HomeMy WebLinkAbout08/08/11 (Agn) Library Fnd Board _ LIBRARY FOUNDATION BOARD
AGENDA
CITY OF RANCHO CUCAMONGA
REGULAR MEETING
Second Monday
6:00 p.m.
August 11, 2008
Tri- Communities Room
City of Rancho Cucamonga
10500 Civic Center Drive
Rancho Cucamonga, CA 91730
City Councilmembers
Donald J. Kurth, M.D., Mayor
L. Dennis Michael, Mayor Pro Tem
Rex Gutierrez, Councilmember
Diane Williams, Councilmember
rrt
Library Foundation Members
Bruce Bowne, President
Rebecca Davies, Vice President
Teresa Akahoshi, Member
Jackie Amsler, Member
David Atkins, Member
Gino Filippi, Member
Tina Gilfry, Member
David Gonzalez, Member
Ruth Leal, Member
Dominic Melillo, Member
Gilda Silver, Member
Chris White, 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 U
at ; (�U , I posted a true and correct copy of the meeting
agenda datedy Z 0 0-9 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
(32 U 3 at Rancho Cucamonga.
DEBORAH KAYE CLARK, LIBRARY MANAGER
City of Rancho Cucamonga
BY:
Vivian Garci Administrative
Secretary
City of Rancho Cucamonga
LIBRARY FOUNDATION BOARD AGENDA
AUGUST 119 2008 1
RANCHO
CUCAMONOA
A. CALL TO ORDER
1. Roll Call: Akahoshi , Amsler Atkins
Bowne , Davies Filippi Gilfry
Gonzalez , Leal Melillo , and White
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: June and 4
July, 2008.
2. Approval of Minutes: May 12, 2008 10
3. Approval of Payment of Invoice to Community Foundation for 15
Purchase of Table at 2008 Gala. Report attached.
4. Approval of Payment of Invoice to IRS from the PAL 16
Campaign. Report attached.
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. Archibald Library Update: oral reports.
a. Construction update by Robert Karatsu, Assistant
Library Director.
b. Grand Opening date and outline of festivities
planned, presented by Michelle Perera, Library
Services Manager.
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. June, 2008, available at the
meeting.
LIBRARY FOUNDATION BOARD AGENDA
AUGUST 119 2008 2
RANCHO
CUCAMONGA
2. Fund Raising Events
a. Update from the Special Event Committee
regarding fundraiser scheduled for October 31, 2008.
Member Gino Filippi, Chair, to present along with
President Bruce Bowne and Member Tina Gilfry.
3. Developing a Work Plan for 2008/09: Presented by staff. 17
a. Review and discussion of current structure of the
Library Foundation Board. Continued from June
meeting. Report attached. Presented by Deborah
Clark, Library Director.
4. Report from Library Board of Trustees by liaison Jackie
Amsler.
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,
August 7, 2008, seventy two (72) hours prior to the meeting per
Government Code 54954.2 at 10500 Civic Center Drive.
