Upgrades
Visio Technical Software
0
0
300
0
0
180
0
0
0
0
Total for Computer Software:
0
300
180
0
0
5165 Licenses, Permits & Fees
770
850
850
850
850
Total for Licenses, Permits & Fees:
770
850
850
850
850
5200 Operations & Maintenance
500
400
300
400
400
uesxtop Reprs (Office/Library)
0
0
3,450
0
0
General Maintenance & Repairs
11,500
12,600
12,000
12,600
12,600
Household Expenses- Bedding
700
500
370
700
700
Janitorial Supplies
5,700
5,350
5,400
5,500
5.500
Kitchen Replacement Items
500
400
300
400
400
Overhaul Lawnmower
800
0
0
0
0
isPaint Station Interior
Refinish Cabinets (Ktch/Rstrm)
0
0
0
0
0
0
0
3,000
0
0
Repair Kitchen Counter
0
0
1,000
0
0
Replace Dayroom Chairs
0
0
3,000
0
0
Replace Dormatory Carpeting
0
0
10,300
0
0
Replace Kitchen Sink & Faucet
0
0
1,060
0
0
Replace Office Area Carpeting
0
0
5,340
0
0
Replace Restroom Faucets
0
0
950
0
0
Replace Vacuum Cleaner
0
0
250
0
0
Replace Water Heater
0
0
1,550
0
0
Rplc Training Room Window Cvrs
0
2,160
2,150
0
0
Shampoo Rugs & Clean Furniture
800
800
790
600
(0)
Specialized Lighting
500
0
0
0
0
Station Repair Materials
1,500
1,750
1,900
1,900
100
Tool Replacement
500
0
0
0
0
Tool Sharpening & Repairs
500
0
0
0
0
Vehicle Repr Tools/Box/Acsory
750
0
0
0
0
Workshop Electrical Repairs
600
0
0
0
0
Total for Operations & Maintenance:
24,350
23,560
52,810
21,700
21,700
5280 Equip Operations & Maint
Collapsible Plaster -Rubbish Hk
0
220
200
0 0
Denver Tool -Forcible Entry
0
190
220
0 0
Salvage Cvrs/Hall Rnrs/Debris
0
0
700
0 0
Short Handle Pick Head Axe
0
170
160
0 0
Total for Equip Operations & Maint:
0
580
1,280
0 0
5300 Contract Services
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
)ivisien: FIRE STATION #174(514)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Alarm Maintenance Agreement
500
500
480
500
500
Copier Maintenance Agreement
1,160
700
680
700
700
Fire Extinguisher Maintenance
460
500
250
400
400
Fumigation
1,400
700
450
500
500
Grounds Maintenance
2,020
2,150
2,500
2,500
2,500
HVAC Quarterly Maintenance
5,370
5,300
5,310
5,400
5,400
Janitorial Services
4,700
3,300
3,570
3,700
3,700
Misc Contract Services
1,000
1,500
500
1,000
1,000
Security Gate Maintenance
800
800
500
800
800
Station Doors Maintenance Agrm
2,750
3,000
3,600
3,200
3,200
Total for Contract Services:
20,160
18,450
17,840
18,700
18,700
_5400 Telephone Utilities
7,620
7,900
10,500
10,000
10,000
Total for Telephone Utilities:
7,620
7,900
10,500
10,000
10,000
5401 Gas Utilities
4,310
3 500
5 700
6 500
6 500
Total for Gas Utilities:
4,310
3,500
5,700
6,500
6,500
5402 Water Utilities
8,100
7,090
7,800
8,500
8,500
Total for Water Utilities:
8,100
7,090
7,800
8,500
8,500
5403 Electric Utilities
23,600
22,570
23,500
25,000
25,000
Total for Electric Utilities:
23,600
22,570
23,500
25,000
25,000
TOTAL FOR OPERATIONS & MAINTENANCE:
89,660 85,300 120,960 91,750 91,750
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: FIRE FUND(
281)
D*: FIRE STATION #174 (514)
TOTAL FOR CAPITAL OUTLAY:
0
0
0 0 9,600 0 0
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Object Description
5603 Capital Outlay -Equipment
Adopted
Budget
Adopted
Budget
Estimated
Actual
Manager Adopted
Rcmd Budget
Chain Saw -16" w/Extra Bar
Replacement Hurst Tool Cutters
Replacement Riding Lawn Mower
0
0
0
0
0
0
1,600
4,000
4,000
0
0
0
0
0
0
0
Total for Capital Outlay -Equipment:
0
0
9,600
0
TOTAL FOR CAPITAL OUTLAY:
0
0
0 0 9,600 0 0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) ANNUAL BUDGET SUMMARY
FIRE STATION #175 (515)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5038
Life Insurance
5050
Medicare
5052
Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
OPERATIONS & MAINTENANCE
5150 Office Supplies & Equipment
5152 Computer Software
5165 Licenses, Permits & Fees
5200 Operations & Maintenance
5300
Contract Services
00
Telephone Utilities
Ol
Gas Utilities
5402
Water Utilities
5403
Electric Utilities
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
TOTAL FOR CAPITAL OUTLAY:
447,070
559,110
582,050
627,110
627,110
150,660
197,610
215,360
239,110
239,110
130,160
0
0
0
0
0
60,360
56,180
54,530
54,530
0
8,100
7,660
8,100
8,100
0
2,700
2,090
2,160
2,160
0
52,680
55,820
57,870
57,870
0
4,770
5,010
5,220
5,220
0
2,700
2,270
2,700
2,700
7,480
5,290
7,030
8,980
8,980
0
48,280
27,610
35,060
35,060
735,370
941,600
961,080
1,040,840
1,040,840
450
300
200
300
300
0
300
670
0
0
710
690
750
800
800
20,800
30,150
36,360
19,700
19,700
17,980
16,770
16,320
17,450
17,450
3,960
7,500
11,100
12,000
12,000
2,880
2,820
5,200
5,500
5,500
5,520
5,070
7,310
7,500
7,500
16,250
16,200
20,270
21,000
21,000
68,550
79,800
98,180
84,250
84,250
0
0
3,100
7,000
7,000
0
0
3,100
7,000
7,000
TOTAL FOR DIVISION 515: 803,920 1,021,400 1,062,360 1,132,090 1,132,090
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: STATION 5
FUND: 281
COST CENTER: 515
FD -67
LJ
1]
0
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Reguest
Mgr. Rcmds
Adopted
Bud et
Auth. Funded
5000
REGULAR SALARIES
SAFETY
Fire Captain
300%
300%
300% 300%
300%
Fire Engineer
300%
300%
300% 300%
300%
Firefighter
300%
300%
300% 300%
300%
Holiday Buyback
Uniform Allowance
5005
OVERTIME SALARIES
Personnel Leave Coverage
FLSA Differential
FD -67
LJ
1]
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE(510[1) DETAIL
Fund: FIRE FUND (281)
*n: FIRE STATION #175 (515)
5152 Computer Software
Software Upgrades 0 300 0 0 0
Visio Technical Software 0 0 670 0 0
Total for Computer Software: 0 300 670 0 0
5165 Licenses Permits & Fees
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Object Ob'ect Description
5150 Office Supplies & Equipment
Total for Office Supplies & Equipment:
Adopted
Budget
450
450
Adopted Estimated
Budget Actual
300 200
300 200
Manager Adopted
Rcmd Budget
300 300
300 300
5152 Computer Software
Software Upgrades 0 300 0 0 0
Visio Technical Software 0 0 670 0 0
Total for Computer Software: 0 300 670 0 0
5165 Licenses Permits & Fees
