HomeMy WebLinkAboutBudget 1986-87
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CITY OF RANCHO CUCAMONGA
PUBLIC BUDGET.
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(
1986-1987
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FOREWARD
In it's continuing effort to meet tbe needs of tbe citizens of
Rancbo Cucamonga. tbe City Council bas asked tbat a budget for
public review be prepared. The regular detail City budget is a
fairly complicated document containing many items of little
interest to tbe general public. Therefore. tbe following pages
reflect a summary of tbe fiscal year 1986-87 budget of tbe City of
Rancbo Cucamonga. A regular detail budget is available for your
review upon request.
If furtber detail is required on any specific budget area, please
feel free to contact me at City Hall.
L~
Jim Hart
Administrative Services Director
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TABLE OF CONTENTS
F ORE.WARD
Page
CITY MANAGER'S BUDGET SUMMARY
1
Chart - Distribution of Revenue Sources
Chart - General Fund Revenues
General Fund - Projected 86-87 Revenues
Chart - Special Funds' Revenues
Special Funds - Projected 86-87 Revenues
Chart - Assessment Districts' Revenues
Assessment Districts - Projected 86-87 Revenues
Chart - Expenditures
Chart - Fund Expenditures
Fund Analysis 1986-87
Assessment District Fund Analysis 1986-87
6
7
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9
10
11
12
13
14
15
16
ADMINISTRATION
Ci ty Counci 1
Ci ty Manager
Personnel
Ci ty Clerk
17
18
20
21
ADMINISTRATIVE SERVICES
Finance. Business Licenses, Risk Management, Purchasing
City Facilities
City General Overhead
22
24
25
COMMUNITY DEVELOPMENT
Administration
Planning
Community Development Block Grant
Planning Commission
Building and Safety
Engineering
Engineering Staff Report/Capital Improvement Program
Capital Projects - SB 325/TDA
Capital Projects SB 300
Capital Projects - Beautification
Capital Projects - Systems Development
Capital Projects - Drainage Facilities
Streets and Park Maintenance
26
27
30
31
32
33
36
48
53
55
56
59
61
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COMMUNITY SERVICES
Administration
Recreation Services
Park Development
Red Hill and Heritage Park Development
63
65
66
67
REVENUE ASSESSMENT
Adminis tration
Landscape District #1
Landscape Maintenance District #2
Landscape Maintenance District #3
Landscape Maintenance District #4
Landscape Maintenance District #5
Lighting District #1
Lighting District #2
Lighting District #3
Lighting District #4
68
69
70
71
72
73
74
75
76
77
LAW ENFORCEMENT
Administration
Patrol Division
Traffic Safety Division
Investigation Division
78
78
79
79
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CITY MANAGER'S BUDGET SUMMARY
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CITY OF RANCHO CUCAMONGA
MDyGr Jeffrey Kina
COIHtcilM.Iftlw"
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1977
Charle. 1. Duquet II
Richard M. Dahl
Jon D. Mikel.
Pamela J. Wright
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May 23, 1986
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Mayor and Members of City Council
Ci ty of Rancho Cucamonga
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Dear Mayor and Councilmembers:
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Presented herewith is the proposed Program of Service for Fiscal Year 1986-87
which totals $33.890.395. including expenditures for debt service on the
various assessment and park districts. The proposed service program is
balanced and continues to provide the highest level of service in the most cost
efficient manner. The total excludes the budget for the Redevelopment Agency.
That document will be considered by the Agency separately.
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It is important to note as well, that the budget format has been modified.
hopefully for the last time, in order to allow for preparation on a main frame
computer rather than a personal computer as hss been done in the past years.
This will save a considerable amount of staff time and as the City Council
becomes more comfortable with the format, we feel confident that you will have
more complete information when considering the Program of Service.
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In an effort to insure that all funds and city activities pay for their "cost
of service" as required by Proposition 4. we bsve charged salaries directly to
the various special activities and funds rather than show transfers to the
general fund as we have done in past years. It is anticipated that this
practice will enable the City Council and our citizens to have a better
understanding of the actual costs for providing municipal services. In
addition, fringe benefit costs are now shown in each departmental budget rather
than in a general fund account. Vehicle and maintenance charges wbich were
previously shown in an intergovernmental service fund are now allocated to the
various departments in order to more accurately reflect the actual costs of
operation.
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Since Rancho Cucamonga has established a comprehensive risk management program
and now deals with its general liability insurance in a different manner, tbe
costs for liability insurance are shared by every City department. We have
recommend that a charge of 1% of the operating costs be levied against each
department and each special fund. This 1% figure will be modified, if
necessary, in order to make certain tbat all general liability costs as well as
adequate reserves are available.
Page 1
9320 BASELINE ROAD. SUITE C . POST OFFICE BOX 807 . RANCHO CUCAMONGA. CALIFORNIA 91730 . (714) 989-1851
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BUDGET MESSAGE
May 23, 1986
Page 2
The City overhead. previously set at 25%, has been reduced to 15% because of a
shift in charges to the various departmental operations and special funds. The
intent of this change. as indicated previously. is to more accurately reflect
the costs for services, supplies and projects.
Because of the more than 132 scres of parks. as well as several miles of
landscape medians. and the Cucamonga Creek Trails System. it is now necessary
for the City to fulfill its commitment to a comprehensive maintenance program.
It is also important for the City Council to be sware that beginning in July
the City will assume the primary responsibility for the Landscape and Lighting
Districts which have been established within the planned communities of Terra
Vista and Victoria. These responsibilities until now were the obligation of
the developer. This represents a major shift in our emphasis as well as our
work load. and we simply must have crews available to maintain these
recreational resources adequately.
In order to keep pace with the growth in our community, and the demands for
public services, it is recommended that the following personnel be added during
Fiscal Year 1986-87:
Build,", & Saf@tv DiviaioD - 5 positions
Public Service Technician
Counter Plan Checker
Senior Plan Checker (Fire Protection)
Electrical Specialist
Building Inspector
(Costs for tbis personnel will be financed through the collection of
development fees.)
PIADn;na Div;A;on - 1 position
Assistant Planner (Advanced Planning)
Eni;n@@r;n, Adm;n;atpAr;OD - 4 positioDs
Deputy City Engineer
1 Assistant Civil Engineer
Senior Office Assistant
Office Assistant
Page 2
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BUDG ET MESSAG E
May 23, 1986
Page 3
Ma;ntenance D;v;s;on - 17 positions (A msjor reorganization is proposed.)
Administrative Aide
Street Maintenance Supervisor (gas tax)
Park Maintenance Supervisor
1 Maintenance Crew Leader
2 Senior Maintenance Workers
Street Sweeper Operator (gas tax)
10 Maintenance Workers
(It is significant to note that a portion of the above positions will be
funded by Gaa Tax Revenues and by the landscape maintenance districts which
have been set-up for this purpose.)
P~r&onD@l - 1 position
Office Assistant
Revenue Assessment - 3 positions (Funded by various assessment districts.)
Revenue Assessment Aide
Revenue Assessment Technician
Revenue Assessment Assistant
Adm;niatrAtivA SArvi~A& - 2 positions
Risk Management Technician
Senior Office Assistant
Commnni ty S@rvleel - 2 POSl tioDS
Community Services Aide
Recreation Supervisor
The proposed Program of Service reflects the total costs for these 35
positions.
Funds have also been included to provide salary adjustments fnr existing
personnel as approved by the City Council.
SPECIAL FORD RBCOMMERDATIORS
It is recommended that the City Council approve a transfer from the general
fund of $175,000 to create a total reserve of $500,000 for the City's
self-insured retention. This will provide adequate funds to insure that the
City can handle general liability ezposures. The need for City facilities
remains critical in our community, and therefore, we have recommended the
transfer of $1 million to the Reserve for City Facilities Fund. The Council
is well aware of the need to establish a permanent maintenance facility to
Page"3
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B UDG ET MES SAG E
May 23. 1986
Page 4
serve tbe community. The present site wbicb consists of a tbree quarter
acre parcel is totally inadequate to meet Our present needs and will in no
way allow space to bandle tbe new equipment and additional personnel and
added responsibilities wbicb will be required in order to maintain tbe
parks. streets and parkways of our community. It is proposed tbat a portion
of special fund revenues be utilized to finance tbe Maintenance Facility.
PARK DEVELOPMENT
During tbe coming fiscal year. it is anticipated tbat tbe following parks
will be completed:
Bermosa Park
Terra Vista I
Terra Vista II
Groves Park
Beri tage Park
Red Bill Park
10 acreS
5 acres
6 acres
8 acres
40 acres
40 acres
BUILDING NEEDS
The need for more office space remains critical. It will be necessary for
tbe City to lease additional office space away from our existing city
offices. No space is available in tbe current office complex. This may
result in some inconvenience to tbe public in a few rare instances. And it
presents some cballenges to our department managers wbo must supervise all
operations. It is significant to note tbat City operations will now be
spread among ten separate buildings. The need for a civic-public aafety
facility remains as tbe City's bigbest priority in 1986-87.
SUMMARY
In summary. tbe total prnposed Program of Service recommended to tbe City
Council is $33.890.395. It is our view tbat tbe proposed expenditures are
consistent witb tbe goals of tbe City Council to provide cost effective
public services witbin tbe available resources of our community.
A special note of tbanks is due to all of tbe department beads. and
particularly to tbe Director of Administrative Services. for bis efforts to
develop a new more easily understandable format for our proposed budget.