STAFF REPORT
Y
LIBRARY SERVICES DEPARTMENT
RANCHO
C,UCAMONGA
Date: August 11, 2008
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Treasurer's Report—June 2008
BEGINNING MTD MTD ENDING
CASH REPORT CASH
June 2008 BALANCE REVENUES EXPENDITURES CASH BALANCE
FUND
General
$84,727.36 $7,119.59 20.00 $91,826.95
Archibald Children's Books $40,000-00 $40.000.00
Endowment
Victoria Gardens Books
$83,125.00 $83,125.00
Adult Literacy
7 5$ 35 00 7 5$ 35.00
5 0$ 00.00
Operating Reserve Fund 5�000.00---
Unallocated Funds
$759,000-00 $759,000-00
TOTAL $979,387.36 $7,119.59 ($20.00) $986,486.95
LAW Account: $940,141.32
Bank of America Account $45,605.63
Total Library Foundation Holdings: $985,746.95
Revenues Received: $766.59
Interest Earned in Checking: $ 1.59 General Fund
Rental Check: $ 750.00 General Fund
Grapevine Donation $ 10.00 General Fund
PAL Payment $ 5,000.00 General Fund
PAL Payment $ 1,368.00 General Fund
Expenditures: $20.00
ERROR NO TEXT OF SPECIFIED STYLE IN DOCUMENT. PAGE 2
AUGUST 11,2008
Secretary of State
Filing Fee $ 20.00 General Fund
Rancho Cucamonga Public Library Foundation
CASH REPORT JUNE 2008
Beginning Balance $979,387.36
Deposits 6/10/2008 10.00
6/16/2008 1,368.00
6/25/2008 5,000.00
6,378.00
Bank of America-Interest 1.59
Less Checks #1251 (20.00) Secretary of State-Non-Profit Filing Fee
$985,746.95
Statement Ending Balance $ 45,625.63
Deposits in Transit -
Less Outstanding Checks #1251 (20.00)
Investments-LAIF 940,141.32
Adjusted Bank Balance $ 985,746.95
BankofAmerica
%j
H_
Your Bank of America
Business Interest
0628 P P Checking Statement
EO-4
• -- -- - - --- -Statement-Period: — '
May 29 through June 26,2008
IIIII'IIIIIIuu'I"II'IIIIIIIII'IIIIIIII'll'll"I'IIII'lIlI11Il' Account Number.-illi
CI 07/03 1 0000 567 0030- •156 005766 #001 AT 0.366
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.
1
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. Enrollat www.bankofamerica.com/smalibusiness.
❑ Summary of Your Business Interest Checking Account
Beginning Balance on 05/29/08 $39,328.00 Annual Percentage Yield eamed this period 0.05%
Total Deposits and Other Credits + 6,378.00 Interest paid year-to-date $14.38
Total Checks,Withdrawals, Number of checks paid • 1
- - Transfers,Account Fees-_— -81.96 -
Number of electronic checks paid 0
Interest Paid - '+ 1.59 - -
Number of 24 Hour Customer Service Calls
Ending Balance - $45,625.63 - SelfService-- - - - — - - - — 0
Assisted . , :._ r. 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
As a Bank of America customer, you can receive free admission to over 70 museums
nationwide the first weekend of every month with Museums on Us"' .Just present your Bank
of America debit,credit or ATM card, along with your photo ID at participating museums.
To learn more and to sign up for monthly email or text reminders visit'
bankofamerica.com/museums.
Manage Your Accounts with Free Online Banking Alerts: Keep track of your account activity
automatically and help prevent fees.Alerts can notify you of a direct deposit or check
posting to your account,or provide you with a balance update.We can deliver your Alerts
either by email or text message.Visit Online Banking today to learn more.
Continued on next page
California Page 1 of 4
' �w.w.aPooe
I
Fl-
RANCHO CUCAMONGA PUBLIC LIBRARY FOU Statement Period: May 29 through June 26,2008
Account Number:
❑ Deposits
Number Dale Posted Amount Number Date Posted
Amount
06/11 $ 10.00 06/25 5,000.00
06/16 1,388.00 Total a13 deposits 56,378.00
❑ Checks paid
Date Paid Number Amount
06/18 1250 581.98
❑ Account Activity
Data
Posted [interest
ription .
Reference Number Amount
rest Paid
06/28 Paid from 05/29/08 Through 06/28/(18
$1.59
❑ Daily Balance
Dale Amount Date
Amount Date Amount
06/11 S 39,338.00 06/18 40,824.04 06/28
06/16 40,706.00 06/25 4562404 45,625.63
❑ 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.................................................... ...$45,625.63
.....................................................................
• Add interest paid to your checkbook register...............................................................................................:...............................
