HomeMy WebLinkAbout08/01/14 (Agn) Library Fnd Board LIBRARY FOUNDATION BOARD
AGENDA
CITY OF RANCHO CUCAMONGA
REGULAR MEETING
Second Monday
6:00 p.m.
January 14, 2008
Tri-communities Room
City of Rancho Cucamonga
10500 Civic Center Drive
Rancho Cucamonga, California 91730
*r*
City Councilmembers
Donald J. Kurth, M.D., Mayor
Diane Williams, Mayor Pro Tem
Rex Gutierrez, Councilmember
L. Dennis Michael, Councilmember
Sam Spagnolo, Councilmember
Foundation Members
Bruce Bowne, President
Paul Williams, Vice President
Teresa Akahoshi, Member
David Atkins, Member
Rebecca Davies, Member
Gino Filippi, Member
David Gonzalez, Member
Ruth Leal, Member
Dominic Melillo, Member
Ron Sakala, Member
Gilda Silver, Member
DECLARATION OF POSTING OF AGENDA
VIVIAN GARCIA states and declares as follows:
I presently am, and at all times mentioned herein have
been, the Administrative Secretary of the Library of Rancho
Cucamonga. Acting in that capacity, on V�Ln.Ln" /U� a�F1
at 3p 6t& , I posted a true and correct copy of the meeting
agenda dated JAlivavre N, a(�8 at 10500 Civic
Center Drive, Rancho Cucamonga.
I declare under penalty of perjury that the foregoing is
true and correct and that this declaration was executed on
at Rancho Cucamonga .
DEBORAH KAYE CLARK, LIBRARY MANAGER
City of Rancho Cucamonga
BY:
Vivian Garcia, Administrative
Secretary
City of Rancho Cucamonga
8
LIBRARY FOUNDATION BOARD AGENDA
JANUARY 149 2008 1
RANCHO
CUCA.MONGA
A. CALL TO ORDER
1. Roll Call: Akahoshi Atkins , Bowne
Davies , Filippi Gonzalez , Leal
Melillo Sakala Silver and
Williams
B. CONSENT CALENDAR
The following Consent Calendar items are expected to be routine and
non-controversial. They will be acted upon by the Library Foundation
Board at one time without discussion. Any item may be removed by a
Member or member of the audience for discussion.
1. Approval of Library Foundation Treasurer's Report: 4
September, October, November and December 2007.
2. Approval of Minutes: October 8, November 12 and December 22
10, 2007.
C. LIBRARY DIRECTOR'S STAFF REPORTS
The following items do not legally require any public testimony,
although the President may open the meeting for public input.
1. Staff Presentation on "Where We've Been 2007: Where We're
Going 2008." Presented by Library Services Manager
Michelle Perera.
D. BOARD BUSINESS
The following items have been requested by the Library Foundation
Board for discussion. They are not public hearing items, although
the President may open the meeting for public input.
1. PAL Campaign Account Update. August, September and 27
October 2007 attached.
2. Pal Campaign Cabinet Update: Report on the PAL Campaign 33
Cabinet Meeting held December 12, 2007, at 4 p.m.
Presentation and discussion led by Cabinet Members Paul
Williams, Bruce Bowne and Ruth Leal. The Draft Minutes are
attached.
3. PAL House Raffle Committee Report: Presented by Raffle
Committee members.
LIBRARY FOUNDATION BOARD AGENDA
JANUARY 14, 2008 2
RANCHO
CUCAMONGA
E. IDENTIFICATION OF ITEMS FOR THE NEXT
MEETING
This is the time for Library Foundation Board to identify the items
they wish to discuss at the next meeting. These items will not be
discussed at this meeting, only identified for the next meeting.
F. PUBLIC COMMUNICATIONS
This is the time and place for the general public to address the
Library Foundation Board. State law prohibits the Board from
addressing any issue not previously included on the Agenda.
G. ADJOURNMENT
I, Vivian R. Garcia, Library Administrative Secretary of the City of
Rancho Cucamonga, or my designee, hereby certify that a true,
accurate copy of the foregoing agenda was posted on Thursday,
January 10, 2008, seventy two (72) hours prior to the meeting per
Government Code 54954.2 at 10500 Civic Center Drive.
STAFF REPORT
LIBRARY SERVICES DEPARTMENT
RANCHO
Date: January 14, 2008 C,UCAMONGA
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Treasurer's Report— September 2007
CASH REPORT BEGINNING MTD MTD ENDING
September, 2007 CASH BALANCE REVENUES EXPENDITURES CASH BALANCE
FUND
General $76.935.37 $2,328.72 ($5,000.00) $74,264.09
Archibald Children's Books Endowment $40.000.00 $40,000.00
Victoria Gardens Books $83,125.00 $83.125.00
Adult Literacy $18.985.00 $18.985.00
Operating Reserve Fund $5,000.00 $5,000.00
TOTAL $224.045.37 $2,328.72 ($5,000.00) $221.374.09
LAW Account: $126,339.66
Bank of America Account $95,034.43
Total Library Foundation Holdings: $221,374.09
Revenues Received:
Interest Earned: $ 3.72 General Fund
Rental Check: $ 750.00 General Fund
Telethon Donations $ 0.00 General Fund
Grapevine Donations $ 5.00 General Fund
CMC Fontana Steel $ 1,500.00 General Fund
Abbott Laboratories Empl. Giv. $ 70.00 General Fund
TRFASURHR'S Ri..rowr-SeTTvn+nr,R Pncii 2
JANUARY 14,2008
Expenditures:
City of Rancho Cucamonga (Big Read Donation) $ 5,000.00 General Fund
Rancho Cucamonga Public Library Foundation
CASH REPORT SEPTEMBER 2007 ,
Beginning Balance $224,045.37
Deposits 9/11/2007 750.00
9/13/2007 1,575.00
2,325.00
Bank of America- Interest 3.72
Less Checks #1243 (5,000.00) City of Rancho Cucamonga-'Big Read' Donation
(5,000.00)
$ 221,374.09
Statement Ending Balance $ 95,034,43
Deposits in Transit _
Less Outstanding Checks
Investments- LAIF 126,339.66
Adjusted Bank Balance $ 221,374.09
BankofAmerica
H
Your.,Bank .of America
Business Interest
0626 P P Checking Statement
H 1-4
_ Statement Period: - 7 -
i r -. August 30 through-September 26,2007
1
Account Number
RANCHO CUCAMONGA 'PUBLIC LIBRARY 'FOU -At Your-Service -
10500 CIVIC CENTER OR Call:951.686.2590 • , , ..� -
RANCHO-'CUCAMONGA - CA 91729 - -- ---- - -
1 Written Inquiries
Bank of America i
i Riverside Main Office i
Box 37176;; 1
San Francisco;CA 94137-0001
• - Customer since 1977.•.