710
690
750
Total for Licenses, Permits & Fees:
710
690
800
800
750
800
800
5200 Operations & Maintenance
Clean Apparatus Bay
0
0
Construct Storage Cabinets
0
1,000
0
0
Desk Construction
1,380
0
0
0
800
800
General Maintenance & Repairs
9,440
10,000
0
9,000
0
9,000
0
Household Expenses - Bedding
1,000
300
300
9,000
Inst Cabinets in Kitchen
0
1,500
1,500
Inst Cabinets in Library
0
400
410
0
0
1,190
1,200
0
0
Inst Cabinets in Storage Area
0
4,240
4,300
0
Janitorial Supplies
6,080
5,350
5,400
5,500
0
5,500
Kitchen Replacement Items
940
400
300
Paint Station Interior
0
400
400
Refinish Kitchen Cabinets
0
0
0
0
0
Repair Kitchen Cabinets
300
0
1,000
0
0
Repair Window Frame
0
0
500
0
0
0
Replace Back -Pack Blower
0
510
0
0
Replace Carpeting
0
0
390
0
0
Replace Dayroom Chairs (4)
0
0
1,650
0
0
Replace Kitchen Sink
0
0
2,400
0
0
Replace Radio Amplifier
0
0
0
500
500
Replace Vacuum Cleaner
0
0
1,000
0
0
Replc Dumpster Enclosure Doors
0
0
0
400
0
0
Rplc Front Office Window Cvmg
0
2,000
0
2,100
800
800
Rplc Refrigerator
0
3,320
3,330
0
0
0
Rplc Sprinkler Parts
0
200
210
0
0
Rplc Trees & Plants
0
200
190
0
0
Shampoo Rugs & Clean Furniture
1,050
1,100
0
0
Specialized Lighting
610
600
900
1,200
1,200
Upholstery Cleaning Machine
0
350
370
0
0
0
0
Total for Operations & Maintenance:
20,800
30,150
36,360
19,700
19,700
300 Contract Services
JW Alarm Maintenance Agreement
500
500
480
500
Copier Maintenance Agreement
900
900
1,200
900
500
Fire Extinguisher Maintenance
300
130
120
150
900
150
FT) - tlx
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
)ivision: FIRE STATION #175 (515)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Fumigation
600
400
770
800
800
Grounds Maintenance
2,500
2,900
2,600
2,800
2,800
HVAC Quarterly Maintenance Agr
5,380
5,300
4,800
5,400
5,400
Janitorial Services
4,800
3,500
4,350
4,000
4,000
Misc Contract Services
800
900
500
900
900
Security Gate Maintenance
800
800
0
800
800
Station Doors Maintenance Agrm
1,400
1,440
1,500
1,200
1,200
Total for Contract Services:
17,980
16,770
16,320
17,450
17,450
5400
Telephone Utilities
3,960
7,500
11,100
12,000
12,000
Total for Telephone Utilities:
3,960
7,500
11,100
12,000
12,000
5401
Gas Utilities
2,880
2,820
5,200
5,500
5,500
Total for Gas Utilities:
2,880
2,820
5,200
5,500
5,500
5402
Water Utilities
5,520
5,070
7,310
7,500
7,500
Total for Water Utilities:
5,520
5,070
7,310
7,500
7,500
5403
Electric Utilities
16,250
16,200
20,270
21,000
21,000
Total for Electric Utilities:
16,250
16,200
20,270
21,000
21,000
TOTAL FOR OPERATIONS & MAINTENANCE: 68,550 79,800 98,180 84,250 . 84,250
LJ
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
4F d: FIRE FUND (28 1)
)i : FIRE STATION #175 (515)
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted Estimated
Manager
Adopted
Object Object Description Budget
Budget Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
Replacement Digital Copier 0
0 0
7,000
7,000
Replacement Lawn Mower 0
0 3,100
0
0
Total for Capital Outlay -Equipment: 0
0 3,100
7,000
7,000
TOTAL FOR CAPITAL OUTLAY: 0 0 3,100 7,000 7,000
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
AWF d: FIRE FUND (281)
COMMUNITY RELATIONS (525)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
bs
0
30
30
50
50
5100 Travel, Meetings & Training
500
500
300
500
500
5150 Office Supplies & Equipment
1,000
250
200
250
250
5155 Public Relations/Educ Material
4,500
5,500
2,200
4,750
4,750
5160 Membership Dues
0
290
310
320
320
5161 Publit &v '
ca�ons u cnpuons
0
30
30
50
50
5200 Operations & Maintenance
3,000
3,000
3,000
3,000
3,000
TOTAL FOR OPERATIONS & MAINTENANCE:
9,000
9,570
6,040
8,870
8,870
11
TOTAL FOR DIVISION 525: 9,000 9,570 6,040 8,870 8,870
FD -71
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
Division: COMMUNITY RELATIONS (525)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Oblect Description Budget Budget Actual Rcmd Budget
5100 Travel, Meetings & Training
CAPIO Conference
500
500
300
500
500
Total for Travel, Meetings & Training:
500
500
300
500
500
5150 Office Supplies & Equipment
District Quarterly Report Prep
1,000
0
0
0
0
Newsletter Supplies
0
250
200
250
250
Total for Office Supplies & Equipment:
1,000
250
200
250
250
5155 Public Relations/Educ Material
Community Relations Materials
1,000
1,000
950
1,000
1,000
Slide & Negative Film/Polaroid
2,500
2,500
250
2,200
2,200
Thor Cards
0
1,000
500
750
750
Video Editiing/Production
1,000
1,000
500
800
800
Total for Public Relations/Educ Material:
4,500
5,500
2,200
4,750
4,750
5160 Membership Dues
CAPIO
0
60
60
70
70
Pub Relations Society of Amer
0
230
250
250
2501
Total for Membership Dues:
0
290
310
320
320
5161 Publications & Subscriptions
0
30
30
50
50
Total for Publications & Subscriptions:
0
30
30
50
50
5200 Operations & Maintenance
Fire Explorer Program
3,000
3,000
3,000
3,000
3,000
Total for Operations & Maintenance:
3,000
3,000
3,000
3,000
3,000
TOTAL FOR OPERATIONS & MAINTENANCE:
9,000 9,570 6,040 8,870 8,870
10
9
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
ifF d: FIRE F[1ND (281)
TECHNICAL RESCUE (526)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
OPERATIONS & MAINTENANCE
5100 Travel, Meetings & Training 1,500 12,000 13,900 16,030 16,030
5160 Membership Dues 200 200 150 200 200
5161 Publ'
[canons & Subscriptions
5280 Equip Operations & Maint
5290 Specialized Tools & Equipment
TOTAL FOR OPERATIONS & MAINTENANCE:
150
4,850
0
150
6,870
9,710
100
10,650
14,180
150
9,010
8,350
150
9,010
8,350
6,700
28,930
38,980
33,740
33,740
CAPITAL OUTLAY
5603 Capital Outlay -Equipment
TOTAL FOR CAPITAL OUTLAY:
0
0
7,790
0
0
0
0
7,790
0
0
0
TOTAL FOR DIVISION 526: 6,700 28,930 46,770 33,740 33,740
FD -73
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: FIRE FUND (28 1)
)ivision: TECHNICAL RESCUE (526)
5280 Equip Operations & Maint
1-1/2 Roto Hammer
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
0
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd.