Wbile tbe format will be very different tbis year. and it may be very
difficult for tbe City Council to develop accurate cost comparisons witb
prior years. tbe document accurately reflects true costs of tbe services.
and will be belpful to you in your deliberations tbis year and in future
Page 4
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BUDGET MESSAGE
May 23. 1986
Page 5
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years. Staff is available to meet witb councilmembers. either individually
or collectively at our budget workshops to discuss the specific changea
propoaed in tbe budget. We appreciate your support, and we are looking
forward to anotber outstanding year of aervice to our citizens.
Respectfully submitted,
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--
auren M. Wasserman
Ci ty Manager
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Page 5
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I . .; ........ -. .....~. 0~) -87 REV EllU ES
GENERAL FUND
I ACTUAL ACTUAL PROJECTED PROJECTED
REVENUE SOURCE 83-84 84-85 85-86 86-87
I lGu.
Property Taxes 762.596 942,700 1.007,000 1,106,775
Sales & Use Taxes 2,379.012 2,563.963 2.860.629 2.967,109
I Francbise Fees 667,585 735.586 818.075 1,340.169
Property Transfer 143.433 188.604 161.315 155,994
Admissions Tax 9,681 26.377 ~c, 15,000
I Lic@nses & Perm ta . y,V,t'L,2.!:,
Business Licenses 364.450 447.682 450.000 480,761
Bicycle Licenses 612 975 500 800
I Building Permits 934.726 1,095,052 1.233.272 1.296,951
Misc. Licenses & Permi ts 2,574 3.138 ~ 2,500
.. b87 77
I Fines & Forfe;turea ','
General Ordinance Finea 13.863 9.158 10,223 11,379
I FeeR for Service
Plan Cbeck 480 .854 673.750 810,000 893,095
Planning Fees 221 .657 326.315 225,348 274,864
Engineering Fee. 674.051 779.462 ~ 849,266
I ~g Z 307
Revenue from other Avenciea I, I
Motor Vebicle in Lieu 892,609 1.576.947 1.616.022 2.235.197
I Bomevoners Property Tax ReI 43.503 43 .619 23.009 25.000
Bus Inv Prop Tax ReI 46 ,986 23 ,514 17 ,635 17,635
Trailer Coacb Fees 13 ,167 13,073 15,222 15,222
I Cigarette Tax 138,726 146,375 143,097 155,257
Off lIwy Fees 1,634 1,176 1.329 1.650
Gov't Code Spec Subventions 0 0 ~l-2- 20,000
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Interest 191,515 150,071 115,489 300.000
Sale of Printed Material 16,479 26,138 25.780 26,940
I Rents & Leases 1.201 1,700 1,800 1,800
Otber Revenue 0 0 ~ 2.000
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PROJ ECTm Ob -8., L\,CY .i..;, J :;;..,.
SPECIAL FUNDS
ACTUAL ACTUAL PROJ ECTED PROJECTED
REVENOE SOORCE 83-84 84-85 85-86 85-86
Tuff i c Safetv
Vehicle Code Fines 101.709 137.938 136.228 153,161
Trllnanortation & Gss Tax
2106 Gas Tax 256 .220 298.153 247.318 270,667
2107 Gas Tax 584.340 514.661 532,548 660.752
21075 Gas Tax 7,500 7,500 7.500 7,500
Article 8-SB325 269,073 643.972 716,764 884,276
SB300 0 0 216.648 215,130
RecreatioD EnterDriR_
Recreation Programs 114,668 170.890 204,436 192.069
Revenue Shari n'r
Entitlement 166.417 361.964 365,364 96 ,412
CaDi tal ImD'r'ovp.!ment:
Park Development 157 .242 845.289 990 .567 947,550
Beautification 89.968 746 .593 1,387.717 BOO ,000
Systems Dev 396.257 1.791.861 2,200.000 1.800,000
Drainage 26 5 .6 25 497.693 900,000 BOO ,000
Grant.
Park Bonds 1984 217,000
C.D.B.G. 437.000 0 473.000 340.000
Roberti -Z'Berg Park Grant 0 0 47.952 31,695
Sidewalk 0 0 60,000 0
Page 10
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PROJECTED 86-87 REVENUES
ASSESSME!IIT DISTRICTS
In prior years reserves from Assessment Districts have been reported in one
lump sum under tbe beading landscape 1igbting districts. Starting with Fiscal
Year 86-87 and using Fiscal Year 85-86 as tbe bistory year, we are reporting to
you by separate district.
FUNCTlOll
PROJECTED
85-86
PROJ ECTED
86-87
LADdsCADP- Maint@DaDce
#1 General Ci ty
#2 Victoria
#3 Hy880p
#4 Terra Vista
#5 Tot Lot
94,197
297,157
2,817
100,000
6,760
120,764
259,573
2,070
148,670
4,990
Liahtinf Districts
#1 Arterial
#2 Residential
#3 Victoria
#4 Terra Vista
34,378
34,378
35,286
16,888
71,434
72,134
36 ,990
42,098
SDecial Districts
82-1R 6 tb Street Industrial
84-1 Community Facilities
84-2 A1ta Loma Cbannel
PD-85 Heritage
PD-85 Red Hill
1,907,647
1,264,225
287,644
854,221
3,122,395
1 ,255,456
1,327,978
217,162
894,000
1,289,170
Interest Earnings
600,000
Page 12
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PROGRAM SUMMARY
1986-87
Department: Administration/City Council
COST CI!l'lTER: 4110
1986-87 1986 -87
1984-85 1985-86 Manager Adopted
Budget Budget Recnmmendation Budget
PERSONNEL I!XPI!I'ISE 16497 16500 34176 34176
OPERATING EXPI!I'ISE 11579 13250 13 885 13885
EQUIPKI!I'IT OUn.AY 0 0 0 0
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
28706
29750
48061
48061
PROGRAM OBJECTIVBS AND MAJOR CBARGES
Tbe goals of tbe City Council for Fiscal Year 1986-87 are to establish
local laws as necessary, set policy in tbe best interest of. the
community, approve City programs and projects, appropriate funds as
established in tbe Fiscal Year 1986-87 Budget, and generally supervise
the operations of tbe City government.
1
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PROGRAM SUMMARY
1986 -87
Department: Administration/City Manager
COST CENTER: 4122
1986-87 1986 -87
1984-85 1985-86 Manag er Adopted
Budget Budget Recommendation Budget
PERSONNEL EXPENSE 123474 1 52887 193173 193173
OPERATING EXPENSE 18032 40270 34118 34118
EQUIPMENT OUTLAY 717 2500 0 0
CAPITAL PROJECTS
TOTAL PROGRAM COSTS 142223 195657 227291 227291
PROGRAM OBJECTIVES AND MAJOR CHANGES
Tbe goals of the City Manager's Office within the Administration
Department for Fiscal Year 1986-87 are as follows:
1. Continue to administer policies and programs approved by the
Ci ty Cound 1.
2. Continue to provide timely information to the City Council
concerning pending State, Local or Federal legislation which
may have an impact upon the City of Rancho Cucamonga.
3.
Evaluate and monitor
established policies
employee awareness
priorities.
staff's progress
and programs, and
of City problems,
on Ci ty Council
fosters greater
programs, and
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4. Respond to and follow-up on citizen inquiries or concerns
regarding City programs and services.
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5. Maintain a viable link between the City and news media
regarding City activities, concerns and accomplishments.
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6. Provide liaison and works to resolve mutual local problems
through various intergovernmental regional/subregional
agencies such as San Bernardino Associated Governments,
Southern California Association of Governments, and other
West Valley agencies.
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7. Provide liaison for the Citizen's Advisory Commission.
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8. Evaluate and monitor the City's participation in a Countywide
transit system (Omnitrans) which provides fixed route and
dial-a-ride/dial-a-lift services.
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9. Develop and prepare Th_ GrSD_v;ne (City's Newsletter), a
quarterly report to the residents on programs, services. and
events provided by the City of Rancho Cucamonga.
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10. Coordinate. evaluate and monitor all assessment districts
throughout the City of Rancho Cucamonga.
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11. Administer a city-wide geographic information system.
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PROGRAM SUMMARY
1986 -87
Department: Administration/Personnel
COST CENTER: 4124
1986 -87 1986 -87
1984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERSONNEL EXPENSE 38151 45398 104577 104577
OPERATING EXPENSE 41786 50223 59812 59812
EQUIPMENT OUTLAY 0 925 4730 4730
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
79937
96546
169119
169119
PROGRAM OBJECTIVES AND MAJOR CHANGES
The goals of the Personnel office witbin tbe Administration Department
for Fiscal Year 1986-87 are as follows:
1. Coordinate tbe recruitment, testing, selection and promntion
of existing and vacant personnel positions.
2. Coordinate and provide for employee development and training
progr ama .
3. Coordinate employee labor relations.
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PROGRAM SUMMARY
1986-87
Department: Administration/City Clerk
COST CENTER: 4126
1986-87 1986 -87
1984-85 1985-86 Manager Adopted
Budget Budget Recommenda tion Budget
PERSOIlN EL EXPENSE 21579 23955 51423 51423
OPERATING EXPENSE 25325 29215 46246 46246
EQUIPMENT OUTLAY 5403 55350 19193 19193
CAPITAL PROJECTS
TOTAL PROGRAM COSTS 52307 108520 116862 116862
PROGRAM OBJECTIVES AND MAJOR CHANGES
The goals of the City Clerk's within the Administration Department for
Fiscal Year 1986-87 are as follows:
1. Maintain records of all City Council actions and all City
traosactioDs.