---" '"- - -- -' - -' - - -- -- -'-- - -- Bank,ofAmerlca-appreciates-your _ -
--business.and we enjoy serving you, —1
..a , .
Our free Online Banking service allows you`tocheck balances, track accc:ou.nt activity;psi bills and more. With Online'Benking
you can also view up to 18 months of this statement online._ Enroll qtmWW.ka,nkofamerica.com/smalibusiness.
❑ Summary of Your Business Infere_sfChe_cking.Account
Beginning Balance on 08/30/07 $97,705:71 Annual Percentage Yield earnbd•this period 0.05%
Total Deposits.and Other Credits, + 2,325.00, , . Interestpaid year-to�daler $28.31
Total Checks,Withdrawals, Number of checks paid•
Transfera,Account Fees -5,000.00
Number of electronic checks paid 0
Interest Paid + 3.72 j
Number of 24 Hour Customer Service Calls
Ending Balance $95,034.43 Self-Service 0
Assisted 0
❑ Important Information About Your Account
Based on the minimum balance you've maintained in this account, your monthly service j
charge has been waived.
❑ Bank of America News
$50 for you. $50 for a friend. Recommend Bank of America business checking, and when
the person you refer opens their new account, you can each get$50.The more you refer,
the more$50 rewards you can get.Visit bankofamerica.com/businessbonus, or ask a
representative for details today.
❑ Deposits !
Number Date Posted Amount Number Date Posted Amount !
09/11 $750.00 Totel of 2 deposits $2,325.00
09/13 1,575.00 i
a
1
Continued on next page
oao214e.001.221.e California Page 1 of
R-Ytl PI
H
RANCHO CUCAMONGA PUBLIC LIBRARY FOU Statement Period:August 30 through September 26, 2007
Account Number.
❑ Checks Paid
Date Paid Number Amount
09/18 1243 $5,000.00 ,
r
❑ Account Activity
Date
Posted Description Reference Number Amount
Interest Paid
109/26 Interest Paid from 08/30/07 Through 09/26/07 1 $3.72
i
❑ Daily Balance
t
Data Amount Date Amount Date Amount i
09/11 $ 88,455.71 09/18 95,030.71
09/13 100,030.71 09/26 95,034.43 i
13 Bank of America; In Balance
To assist you in reconciling your account, we have provided the following summary information.
A reconciliation worksheet is printed on the reverse of this page.
• Your ending balance from this statement............................................................................................................................$95,034.43
• Add Interest paid to your checkbook register...............................................................................................................................3.72
i
1
0002149.002221.8 California Page 2 of 4
.i
STAFF REPORT -
LIBRARY SERVICES DEPAMIENT
RANCHO
Date: January 14, 2008 CUCAMONGA
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Treasurer's Report— October 2007
CASH REPORT BEGINNING MTD MTD ENDING
October, 2007 CASH BALANCE REVENUES EXPENDITURES CASH BALANCE
FUND
General $74,264.09 $3,017.19 ($2,476.24) $74,805.04
Archibald Children's Books Endowment $40.000.00 $40,000.00
Victoria Gardens Books $83,125.00 $83,125.00
Adult Literacy $18.985.00 $18.985.00
Operating Reserve Fund $5,000.00 $5,000.00
TOTAL $221.374.09 $3,017.19 ($2,476.24) $221,915.04
LAW Account: $128,000.50
Bank of America Account $93,914.54
Total Library Foundation Holdings: $221,915.04
Revenues Received:
Interest Earned: $ 4.32 General Fund
Rental Check: $ 750.00 General Fund
Telethon Donations $ 15.00 General Fund
Grapevine Donations $ 15.00 General Fund
To Kill a Mockingbird Donations $ 572.03 General Fund
Tm,.AsuRER°s RiA,owr-OCTOBER PAGE 2
JANUARY 14,2008
Expenditures:
Deborah Clark (reimb. For Board gifts $ 103.50 General Fund
City of Rancho Cucamonga (Laptop Project) $ 2,372.74 General Fund
Rancho Cucamonga Public Library Foundation
CASH REPORT OCTOBER 2007
Beginning Balance $221,374.09
Deposits 10/4/2007 10.00
10/8/2007 760.24
10/15/2007 20.00
10/24/2007 419.79
10/24/2007 67.00
10/25/2007 75.00
1,352.03
Bank of America-Interest 4.32
LAIF-Interest 1,660.84
Less Checks #1244 (103.50) Deborah Clark-Rmb.Gifts to Past Members
#1245 (2,372.74) City of Rancho Cucamonga-LoJack&Filters for Laptops
(2,476.24)
$ 221,915.04
Statement Ending Balance $ 94,018.04
Deposits in Transit -
Less Outstanding Checks #1244 (103.50)
Investments-LAIF 128,000.50
Adjusted Bank Balance $ 221,915.04
Bank of America
H
Your Bank of America
Business Interest _
0628 P P Checking Statement
H 1-4
Statement Period:
September 27 through October 29,2007 _
Account NumbeC40004MM
RANCHO CUCAMONGA PUBLIC LIBRARY FOU At Your Service
10500 CIVIC CENTER OR Call: 951.686.2590
RANCHO 'CUCAMONGA CA 91730-3801
Written Inquiries _
Bank of America
Riverside Main Office
PO Box 37176
San Francisco, CA 94137-0001'
Customer since 1977
Bank of America appreciates your —
business and we enjoy serving you.
Our free Online Banking service allows you to check balances, track account activity, pay bills and more. With Online Banking
You can also view up to 18 months of this statement online. Enroll at www.bankofamerica.com/smallbusinws.