Budget
0
0
Assorted Wood
1,500
1,500
1,500
5100 Travel, Meetings & Training
1,500
Aztec Edge Kits
0
250
240
Confnd Space/Trench/Swift Warr
0
4,400
2,600
2,300
2,300
Large Animal Rescue Training
0
0
0
900
900
Rescue Specialist Training
0
0
0
3,750
3,750
Rescue Sys II/Confnd Spc Instr
0
2,550
2,400
1,730
1,730
Rescue System I Instrct Train
0
0
0
1,350
1,350
Ropes & Adv Swift Water
0
5,050
8,900
6,000
6,000
Technical Rescue Training
1,500
0
0
0
0
Total for Travel, Meetings & Training:
1,500
12,000
13,900
16,030
16,030
5160 Membership Dues
200
200
150
200
200
Total for Membership Dues:
200
200
150
200
200
5161 Publications & Subscriptions
150
150
100
150
150
Total for Publications & Subscriptions:
150
150
100
150
150
5280 Equip Operations & Maint
1-1/2 Roto Hammer
0
650
600
0
0
12 -volt Dewalt Charger
0
100
130
700
700
Assorted Replcmnt Accessories
0
0
0
0
0
Assorted Wood
1,500
1,500
1,500
1,500
1,500
Aztec Edge Kits
0
250
240
0
0
Broco Replacement Equipment
0
0
1,670
0
0
Cordless Sawsall
0
290
280
0
0
Electric Drill
0
180
170
0
0
Hurst Tool Tips, Hose & Ram
250
0
1,810
1,810
1,810
MSA 4 Gas Monitor;Rplc Sensor
2,500
2,500
2,300
2,500
2,500
Nail Gun, Battery & Nails
0
0
600
600
600
Replacement Cutting Blades
100
600
650
1,400
1,400
Rolled Plastic
500
0
0
500
500
Screw Jacks
0
600
500
0
0
Wizzer Saw & Blades
0
200
200
0
0
Total for Equip Operations & Maint:
4,850
6,870
10,650
9,010
9,010
5290 Specialized Tools & Equipment
Assrt Rescue Tools/Equip Engns
0
2,150
2,150
1,500
1,500
Assrt Rescue Tools/Equip R175
0
3,100
3,000
2,000
2,000
Replacement Carabiners
0
500
500
500
500
Replacement Prussik Material
0
250
250
250
250
Replacement Rescue Harness
0
530
500
500
500
Replacement Rope; 1/2" X 200
0
1,000
1,000
1,000
1,000
Replacement Rope; 1/2" X 600
0
1,200
1,000
1,200
1,200
Replacement Webbing
0
400
300
300
300
Rplcmnt Confined Space Harness
0
580
700
600
600
Specializd Animal Rescue Equip
0
0
0
500
500
Trilinks, Rope & Aztec Kits
0
0
1,230
0
0
FD -74
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
FIRE FUND (281) OPERATIONS & MAINTENANCE (5100) DETAIL
d:
TECHNICAL RESCUE (526)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
Vests, Helmets, Litters & Accs 0 0 3,550 0 0
Total for Specialized Tools & Equipment: 0 9,710 14,180 8,350 8,350
TOTAL FOR OPERATIONS & MAINTENANCE:
6,700 28,930 38,980 33,740 33,740
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: FIRE FUND (28 1)
Division: TECHNICAL RESCUE (526)
TOTAL FOR CAPITAL OUTLAY: 0 0 7,790
0
11
FD -76
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager Adopted
Object Object Description
Budget
Budget
Actual
Rcmd Budget
5603 Capital Outlay -Equipment
Replacement Hurst Tool Cutters
0
0
4,000
0
0
Rpl Port Hurst Tool Power Unit
0
0
3,790
0
0
Thermal Imaging Devices (3)
0
0
0
0
0
Total for Capital Outlay -Equipment:
0
0
7,790
0
0
TOTAL FOR CAPITAL OUTLAY: 0 0 7,790
0
11
FD -76
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) ANNUAL BUDGET SUMMARY
DO: VEHICLEIEQUIPMENT MAINTENANCE (527)
1999/2000 Fiscal Year 2000 1 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Obiect/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5015
On Call Pay/Stand-By Pay
5030
Fringe Benefits
5031
Medical Insurance
5033
5034
5035
5036
5037
5038
5050
5052
Dental Insurance
Optical Insurance
P.E.R.S.
P.E.R.S. - EPMC
Long -Term Disability
Life Insurance
Med'
104,750
113,630
119,220
128,360
128,360
15,700
18,400
29,810
26,600
26,600
4,680
4,680
4,680
4,680
4,680
27,720
0
0
0
0
0
14,740
16,180
16,480
16,480
0
1,800
1,910
1,920
1,920
0
600
470
480
480
0
7,960
8,730
9,000
9,000
0
570
610
620
620
0
180
230
240
240
0
600
500
600
600
scare
Workers' Compensation
690
770
840
890
890
Postage
0
910
420
860
860
TOTAL FOR PERSONNEL SERVICES:
153,540
164,840
183,600
190,730
190.730
OPERATIONS & MAINTENANCE
5100
Travel, Meetings -& Training
5150
Office Supplies & Equipment
5151
Postage
60
Membership Dues
61
Publications & Subscriptions
5165
Licenses, Permits & Fees
5200
Operations & Maintenance
5250
Vehicle Operations & Maint.