2. Record actions of the City Council at all public meetings.
3. Coordinate City elections as called.
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ADMINISTRATIVE SERVICES
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PROGRAM SUMMARY
1986 -87
Department: Administrative Services: Finance.
Business Licenses. Risk Management. Purchasing
COST CENTER: 4150
1986-87 1986-87
1984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERSOONEL EXPENSE 213309 270820 398983 398983
OPERATING EXPENSE 88022 21196 9 150773 150773
EQUIPMENT OUTLAY 12658 53754 41300 41300
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
313989
536543
591056
591056
PROGRAM OBJECTIVES AND MAJOR CHANGES
Deoartmeot Goals
1. Meet the City's financial needs by developing programs that allow for
development of alternative sources of revenue. ensuring proper and
efficient expenditure of current resources and encouraging efficiency
in the delivery of all governmental services.
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2. Continue to create financial reporting systems that provide adequate
data to line departments allowing for better decisions.
3. Establish and set up an on-going fixed assets program.
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4. Continue to refine the purchasing program and procedures to sllow for
greatest efficiency, communication, and support for departments.
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5. Establish Risk Management programs to reduce potential City risks in
general liability, Worker's Compensation, Unemployment Insurance,
automobile liability and general insurance responsibilities.
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6. Refine and establish a budget preparation process which allows for
implementation of City priorities, presentation in an understandable
fashion and involvement by all departments.
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The Administrative Services Department is the support system for line
departments. The general philosophy of the department is to serve the
departments and help them become more efficient.
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PROGlWI SUMMARY
1 986 -87
Department: Administrative Services/City Facilities
COST CENTER:
4245
1984-85 1985-86
Budget Budget
PERSlJIIIllEL EXPENSE 21294
OPERATIIlG EXPENS E 326268 429981
I!XlUIPMENT OUnAY 73646 9000
CAPITAL PROJ ECTS 63118 43000
TOTAL PROGlWI COSTS 463032 503275
1986-87
Manager
Recommendation
" '
1986-87
Adopted
Budge t
486395
486 3 95
12000
12000
5000
5000
503395
503395
PROGlWI OBJ ECTIV!S AIlD MAJ OR CHAIlGES
This account reflects all costs
City buildings and facilities.
rent of tbe current facilities.
to continue cleaning and operation of the
The major portion of tbis budget is for
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PROGRAM SUMMARY
1986-87
Department: Administrative Services/City General Overhead
COST CIlIlTER: 4285
1984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSlIlNI!:L EXPIlIlSE
OPERATING EXPIlIlSE
329288
315848
241950
241950
~UIPMIlIlT OUTLAY
36928
36928
CAPITAL PROJ ECTS
.TOTAL PROGRAM COSTS
329288
315848
278878
278878
PROGRAM OBJECTIVES AND MAJOR CHANGES
This account reflects costs generally incurred by the City for
operations. Included in this account are costs for Xerox machines,
postage equipment and postage stamps. Also, the cost for liability
insurance is included.
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COMMUNITY DEVELOPMENT
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PROGRAM SUMMARY
1986-87
Department: Community Development/Administration
COST CENTER: 4313
1986-87 1986 -87
1984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERS(lIINEL EXPENSE 82052 152602 103766 103766
OPER4TIl'lG EXPENSE 9802 11 512 17262 17262
EQUIPMENT OUTLAY 1201 3750 11391 11391
CAPITAL PROJECTS
TOTAL PROGRAM COSTS 93055 16786 4 132419 13241 9
PROGRAM OBJECTIVES AND MAJOR CHANGES
D~DATtment GOAl.
1. Improve public information about Community Development programs for
citizens. developers. and otbers interested in tbe community.
2. Strengtben tbe organization of tbe Department by developing greater
interpersonal competence between Divisions.
3. Improve tbe capabilities of tbe Department to solve problems by
developing more community data.
4. Strengtben public relations programs of tbe Community Development
Department.
5. Encourage development interests to master plan properties to acbieve
greater control and consistency of development.
6. Seek out and coordinate implementation programs
infrastructure problema.
to solve
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PROGRAM SUMMARY
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1986 -87
Department: Community Development/Planning
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COST CENTER: 4333
1986 -87 1986 -87
1984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERSOIlN EL EXPENSE 398791 574963 895514 895514
OPERATING ExPENSE 58863 270295 228533 228533
EQUIPMENT OUnAY 4324 18925 29583 29583
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CAPITAL PROJECTS
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TOTAL PROGRAM COSTS
461978
864183
1153630
1153630
PROGRAM OBJECTIVES AND MAJOR CHANGES
Dp-oartmp-nt Goals:
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Acre-for-acre our City is mostly undeveloped. Our spbere of influence
contains tbousands of acres of raw land. Our pbysical form and identity
is only now beginning to take sbape. Our goal is to provide proactive
and coordinated planning services for tbe pbysical. social and economic
growtb of tbe City in a professional and efficient manner.
ADVANCED PT.ARMIMG
Db ;@ct;va 1:
Maintain, monitor and update tbe City's General Plan.
Tbe General Plan must reflect most recent policy and
must provide a meaningful and comprebensive guide for
tbedevelopment of tbe City.
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Obiective 2:
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Db iectivf! 3:
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Obiect.;vp. 4:
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Db jfl!ctive 5:
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CURRg T FLANN ING
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Obiect;ve 1:
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Obiect.;ve 2:
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Develop, maintain and update varioua specific, community
and neighborhood plans to implement the General Plan and
to address specific needs in specific areas of the
communi ty.
Develop and implement a program leading up to an orderly
and timely annexation of the City's sphere of influence.
Administer tbe Community Development Block Grant Program
in an efficient manner to reflect tbe needs and
priorities of the Community.
Provide the general public and the development community
with up-to-date information dealing with land use,
population and employment, housing, growth trends and
similar data.
Provide professional support
Planning Commission and other
agencies to assist them
responsibilities.
to the
City
in
Ci ty Council,
departments and
meeting tbeir
Review, moni tor and
organizations and
interests on local,
participate in the programs
agencies to support the
regional, state and federal
of other
Ci ty' s
levels .
Provide technical assistance to the City Council, City
Planning Commission, Redevelopment Agency, Citizen
Advisory Commission, geners1 public, as well as other
City departments.
Insure that all City Planning staff members keep abreast
of current and pending City Planning legislation, and
their ultimate impact to the City.
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Db iect:;ve 3 : Encourage and foster direct lines of communication
between all City P1 anning Division staff members, the
Communi ty Development Department, and other City
departments and functions.
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Obiect.;VA 4:
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Obiect;vp. 5:
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Encourage and improve superior public relations and
rapport with the general public, community groups, and
development representatives in the City.
Encourage and foster citizen participation in planning
proc ess .
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Oh;ect;ve 6:
Develop, review and update goals. objectives. policies
and procedures to carry out City Council, City Planning
Commission, and Citizen Advisory Committee's directions
and anticipate changing community needs.
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Obif=l!ct;vp. 7:
Encourage and foster tbe cross-training of Current and
Advanced Planning staff for better workload balance for
tbe division and education and training of tbe division
staff medlers.
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Db ;@ct;va 8: Provide assistance and coordination wi tb 0 tber local,
regional. state and federal agenciea.
Ob ;p-ct;vp- 9: Encourage prof es siona! development of all staff medlers.
Db ;p-ct;ve 10: Automate and streamline development/application process
wberever possible tbrougb computer system.
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PROGRAM SUMMARY
1 986 -87
Department: Community Development/
Community Development Block GraDt
COST CI!lllTER: 4333
1984-85
Budget
1 985-86
Budget
1 986 -87
Manager
RecommendatioD
1986 -87
Adopted
Budget
PERSlIlllEL IlXPI!IIISE
OPllRATIl'lG IlXPI!RSE
o
473000
343400
343400
IlQUIPKI!IIIT OUTLAY
CAPITAL PROJ BCTS
TOTAL PROGRAM COSTS
o
473000
343400
343400
PROGRAM OBJECTIVES AIlD MAJOR CBAIlGES
This is a federal program used to as.ist in developing projects in are.s
of need.
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PROGRAM SUMMARY
1986 -87
Department: Community Development/Planning Commission
COST CENTER: 4353
1986-87 1986-87
1984-85 1 985-86 Manager Adopted
Budget Budget Recommenda tion Budget
PERSORNEL EXPIlRSE 6023 6000 6000 6000
OPI!RATIIlG EXPIlRSE 2616 3000 9500 9500
I!QUIPHIlRT OUTLAY
CAPITAL PROJECTS
TOtAL PROGRAM COSTS 8639 9000 15500 15500
PROGRAM OBJECTIVES AllD MAJOR CBAllGES
This budget reflects costs for an appointed board of 5 people wbo serve
as tbe Planning Commission. The Planning Commission's major role is to
review proposed development projects and ensure building in tbe City is
consistent with tbe General Plan.
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PROGRAM SUMMARY
1986 -87
Department: Community Development/Building and Safety
COST CENTER: 4373
1 986 -87 1986 -87
1984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERSOONEL EXPENSE 329590 513122 928226 928226
OPERATING EXPENSE 140986 132900 142090 142090
EQUIPMENT OUTLAY 2881 18700 60551 60551
CAPITAL PROJECTS 1200 700 700
TOTAL PROGRAM COSTS 473457 665922 1131567 1131567
PROGRAM OBJECTIVES AND MAJOR CRANCES
1. Safeguard life, property and public welfare by regulating and
controlling tbe deaign, construction, occupancy and maintenance of all
buildings and structures witbin tbe City.