❑ Summary of Your Business Interest Checking Account
Beginning Balance on 09/27/07 $95,034.43 Annual Percentage Yield earned this period 0.05%
Total Deposits and Other Credits + 1,352.03 Interest paid year-to-date $32.63
Total Checks,Withdrawals, Number of checks paid 1
Transfers, Account Fees -2,372.74
Number of electronic checks paid 0
Interest Paid + 4.32
Number of 24 Hour Customer Service Calls
Ending Balance $94,018.04 Self-Service 0
Assisted 0
❑ Important Information About Your Account
Based on the minimum balance you've maintained in this account, your monthly service
charge has been waived.
❑ Bank of America News
Following the successful sponsorship of Arts in Latin America, Bank of America is proud to
again sponsor an exhibition at LACMA. Bank of America is excited to sponsor SoCal:
Southern California Art of the 1960's and 70's from LACMA's Collection from August 30th
through March 1st. For more information visit www.lacma.org ,
An introductory 0% rate is just the beginning. Call 1-688-663-6262 today to request the
Platinum Visa Business card&receive all the great benefitsl
❑ Deposits
Number Date Posted Amount Number Date Posted Amount
10/04 $ 10.00 10/24 67.00
10/09 760.24 70/24 419.79
10/75 20.00 10/25 75.00
Continued on next page
0002223.01.221.6 California Page i of 4
R.,d.Papp
/
H
RANCHO CUCAMONGA PUBLIC LIBRARY FOU Statement Period: September 27 through October 29, 2007
Account Number.iii
❑ Deposits Continued
Number Date Posted Amount Number Date Posted Amount
Total of 6 deposits $1,382.03
1 F
❑ Checks Paid
Data Paid Number Amount
70/29 1245 $2,372.74
❑ Account Activity
Dale
Posted Description Reference Number Amount
j Interest Paid
10/29 1 Interest Paid from 09/27/07 Through 10/29/07 $4,32
❑ Dally Balance
Data Amount Date Amount Date Amount
10/04 $95,044.43 10/15 95,024.67 10/25 96,386.46
10/09 95,804.67 10/24 96,311.46 10/29 94,018.04
❑ Bank of America: In Balance
To assist you in reconciling your account, we have provided the following summary information.
A reconciliation worksheet is printed on the reverse of this page.
• Your ending balance from this statement............................................................................................................................$94,018.04
• Add interest paid to your checkbook register...............................................................................................................................4.32
1
0002223.002.221.11 California Page 2 of 4
STAFF REPORT
1,IBR:IRS SERVICE$DFBARI\IFN:
RANCHO
Date: January 14, 2008 CtiCAMONGA
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Treasurer's Report— November 2007
CASH REPORT BEGINNING MTD MTD ENDING
CASH
November, 2007 BALANCE REVENUES EXPENDITURES CASH BALANCE
FUND
General $74,805.04 $824.32 10.00 $75.619.36
Archibald Children's Books
Endowment $40.000.00 $40.000.00
Victoria Gardens Books $83.125.00 $83.125.00
Adult Literacy $18,985.00 $18,985.00
Operating Reserve Fund $5,000.00 $5,000.00
TOTAL $221.915.04 $824.32 10.00 $222,729.36
LAW Account: $128,000.50
Bank of America Account $94,728.86
Total Library Foundation Holdings: $222,729.36
Revenues Received:
Interest Earned: $ 3.87 General Fund
Rental Check: $ 750.00 General Fund
Telethon Donations $ 15.00 General Fund
Grapevine Donations $ 45.00 General Fund
To Kill a Mockingbird Donations $ 6.00 General Fund
Vending Machine (Paul Biane) $ 19.45 General Fund
Tm.;,AsUiwWs RETORT—NOVEMBER PAGI?2
JANUARY 14,2005
Expenditures:
Franchise Tax Board (Filing fee) $ 10.00 General Fund
Rancho Cucamonga Public Library Foundation
CASH REPORT NOVEMBER 2007
Beginning Balance $221,915.04
Deposits 11/6/2007 18.00
11/13/2007 27.00
11/19/2007 750.00
11/20/2007 25.45
820.45
Bank of America- Interest 3.87
Less Checks #1246 (10.00) Franchise Tax Board-Filing Fee
$ 222,729.36
Statement Ending Balance $ 94,728.86
Deposits in Transit -
Less Outstanding Checks -
Investments-LAIF 128,000.50
Adjusted Bank Balance $ 222,729.36
BankofAmelrica ®®i'
H
Your Bank of America
Business Interest
0628 P P Checking Statement _
H 1-4
Statement Period: _
October 30 through November 28, 2007
����n ut���urin��t�lmnl�rin�r�lnnnlll�iuj�m�n�rl Account Number:
RANCHO CUCAMONGA PUBLIC LIBRARY FOU At Your Service
10500 CIVIC CENTER DR Call: 951.686.2590
RANCHO CUCAMONGA CA 91730-3801
Written Inquiries
Bank of America
Riverside Main Office
PO Box 37176
San Francisco, CA 94137.0001
Customer since 1977
Bank of America appreciates your
business and we enjoy serving you.
Our free Online Banking service allows you to check balances, track account activity, pay bills and more. With Online Banking
you can also view up to 18 months of this statement online. Enroll at www.bankofamerica.com/smalibusiness.
❑ Summary of Your Business Interest Checking Account
Beginning Balance on 10/30/07 $94,018.04 Annual Percentage Yield earned this period 0.05%
Total Deposits and Other Credits + 820.45 Interest paid year-to-date $36.50
Total Checks, Withdrawals, Number of checks paid 2
Transfers, Account Fees - 113.50
Number of electronic checks paid 0
Interest Paid + 3.87
Number of 24 Hour Customer Service Calls
Ending Balance $94,728.86 Self-Service 0
Assisted 0
❑ Important Information About Your Account
Based on the minimum balance you've maintained in this account, your monthly service
charge has been waived.