5255
Gasoline
5256
Diesel Fuel
5280
Equip Operations & Maint
5290
Specialized Tools & Equipment
5300
Contract Services
5400
Telephone Utilities
5401
Gas Utilities
5402
Water Utilities
5403
Electric Utilities
TOTAL FOR OPERATIONS & MAINTENANCE:
5,200
6,600
1,900
6,600
6,600
500
500
1,200
500
500
60
50
50
50
50
170
170
140
180
180
930
1,030
400
1,030
1.030
300
300
850
300
300
6,100
15,400
4,500
15,450
15.450
161,500
179,000
205,000
183,500
183.500
13,000
20,000
25,000
22,000
22.000
43,000
50,000
52,000
55,000
55.000
6,440
7,600
7,850
8,100
8.100
8,450
6,000
10,850
5,100
5.100
4,460
7,280
7,000
7,700
7,700
550
1,050
550
1,800
1.800
0
950
100
2,520
2.520
0
800
100
1,350
1.350
0
4,600
500
13,340
11.40
250,660
301,330
317,990
324,520
324,520
CAPITAL OUTLAY
5603 Capital Outlay -Equipment 7,000 9,500 10,930 20,500 20 500
TOTAL FOR CAPITAL OUTLAY: 7,000 9,500 10,930 20,500 20500
TOTAL FOR DIVISION 527:
411,200 475,670 512,520 535,750 535,750
FD - 77
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: VEHICLE & EQUIPMENT MAINTENANCE
FUND: 281
COST CENTER: 527
W-93WI-1
0
0
0
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Request
M r. Rcmds
Adopted
Bud et
Auth.
Funded
5000
REGULAR SALARIES
Maintenance Officer
100%
100%
100%
100%
100%
Fire Equipment Mechanic
Holiday Buyback
100%
100%
100%
100%
100%
Uniform Allowance
5005
OVERTIME SALARIES
5015
ON CALL SALARIES
W-93WI-1
0
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
)i*: VEHICLE/EQUIPMENT MAINTENANCE (527)
5151 Postage
Oil Sample Mailing
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
50
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5100 Travel, Meetings & Training
70
Calif Chiefs Mechanics Section
90
90
60
Detroit Diesel/Allison Updates1,000
90
1,000
1,000
1,000
1,000
Fire Tech Seminar
1,200
1,200
0
2,700
2,700
Hale Pump Test
0
500
0
500
500
Mechanics' Academy
1,000
1,000
700
1,000
1,000
Monthly Mechanic's Meetings
0
400
200
400
400
National Fire Academy
0
1,500
0
0
0
Phoenix Braking Symposium
1,000
0
0
0
0
Training Officers' Conference
1,000
1,000
0
1,000
1,000
Total for Travel, Meetings & Training:
5,200
6,600
1,900
6,600
6,600
5150 Office Supplies & Equipment
500
500
1,200
500
500
Total for Office Supplies & Equipment:
500
500
1,200
500
500
5151 Postage
Oil Sample Mailing
60
50
50
50
50
Total for Postage:
60
50
50
50
50
5160 Membership Dues
70
70
20
70
70
Calif Chiefs Mechanics Section
90
90
60
90
90
Society of Automotive Engineer
80
80
80
90
90
Total for Membership Dues:
170
170
140
180
180
5161 Publications & Subscriptions
0
100
1,400
100
0
0
1,400
150
1,400
ASh 1 esnng
300
250
50
250
250
Fire Apparatus Journal
60
60
60
60
60
Fire Engineering
70
70
20
70
70
NFPA/Cal Chiefs/Fire Mechanics
100
250
0
250
250
Repair Manuals
400
400
270
400
400
Total for Publications & Subscriptions:
930
1,030
400
1,030
1,030
5165 Licenses, Permits & Fees 300 300 850 300 300
Total for Licenses, Permits & Fees: 300 300 850 300 300
5200 Operations & Maintenance
Aerial Ladder Certification
0
0
0
1,500
1,500
Exhaust Blower Parts
500
400
0
400
400
Fuel Island Pumps/NozzlestHose
1,000
1,000
1,000
1,500
1,500
Fuel Tank/Monitor System Repr
3,000
5,000
2,500
3,000
3,000
General Maintenance & Repairs
0
6,000
1,000
6,000
6,000
Hydraulic Jacks/Cylinders
1,000
1,000
0
1,000
1,000
Janitorial Supplies
. Mechanics' Certifications
0
100
1,400
100
0
0
1,400
150
1,400
Wire Feed Welder Service Repr
500
500
0
500
150
500
Total for Operations & Maintenance:
6,100
15,400
4,500
15,450
15,450
FD -79
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) OPERATIONS & MAINTENANCE (5100) DETAIL
Division: VEHICLE/EQUIPMENT MAINTENANCE (527) Is
5280 Equip Operations & Maint
Air Compressor Repairs
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
250
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5250 Vehicle Operations & Maint.