2. Maintain a bigb level of efficiency and
bave ongoing staff training, continuously
facilitate tbe transition from manual
operations.
quali ty of code
update Division
to automated
enforcement,
policies and
systems and
3. To develop an occupancy inspection program in conjunction witb tbe
Fire District at tbe time of business license issuance.
4. To continuously improve tbe image of Building and Safety as a service
orgsnization tbrougb development and distribution of brocbures, press
releases and advisory publications to citizens, contractors and tbe
general public, and by maintaining an active association witb
professional organizations to keep pace witb tbe ever-cbanging code
development process.
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PROGRAM SUMMARY
1986 -87
Department: Community Development/Engineering
COST CmTER: 4637
1 986 -87 1986 -87
1 984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
.' .
PERSCIlIlEL ElPmSE 571761 836338 1211931 1211931
OPERATDlG ElPmSE 271704 223075 310065 310065
FXjUIPMmT OUTLAY 14217 48330 52549 52549
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
857682
1107743
1574545
1574545
PROGRAM OBJECTIVES AND MAJOR CBAIlGES
D~DArtm@Dt GOAls:
1. Improve overall division efficiency, communication, and provide
supportive environment for employee functioning and development. This
will be acbieved in tbe following manner:
o Bolding regular montbly division staff meetings to improve
communication and resolution of division proble...
o Developing individual employee growth programs involving
division rotstion, training and overall division and
employee accomplishment of mutual goals and objectives.
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o Improving community relations programs by better
communications on City activities and project development.
2. Maintain current processing times for
review and plan check services while
construction standards. Tbese will be
manner:
land division, development
improving development and
achieved in tbe following
o Maintaining parcel map processing time of tbree (3) months.
o Maintaining tract map processing time to optimum time of
five (5) months of City processing.
o Insuring maximum plan cbeck turnaround time of two (2)
weeks.
o Maintaining City standard drawings and specifications.
o
Refining tbe survey
map., parcel maps,
intersection ties.
record system for replacement of tract
record of surveys, bencb marks and
3. Provide responsive inspection services in order to
quality construction standards uniformly tbrougbout
These will be acbieved in tbe following manner:
enforce high
the cOlIIDIUnity.
o Delineating clear City construction standards whicb can be
understood by inspection staff and administered uniformly.
o Strictly enforcing utility trencb repair completion witbin
a twenty-one (21) day maximum limitation to City standards.
o Insuring strict compliance witb traffic control practices
througb quarterly review of construction practices.
4. Complete development of a traffic surveillance system to improve
traffic efficiency and reduce accident rates. These will be acbieved
in tbe following manner:
o Maintaining a traffic count system to count majnr and
secondary streets on an annual basis, collector streets
every two (2) years and selective local streets on a five
(5) year basis.
o Continuing routine accident plotting on a weekly basis witb
specific studies of problem intersections On a quarterly
basis.
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o Maintaining a rapid traffic complaint response system to
insure traffic committee investigation and response witbin
one (1) montb.
o Maintaining inventory traffic devices on major streets.
o Updating and certifying required speed zone studies.
o Completing pavement marker demonstration grant.
o Continue obtaining grant funds for pedestrian and safe
routes to scbool study.
o Development of a Traffic Systems Management Program.
5. Maintain long range Capital Improvements Program
efficiently construct budgeted capital projects.
acbieved in tbe following manner:
to quickly
These will
and
be
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Completing all budgeted projects
possible.
as
expediently
aa
o
Develop funding for a large scale construction program
complete major storm drain construction.
to
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6. Insure optimum utilization of maintenance resources to
most cost effective maintenance of street, storm drains,
parks. These will be achieved in the following manner:
provide tbe
parkways and
o Improvement of vehicle maintenance program.
o
Bzploring Citywide options
assessments to tbe area
lighting, street sweeping,
for tbe extension of benefit
of parkway maintenance, street
and trail maintenance.
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o Performing detailed audit of street ligbting charges.
o Improving the maintenance management system to increase
productivity througb improved scheduling.
(See Attached) Projects in progress
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CITY OF RANCHO CtJCAMONGA
STAFF REPORT
II :r
1',-
"
'z
'1-
,,>
DATE: June 18, 1986
FROM:
SUBJECT:
City Council and City Manager
Lloyd B. Hubbs, City Engineer
1977
TO:
Capital Improvement Program
Attached for Council approval is the 1986-87 Streets, Beautification and
Storm Drain Improvement Program. The program has been reviewed and
recommended for approval by both the Planning Commission and Citizens
Advisory Commission. The only change from the original submittal was the
allocation of $25,000 in Beautification Funds to restoration of portions
of the Etiwanda Stone Curbs. This change was recommended by the Advisory
CommiSsion.
The tot a I budget incl udi ng carryover proj ects totals over $12 mi 11 ion.
Major program commitments include:
I. Widening and modernization of signal along Grove Avenue
2. Design of the Milliken Avenue Grade Separation
3. Installation of seven new signals
4. Initial studies and work to coordinate signals along Base Line
and Archibald Avenues.
5. Initiation of the Turner - Hermosa Storm Drain System
Beaut ifi cat ion efforts will focus on comp I et ion of projects on 19th and
Base Line, construction of the Haven Avenue median islands and initial
stages of the Archibald beautification.
REC(JtlENDATION:
Staff recommends Council approve the program as submitted by the Planning
and Advisory Commission.
attachment
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CITY OF RANCHO CUCAMONGA
STAFF REPORT
~o C):-CA.\I~ I
_, CI ,
f!l _ E"'- \c
~11r;d4lif"" ~7"ji~ I
>-1. C' ' ;:
~I t,; !iz
;;I!' . >
~,
19i7
DATE:
June 11, 1986
TO: Chairman and Members of the Planning Commission
FROM: Lloyd B. Hubbs, City Engineer
BY: Blane W. Frandsen, Senior Civil Engineer
SUBJECT: CAPITAL IMPROVEMENT PROGRAM
I INTRODUCTION
It is my pleasure as the Senior Design Engineer to address the
Planning Commission with regards to the Capital Improvement Program. In
my report I'll endeavor to address 4 basic areas:
1. 1986-87 Estimated Revenues
2. Basic Elements of the Capital Improvement Program
3. Review Progress of the Street Improvement Program. 1985-86
4. Review the Major Elements of the Proposed 1986-B7 Street
and Drainage Budget
II. REVENUE SOURCES
The City presently has (9) nine basic revenue sources available to
the Capital Improvement Program. These include with their 1986-87
revenue estimates:
Gas Tax
TDA Article 8 and Article 3
Systems Fees
Drainage Fees
SB 300
FAU
Block Grant (CDBG)
Beautification Fees
$938.919.00
$884.276.00
$1,800.000.00
$800.000.00
$215.000.00
(Pending New Appropriation)
$200.000.00
$800.000.00
TOTAL REVENUE
$5.948.000.00
continued.. .
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Planning Commission Staff Report
Re: Capital Improvement Program
Page 2
I must comment with regards to the revenue sources within the City.
The Systems, Drainage, and Beautification Fees are development
dependent. When development slows down or the overall amount of
development is reduced a resultant reduction in fee generation occurs.
It must also be noted that the CDBG and FAU revenues are subject to
budget balancing on the Federal level. It is expected that these
appropriations may be reduced in the coming years.
The SB 300 fund is a two year State appropriation with 1986-87 being
the second year of the program.
Ill. BASIC PROGRAM ELEMENTS
The four Basic elements to the Capital Improvement Program consist
of:
1. Providing improvements to eliminate public hazard with priority
given to traffic, drainage and general nuisance issues;
2. Maintaining the existing system of streets and storm drains;
3. Providing for general traffic capacity and control; and
4. Providing for general flood control within the community.
Hazard Elimination
Of necessity our first attention is directed to hazard elimination.
It is to be noted that within the last year box culvert installations
have been constructed at Hillside Road and Wilson Avenue across Alta Lorna
Creek. Traffic signals at Hellman and Foothill, Archibald and 19th, have
been completed. Plans have been completed for the widening of the Lemon
Avenue and Highland Avenue bridge crossings of Alta Lorna Creek. Storm
drain and street reconstruction plans for Archibald Avenue from Lemon to
Banyan are complete and pending construction. Five (5) traffic signals
were recently awarded for construction at priority locations within the
City. (see attached projects in progress)
Maintenance
Our second and most costly priority centers around maintenance of the
existing street system. We have just received the first reports of the
pavement management survey for our arterial and collector street
system. Of the 125 miles of streets surveyed the following conditions
a re noted:
continued.. .
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Planning Commission Staff Report
Re: Capital Improvement Program
Page 3
19.8% of Streets in very poor condition
15.2% of Streets in poor condition
26.2% of Streets in fair condition
16.6% of Streets in good condition
22.2% of Streets in new or very good condition
From this survey an initial estimate of $5,000,000.00 is indicated to
bring our arterial and collector street system back to an overall good
condition and $1,800,000.00 needed to maintain the remainder of the
system in a good or fair condition. PrOjections for the next five years
would show similar budgets with a shrinking of the reconstruction backlog
and a gradual increase in annual maintenance to about $2,000,000.00
annually. Please remember that this does not include the local street
system. Surveys of the local street system are proposed for this next
fiscal year along with a computerized maintenance strategy for the entire
street system.
Drainage
The Comprehensive Storm Drain Plan prepared by L.D. King in 1981 is
our guide sheet for storm drain improvements in the established area of
Alta Loma and Cucamonga. The 1981 update indicated an initial need for
$40,000,000.00 in facilities yet to be constructed. The new Etiwanda
drainage plan indicates an additional $5,000,000.00 to $10,000,000 worth
07 facilities to be constructed in the areas east of Etiwanda Avenue.