❑ Bank of America News
Following the successful sponsorship of Arts in Latin America, Bank of America is proud to
again sponsor an exhibition at LACMA. Bank of America is excited to sponsor SoCal:
Southern California Art of the 1960's and 70's from LACMA's Collection from August 30th
through March 1st. For more information visit www.lacma.org.
An introductory 0% rate is just the beginning. Call 1-888-663-6262 today to request the
Platinum Visa Business card & receive all the great benefits!
❑ Deposits
Number Date Posted Amount Number Date Posted Amount
11/06 $ 18.00 11/20 25.45
11/13 27.00 Total of 4 deposits $820.45
11/19 750.00
Continued on next page
0002142.001.221.0 California Page 1 of 4
Rtt .Palo:
H
RANCHO CUCAMONGA PUBLIC LIBRARY FOU Statement Period: October 30 through November 28, 2007
Account Number:
❑ Checks Paid " Gap In sequential check numbers.
Date Paid Number AmountDate Paid Number Amount
11/13 1244 $ 103.50 Total of 2 Checks Paid $113.50
11/14 1246 10.00
❑ Account Activity
Dale
Posted Description Reference Number Amount
Interest Paid
11/28 Interest Paid from 10/30/07 Through 11/28/07 $3.87
❑ Daily Balance
1 Dole Amount DateAmount Dole Amount
11/06 $ 94,036.04 11/14 93,949.54 11/20 94,724.99
11/13 93,959.54 11/19 94,699.54 11/28 94,728.86
❑ Bank of America: In Balance
To assist you in reconciling your account, we have provided the following summary Information.
A reconciliation worksheet is printed on the reverse of this page.
• Your ending balance from this statement............................................................................................................................$94,728.aG
• Add interest paid to your checkbook register...............................................................................................................................3.87
0002142.002.221.0 California Page 2 of 4
STAFF REPORT ;
LIBRARY SERVICES DEPARTMENT
RANCHO
Date: January 14, 2008 C,UCAMONGA
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Treasurer's Report— December 2007
CASH REPORT BEGINNING MTD MTD ENDING
December, 2007 CASH BALANCE REVENUES EXPENDITURES CASH BALANCE
FUND
General $75.619.36 $918.82 $76,538.18
Archibald Children's Books Endowment $40,000.00 $40.000.00
Victoria Gardens Books $83.125.00 $83,125.00
Adult Literacy $18.985.00 $18.985.00:
Ooeratino Reserve Fund $5,000.00 $5,000.00,
TOTAL $222,729.36 $918.82 $0.00 $223.648.181
LAIF Account: $128,000.50
Bank of America Account $95,647.68
Total Library Foundation Holdings: $223,648.18
Revenues Received:
Interest Earned: $ 3.87 General Fund
Rental Check: $ 750.00 General Fund
Abbott Lab-Emp. gift $ 60.00 General Fund
Grapevine Donations $ 5.00 General Fund
Reimb. Konica Minolta $ 54.04 General Fund
Donation Box (Archibald) $ 41.00 General Fund
Expenditures:
None
01/02/2008 15:20 9094772845 CITY OF RC PAGE 02/03
Rancho Cucamonga Public Library Foundation
CASH REPORT DECEMBER 2007
Beginning Balance $222,729.36
Deposits 12/3/2007 46.00
12/11/2007 60.00
12/17/2007 750.00
12/18/2007 54.04
12/20/2007 5.00
915.04
Bank of America - Interest 3.78
Less Checks -
$ 223,648.18
s
Statement Ending Balance $ 95,647.68
Deposits in Transit -
Less Outstanding Checks -
Investments - LAIF 128,000.50
Adjusted Bank Balance $ 223,648.18
01/02/2008 15:20 9094772845 CITY OF RC PAGE 03/03
Bankof America
H
Your.:Barik'of Afinenta
Business.'IntemsE —
9eaa 0 P Checiling SftteMdht
Stdleirierit Failte:
flovertmber29 through*Deoember 27;20117 .:
Iltluudlloi6dhlhnr.IliL.IdL�w.�llll�,.11tid�d�l Atbb=Kd~b WNMdM P
RANC140 CUCAMON" PUBL10 LIBRARY FOU At YourSelvkv
10500 CIVIC CENTER".DR . Call:9$iAlI :2690
RANCHO GUCAMONOA CA 91730-3801
WrhtenlnquiHes ' .. _. . . ..
- gartk'of Airie�i8a .
Riverside Main Of ice
9&(Fra dsbo,CA 94137.0001
.......... . ..
Costo
_ . — BahtCtffJ4fileiitCl $ cr
ar"iif:vra enjoy ng-You.
OUFfree Online Senting service a1116*6 ycu.tb check'boldhoft track account aedvity, pay bilis and*tdfd. 9Yhfi OhiiH�'Bailktng
yob can also view up to 19 I mths of this-staternent valine. Enroll at www.banbofaMerkacondsmalibusiness .:
13 :lalminary of Your OUsines9 Itttlre9t Checking Account
Beginning Baldnod bit 11/29/07 $94;72cse Annual Percentage Yield earned tins period 0.05%.
Total Deposits and OOter Credits + 915.04 Interest paid year-to.-date $40.28
Interest Paid + 3.78 Number of electronic checks paid 0
Ending Balance $95,947:68 Number of 24 Hour Customer Service Calls
Selfserwce 0
Assisted 0
O Nnpalft t Infanhatlbn Abbdt Your Account
Effective With'statement periods-beginning on or after February 1, 2008, the following
chaOther ddeebits is$0.40 perr train ssactionn In 0XOesa of0acaduft-The fee far che6ks paid and.
100 transactions per statement perlod:
The fab for Check Enclosure Service is 45.Them is no foe for Check Sarekeepthg Sprvica or
Check Image Service. Callus for more information an how you can avoid this fee.These
ch'aPlpcs ttrhand ynufBusiabb Sdhwule of Pesti. PI&eee call Cumbnier.S&rvi6e If.M hft"
any questions.We value your businese and our associates will-ba nappy to assist you.