California Page 2 of 4
•
PRELIMINARY PROPOSED BUDGET APPROVED ACTUAL PROPOSED
4008/09 BUDGET EARNEDISPENT BUDGET
2007/2008 200712008 200612009
REVENUES
Rental Income $10,000 $9,000 $9,600
Interest Earned $150 $3,241 $23,500
Personal Donations $5,000 $21,704 $3,000
PAL Campaign Transfers $0 $847,205 $0
Telethon Event Income $70,000
Other Event Income $10,000
PAL Pledges $134,368
Revenue Totals $15,150 $881,150 $250,468
OPERATIONAL EXPENSES ($28.400) ($10) ($37,204)
Conferences for Boardmembers ($5,000) $0 ($500)
Board Expenses ($200) $0 ($200)
Board Training/Strategic Planning ($2,000) $0 ($2,000)
Table at 2008 Gala for the Arts $0 $0 ($1,000)
Penalty for IRS late filing for PAL House Raffle $0 $0 ($804)
Major Direct Mail Piece ($7,000) $0 ($7,000)
Newsletter(Calendar Format) ($10,000) $0 ($20,000)
Printing ($1,000) $0 ($1,000)
Postage ($3,000) $0 ($3,000)
Stationery $0 $0 $0
Business Expenses ($200) ($10) ($200)
Publicity $0 $0 $0
Tax Preparation $0 $0 ($1,500)
EVENTS $0 ($3,014) ($30,000)
Telethon Production/Gampaign $0 ($3,014) ($20,000)
Special Events $0 $0 ($10,000)
OTHER EXPENSES $0 $0 $0
Apartment Rental $0 $0 $0
TOTAL OPERATIONAL EXPENDITURES ($28,400) ($3,024) ($87,204)
LIBRARY DONATIONS ($39,000) ($18,373) ($93,000)
Adult Literacy ($12,000) ($12,000) ($12,000)
Children's/Special Programs ($2,000) $0 ($15,000)
Victoria Gardens Children's Books ($20,000) $0 $0
Lap Tops at the Library ($2,373) $0
Target Grant ($10,000) Funded
Matching for LSTA Grant ($40,000)
Matching for ELF Grant ($2,000)
Matching for Homework Help Grant ($6,000)
Matching for Big Read Grant ($5,000) ($5,000) ($5,000) Funded
Donation to Central School Library ($3,000)
TOTAL FOUNDATION EXPENDITURES ($87,400) ($22,397) ($160,204)
'Scheduled for transfer week of 6118/08
"Based on 2.6%Interest from LAIF Investments
-Pledges Due
Baring Family $700
Borenstein Family $500
Bovine Family $1,668
Burtect Waste Industries $10,000
Diversified Pacific $60,000
HSBC $6,000
Lewis Family $60,000
Michael Family $500
Michael Family $600
Quakes $6,000
Rotary $10,000
San Antonio Community Hospital $600
Total Pledges for 2008/09 $134,368
STAFF REPORT -
LIBRARY SERVICES DEPARTMENT
RANCHO
C,UCAMONGA
Date: August 11, 2008
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Approval of Minutes May 12th, 2008
RECOMMENDATION:
Approval of the Minutes of the Library Foundation Board held May 12th, 2008.
BACKGROUND:
Attached, please find the minutes for the Meeting(s) of the Library Foundation Board listed above,
taken and compiled by Library Administrative Secretary, Vivian Garcia.
FISCAL IMPACT:
None.
Sin rely,
Deborah Kaye Cla
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, May 12, 2008, 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 p.m. Present were
Members Atkins, Bowne, Davies, Filippi, Gilfry, Gonzalez and White.
Deborah Clark,Library Director and Vivian Garcia, Senior Administrative Secretary were present.
B. CONSENT CALENDAR
BI. Approval of Library Foundation Treasurer's Report: April, 2008.
MOTION: Moved by Member Davies to approve the Treasurer's Report, seconded by Member
Gonzalez, motion carried, 7-0-5 (with Akahoshi, Amsler, Leal, Melillo and Silver absent).
Member Amsler arrived at 6:10 p.m.
B2. Approval of Minutes: April 14, 2008.