In the past year we have seen the completion of the Alta Loma storm
drain, and the first section of the Beryl-Hellman storm drain. An
estimated $3,500,000.00 was expended for these two facilities. Designs
have been performed for the first major Etiwanda drains for East and
Etiwanda Avenues between Highland and Summit. Funding sources for
construction of these drains remains limited. Plans are presently under
way for the Baker Arrow storm drain. Preliminary studies have also been
performed for the Turner-Hermosa drainage systems.
Beautification
This is the first year that major beautification efforts have been
able to be performed. This is due to the recent addition of a Landscape
Architect to Staff. Improvements to Base Line east of Carnelian and
Carnelian from Base Line to Banyan have been recently completed. Plans
are in preparation for major beautification projects for portions of Base
Line, for Archibald Avenue parkways and for Haven Avenue medians.
continued...
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Planning Commission Staff Report
Re: Capital Improvement Program
Page 4
IV REVIEW OF STREET AND DRAINAGE IMPROVEMENTS 1985-86
We currently have 28 projects in active design, awaiting
authorization to bid or in construction. A complete list of these
projects entitled "Street and Drainage Improvements 1985-85, Projects in
Progress" follows this section. A brief analysis of the project 1 ist
would show estimated expenditures for the various program elements as
follows:
Traffic Safety and Facilities
Signals
Bridges
Railroad Crossings
TOTAL
$770,000
$125,000 .
$444,000
$1,339,000
25%
Reconstruction, Rehabilitation, and Maintenance
Sidewalks $100,203
Maintenance Projects $830,000
Major Rehab., Recon., & Widenings $2,032,372
TOTAL "$2,962,575 58%
Drainage Facility
Storm Dra i ns
$285,870
$503,875
5%
Beautification
10%
GRAND TOTAL
$5.087.321
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8.
9.
10.
11.
12.
13.
14.
15.
16.
STREET AND DRAINAGE IMPROVEMENTS 1985-86
Projects in Progress
1.
2.
3.
Project Limi ts Budget
Turner Ave. Wi deni ng Feron to A. T. S. F. RR $216,912
North Town Phase IV. Acacia, Belmont, & 8th . $201,598
Archibald Ave. Sidewalks Foothill to Base Line $80,203
4.
Archibald R.R. Crossin9 S.P.R.R. Crossin9 $25,000
5.
Grove Ave. R.R. Project A.T.S.F. Crossing $294,362
6.
Rochester R.R. Project A.T.S.F. Crossing $33,500
7.
Archibald R.R. Crsg. Pads A.T.S.F. Crossing $88,000
Arrow & 9th Reconstruction Archibald to Vineyard
$345,000
$20,000
Base Line Sidewalks
Hermosa to Ivy
Lemon Ave. Recon. & Bridge Archibald to Hermosa
Widening - Joint and Alta Loma Creek
$363,000
$437,000
Archibald Widening/S.O.
Lemon to Banyan
Grove Ave. Widening &
Signal Modification
8th to Foothill
$650,000
Hillside Rd. Widening &
Storm Orain (Designs)
Archibald to Malachite
$30,000
Hermosa Ave. Widening &
Hamilton St. Extension
Victoria to 19th
Deer Canyon to Hermosa
$445,000
Local St. Reconstruction
Phases 1 & 2
Central Cucamonga
$330,000
Local Street Maint.
Phases 1 & 2
Alta Loma Area
$155,000
$370,000
17.
Traffic Signals (5 Loc.)
Vineyard & 9th
Base Line & Beryl
Arrow & Hellman
Haven & Church
Haven & Lemon
Page. 41
Fund
CD8G
CDBG
TDA Art 3 &
Beautification
Fed 203
& Systems
Fed 203
& Systems
Fed 203
& Systems
Fed 203
& TDA Art 8
Systems
Beaut.
Gas Tax
Gas Tax
Systems
Gas Tax
Systems
Gas Tax/
Redev.
Gas Tax
TDA Art 3
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Projects in Progress (cont. )
Project Limi ts Budget Fund
lB. T ra ffi c Signa 1 Archibald & 6th $100,000 Systems
19. Highland Ave. Widening Alta Lorna Ck. @
& Bridge Reconst. @ Cambridge $lBO,OOO Gas Tax
20. Baker Arrow Storm Drain Bth to Foothill $83,000 I
Systems'
& Street Reconst. Baker to Cue. Channel Redev.
(Designs)
21- Etiwanda Storm Drains East, Etiwanda $105,870 Ora i nage '
(Designs) Highland & Summit
22. East Ave. Reconstruction Highland to Summit $30,000 TDA Art 8
(Designs)
23. Carnelian Landscaping Base Line to Banyan $321,300 Beaut.
24. Base Line Beautification Various Locations $68,545 Beaut.
25. Archibald Beautification 4th to Base Line $40,000 Beaut.
(Designs)
26. Archibald Underground Foothi 11 to Base Line $1,659 Beaut.
27. Foothill B1 vd. Grove to East Ave. $2,312 Beaut. I
Design Element
28. Haven Beautification 4th to Wilson $70,060 Beaut.
Medians
TOTAL WORK IN PROGRESS $5,087.321
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Planning Commission Staff Report
Re: Capital Improvement Program
Page 7
V. PROPOSED 1986-87 STREET. BEAUTIFICATION AND ORAINAGE BUDGET
We propose for 1986-87 continuing to completion those projects
currently in progress as well as starting 28 new projects. The new
projects are listed in the following list entitled "Proposed 1986-87
Street, Beautification and Drainage Budget. The project list includes
basic element expenditures as follows:
Tra ffi c Sa fety
Signals, and Signal
coordination hardware,
Traffic Projection Study
Railroad Crossings
TOTAL
$826,500
$200,000
$1,026,500
14%
Reconstruction, Rehabilitation, and Maintenance
Maintenance Projects and
PMS Surveys $917,330
Rehabl., Recon., and Widenings $1,027,750
TOTAL $2,125,080 29%
Drainage Facility
Storm Drain Designs and
Constructions
TOTAL
1,049,500
1, 04 9,500
14%
Miscellaneous Expenditures
Corporation Yard
Reimbursements to Development
City wide bench mark survey
City wide aerial mapping
TOTAL
$505,419
$100,000
$150,000
200,000
955,419
13%
Beautification
Medians
Parkways
Undergoundings
TOTAL
GRAND TOT AI.
$1,400,300
710,211
122,328
$2,232,839
$7.389,338
30%
It is noted that the Grand Total for the Proposed 1986-87 Budget
exceeds the estimated revenue source as follows:
$7,389,338
5,948,000
$1,441,338
Systems and Beautification fees currently held by the City will be
used to make up this difference. An attempt to over program planning for
the shelving of some projects will enable the City to take advantage of
unexpected revenue or grant money by activating ready to bid projects.
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3.
10.
11.
12.
13.
14.
15.
16.
17.
18.
PROPOSED 1986-87
STREET, BEAUTIFICATION & DRAINAGE BUDGET
Proposed Projects
Project
Limits
1.
Base Line Widening &
Resurfacing
Hellman to Archibald
2.
Base Line Signal Inter-
connect, Time Base Coordination
Ca1Trans Signals on
Foothill
at Archibald
at Vineyard
a t Turner
4.
5.
Traffic Proj. Update
City-Wide
Rubber Pads @ A.T.S.F.
RR Crossing
6.
Archibald Ave. Inter-
connect, Time Base Coordination
7.
8.
Corporation Yard Acqusition
Base Line Rd. Recon.
(Designs Only)
Etiwanda to 1-15
9.
Archibald Realignment
& Recon.
19th to Hi9h1and
Archibald to E/o
A lta Lorna Ck
Banyan St. Extension
EIR & Design Only
Amethyst St. Imp.
Design & EIR
Amethyst Ave. Recon.
19th to Orange
19th to Fth. Fire Stn.
Preventative Maint.
Slurry Seal
Various Streets
Pavement Rehab.
Local Streets
Hillside S.D. & Recon.
Archibald to Malachite
ROW Acq. Archibald Ave.
19th to Highland
Beryl St. Widening
Lemon to 665' North
City-wide Benchmark Survey City-wide
Page 44
Budget
$300,000
$50,000
P4,000
inc. above
$47,500
$25,000
Carryover
$25,000
$505,419
$37,500
$143,250
$55,000
$37,000
$115,000
$130,000
$262,330
$239,000
$51,000
$65,000
$150,000
Fund
Gas Tax
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
TDA Art 8
SB 300
SB 300
Systems
Systems
Syst2ms
Systems
- -- ---------------------------------------------
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Project Limits Budget Fund
I 19. City-wide Aerial Control City-wi de $200,000 Systems
Flight
I 20. Vineyard Rehab. Arrow to Foothill $170.000 Systems
2l. Ramona Avenue Victoria to 19th $75.000 Systems
I 22. Arrow St. Rehab. Archibald to Turner $315,000 Systems
I 23. Pavement M9mt. Survey Local Streets $40.000 Sys tems
& Computer Tie to GIS System
24. Archibald Ave. Widening S.P. RR Crossing Carryover
I
25. Grove Ave. & 8th at 8th ST. Carryover
Signal & RR Crossing
I 26. Grove Ave. Widening 8th to Foothill Carryover
& Signals
I 27. Hermosa Widening & Victoria to 19th Carryover
Hamilton St. Deer Canyon School to
Hermosa
I 28. Mi 11 i ken Grade Separation A.T.S.F. RR Crossing $200.000 Systems
(Design)
I 29. Dev. Reimbursements City-wide $100.000 Systems
I 30. Traffic Signals Base Line & Amethyst
Archibald & 9th
Base Line & Alta Cuesta
Haven & 4th (1/2) $305.000 Systems
I 3l. Base Li ne S.D. (Design) Etiwanda Line 5-3 $36.000 Drainage
I 32. Hellman S.D. (Design) Monte Vista to Cuc. Ck. $162.500 Ora i nage
33.* Turner-Hermosa Foothi 11 to North $741.000 Drainage
Drainage System of 19th
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34. Rochester Avenue A.T.S.F. RR Crossing Carryover
I 35. East Ave. Reconstruction Highland to Summit $500,000 Systems
and Storm Drain Drainage
I 36. Base Line Beautification Various Locations $509,650 Beaut.