Based.on the mirdrnuih balance' u ve maintaineif irr4his eoaomit — - - --
oherpa lids been waived Y°�+ fil'y.servica
4 Dcprfgks
Number Date t'oeted Amoum Number bete Posted AMeum
1103 3 48:00 12118 54.04
12/11 80.00 WE 5.00
12/117 73Dt00 F
'016 deposits "10.04
Continued an next page
scf97st.ost.tRl.e Califbrnla fop I of3
STAFF REPORT -
LIBRARY SERVICES DEPART\IHNT f
RANCHO
Date: January 14, 2008 CUCAMONGA
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: APPROVAL OF MINUTES
RECOMMENDATION:
Approval of the minutes of the meetings of October 8, November 12 and December 10, 2007.
BACKGROUND/ANALYSIS:
Attached, please find the minutes for the regular and special meetings of the Library Foundation
Board taken and compiled by Library Administrative Secretary, Vivian Garcia.
FISCAL IMPACT:
ne.
Sin erel QQaJJ
Deborah Kaye Clark
Library Director
CITY OF RANCHO CUCAMONGA
RANCHO CUCAMONGA PUBLIC LIBRARY FOUNDATION BOARD
Adjourned Meeting
A. CALL TO ORDER
An adjourned meeting of the Rancho Cucamonga Public Library Foundation Board was held on
Monday,October 8,2007, in the Tri-communities Room of City Hall, located at 10500 Civic Center
Drive, Rancho Cucamonga, California. The meeting was called to order at 6:30 p.m. Present were
Members Atkins, Bowne, Davies, Filippi, Gonzalez, Silver and Williams.
Frances Howdyshell and Ravenel Wimberly of the Planning Commission, Jackie Amsler of the
Library Board, Deborah Clark, Library Director, Michelle Perera, Library Services Manager and
Vivian Garcia, Administrative Secretary were also present.
B. ITEMS OF BUSINESS
Bl. Approval of Minutes: March 12, April 16, May 14, August 13 and September 10, 2007.
MOTION: Moved by Member Davies to approve the minutes, seconded by Member Silver,motion
carried, 7-0-4 (with Akahoshi, Leal, Melillo and Sakala absent).
B2. Strategic Thinking Process Session
Presentation by Library Director Deborah Kaye Clark
Deborah Clark, Library Director,assisted by Michelle Perera,Library Services Manager,delivered a
PowerPoint presentation on the responses from some of the Members based on the questions for the
Strategic Thinking Process Worksheet sent out in the agenda packet.
After discussion among the Members, the following motion was made:
MOTION: Moved by Member Filippi,that the Library Foundation Board make the recommendation
to end the original partnership agreement with the Community Foundation for the PAL Campaign,
seconded by Member Silver,motion carried, 7-0-4(with Akahoshi,Leal,Melillo and Sakala absent).
C. COMMUNICATIONS FROM THE PUBLIC
None received.
Library Foundation Board Minutes
October 8, 2007
Page 2
D. ADJOURNMENT
MOTION: Moved by Member Atkins to adjourn,seconded by Member Silver,motion carried,7-0-4
(with Akahoshi, Leal, Melillo and Sakala absent). The meeting adjourned at 7:35 p.m.
Re�pgctbmitted,
Vculta-
Vivian Garcia
Administrative Secretary
Approved:
CITY OF RANCHO CUCAMONGA
RANCHO CUCAMONGA LIBRARY FOUNDATION BOARD
Adjourned Meetine
A. CALL TO ORDER
An adjourned meeting of the Rancho Cucamonga Library Foundation Board was scheduled for
Monday, November 12, 2007, at 6:00 p.m. in the Tri-communities Room at the City of Rancho
Cucamonga, located at 10500 Civic Center Drive Rancho Cucamonga, California.
The meeting was canceled.
Respectfully submitted,
Imo-- llq
Vivian Garcia
Administrative Secretary
Approved:
CITY OF RANCHO CUCAMONGA
RANCHO CUCAMONGA LIBRARY FOUNDATION BOARD
Adioumed Meeting
A. CALL TO ORDER
An adjourned meeting of the Rancho Cucamonga Library Foundation Board was scheduled for
Monday, December 10, 2007, at 6:00 p.m. in the Tri-Communities Room at the City of Rancho
Cucamonga, located at 10500 Civic Center Drive Rancho Cucamonga, California.
The meeting was canceled.
Respectfully submitted,
Vivian Garcia
Administrative Secretary
Approved:
PAL
CASH REPORT AUGUST 2007
Beginning Cash Balance $ 1,056,139.90
Deposits 8/7/2007 100,092.00
8/8/2007 6,700.00
106,792.00
Deposit to LAIF (1,000,000.00)
Merchant Service Fees (61.49)
(40.00)
(101.49)
Merchant Service Fee Credit 61.49
Less Checks #2094 (150.00) Dwight Osborne-Brick Refund
#2095 (92.00) V.G.Cultural Ctr-Thank You Gift-BoW Christi Gordon
(242.00)
Ending Cash Balance 162,649.90
Checking Account Balance $ 162,649.90
Less Outstanding Checks -
Adjusted Bank Balance . $ 162,649.90
Pat Laif Investment through RCCF-$2,495,838.34
Pal Total Account Balance-$2,658,488.24
Bankof America 1%j
H -
BANK OF AMERICA, N.A. Account Number
1655 GRANT STREET BLDG A-10TH FLOOR 01 01 154402 E_
CONCORD, CA 94520-2445 Last Statement: 07/31/2007
This Statement: 08/31/2007