1,000
Hurst Tool Repairs
740
700
0
Major Vehicle Overhauls
20,000
25,000
5,000
25,000
25,000
Vehicle Repair
89,500
102,000
120,000
105,000
105,000
Vehicle Supplies & Parts
52,000
52,000
80,000
53,500
53,500
Total for Vehicle Operations & Maint.:
161,500
179,000
205,000
183,500
183,500
5255 Gasoline
13,000
20,000
25,000
22,000
22,000
Total for Gasoline:
13,000
20,000
25,000
22,000
22,000
5256 Diesel Fuel
43,000
50,000
52,000
55,000
55,000
Total for Diesel Fuel:
43,000
50,000
52,000
55,000
55,000
5280 Equip Operations & Maint
Air Compressor Repairs
200
200
200
250
250
Air Tool/Ratchet Overhaul
200
200
0
200
200
Aux. Generator, Rescue Saws
1,000
1,000
0
1,000
1,000
Hurst Tool Repairs
740
700
0
1,000
1,000
Hydrant Fittings & Supplies
500
500
500
500
500
Install Light Assemblies ME172
0
0
1,000
0
0
Salvage Covers
0
0
1,150
0
0
Siren Repairs
1,200
1,600
4,000
1,650
1,650
Strobe Lights & Parts Supplies
2,600
3,400
1,000
3,500
3,500
Total for Equip Operations & Maint:
6,440
7,600
7,850
8,100
8,100
5290 Specialized Tools & Equipment
Braking Test Performance Comp
2,300
0
0
0
0
Bridgeport Milled Lathe Parts
0
500
500
500
500
Carbide Chain Repairs/Replcmnt
750
600
750
600
600
DDEC IV Cartridge
1,000
1,000
0
0
0
Detroit Diesel Diagnostic Link
0
0
1,500
0
0
Replc Inductive Timing Light
150
0
0
0
0
Small Tool Replacement
4,000
3,500
5,500
3,500
3,500
Voltmeter & Load Tester
0
0
2,000
0
0
Welding Supplies/Cutting Torch
250
400
600
500
500
Total for Specialized Tools & Equipment:
8,450
6,000
10,850
5,100
5,100
5300 Contract Services
Extinguisher Service & Repair
2,500
2,580
3,000
2,650
2,650
Janitorial Services/Supplies
0
900
0
1,000
1,000
Misc Contract Services
0
0
1,900
750
750
Opacity Checks -Diesel Vehicles
0
750
1,000
750
750
Smog Checks - Staff Vehicles
560
650
600
650
650
Station Doors & HVAC System
0
900
0
900
900 •
Steam Cleaning Service
1,000
1,000
0
500
500
Vehicle Tow Services
400
500
500
500
500
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
F d: FIRE FCTND (281) _OPERATIONS & MAINTENANCE (5100) DETAIL
VEHICLE/EQUIMMNT MAINTENANCE (527)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Obiect Description Budget Budget Actual Rcmd Budget
i mat for Uontract Services: 4,460 7,280 7,000 7,700 7,700
5400
Telephone Utilities
550
1 050
550
1,800
1 800
Total for Telephone Utilities:
550
1,050
550
1,800
1,800
5401
Gas Utilities
0
950
100
2,520
2,520
Total for Gas Utilities:
0
950
100
2,520
2,520
5402
Water Utilities
0
800
100
1,350
1,350
Total for Water Utilities:
0
800
100
1,350
1,350
5403
Electric Utilities
0
4,600
500
13,340
13,340
Total for Electric Utilities:
0
4,600
500
13,340
13,340
TOTAL FOR OPERATIONS & MAINTENANCE:
9
250,660 301,330 317,990 324,520 324,520
�3J
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
CAPITAL OUTLAY (5600) DETAIL
Fund: FIRE FUND (28 1)
Avision: VEHICLE/EQUIPMENT MAINTENANCE (527)
9
TOTAL FOR CAPITAL OUTLAY: 7,000 9,500 10,930 20,500 20,500
E
E
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
5603 Capital Outlay -Equipment
Compartment Reprs (Unit 22-82)
0
0
0
7,500
7,500
Control Box for Lifts
0
0
1,890
0
0
Forklift Adaptors for Lifts
0
0
2,240
0
0
Paint & Body Work
5,000
5,000
3,000
5,000
5,000
Pump Test Manifld/Flowmtr Bnch
0
1,500
800
0
0
Replacement Ground Ladders
2,000
3,000
3,000
3,000
3,000
Trans Overhaul (Unit 22-82)
0
0
0
5,000
5,000
Total for Capital Outlay -Equipment:
7,000
9,500
10,930
20,500
20,500
TOTAL FOR CAPITAL OUTLAY: 7,000 9,500 10,930 20,500 20,500
E
E
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: FIRE FUND (28 1) ANNUAL BUDGET SUMMARY
0*: RDA REIMBURSABLE PROGRAMS (530)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5037
Long -Term Disability
5038
Life Insurance
5050
Medicare
5052
Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
TOTAL FOR DIVISION 530:
63,440
66,920
65,490
69,840
69,840
1,750
4,620
5,230
6,750
6,750
15,150
0
0
0
0
0
5,760
7,250
6,320
6,320
0
420
480
420
420
0
300
280
240
240
0
6,030
5,630
6,290
6,290
0
550
550
570
570
0
300
380
360
360
0
700
310
300
300
950
1,040
1,030
1,120
1,120
0
0
0
560
560
81,290
86,640
86,630
92,770
92,770
81,290
86,640
86,630
92,770
92,770
TOTAL FOR FIRE FUND: 7,886,090 8,685,000 8,830,980 9,583,240 9,583,240
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: RDA REIMBURSABLE PROGRAMS
FUND: 281
COST CENTER: 530
FD -84
•
0
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Request
Mgr. Rcmds
Adopted
Bud et
Auth.
Funded
5000
REGULAR SALARIES
Plans Examiner (Fire)
100%
100%
100%
100%
100%
Holiday Compensation
Uniform Allowance
ALSO SEE:
RDA (2505801-5300)
Plans Examiner (Fire)
5005
OVERTIME SALARIES
FD -84
•
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ESTIMATED REVENUES
�und: COMM FACILITIES DIST 85-1 (282)
4101 Property Taxes-CY Secured
Budgeted
Budgeted
Revenue
4103 Property Taxes-PY Sec & Unsec
Revenue
Revenue
Estimate
4104 Property Taxes-Penalties/Int.
Fiscal Year
Fiscal Year
Fiscal Year
Obi ect/Descriation
1999/2000
2000/01
2001/02
TAXES (4100)
4101 Property Taxes-CY Secured
2,443,700
2,609,930
2,824,080
4103 Property Taxes-PY Sec & Unsec
31,060
32,980
38,940
4104 Property Taxes-Penalties/Int.
39,630
8,850
9,020
TOTAL FOR TAXES:
2,514,390
2,651,760
2,872,040
USE OF MONEY & PROPERTY (4400)
4401 Interest Earnings
95,130
98,810
75,440
TOTAL FOR USE OF MONEY & PROPERTY:
95,130
98,810
75,440
TRANSFER IN (8000)
8001 Transfer In -General Fund
Transfer In From City
0
52,930
52,930
TOTAL FOR TRANSFER IN:
0
52,930
52,930
TOTAL FOR COMM FACILITIES DIST 85-1:
2,609,520
2,803,500
3,000,410
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND, DIVISION
282 COMM FACILITIES DIST 85-1
501 FIRE ADMINISTRATION
506 FIRE SAFETY
508 OPERATIONS
510 PERSONNEL DEVELOPMENT
514 FIRE STATION #174
515 FIRE STATION #175
527 VEHICLEIEQUIPMENT MAINTENANCE
TOTAL FOR COMM FACILITIES DIST 85-1:
11
L J
313,430
1999/2000
2000/01
2001/02
Fund/Description
Adapted
Adopted
Adopted
Division/Description
Budget
Budget
Budget
282 COMM FACILITIES DIST 85-1
501 FIRE ADMINISTRATION
506 FIRE SAFETY
508 OPERATIONS
510 PERSONNEL DEVELOPMENT
514 FIRE STATION #174
515 FIRE STATION #175
527 VEHICLEIEQUIPMENT MAINTENANCE
TOTAL FOR COMM FACILITIES DIST 85-1:
11
L J
313,430
280,690
334,550
301,060
329,990
337,610
18,800
24,200
25,500
114,010
135,570
118,670
892,060
968,260
1,071,230
902,720
993,350
1,035,940
67,440
71,440
76,910
2,609,520 2,803,500 3,000,410
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
F nd: COMM FACILITIES DIST 85-1 (282) ANNUAL BUDGET SUMMARY
D: FIRE ADMINISTRATION (501)
1999/2000 Fiscal Year 2000/O1 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Ob_iect/Descrlption Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
154,910
195,350
136,630
234,160
234,160
5005
Overtime Salaries
34,020
27,970
27,510
35,130
35,130
5030
Fringe Benefits
26,490
0
0
0
17,600
5031
Medical Insurance
0
5,810
2,510
13,350
0
13,350
5033
Dental Insurance
0
1,320
610
2,340
2,340
5034
Optical Insurance
0
600
350
720
720
5035
5036
P.E.R.S.