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Project Limits Budget Fund
37. Archibald Avenue 4th to Foothill $175,561 Beaut.
Beautification
38. Haven Beautification 4th to Wil son $1,400.300 Beaut.
Medians
39. Hermosa Avenue Victoria to 19th $100,000 Beaut.
Under9rounding
40. Etiwanda Rock Curbs To Be Determined $25,000 Beaut.
TOTAl OF PROPOSED WORKINGS $7.389.338
*Project to be partially funded through Redevelopment housing sete-a-side program.
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Planning Commission Staff Report
Re: Capital Improvement Program
Page 10
VI CLOSING COMMENTS
In closing it is noted that in almost every year since incorporation
that the Capital Improvement Program has nearly doubled in size. It
takes much imagination and maximum effort to accomplish the mammoth task
of completing plans and contract documents to allow for the spending of
these funds and the building of these improvements.
The new project list seems a machine gun targetting to an entire
horizon of needs within the community. Funding is available to do
improvements within all of the element areas of the Capital Improvement
Program and therefore the staff approach in formulating the list as it
presently appears. As a staff advisor I would welcome the Commission's
input as to prioritization of effort with regards to the project list.
The list is very long and with current staffing the opportunity for those
projects falling late on the list to carryover to next year is great in
spite of all efforts to avoid such occurrence. Should there be projects
desired by the Commission which are not included in the present list
these can be added yet to do so will eliminate the existing funding
balance. A project deletion should be considered when adding any new
projects.
As part of this year's list of new projects the acquisition of
additional computer software and field data collection is proposed to
automate our street maintenance efforts. The Pavement Maintenance
Program is anticipated to playa major role in determining which streets
will be addressed for maintenance and reconstruction in the future, thus
tailoring the project selection currently performed by staff to maximize
the dollar return for our dollar investment into such workings.
The bench mark surveys for city wide survey controls and-the
accompanying aerial flights for city wide contour and topological mapping
will also provide assistance in prioritizing storm drain construction and
will provide better control in determining drainage areas. These last
items should provide a major augmentation to the ongoing base mapping and
geobase mapping presently in progress by the Building and Planning
Divisions of our Community Development Departments.
Major beautification efforts along three of our communities major
streets will provide a major upgrading to the aesthetics of our City. I
believe I can speak with pride that Rancho Cucamonga is making major
leaps in all areas of capital development making the community safer,
more convenient and a more attractive place to live and work.
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PROGRAM SUMMARY
1986-87
Department: Community Development/Capital
Projects - SB 325/TDA
COST CEIlTER: 4637
1984-85
Budget
1 985-86
Budget
1986-87
Manager
Recommendation
. .
1986 -87
Adopted
Budget
PERS(lIlNEL EXPEIlSB
OPBRATIRG EXPEIlSB
760184
920000
1214817
1214817
~UIPMEIlT OUnAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
760184
902000
1214817
1214817
PROGRAM OBJECTIVES AND MAJOR CRANGES
See At tached
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Department/Division: Pro;;ram: Account ;';unoer:
COE/CAPITAL PROG. GAS TAX PROGRAM BUDGET 11-4637-8000
Obj. /Sub-Obj. Description of Items " rndividu~l Dollar Amounts Budget
1. Base Line Widening & Resurfacing Hellman to
"rcn lea, y "venue
Construct ion 5255,052
Des i gn 25,000
Admin. 25,000
TOTAL S305,052
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COST CENTE? DETAIL WORKSHEET
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c....""- C:::NTE,q DETAIL ''';ORKS,..,;:::,
_::'J
Deparc~enc/Division: Pro>;rarn : Ac.::ounc ;;u::-:oer:
CDE/C.I.P. TDA Arcicle 8 - Prog. Budget 12-4637-8000
Ob;. /Sub-Obj . Descripcion of Icems & Individual Dollar Arnouncs Bud?ec
1. Base Li ne Interconnect
Time-base Coordination System
Reolace 3 Controllers, add 3 time rs $ 50,000
2. Archibald Avenue Interconnect - Phase 1
Time-base Coo rd i na t i on System
ReDlace 2 Controllers 25,000
, CalTrans Signals (Coop. w!State)
Footh; 11 @ Archibald, $148.00
F","h ill (,) Vi nevard Say 50% 74,000
Foothill @ Turner, $95,000 Say 50% ~/,JUu
4. Traffi c Projection Update 25,000
~. Rubber Pads for A. T.S.F. RR Crossing &
Mi nor Road Wo rk , Archibald Avenue 88,000
6. Corporat ion Yard Acq u i sit ion . 5C'5,419
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~e~ar:~enc.'J~~:s~~~: ;"I-""'c"'a-' .~CCOU:i1: .',u::-::.;;:- :
CDE/C.I.P. TDA Article '8" 'program Budget 12-4637-8000
Ob; . ISub-lJb j . Desc:-i~tion or !te",s & individual Dollar Amounts =I.;C~e:
7 ~,<~ , ;"~ O~,~ o4~~""~,,".i~"
~.;"I'n~' .n I-I~ In_.:_" Onlv)
(S165.000 x 1.11) = 5183.150
De s i g n 15% 27.500
Conting. 10% 18.500
Contract Admn 10% 18.500
~?t.7 6"0
<." ~'c;nooo (1';9< des ion) = S37.500
R Archibald Avenue Rea 1 i onment
__'" o_~. '. i~n
19th to Highland
Construction 5105.000
Continoency 10% 10.500
Desion 15% 17.250
Contract Admin 10 ,,00
S lUT -,-c;n- 5143.250
Oi_~_ nf w,v rl~'rino House Purchase &
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545.000
56.000
S51.000 from' Systems Fees
. Q. R,n,,,n <---a- ,--
EIR 510.000
Desion PS&E 45.000
~ 555.000
',n _ e.___ Imnrovements
1 Q.h .n nronne
Design P.S. & E and E. I. S Studies
Est. 5250.000 Const.
15% Desion 537.000
(,"',-- r':'~I-=:;
_:) t __,t I _ '
~~T~rL ~CR~S~~~'~
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COSi C::.H::.~ DEiAIL WORKS~EEi
Deparcmenc/Division: Pro1;ram: Accounc ;;u::-:oe:- :
CDE/C.I.P. TDA Article 8 - Program Budg. t 12-4637-8000
Ob;./Sub-Obj. Dese:ripcion of Icems .. Individual Dollar Amouncs Sue?;::
11. Amethyst Avenue Ree:ons true: t ion
19th to Footh ill Fi re Station wltn
west side e:urbs to join new development. S 11 5 .000
TOTAL $1 ,Z02,66~
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PROGRAM SUMMARY
1986-87
Department: Community Development/Capital
Projects SB 300
COST CEIlIER: 4637
1984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSOflIlI!L EXPEIlSE
OPERATING EXPEIlSE
396330
396330
I!QUIPMEIlT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
396330
396330
PROGRAM OBJECTIVBS A!1D MAJOR CBAIIGES
Base Line Road Beautification
Various Locations $ 509,650
Archibald Avenue Beautification
4th to Foothill $ 175,561
Haven Beautification Medians
4th to Wihon $ 1,400,300
Hermosa Avenue Undergrounding $ 100,000
Etiwanda Rock Curbs $ 25,000
See Attacbed
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COST C~NTC~ DETA! L '""0,::: ,'(5HEET
Deparcmenc/Division: Program: Accounc "umber:
CDElC. LP. SB300-Program Budget 15-4637-8000
Obi ./Sub-Obj . Descripcion of Icems & Individual Dollar Amouncs Budget
Preventative Maintenance
Slurry Seal Vari ous Streets ,jju,UUU
Pavement Rehabilitation
Local Streets 5262,331}
1. Alta Lorna High School Area
2. Red Hi 11 Country Club Area
3. Central Cucamonga Area
TOTAL . $392,330
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PROGRAM SUMMARY
1 986 -87
Department: Community Development/Capital
Projects - Beautification
COST CENTER: 4637
1984-85
Budget
1 985-86
Budget
1986-87
Manager
Recommendation
1986-87
Adopted
Budget
PERS~NEL EXPENSE
OPERATl!IG EXPENSE
o
1400000
2232839
2232839
EQUIPMENT OUn.AY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
1400000
223283 9
2232839
PROGRAM OBJECTIVES AND MAJOR CHANGES
The Beautification Fund has been established to allow the City to
maintain an aesthetically pleasant atmosphere. Funds in the 1986-87
budget will be used toward projects such as: Carnelian landscape. Base
Line Beautification. Archibald Beautification. Archibald Avenue
undergrounding. Haven Avenue medians and beginning the design for
Foothill Boulevard.