Customer Service
RANCHO CUCAMONGA COMM. FOUNDATION 1-888-400-9009
RANCHO CUCAMONGA LIBRARY FOUNDATION
DBA PAL CAMPAIGN Page 1 of 2
10500 CIVIC DR
P. O. BOX 807
RANCHO CUCAMONGA CA 91729-0807 i
NON-PROFIT CHECKING _
Account Summary Information
Statement Period 08/01/2007 - 08/31/2007 Statement Beginnin Balance 1,056,139.90
Number of Deposits/Credits 3 Amount of DepositsCredits 106,853.49
Number of Checks 2 Amount of Checks 242.00
Number of Other Debits 3 Amount of Other Debits 1,000,101.49
Statement Ending Balance 162,649.90
Number of Enclosures 2
Service Charge .00
Deposits and Credits
Date Customer Bank
Posted Reference Amount Description Reference
08/02 61 .49 aRjPb-Adjustments : Reversing Merchant Fees for Jul23302460000957
1y07
08/09 6,700.00 CA VAULT DEPOSIT 152105560148588
08/09 100,092.00 CA VAULT DEPOSIT 152105560148585
Withdrawals and Debits
Checks
Check Date Bank Check Date Bank
_Number Amount Posted Reference Number Amount Posted Rene ence
2094 150. 00 08/08 6360559010 2095 92.00 08/23 6560934486
Other Debits
Date Customer Bank
Posted Reference Amount Description Reference
08/01 61 .49 BOFA MS 1922 DES:MERCH FEES ID:430132313591041 12013404405
INDN:PAL CAMPAIGN CO ID:3210001922 CCD
REF:00145951338712110825000721201340440507080127
08/09 1,000,000.00 Bank Adjustment FUNDS TRANSFER DEBIT 04503040277
08/31 FDES NNF 0001304 NBKMIJH
40.00 BOFA MS 1922 DES:MERCH FEES ID:430132313591041 43010941479
INDN:PAL CAMPAIGN CO ID:3210001922 CCD
REF:00145951338712110825000724301094147A07083127
Daily Balances
Date Ledrer Balance Collected Balance Date Led er Balance Collected Balance
07/31 1,056,139.90 1,055,783.17 08/10 162,781.90 57,531.90
08/01 1,056,078.41 1,055,746.68 08/13 162,781 .90 162,781.90
08/02 1,056,139.90 1,056,139.90 08/23 162,689.90 162,689.90
08/08 11055,989.90 11055,989.90 08/31 162,649.90 162,649.90
08/09 162,781 .90 56,181.90
P¢cytl Pamr
PAL
CASH REPORT SEPTEMBER 2007
Beginning Cash Balance $ 162,649.90
Deposits -
Merchant Service Fees -
Merchant Service Fee Credit 40.00
Less Checks #2096 (753.17) Copies& Ink-Marketing Appeal Flyer
#2097 (1,851.15) Alphagraphics-Marketing Mural Brochure
#2098 (2,277.78) Fund Raiser, Ltd. - Bricks for Donor Brick Wall
(4,882.10)
Ending Cash Balance 157,807.80
Checking Account Balance $ 160,085.58
Less Outstanding Checks #2098 (2,277.78)
Adjusted Bank Balance $ 157,807.80
Pal Laif Investment through RCCF- $2,495,838.34
Pal Total Account Balance- $2,653,646.14
BankefAmer@ca
BANK OF AMERICA, N.A. Account Number
1655 GRANT STREET BLDG A-10TH FLOOR 01 01 147271 ON W2
CONCORD; CA 94520-2445 Last Statement: 08/31/2007
This Statement: 09/28/2007
Customer service
1-888-400-9009
RANCHO CUCAMONGA COMM. FOUNDATION —
RANCHO CUCAMONGA LIBRARY FOUNDATION
DBA PAL CAMPAIGN Page 1 of 2
10500 CIVIC DR
P.O. BOX 807
RANCHO CUCAMONGA CA 91729-0807
NON-PROFIT CHECKING -
Account Summary Information
Statement Period 09/01/2007 - 09/28/2007 Statement Beginning Balance 162,649.90
r.
Number of Deposits/ .edits- 1 -Amount of Deposits/Credits 1 40,.00_
Number of Checks 2 Amount of Checks 2,604.32
Number of Other Debits 0 Amount of Other 'Debits .00
Statement Ending Balance 160,085.58
Number of Enclosures 2
Service Charge .00
Deposits and Credits
Date Customer Bank
Posted Reference Amount Descriution Reference
09/05 40.00 aSBRe-Adjustments : Reversing Merchant Fees for Au123302460000983
gust 2007
Withdrawals and Debits
Checks
Check Date Bank Check Date Bank
Number Amount Posted Reference Number Amount Posted Reference
2096 753.17 09/28 5560295090 2097 .1,851.15 09/21 4560343658
Daily Balances
Date Ledger Balance Collected Balance Date Ledger Balance Collected Balance
08/31 162,649.90 162,649.90 09/21 160,838.75 160;838.75
09/05 162,689.90 162,689.90 09/28 160,085.58 160,085.58
Re Id.d Paaw
PAL
CASH REPORT OCTOBER 2007 .
Beginning Cash Balance $ 157,807.80
Deposits 10/3/2007 10,000.00
10/11/2007 9,747.59
10/31/2007 12,290.62
32,038.21
Merchant Service Fees (40.00)
Merchant Service Fee Credit 40A0
Less Checks #2099 (656.25) Fund Raisers-Deposit Brick Order
#2100 (57.14) Metal Decor-Donor Wall Nameplates
#2101 (231.00) City of Rancho Cucamonga-BofA Sponsorship
#2102 (700.00) City of Rancho Cucamonga-BofA Sponsorship
(1,644.39)
Ending Cash Balance 188,201.62
Checking Account Balance $ 176,842.00
Deposit in Transit 12,290.62
Less Outstanding Checks #2101 (231.00)
#2102 (700.00)
(931.00)
Adjusted Bank Balance $ 188,201.62
Pal Laif Investment through RCCF-$2,523,084.75
Pal Total Account Balance-$2,711,286.37
Bank of America —%j
BANK OF AMERICA, N.A. Account Number.