MOTION: Moved by Member Filippi to approve the minutes,seconded by Member Atkins,motion
carried, 8-0-4 (with Akahoshi, Leal, Melillo and Silver absent).
C. LIBRARY DIRECTOR'S STAFF REPORTS
Cl. Approval for Library Foundation to budget $40,000 in FYI 2008/09 to support an LSTA
Grant Application for KIDS (Kids Interactive Discovery Space). Report attached.
Member Akahoshi arrived at 6:35 p.m.
Deborah Clark, Library Director, reviewed the grant application with the Board.
Library Foundation Board Minutes
May 12, 2008
Page 2
MOTION: Moved by Member Filippi to approve to budget $40,000 in FY 2008/09 to support an
LSTA Grant Application for KIDS, seconded by Member Gonzalez, motion carried, 9-0-3 (with
Leal, Melillo and Silver absent).
D. BOARD BUSINESS
DI. PAL Campaign Account Update. March, 2008, available at the meeting.
Deborah Clark, Library Director, reviewed the PAL Campaign Account with the Board.
D2. Fund Raising
a. Update from the Special Event Committee regarding potential fundraiser. Member
Gino Filippi, Chair to present along with President Bruce Bowne.
Member Filippi gave an oral report on the potential fundraiser in October or November at
Celebration Hall.
b. Update on status of"Concerts Beneath the Stars." Members Amsler and Davies to
present.
Member Amsler gave an update on the status of"Concerts Beneath the Stars"to the Board, stating
that there are no tickets currently available for the Library Foundation to sell,but that we would be
on a waiting list in case tickets are turned in by other non-profit agencies. She also stated that she
believed there might be the potential to use the Haffif estate for a fundraiser for the Library if we
were interested in pursuing such a use.
D3. Approval to Renew Director and Officer's Insurance from Philadelphia Insurance at a cost of
$844. Report Attached.
President Bowne reviewed the insurance with the Board, noting there was no increase in the
coverage or change in the policy.
MOTION: Moved by Member Davies to approve renewing the Director and Officer's Insurance
from Philadelphia Insurance at a cost of$844, seconded by Member Akahoshi,motion carried,9-0-3
(with Leal, Melillo and Silver absent).
D4. Developing a Work Plan for 2008/09. Presented by staff.
a. Brainstorming for potential program sponsorships for 2008/09. Report attached.
Library Foundation Board Minutes
May 12, 2008
Page 3
Deborah Clark, Library Director, reviewed handout, Potential Funding Opportunities for Library
Foundation with the Board.
Deborah Clark, Library Director, asked the Board to spilt up into three groups and to decide what
three items from the handout they would like to do.
Group 1 List Preferences Play Project,Big Read,Archibald Project with Matching Funds
New Ideas Technology Fund under Endowment Funds
Group 2 List Preferences KIDS Planning Project, Little Read
New Ideas City wide Fundraiser sponsored by business sponsors,read for
points with prize involving Radio Disney or large name
performer. Involve identifying the Library.
Family Read
Group 3 List Preferences Little Read, Endowment Fund
New Ideas Storytelling Festival which include Workshops on How to
Tell a Story, Poetry for high school or college age students
including a cafe or coffee.
Deborah Clark, Library Director, stated she would put the ideas together and share with the Board
Members and library staff.
b. Review and discussion of current structure of the Library Foundation Board. Report
attached.
Item requested to be held over for the next meeting.
E. IDENTIFICATION OF ITEMS FOR THE NEXT MEETING
El. Teen Services
E2. Current Structure of the Library Foundation Board
F. COMMUNICATIONS FROM THE PUBLIC
None received.
Library Foundation Board Minutes
May 12, 2008
Page 4
G. ADJOURNMENT
MOTION: Moved by Member Amsler to adjourn,seconded by Member Akahoshi,motion carried,
9-0-3 (with Leal, Melillo and Silver absent). The meeting adjourned at 7:30 p.m.