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PROGRAM SUMMARY
1986 -87
Department: Community Development/Capital
Projects - Systems Development
COST CI!IlTERS:
4637
1 984-85
Budget
1985-86
Budget
1986-87
Manager
Recommenda tion
1986 -87
Adopted
Budget
PERS(lIlIlEL IlXPI!IlSE
OPERATIIlG IlXPI!IlSE
1175444
2350000
3644912
3644912
EQUIPMI!IlT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
1175444
2350000
3644912
3644912
PROGRAM OBJECTIVES Al'lD MAJOR CBAl'lGES
See Attacbed
Pag,e 56
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COST CENTER DETAIL WORKSHEET
Department/Division: Program: ACcounc. Number:
CDE/C. 1. P. Systems Development 22 -4637 -8000
Obi. /Sub-Obj. Description of Items & Individual Dollar Amounts Budget
1. Hillside S.D. in Conjunction with Hill side
Widenina, Malachite to Archibald 5239,000
2. Base Line S.D. in Conjunction with Base Li ne
Widening, Etiwanda to 1-15 $ 35,550
Desion Onlv 5237000 (3 15%
3. Riaht of Way Workinas for Archibald
Wiripninn lath tn l1inhhnrl ~ ol.nOo
4. Beryl Street Widenina
Ipm"n t" ~~<;, No,..th w'!st <;; rip ~ 65 OIJO
<; CitYWide Benchmark Survev $150,000
6. Citywide Aerial Control & Flight
with oreD. for CitYWide Aerial MaDDina $200,000
'Mt , ,. "pri
7 Vi neva rd Arrow to Foothill
Pavement'R"hab. 2 250 x 72" $170,000
H? Jlon e ~ I<l ~l nn oj. (il 1? inn
8. Ramona Avenue, Victoria to 19th $ 75,000
Widening and Rehab.
9. Arrow Street Rehab. De sian & Riaht Acauisition
Archibald to Turner $315 000
10. Payement Management Survev and
ComDuter Tie Local Streets with _
r, T _ S_ Tip-in ,- $ 40 000
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COSi CENT::~ DEiA r L WORKSH==T
Departrnene/Division: Pro;;ram: ACcount )jwwber:
CDE/6060 5y; tem Development ZZ ~ 4(,37- 80co
Db; . /Sub-Obj. Description of Ieems & Individual Dollar Amounts Bud?,=~
11. Archibald Widening @ SPRxR 5 25,000
12 Av,,- iii 8th & Ra i 1 roa d 294.362
includ,,-s S~nal & 8th S t re"- t
1 ~ G rove Ave Widening Phase II 5600,000
Ra j I road to Foothi 11 Blvd.
14 H"-~a Widenina and 5410,000
Hami 1 ton Str"-et Construction at
He rmosa Park So. of 19tn St.
15. Mi 11 iken Grad,,- S"-oaration Design S200,000
16 ~e'Leloo"-r Reimbursements S100,000
17. Traffic Siqnals
Base Li ne & Ametnyst S100,000
Arrhibald &--9ih 5 tree t 70,000
Base Li ne & Alta Cuesta 90,000
Haven & 4th St. (1/2) 45,000
5305,000
TOTAL S3,644,9i2
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COMMUNITY SERVICES
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PROGIW! SUMMARY
1986-87
Department: Community Development/Capital
Projects - Drainage Facilities
COST CI!IITER: 4637
1 984-85
Budget
1 985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSClIIIlEL EXPI!IISE
OPERATIIlG EXPI!IISE
1248147
550000
654500
654500
I!QUIPMI!IIT OUTLAY
CAPITAL PROJECTS
TOTAL PROGIW! COSTS
1248147
550000
654500
654500
PROGIW! OBJECTIVES AIlD MAJOR CRAIlGES
See Attacbed
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Department/Division: ProJ::ram: Account: ;;u:,:,:oer: I
CDE/C. I. P. Drainage Program Budget 23-4637-8000
Obi. /Sub-Obj. Description of Items & Individual Dollar Amounts Budge,:
I. Base Line Storm Drain - De sign
(Et iwanda Area Line 5-3-)
Desions 5237.600
. 15%
5 35.640 Say 5 36,000
2. Hellman Avenue Storm Drain Des i gn
(Beryl-Hellman Drain)
Design Reach from Cucamonga Creek to Hellman
Avenue and Coordinate with existing
Hellman Avenue Plans and Storm in Beryl from
Highland to Manzanita
$1.500.000 total cons t. design est. 15%
15%
~ ??c; 1'11'11'1 u. CI'I~ ~nmnl"t" 5 162 O:CO
remains
3. Turner-Hermosa Construction 741.009
Fund all Remainina and And
I , .t"~ fn" Fi <~~ I R7- Cono;truc:tion
TOTAL 198.500
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COST CENTE~ DETAIL WORKSH:ET
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PROGRAM SUMMARY
1986-87
Department: Community Development/Streets and
Park Maintenaoce
COST CEIlIER: 4647
1986-87 1986 -87
1 984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERS (I'" EL BXPDlSE 264925 401440 385032 385032
OPERATIBG BXPDlSE 926264 417340 976171 976171
IiQUIPKDlT OUTLAY 20856 9900 440050 440050
CAPITAL PROJECTS 6000 215000 215000
TOtAL PROGRAM COSTS 1212045 8346 80 2016253 2016253
PROGRAM OBJECTIVES AND MAJOR CHARGES
See At tach ed
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Department/Division: Pro~ram: Account :-iu:::.ber:
11-4647-1100
Obj./Sub-Obj. Descri? tion of Items & Individual Dollar Amounts Bud,ec
1100 Gas Tax
Maint. Superintendent (50%) $ 17,734
2 Sr. Mai nt. Worker (Patch & Gene ra I 44,122
1 Ma i n t. Crew Supervisor 27,484
3 Sweeper Operators 56,656
6 Maint. Workers 159,690
TOTAL S305,686 i
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1"100 Fringe 35% 106,990
1200 Overtime 40,000
~n'~ Contract Services
Street Ma i nt. $ 60,000 ,
~.'De. Sweenin" 15,000
T'D" M" i n t. 100,000.
Strioina Maint. 100,000
r"lTr'"' . r" ,., non
Signal Maint 25 Sig.@ S60/mo.(Min.2,000/mo) 80,000
Parkwav Weed Control (County) 15,000
TOTAL' 5370,000 I
3900 Maintenance and Operations 90,000
Asphalt. Concrete Traffic siens
Parkwav .rDD' ~'r'i''''- ",n..l .",,1. .... '
8022 Sienal ~n...nv (~..I:.,,"' <;<; "nn
0 Excludes CalTrans & Coun."
Eau i 0 "'"j". ~ ;"". Z06 8Z6
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COST C~NTE~ DETAIL WORKS~EET
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PROGRAM SUMMARY
1986 -87
Department: Community Services/Administration
COST CENTERS: 4532
1986-87 1986 -87
1 984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERS(lIIN EL EXPENSE 150971 375497 572661 572661
OPERATING EXPENSE 64918 132290 127706 127706
EQUIPMENT OUTLAY 3368 4750 27390 27390
CAPITAL PROJECTS 23000 12000 12000
TOtAL PROGRAM COSTS 219257 535537 739757 739757
PROGRAM OBJECTIVES AND MAJOR CHANGES
Dp-DArtmp-nt Goals:
1. Provide quality Park and Recreation opportunities for tbe citizens of
Rancbo Cucamonga tbrougb tbe following:
o Implemention of tbe park element of tbe General Plan
tbrough tbe acquisition and development of recreation
facilities witbin tbe City aa aggressively as financial
constraints allow.
o Continue to seek and explore new and innovative ways to
effectively and efficiently meet tbe recreation needs of
our ci tizeD8.
o Continue tbe self-supporting fee based recreation classes
and expand tbe same to offer a wide variety of recreation
o ppor tuni ti es.
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Conduct, coordinate and promote Citywide special events.
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o Continue to assist, wben requested, community based groups
to improve tbeir recreation programs.
2. Provide continued support to tbe Park Development Commission.
3. Provide continued support to tbe Historic Preservation Commission.
4. Working toward development and implemention
public agencies serving Rancbo Cucamonga,
preparedness plan.
in concert witb otber
a comprebensive disaster
5. Continue direct support of tbe City's public information service aimed
at providing information regarding activities of tbe City and programs
of general interest tbrougb coordinating publication of tbe Graoev;ne,
by operating information and referral services, and by conducting
courses in CPR and first aid.
6. Seek and recommend to tbe City Council and City Manager various grant
programs or innovative implementation systems wbicb will aid in
aCbieving tbe preceding goals or wbicb are of general benefit to
Rancbo Cucamonga.
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PROGRAM SUMMARY
1986 -87
Department: Community Services/Recreation Services
COST CEIIITER: 4563
1 986 -87 1986 -87
1 984-85 1 985-86 Manager Adopted
Budget Budget Recommendation Budget
PERSllINEL IlXPEIIISE 6036 23625 19977 19977
OPERATlRG IlXPEIIISE 102890 144334 161325 161325
I!XlUIPMEIIIT OUTLAY 8822 5000 63500 63500
CAPITAL PROJECTS 90346 90346
TOTAL PROGRAM COSTS 117748 172959 335148 335148
PROGRAM OBJECTIVES AND MAJOR CHANGES
Provide quality Park and Recreation npportunities for the citizens of
Rancho Cucamonga through the following:
o Continue to seek and explore new and innovative ways to
effectively and efficiently meet the recreation needs of
our citizens.
o Continue the self-supporting fee based recreation classes
and expand the same to offer a wide variety of recreation
opportunities.
n Conduct, coordinate and promote Citywide special events.
o Continue to allilt, when requested, community based groups
to improve their recreation programs.