1655 GRANT STREET BLDG A-lOTH FLOOR 01 01 154908
CONCORD, CA 94520-2445 Last Statement: 09/28/2007
This Statement: 10/31/2007
Customer Service
1-888-400-9009
RANCHO CUCAMONGA COMM. FOUNDATION —
RANCHO CUCAMONGA LIBRARY FOUNDATION —
DBA PAL CAMPAIGN Page 1 of 2
10500 CIVIC DR
P. O. BOX 807 "
RANCHO CUCAMONGA CA 91729-0807
NON-PROFIT CHECKING
Account Summary Information
Statement Period 09/29/2007 - 10/31/2007 . Statement 'Beginnin Balance 160;085.58
Number of Deposits/Credits 4 Amount of 'Deposits/Credits 19,787.59
Number of Checks 3 Amount of :Checks 2,991.17
Number of Other Debits 1 Amount of Other Debits . 40.00
Statement Ending Balance 176,842.00
Number of Enclosures 3
Service Charge .00
Deooslis and Credits
Date - Customer Bank
Posted Reference Amount Descri t'on Reference
10/02 40.00 aSYxA-Adjustments : Reversing 'Merchant Fees for. Se123302460001101
10/04 10,000.00 p0
A7VAULT DEPOSIT 152106560455571
10/12 100.00 BOFA MS 1922 DES:MERCH SETL ID:43013231359104153338500083278i
INDN:PAL CAMPAIGN CO ID:1210001922 -CCD
10/16REF:00145951338712110825000728500083278807101222
9,647.59 CA VAULT DEPOSIT 152106660303131
Withdrawals and Debits
Checks
Check Date Bank Check Date Bank
Number Amount Posted Reference Number Amount Posted Reference
2098 2,277.78 10/01 0892222769 2100 57.14 10/31 1392679872
2099 656.25 10/30 1092797225
Other Debits
Date Customer Bank
Posted Reference Amount Description Reference
10/01 40.00 BOFA MS .1922 DES:MERCH FEES ID:430132313591041 - 74009089899
INDN:PAL CAMPAIGN CO ID:3210003922 CCD
REF:0014595133871211.08250007274009089899071.00127,
Dail Balances
Date Ledger Balance Collected Balance Date Ledger Balance Collected Balance
09/28 160,085.58 160,085.58 10/16 177,555.39 168,517.80
10/01 157,767.80 157,767.80 10/17 177,555.39 173,517.80
10/02 157;807.80 157,807.80 10/18 177,555.39 177,525.39
10/04 167,807.80 157,807.80 10/19 177,555.39 177,555.39
10/09 167,807.80 167,807.80 10/30 176,89914 176,899.14
10/12 167,907.80 167,907.80 10/31 176,842..00 176,842.00
ft CyCW Pap r
PAL Campaign
Cabinet Meeting
DATE: December 12, 2007
TIME: 4:00 p.m.
PLACE: DeAnza Conference Room
ATTENDEES: Cabinet: Bruce Bowne, Harvey Cohen, Ruth Leal, Tony Mize, Dave
Parker and Paul Williams. Staff: Debi Clark, Kevin McArdle, Francie
Palmer, Paula Pachon and Melissa Morales
AGENDA ITEMS:
1, Update on status of PAL Campaign collaborative efforts—
Paul informed the Cabinet of the October 81" action by the Library Foundation to end
the original partnership agreement with the Community Foundation regarding the
campaign. He explained reasons included the need for more independence and
decision making on fundraising efforts and how monies are used. Bruce added that
the action would also allow the Board to move forward in other areas. Kevin
updated the Cabinet on the goal setting session held by the Community Foundation
in November which included their direction to the Community Foundation PAL
Cabinet Members to address the logistics of ending the partnership of the
Foundations and future of the PAL Campaign at the December PAL Cabinet meeting.
2. Status of PAL Campaign Fund,,
Kevin distributed a PAL Financial Summary Report which included up-to-date
information on pledge amounts in the Construction, Endowment, Library Material,
Performing Arts and Planned Giving Funds and In-Kind Donations.
Discussion ensued on how endowment fund and program fund monies should be
allocated. Debi suggested consideration of splitting the endowment fund 50-50 but
to separate into a separate endowment fund for each Foundation. Kevin polled the
Cabinet members on their support of Option B listed on the agenda to "split the
endowment fund up between the two Foundations for each to have it's own
endowment fund". All of the members present concurred.
The Cabinet concurred that the monies are to be split as follows: current monies in
Endowment Fund ($1,768,127) to be split equally for each of the Foundations,
$150,000 seed money from the 2006 PAL House Raffle to be split evenly for each of
the Foundations and the anticipated $150.000 net for the 2007 PAL House Raffle (as
reported by Paul) to be split equally between the two Foundations.
3. Future of the PAL Campaign
Tony expressed support of a complete split of the funds. Debi expressed concern
with splitting the funds of donors that earmarked their donation towards the
endowment. Kevin asked the Cabinet to consider whether to keep the Campaign
and if so, consider that the individual Boards keep monies specifically raised by that
Board on all sponsorships and donations. Harvey expressed support in continuing
with the Campaign and each Board keeping monies they have raised. Kevin added
that staff could create a chart of items left to sell. Paula suggested that each Board be
responsible for their own recordkeeping of revenues. Discussion was also held on
who should receive the monies for the sale of the Celebration Hall sponsorship. Paul
suggested a 50-50 split and Tony suggested that if the donors do not specify which
fund, then the donation should be split 50-50. Dave expressed his hesitation in
letting the "PAL" name go and Debi noted the challenge of fundraising for Archibald
Library which is not currently under the PAL fundraising campaign.
4. Future PAL fundraising efforts/responsibilities/benefits
Ruth supported that the smaller PAL Campaign appeals such as bricks and tables be
on-going and monies raised, for instance at the telethon, could then be earmarked
for the Library. Debi suggested the donors be asked whether they wanted to donate
to either the Library or Community Foundation. Tony expressed interest in
continued involvement with the PAL House Raffle. Kevin suggested that maintaining
the fundraiser as a joint effort be considered. Paul responded that additional time
was needed to consider the comments and suggestions concerning the House Raffle.
5. Future PAL marketing efforts and expenses
Discussion then ensued on PAL branding. Paul spoke of comments he has received on
the confusion some have had identifying with the PAL Campaign. Francie explained
that it takes time for brands to generally "sink in." Paul stated that if it was felt the
PAL branding was still marketable, it should be continued to be used. Bruce
concurred that the marketing expended thus far should not go to waste. Kevin
distributed the PAL marketing promotion and campaign schedule for 2007/2008 and
noted that a number of marketing items are on hold pending a decision by the
Cabinet on how to proceed with the Campaign. He noted that some of the
marketing effort has been funded by the Community Services Department and that
any future marketing work be Foundation funded. The Cabinet discussed the
individual marketing campaigns as follows: PAL Solicitation Video — consensus to
move ahead with completion — total cost $2,500; General PAL Pamphlet — consensus
to move ahead with completion —remaining cost $2,000; "Follow the Red Brick
Road" campaign — consensus to move ahead with completion-total cost $2,200.