Respectfully submitted,
Vivian Garcia
Administrative Secretary
Approved:
STAFF REPORT -
LIBRARY SERVICES DEPARTMENT '
RANCHO
CUCAMONGA
Date: August 11, 2008
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Approval of Payment of Invoice for$1,000 to Community Foundation for Purchase
of Table at 2008 Gala
RECOMMENDATION:
That the Library Foundation Board approve payment of the unbudgeted sum of$1,000 to pay an
invoice carried over from FY 2007/08 covering the purchase of a Library Foundation table at the
2008 Gala.
BACKGROUND:
The Community Foundation produces a Gala for the Arts every other year to support theater
programs offered at the Cultural Center. Held in spring of 2008, last year's Gala was a very
successful event. The Library Foundation Board agreed to support the programs of the Community
Foundation by purchasing a table at the Gala, but did not take official budget action approving the
payment.
To create a record of approved expenditures, staff is requesting formal approval to pay the attached
invoice.
An approval of this item will automatically amend the approved budget for this fiscal year.
FISCAL IMPACT:
Approval of this budget item will result in an anticipated ending balance of$1,122,421 at the end of
this fiscal year.
tSinely,
Deborah Kaye Cla
Library Director
STAFF REPORT
LIBRARY SERVICES DEPARTMENT
RANCHO
C;UCAMONGA
Date: August 11, 2008
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Approval of Payment of Invoice in the amount of $803.60 to IRS from the PAL
Campaign
RECOMMENDATION:
That the Library Foundation Board approve payment of the unbudgeted sum of$803.60 to pay an
invoice to cover penalty fees to the IRS accrued by the 2008 House Raffle.
BACKGROUND:
The Library and Community Foundation worked together to form the PAL House Raffle Committee.
A highly successful raffle was held in 2008 with $ generated in support of the PAL Campaign.
It was understood by the House Raffle Committee and PAL support staff that Vavrinek Trine and
Day would be responsible for generating all IRS reporting forms for the House Raffle, including
Form 945 for 2007. Although Vavrinek did file the correct forms eventually, they were late in filing
Form 945. The late filing of the form generated an invoice from the IRS for$1,607.20 in late and
penalty fees.
The PAL support staff of Paula Pachon, Community Services Analyst III and Deborah Clark, Library
Director agreed that the penalty fee should be paid immediately and the costs divided between the
Library Foundation and the Community Foundation—equal recipients of the revenues produced by
the 2007 House Raffle.
Since Vavrinek provided all financial and auditing services free of charge, no recompense is being
sought from that company.
An approval of this item will automatically amend the approved budget for this fiscal year.
FISCAL IMPACT:
Approval of this budget item will result in an anticipated ending balance of$1,121,617 at the end of
this fiscal year.
4Sin rely,
Deborah Kaye Clar
Library Director
STAFF REPORT
LIBRARY SERVICES DEPARTMENT
RANCHO
Date: August 11, 2008 Ca'UCAMONGA
To: Rancho Cucamonga Library Foundation
From: Deborah Kaye Clark, Library Services Director
Subject: Review and discussion of proposed work plan for the Library Foundation
Board.
RECOMMENDATION:
That the Library Foundation review the work plan that staff will create and present at the meeting
based on the approval of the State Library of an LSTA Grant that will create a feasibility study for
the second floor development of the Biane Library.
BACKGROUND/ANALYSIS:
In Spring of 2008, Library staff applied for a grant of$50,000 from the State Library, to be matched
with $40,000 from the Library Foundation and $10,000 from the Friends of the Library to hire
consultants to help generate a feasibility study that would outline the nature and type of services
that will be provided on the second floor of the Biane Library. The time frame of this grant was
designed to allow staff to be able to request funding in the City's budget process for design
implementation in FY 2009/10.
Based on the grant award letter received by staff on August 7, staff began to create a proposed
work plan for the Library Foundation that would support the fund raising necessary to move the
project into construction by 2010/2011.
The work plan will be available for discussion, revision and approval at the meeting.
FISCAL IMPACT:
None.
VSin erely,
eborah Kaye Cl
Library Director