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PROGRAM SUMMARY
1986 -87
Department: Community Services/Park Development
COST CENTER: 4532
1 984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSlJIREL IlXPENSE
OPERATDlG IlXPENSE
985047
1728208
843354
843354
EQUIPMENT OUTLAY
CAPITAL PROJ ECTS
TOTAL PROGRAM COSTS
985047
1728208
8433 54
843354
PROGRAM OBJECTIVES AIlD MAJOR C8AIlGES
Provide quality Park and Recreation opportunities for the citizens of
Rancho Cucamonga through the following:
o Implemention of the park element of the General Plan
through tbe acquisition and development of recreation
facilities witbin tbe City as aggressively as financial
constraints allow.
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PROGRAM SUMMARY
1986 -87
Department: Community Services/Red Hill and
Heritage Park Development
COST CEIlIER: 4532
1984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986-87
Adopted
Budget
PERSll'INEL EXPENSE
OPERATING EXPEIlS E
o
6717337
2575550
2575550
~UIPMEIlT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
o
6717337
2575550
2575550
PROGRAM OBJECTIVES AND MAJOR CHANGES
Provide quality Park and Recreation opportunities for the citizens of
Rancho Cucamanga through the following:
o
Implementation of two features of
element. the construction of
COllllll.1ni ty Parks.
the General Plan's park
Beri tage and Red Bi 11
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REV ENUE ASSESSMENT
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PROGRAM SUMMARY
1986-87
Department: Revenue Assessment/Administration
COST CIlIlTER: 4130
1986-87 1986 -87
1 984-85 1 985-86 Manager Ado pted
Budget Budget Recommendation Budget
PERSO!IINEL EXPI!I'ISE 0 47568 180312 180312
OPERATDlG EXPI!I'ISE 22000 65851 65851
EQUIPMIlIlT OUTLAY 4500 39486 39486
CAPITAL PROJECTS 700 3000 3000
TOTAL PROGRAM COSTS 74768 288649 2886 49
PROGRAM OBJECTIVES AND MAJOR CIWlGES
The objective of Assessment District Administration is to ensure all
assessment districts are cost efficiently and effectively managed.
Moreover, an Assessment District Information Service Center is provided
for all property owners of Rancbo Cucamonga.
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PROGRAM SUMMARY
1986 -87
Department: Revenue Assessment/Landscape District #1
COST CENTER: 4130
1984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSONNEL EXPENSE
4212
4212
OPERATING EXPENSE
100984
240178
240178
~UIPMENT OUn.AY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
100984
244390
2443 90
PROGRAM OBJECTIVES AND KAJOR CHANGES
Assessment
Districts
inquiries.
District Administration's objectives are to control Landscape
cost, monitor cost effectiveness, and address Landscape
Landscape District #1 refers to tbe general City.
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PROGRAM SUMMARY
1986 -87
Department: Revenue Assessment/Landscape Maintenance District #2
COST CENTER: 4130
1984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERS(IIlNEL EXPENSE
45534
45534
OPERATING EXPENSE
24627
521198
521198
EQUIPMI!IIT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
246 27
566732
566732
PROGRAM OBJECTIVES AND MAJOR CHANGES
Assessment
Districts
Inquiries.
District Administration's objectives are to control Landscape
cost, monitor cost effectiveness, and address Landscape
Landscape
area.
Maintenance District #2 refers to tbe Victoria Community Plan
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PROGRAM SUMMARY
1986-87
Department: Revenue Assessment/Landscape Maintenance District 13
COST CENTER: 4130
1 984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommenda tion
1986-87
Adopted
Budget
PERSlJIN EL EXPENSE
270
270
OPERATIlIG EXPENSE
3142
1800
1800
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EQUIPMENT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
3142
2070
2070
PROGRAM OBJECTIVES AND MAJOR CIlANGES
Assessment
Districts
inquiries.
District Administration's objectives are to control Landscape
cost, monitor cost effectiveness, and address Landscape
Landscape Maintenance District 13 refers to 8 parcels of land located
east of tbe 1-15.
Page 71
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PROGRAM SUMMARY
1986-87
Department: Revenue Assessment/Landscape Maintenance District #4
COST CENTER: 4130
1984-85
Budget
1 985-86
Budget
1 986 -87
Hanag er
Recommendation
1986-87
Adopted
Budget
PERSOIlNEL EXPENSE
35776
35776
OPERATING EXPENSE
96294
112544
112544
~UIPMENT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
96294
148320
148320
PROGRAM OBJECTIVES AND MAJOR CHANGES
Assessment
Districts
inquiries.
District Administration's objectives are to control Landscape
cost, monitor cost effectiveness, and address Landscape
Landscape Maintenance District #4 refers to tbe Terra Vista Community
Plan area.
Page 72
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PROGRAM SUMMARY
1986-87
Department: Revenue Assessment/Landscape Maintenance District #5
COST CENTER: 4130
1 986 -87 1986 -87
1984-85 1985-86 Manager Adopted
Budget Budget Recommendation Budget
PERSOIlN EL EXPENSE 270 270
OPERATING EXPENSE 4720 4720
~UIPMENT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS 4990 4990
PROGRAM OBJECTIVES AND MAJOR CHANGES
Assessment
Districts
inquiries.
District Administration's objectives are to control Landscape
cost, monitor cost effectiveness, and address Landscape
Landscape Maintenance District #5 refers to the tot lot located east of
Turner Avenue. north of 26th.
Page 73
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PROGRAM SUMMARY
1986-87
Department: Revenue Assessment/Lighting District #1
COST CENTER: 4130
1984-85
Budget
1 985-86
Budget
1986-87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSONN EL EXPENSE
OPERATING EXPENSE
23234
56043
56043
~UIPMJ!1IlT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
23234
56043
56043
PROGRAM OBJECTIVES AND MAJOR CHANGES
Lighting District Administration's objective is to provide an effective
and efficient managerial system with special emphasis on cost reduction,
forecasting, and projections.
Lighting District #1 refers to the general City streets and boulevards.
Page 74
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PROGRAM SUMMARY
1986-87
Department: Revenue Assessment/Lighting District #2
COST CENTER: 4130
1984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSORNEL IlXPENSE
OPERATING IlXPENSE
27672
71360
71360
EQUIPMENT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
27672
71360
71360
PROGRAM OBJECTIVES AND KAJOR CBANGES
Lighting District Administration's objective is to provide an effective
and efficient managerial system with special emphasis on cost reduction,
forecasting, and projections.
Lighting District #2 refers to the residential City streets.
Page 75
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PROGRAM SUMMARY
1986 -87
Department: Revenue Assessment/Lighting District #3
COST CENTER: 4130
1984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1 986 -87
Adopted
Budget
PERS(lIINEL EXPENSE
OPERATING EXPENSE
35246
39433
39433
~UIPMENT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
35246
39433
39433
PROGRAM OBJECTIVES AND MAJOR CHARGES
Lighting District Administration's objective is to provide an effective
and efficient managerial system with special emphasis on cost reduction,
forecasting. and projections.
Lighting District #3 refers to the Victoria Community Plan area.
Page 76
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PROGRAM SUMMARY
1986 -87
Department: Revenue Assessment/Lighting District #4
COST CENTER: 4130
1 984-85
Budget
1985-86
Budget
1 986 -87
Manager
Recommendation
1986 -87
Adopted
Budget
PERSOONEL EXPENSE
OPERATING EXPENSE
17264
38289
38289
EQUIPMENT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS
17264
38289
38289
PROGRAM OBJECTIVES AND MAJOR CHANGES
Lighting District Administration's objective is to provide an effective
and efficient managerial system with special emphasis on cost reduction.
forecasting. and projections.
Lighting District #4 refers to the Terra Vista Community Plan area.
Page. 77
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LAW ENFORCEMDlT
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PROGRAM SUMMARY
1986-87
Department: Law Enforcement
COST CI!IlTER: 4451
1 986 -87 1986 -87
1 984-85 1 985-86 Manager Adopted
Budget Budget Recommendation Budge t
PERSCl'lNEL EXPIlIlSE
OPERATlBG EXPIlIlSE 3417996 3889164 4464496 4464496
I!QUIPMIlIlT OUTLAY
CAPITAL PROJECTS
TOTAL PROGRAM COSTS 3417996 3889164 4464496 446 44 96
PROGRAM OBJECTIVgs ARD MAJOR CHARGES
Dp-Da~~m~nt GOAI_:
Admin1.RtTAt;OD
1. Increase tbe amount and quality of vertical communications.
2. Tigbter controls on tbe tracking of daily espenditures.
3. Increase tbe Ileigbborbood Watcb programs
sustaining.
and make
tbem self
PatY'ol D;v;.,oD
1. Assist tbe Traffic Safety Division in reducing tbe number of injury
traffic accidents.
2. Reduce tbe burglary rate by 5%.
3. Reduce tbe response time to 9 minutes.
Page 78
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TTAff;e SafAtv D;v;sion
1. Prevent the Injury Traffic Accident rate from increasing witb tbe
continuous population growth.
2. Reduce the Property Damage Only Traffic Accidents by 10%.
InvP-8tiist;OD Division
1. Increase the Burglary Clearsnce Rate to 25%.
2. Increase the Larceny Clearance Rate to 20%.
Page 79