P.E.R.S. - EPMC
0
14,560
11,280
16,930
16,930
5037
Long -Term Disability
0
0
1,220
990
1,380
1,380
5038
Life Insurance
0
0
600
0
300
300
5050
Medicare
1,010
1,140
420
1,000
900
1,440
900
1,440
5052
Workers' Compensation
0
11,750
7,250
6,650
6,650
5054
Deferred Compensation (457)
0
2,670
370
2,750
2,750
TOTAL FOR PERSONNEL SERVICES:
216,430
262,990
188,920
316,050
316,050
OPERATIONS & MAINTENANCE
5300 Contract Services
5416 General Liability Insurance
14,000
14,700
14,600
15,500
15,500
5955 Desig-Employee Leave Payouts
3,000
80,000
3,000
3,000
3,000
3,000
T*L FOR OPERATIONS & MAINTENANCE:
0
0
0
0
97,000
17,700
17,600
18,500
18,500
TOTAL FOR DIVISION 501:
11
313,430 280,690 206,520 334,550 334,550
ISPIE l
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: ADMINISTRATION
FUND: 282
COST CENTER: 501
0
0
LJ
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Request
M r. Rcmds
Adopted
Bud et
Auth.
Funded
5000
REGULAR SALARIES
SAFETY
Fire Battalion Chief
100%
100%
100%
100%
100%
NON -SAFETY
Emergency Medical Services Administrator
30%
30%
30%
30%
30%
(Also see 3281504-5000)
Administrative Resource Manager
100%
100%
100%
100%
100%
Office Specialist I/Data Entry
0%
100%
100%
100%
100%
Holiday Buyback
Uniform Allowance
Deferred Comp/Admin Leave
5005
CONSTANT STAFFING/OVERTIME
0
0
LJ
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
nd: COMM FACILITIES DIST 85-1 (282)
: FIRE ADMINISTRATION (501)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd Budget
5300 Contract Services
�...�..+ rlugal acrvices
14,(0
14,700
14,600
15,500
15,500
Total for Contract Services:
14,000
14,700
14,600
15,500
15,500
5416 General Liability Insurance
3,000
3,000
3,000
3,000
3,000
Total for General Liability Insurance:
3,000
3,000
3,000
3,000
3,000
5955 Desig-Employee Leave Payouts 80,000 0 0 0 0
Total for Desig•Employee Leave Payouts: 80,000 0 0 0 0
TOTAL FOR OPERATIONS & MAINTENANCE:
L_ A
97,000 17,700 17,600 18,500 18,500
NO
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: COMM FACILITIES DIST 85-1 (282) ANNUAL BUDGET SUMMARY
FIRE SAFETY (506)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
200,270
209,940
167,650
216,900
216,900
5005
Overtime Salaries
43,190
55,750
47,950
55,360
55,360
5030
Fringe Benefits
55,300
0
0
0
5031
Medical Insurance
0
25,650
24,800
27,380
0
27,380
5033
Dental Insurance
0
3,120
2,590
3,300
3,300
5034
Optical Insurance
0
1,200
810
960
960
5035
5036
P.E.R.S.
P.E.R.S. - EPMC
0
18,650
15,710
19,190
19,190
5037
Long -Term Disability
0
0
1,660
1,370
1,680
1,680
5038
Life Insurance
0
420
380
660
660
5050
Medicare
2,300
1,200
2,730
850
1,980
1,200
2,760
1,200
2,760
5052
Workers' Compensation
0
9,670
6,390
8,220
8,220
TOTAL FOR PERSONNEL SERVICES:
301,060
329,990
270,480
337,610
337,610
TOTAL FOR DIVISION 506:
301,060 329,990 270,480 337,610 337,610
"iceffe,
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: FIRE SAFETY
FUND: 282
COST CENTER: 506
FD -91
0
0
FY 00/01
Fiscal Year 2001/2002
Authorized
Dept.
M r. Rcmds
Adopted
OBJECT #
Level
Request
Bud et
Auth.
Funded
5000
REGULAR SALARIES
SAFETY
Fire Inspector
200%
200%
200%
200%
200%
Fire Prevention Specialist/Public Education
100%
100%
100%
100%
100%
NON -SAFETY
Office Specialist II
100%
100%
100%
100%
100%
Holiday Buyback
Uniform Allowance
5005
CONSTANT STAFFING/OVERTIME
Emergency
Non -Emergency
FD -91
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ANNUAL BUDGET SUMMARY
Fund: COMM FACILITIES DIST 85-1 (282)
th*- OPERATIONS (508)
TOTAL FOR DIVISION 508: 18,800 24,200 24,120 25,500 25,500
0
11
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
OWect/Description
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5285 Safety Gear & Equipment
18,800
24,200
24,120
25,500
25,500
TOTAL FOR OPERATIONS & MAINTENANCE:
18,800
24,200
24,120
25,500
25,500
TOTAL FOR DIVISION 508: 18,800 24,200 24,120 25,500 25,500
0
11
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: COMM FACILITIES DIST 85-1 (282)
livision: OPERATIONS (508)
TOTAL FOR OPERATIONS & MAINTENANCE: 18,800 24,200 24,120 25,500 25,500
40
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Object Description
Budget
Budget
Actual
Rcmd
Budget
5285 Safety Gear & Equipment
Brush Jackets & Pants
2,500
3,450
3,400
3,550
3,550
Fire Flash Hoods
0
700
700
700
700
Fire Shelters
260
500
450
500
500
Gloves & Nomex Hoods
1,100
1,100
1,060
1,100
1,100
Leather Safety Boots
3,290
4,200
4,180
4,300
4,300
Rplc Badges/Patches/Gear Bags
550
550
500
550
550
Rplc Turnout Coats & Pants
8,500
10,600
10,800
11,650
11,650
Rubber Boots/Coveralls/Rain Gr
400
400
400
400
400
Safety Goggles
500
550
530
550
550
Safety Helmets
1,500
1,950
1,900
2,000
2,000
Suspenders
200
200
200
200
200
Total for Safety Gear & Equipment:
18,800
24,200
24,120
25,500
25,500
TOTAL FOR OPERATIONS & MAINTENANCE: 18,800 24,200 24,120 25,500 25,500
40
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: COMM FACILITIES DIST 85-1 (282) ANNUAL BUDGET SUMMARY
ti0: PERSONNEL DEVELOPMENT (510)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Obiect/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
5034
5035
5036
5038
5050
5052
E
Dental Insurance
Optical Insurance
P.E.R.S.