Planned Giving Brochure - Kevin suggested that each Foundation coordinate their
own effort. Debi added that other departments including Animal Services were also
considering a planned giving program — consensus to put on hold the $2,500
expenditure; Holiday card — consensus to complete — total cost $1,000. Expenditures
for the marketing efforts will be paid for by each of the Foundations equally.
- 2 -
6. Donor approval policy/procedure
Kevin noted that the approval policy is in need of reviewing again and Debi added
that the policy/procedure is being addressed as a City-wide policy. No action taken.
7. Financial control procedures
The Cabinet concurred with addressing the matter at a later date.
8. Next Meeting Date;
The next cabinet meeting will be held on January9'h, 4:00 p.m.
- 3 -
PAL PHASE II
Foundation Responsibilities
Library Foundation Community Suggested
Foundation Procedure
Fund Breakdown: Pledges: Pledges: Community
♦ Endowment $384,564 $384,564 Foundation staff to
♦ Program $566,186 $643,376 transfer funds as
♦ Planned Giving $180,000 cash becomes
available.
Facility Naming Funds credited per Funds credited per Follow PAL Phase II
Opportunities: donor request or if donor request or if not Policy.
♦ Celebration Hall not specified split specified split 50/50
♦ Playhouse Lobby 50/50 between between Library and
Library and Community
Community Foundations.
Foundations.
Facility Presenting Funds credited per Funds credited per Follow PAL Phase II
Opportunities: donor request or if donor request or if not Policy.
♦ Library Tree of not specified split specified split 50/50
Knowledge 50/50 between between Library and
♦ Celebration Hall Library and Community
Patio Community Foundations.
♦ Library Circulation Foundations.
Desk
♦ Library Info Desk
♦Playhouse Green
Room
♦ Playhouse Dressing
Room
♦ JK Rowling Study
Room
Public Art Partnerships as Partnerships as Follow PAL Phase II
Partnerships: negotiated with negotiated with donor. Policy.
♦ Imagination Plaza donor. Needs to Needs to provide
Water Feature provide complete complete funding for
♦ Crossroads funding for the art the art piece plus an
Rotunda Sculpture piece plus an equal equal donation to the
♦ Imagination Plaza donation to the Community Foundation
Monument Sculpture Library Foundation.
♦ Cultural Center
Garden Sculptures
Program Partnerships as Partnerships as Follow PAL Phase II
Partnerships (below negotiated with negotiated with donor. Policy.
are illustrative examples donor. Needs to Needs to provide
of such partnerships): provide complete complete funding for
♦ Playhouse Jazz funding for the the program plus an
Series program plus an equal donation to the
+Youth & Teen equal donation to the Community
Literature Festival Libra Foundation. Foundation.
1
PAL PHASE II
Foundation Responsibilities
Library Foundation Community Suggested
Foundation Procedure
PAL Appeals: Whichever Whichever Foundation Brick paperwork and
♦ Bricks ($150) Foundation sells the sells the brick keeps information
brick keeps the the funding; less concerning brick
funding; less construction cost. inscription to be sent
construction cost. Processes funds and to CSD staff via e-
Processes funds and issues donor receipt. mail within 1-week of
issues donor receipt. order being
received.
Accompanying the
paperwork is check
for construction cost.
PAL Appeals: Funding exclusive to Community
♦ Theatre Seat the Community Foundation staff to
Dedication ($250) Foundation. process funds, issue
donor receipt, order
inscription
dedication plaque
and schedule its
installation.
PAL Appeals: Funding exclusive to Library staff to
♦ Library Stacks the Library process funds, issue
($1,500) Foundation. receipt and order
♦ Library Tables inscription
($500) dedication plaque
♦ Library Reading and schedule its
Chairs ($250) installation.
♦ Library Lounge
Chairs ($300)
PAL Events: Funding exclusive to Community
♦ Gala Community Foundation Foundation
establishes own
program, donor
benefits &
recognition.
Provides own
staffing; keeps all
revenue & receipts
donor.
2
PAL PHASE II
Foundation Responsibilities
Library Foundation Community Suggested
Foundation Procedure
PAL Events: Funding exclusive to Library Foundation
♦ Telethon Library Foundation. establishes own
program, donor
benefits and
recognition.
Provides own
staffing; keeps all
revenue; receipts
donor.
PAL Events: To be Determined. To be Determined. Unknown at this
♦ House Raffle time.
PAL Spotlight
Donations ($5,000+): Spotlight donor form
♦ Donor Wall Whichever Whichever Foundation to CSD within one
Plaques Foundation secures secures the PAL week for processing
♦ Brick the PAL Spotlight Spotlight donor of Donor Wall
♦ Gala donor donation donation keeps the Plaques & Bricks,
♦ Telethon keeps the funds for funds for their Playhouse
♦ Playhouse their Foundation. Foundation. Membership listing,
Membership Playhouse Playbill
♦ Playhouse Playbill listing, Playhouse
♦ Playhouse Season Season Brochure
Brochure listing and Cultural
♦ Cultural Center Center Website
Website listing.
Marketing: Library Foundation to Community Foundation Follow City policies
provide own to provide own and procedures.
marketing efforts. marketing efforts.
Staff Coordination: Library staff to Community Services Follow City policies
coordinate with staff to coordinate with and procedures.
Library Foundation. Community
Foundation.
Accounting Notes:
♦ Effective with the approval of this document, donor checks endorsements to be
changed from the PAL Campaign to individual Foundations. Should a donor request
that their donation be split between the 2 Foundations, donor may elect to send their
check to staff at either Foundation. It will then become the responsibility of that staff
member to forward the appropriate funds to the other Foundation.
♦ Each Foundation will continue to be responsible for their tax filings and liabilities.
♦ Staff of the 2 Foundations will work together for the transfer of cash funds to the
Library Foundation for those pledges to the PAL Campaign that have been paid in full.
I:ICOMMSERVICouncil&BoardsICommunityFoundationlCabinet MeetingslPALPhasell.FoundationResponsibilities.1.08.doc
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