P.E.R.S. - EPMC
L'f I
89,860
94,340
86,890
93,040
93,040
4,000
10,000
2,500
3,000
3,000
18,800
0
0
0
0
0
5,750
8,330
5,460
5,460
0
900
920
960
960
0
300
220
240
240
0
9,420
9,420
8,380
8,380
0
850
760
750
750
to nsurance
0
300
250
300
300
Medicare
1,350
1,520
850
1,500
1,500
Workers' Compensation
0
12,190
3,690
5,040
5,040
TOTAL FOR PERSONNEL SERVICES:
114,010
135,570
113,830
118,670
118,670
TOTAL FOR DIVISION 510:
114,010 135,570 113,830 118,670 118,670
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: PERSONNEL DEVELOPMENT
FUND: 282
COST CENTER: 510
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Request
Mgr. Rcmds
Adopted
Bud et
---Au–th–.—T
Funded
5000
REGULAR SALARIES
SAFETY
Fire Battalion Chief - Training Officer
100%
100%
100%
100%
100%
Holiday Buyback
Uniform Allowance
5005
CONSTANT STAFFING/OVERTIME
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: COMM FACILITIES DIST 85-1 (282) ANNUAL BUDGET SUMMARY
D*: FIRE STATION #174(514)
1999/2000 Fiscal Year 200(1/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5038
Life Insurance
5050
Medicare
5052
Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
TOTAL FOR DIVISION 514:
is
554,280
581,820
576,050
627,110
627,110
190,760
216,190
193,350
250,870
250,870
142,790
0
0
0
0
0
57,300
60,280
78,020
78,020
0
8,100
7,670
8,100
8,100
0
2,700
1,910
2,160
2,160
0
54,750
52,790
57,870
57,870
0
4,980
4,740
5,220
5,220
0
2,700
2,050
2,700
2,700
4,230
4,410
4,560
4,120
4,120
0
35,310
21,920
35,060
35,060
892,060
968,260
925,320
1,071,230
1,071,230
892,060 968,260 925,320 1,071,230 1,071,230
•:
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: STATION 4
FUND: 282
COST CENTER: 514
L.J
0
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.M
Request
r. Rcmds
Adopted
Budget
Auth.
Funded
5000
REGULAR SALARIES
SAFETY
Fire Captain
300%
300%
300%
300%
300%
Fire Engineer
300%
300%
300%
300%
300%
Firefighter
300%
300%
300%
300%
300%
Holiday Buyback
Uniform Allowance
5005
CONSTANT STAFFING/OVERTIME
Personnel Leave Coverage
FLSA Differential
L.J
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
F d: COMM FACILITIES DIST 85-1 (282) ANNUAL BUDGET SUMMARY
)i*
i FIRE STATION #175 (515)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5038
Life Insurance
5050
Medicare
5052 Workers' Compensation
0
TOTAL FOR PERSONNEL SERVICES:
554,280
569,590
552,020
611,590
611,590
202,560
258,040
263,600
244,600
244,600
139,090
0
0
0
0
0
49,100
56,410
58,640
58,640
0
7,620
8,490
8,640
8,640
0
2,700
1,990
2,160
2,160
0
53,480
50,330
56,450
56,450
0
4,860
4,510
5,080
5,080
0
2,700
2,060
2,700
2,700
6,790
10,250
8,200
11,900
11,900
0
35,010
23,280
34,180
34,180
902,720
993,350
970,890
1,035,940
1,035,940
TOTAL FOR DIVISION 515: 902,720 993,350 970,890 1,035,940 1,035.940
MPJ I U6.3
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: STATION 5
FUND: 282
COST CENTER: 515
8
0
0
FY 00/01
Fiscal Year 2001/2002
Authorized
Dept.
M r. Rcmds
Adopted
Auth.
T Funded
OBJECT #
Level
Request
Bud et
5000
REGULAR SALARIES
SAFETY
Fire Captain
300%
300%
300%
300%
300%
Fire Engineer
300%
300%
300%
300%
300%
Firefighter
300%
300%
300%
300%
300%
Holiday Buyback
Uniform Allowance
5005
CONSTANT STAFFING/OVERTIME
Personnel Leave Coverage
FLSA Differential
8
0
0
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: COMM FACILITIES DIST 85-1 (282) ANNUAL BUDGET SUMMARY
ti VEHICLE/EQUIPMENT MAINTENANCE (527)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object/Description Budget Budget Actual Rcmd Budget
PERSONNEL SERVICES
5000
Regular Salaries
5005
Overtime Salaries
5015
On Call Pay/Stand-By Pay
5030
Fringe Benefits
5031
Medical Insurance
5033
Dental Insurance
5034
Optical Insurance
5035
P.E.R.S.
5036
P.E.R.S. - EPMC
5037
Long -Term Disability
5038
Life Insurance
5050
Medicare
5052 Workers' Compensation
TOTAL FOR PERSONNEL SERVICES:
46,040
48,570
47,980
50,680
50,680
3,160
5,020
5,040
5,810
5,810
2,340
2,340
2,340
2,340
2,340
15,150
0
0
0
0
0
9,240
10,450
11,270
11,270
0
900
960
960
960
0
300
230
240
240
0
3,400
3,510
3,550
3,550
0
240
240
250
250
0
180
240
300
300
0
300
250
300
300
750
820
810
860
860
0
130
180
350
350
67,440
71,440
72,230
76,910
76,910
TOTAL FOR DIVISION 527: 67,440 71,440 72,230 76,910 76,910
TOTAL FOR COMM FACILITIES DIST 85-1: 2,609,520 2,803,500 2,583,390 3,000,410 3,000,410
0
0
FD - 100
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/2002 PERSONNEL ALLOCATION
DEPARTMENT: FIRE DISTRICT
DIVISION: VEHICLE & EQUIPMENT MAINTENANCE
FUND: 282
COST CENTER: 527
FD - 101
0
0
FY 00/01
Fiscal Year 2001/2002
OBJECT #
Authorized
Level
Dept.
Request
Mgr. Rcmds
Adopted
Bud et
Auth.
Funded
5000
REGULAR SALARIES
Fire Equipment Mechanic
100%
100%
100%
100%
100%
Holiday Buyback
Uniform Allowance
5005
CONSTANT STAFFING/OVERTIME
5015
ON CALL SALARIES
FD - 101
0
0
0
•
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
4101 Property Taxes-CY Secured
ESTIMATED REVENUES
262,030
303,030
Budgeted
Budgeted
Revenue
Revenue
Revenue
Estimate (CA)
Fiscal Year
Object/Description
Fiscal Year
Fiscal Year
1999/2000
2000/01
2001/02
COMM FACILITIES DIST 88-1 (283)
4101 Property Taxes-CY Secured
243,060
262,030
303,030
4103 Property Taxes-PY Sec & Unsec
36,710
10,270
12,690
4104 Property Taxes-Penalties/Int.
11,020
2,260
2,360
4401 Interest Earnings
136,990
53,430
97,880
8999 Transfer In From Fund Balance
0
1,600,510
1,677,840
TOTAL FOR COMM FACILITIES DIST 88-1:
427,780
1,928,500
2,093,800
TOTAL FOR ENTITY:
427,780
1,928,500
2,093,800
hl aWA
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
ESTIMATED EXPENDITURES
SUMMARY BY ENTITY, FUND, DIVISION is
283 COMM FACILITIES DIST 88-1
501 FIRE ADMINISTRATION 7,000 8,500 8,800
516 FIRE STATION #176 0 1,920,000 2,085,000
TOTAL FOR COMM FACILITIES DIST 88-1: 7,000 1,928,500 2,093,800
FD - 103
1999/2000
2000/01
2001/02
Fund/Description
Adopted
Adopted
Adopted
Division/Description
Budget
Budget
Budget
283 COMM FACILITIES DIST 88-1
501 FIRE ADMINISTRATION 7,000 8,500 8,800
516 FIRE STATION #176 0 1,920,000 2,085,000
TOTAL FOR COMM FACILITIES DIST 88-1: 7,000 1,928,500 2,093,800
FD - 103
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
F d: COMM FACILITIES DIST 88-1 (283) ANNUAL BUDGET SUMMARY
'i f FIRE ADMINISTRATION (501)
TOTAL FOR DIVISION 501:
•
7,000 8,500 8,050 8,800 8,800
FD - 104
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
OWect/Description
Adopted
Adopted
Estimated
Manager
Adopted
Budget
Budget
Actual
Rcmd
Budget
OPERATIONS & MAINTENANCE
5300 Contract Services
7,000
8,500
8,050
8,800
8,800
TOTAL FOR OPERATIONS & MAINTENANCE:
7,000
8,500
8,050
8,800
8,800
TOTAL FOR DIVISION 501:
•
7,000 8,500 8,050 8,800 8,800
FD - 104
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: COMM FACILITIES DIST 88-1 (283)
Division: FIRE ADMINISTRATION (501)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd. Budget
5300 Contract Services
Legal Services 7,000 8,500 8,050 8,800 8,800
Total for Contract Services: 7,000 8,500 8,050 8,800 8,800
TOTAL FOR OPERATIONS & MAINTENANCE: 7,000 8,500 8,050 8,800 8,800
40
•
FD -105
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
F d: COMM FACILITIES DIST 88-1(283) ANNUAL BUDGET SUMMARY
)i: FIRE STATION #176(516)
OPERATIONS & MAINTENANCE
5300 Contract Services
TOTAL FOR OPERATIONS & MAINTENANCE:
CAPITAL OUTLAY
5600 Capital Outlay -Land
5602 Capital Outlay -Bldg Imprvments
5603 Capital Outlay -Equipment
TOTAL FOR CAPITAL OUTLAY:
TOTAL FOR DIVISION 516:
TOTAL FOR COMM FACILITIES DIST 88.1:
0
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Budget Budget Actual Rcmd. Rudonr
0
120,000
25,000
145,000
145,000
0
120,000
25,000
145,000
145,000
0
200,000
10,000
115,000
115,000
0
1,250,000
0
1,475,000
1,475,000
0
350,000
0
350,000
350,000
0
1,800,000
109000
1,940,000
1,940,000
0
1,920,000
35,000
2,085,000
2,085,000
7,000
1,928,500
43,050
2,093,800
2,093,800
FD - 106
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
OPERATIONS & MAINTENANCE (5100) DETAIL
Fund: COMM FACILITIES DIST 88-1 (283)
Division: FIRE STATION #176 (516)
1999/2000 Fiscal Year 2000/01 Fiscal Year 2001/02
Adopted Adopted Estimated Manager Adopted
Object Object Description Budget Budget Actual Rcmd. Budget
5300 Contract Services
Design of Fire Station 176 0 120,000 25,000 145,000 145,000
Total for Contract Services: 0 120,000 25,000 145,000 145,000
TOTAL FOR OPERATIONS & MAINTENANCE: 0 120,000 25,000 145,000 145,000
0
r�
-107
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
FISCAL YEAR 2001/02 BUDGET
Fund: COMM FACILITIES DIST 88-1 (283) CAPITAL OUTLAY (5600) DETAIL
)* FIRE STATION #176 (516)
TOTAL FOR CAPITAL OUTLAY:
0
L
t 1,800,000 10,000 1,940,000 1,940,000
� 1:
1999/2000
Fiscal Year 2000/01
Fiscal Year 2001/02
Adopted
Adopted
Estimated
Manager
Adopted
Object Obiect Description
Budget
Budget
Actual
Rcmd
Budget
5600 Capital Outlay -Land
Purchase of Land-Dev Sta 176
0
200,000
10,000
115,000
115,000
Total for Capital Outlay -Land:
0
200,000
10,000
115,000
115,000
5602 Capital Outlay -Bldg Imprvments
Construction of Station 176
0
1,250,000
0
1,475,000
1,475,000
Total for Capital Outlay -Bldg Imprvments:
0
1,250,000
0
1,475,000
1,475,000
5603 Capital Outlay -Equipment
Apparatus/Equipment - Sta 176
0
350,000
0
350,000
350,000
Total for Capital Outlay -Equipment:
0
350,000
0
350,000
350,000
TOTAL FOR CAPITAL OUTLAY:
0
L
t 1,800,000 10,000 1,940,000 1,940,000
� 1: