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HomeMy WebLinkAboutBudget 1990-91City of Rancho Cucamonga
Rancho Cucamonga, California
Annual Budget
July 1, 1990 - June 30, 1991
TABLE OF CONTENTS
GENERAL FUND
Fiscal Yeal 1990/91
Revenue Sources/Detail
FUND NO.
I thru V
PAGE
01-4110 City Council.............................................1
01-4122 City Manager.............................................4
01-4123 Public Safety Commission................................12
01-4125 Emergency Preparedness..................................14
01-4126 City Clerk..............................................23
01-4150 Administrative Services/Administration ..................30
01-4151
Finance
.................................................35
01-4152
Licensing...............................................42
01-4153
Purchasing..............................................48
01-4154
Risk Management.........................................54
01-4155
City Treasurer..........................................58
01-4156
Personnel...............................................62
01-4245 City Facilities.........................................66
01-4265 Personnel Overhead......................................71
01-4285 General Overhead........................................73
01-4313 Community Development/Administration ....................75
01-4333 Planning................................................81
01-4353 Planning Commission.....................................92
01-4354 Historic Preservation Commission ........................94
01-4355 Environmental Management Commission ..................... 96
01-4373 Building & Safety.......................................98
01-4451 Sheriff's Department...................................106
01-4532 Community Services.....................................114
01-4540 Park and Recreation Commission .........................121
01-4637 Engineering/Administration.............................123
01-4638 Development Management.................................129
01-4639 Traffic Management.....................................137
01-4640 Project Management.....................................143
01-4641 Construction Management................................148
01-4647 Maintenance............................................154
01-4991 Transfers...... .....................................167
33-4130 Resource Services/Administration .......................169
33-4131 Special Districts Administration .......................176
33-4132 Geographic Information Services (GIS)..................181
33-4133 Management Information Systems (MIS)...................185
Revenue Sources/Detail
H
POPULATION ESTIMATES
Act. 101,127
Act. 114,954 Est. 125,000
'
04,
CITY OF RANCHO CUCAMONGA
ACTUAL
BUDGET
AMENDED
ESTIMATED REVENUE
POPULATION ESTIMATES
Act. 101,127
Act. 114,954 Est. 125,000
ACTUAL
ACTUAL
AMENDED
AMENDED
ACTUAL
REVENUE REC'0
ESTIMATED
REVENUE REC'D
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND /
ACCT.
DESCRIPTIONS
REVENUE
FISCAL YFAR
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVENUE
TWO YEAR
DECEMBER 31,
REVENUE
_________________
------------ _____________
1987-88
1988 - 1989
-------------
1989-90
_____________
1989
1989-90
1990-91
1990-91
1991-92
PROJECTION
GENERAL FUND
------------(I)
_____________ _____________
_____________
-------------
_____________
____________.
TAMES
01-3900
1020
Property Tax - C/Y secured
1,168,566
1,218,817
1,577,977
823,933
11750,000
2,061,743
2,179,700
2,354,076
4,533,776
'
1030
Property Tax - C/Y unsecured
62,722
68,790
129,118
95,828
200,000
145,317
207,000
223,550
430,560
'
1040
Prop Tax - P/Y sec L unsec
50,029
43,476
72,083
0
45,650
77,010
49,300
53,211
102,511
'
1060
Property Tax - penalties/interest
33,782
38,617
31,824
2,273
2,270
33,415
0
0
0
'
1065
Supplemental Taxes
60,082
78,090
52,932
50,518
53,000
53,282
53,300
55,965
109,265
'
1070
Tax Sales Proceeds
0
0
0
0
0
0
D
D
0
'
1075
Unitary Tax
0
61,183
132,300
0
70,000
138,915
74,400
78,120
152,520
'
1100
Sales 6 Use Taxes
3,762,623
4,395,299
4,270,016
1,545,646
4,165,000
4,650,016
5,088,250
5,621,193
10,709,113
'
1185
Transient Occupancy Tax
2,055
2,515
2,500
1,287
2,500
3,500
2,500
2,650
5,150
'
1190
Admissons Tax
217,134
183.462
215,787
9,284
18,000
233,050
18,000
18,900
36,900
'
1800
Property Transfer Tax
432,133
528,920
435,338
188,803
150,000
466,026
466,000
479,980
945,980
01-3901
45SO
Franchise Fee - Gas 6 Electric
2,541,353
899,399
945,834
0
975,000
999,007
999,900
1,059,894
2,059,794
01-3901
4551
Franchise Fee - Residential Refu
140,811
166,607
111,050
69,864
190,000
158,455
273,670
290,090
563,760
01-3901
4552
Franchise Fee - Commercial refu
135,538
180,456
126,083
61,210
189,460
132,386
275,920
292,475
568,395
01-3901
4553
Franchise Fee - Cable TV
205,248
263,433
203,776
85,850
271,000
218,040
282,370
290,841
573,211
Sub -total
8,820,076
__________
0,161,361
__
8,310,218
_____________
2,931,526
________
8, 961, BBO
_____------- _
9,370,162
_____------- _____------
9,970,310
_--- _
10,820,988
_____________
20,791,298
H
H
CITY OF RANCHO CUCAMONGA
BUDGET
ESTIMATED REVENUE
POPULATION ESTIMATES
Act. 104,727
01 01
Act. 114,954 Est. 125,000
ACTUAL
ACTUAL
AMENDED
AMENDED
ACTUAL
REVENUE REC'D
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND
/ ACCT.
DESCRIPTIONS
REVENUE
FISCAL YEAR
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVENUE
TWO YEAR
DECEMBER 31,
REVENUE
_________________
____________
1987-88
_____________
1988 - 1989
_____________
1989-90
_____________
1989
_____________ _____________
1989-90
1990-91
_____________
1990-91
_____________
1991-92
_____________
PROJECTION
_____________
(2)
Licenses 6 permits
01-3900
2200
____________________
Business Licenses
765,194
826,627
1,042,596
289,046
900,000
1,162,596
918,000
936,360
1,854,360
01-3901
2220
Bicycle Licenses
276
264
285
102
200
285
250
250
500
2290
Building Permits
1,773,888
2,059,120
1,968,000
684,255
1,370,000
2,079,060
2,010,500
2,112,525
1,183,025
2300
Other Licenses 6 Permits
9,184
7,912
10,317
5,110
8,000
10,578
8,000
8,100
16,400
_____________________________________
Sub -total
2,548,542
___________ ____________________
2,893,923
_
3,021,198
__________________
970,513
2,278,200
_____________
3,252,519
______________________
______
2,966,750
3,087,535
____________ _
61054,285
(3)
Fines 6 Forfeits
________________
01-3901
'
2460
Vehicle Code Fines
242,686
240,705
229,308
89,696
245,700
248,768
248,770
268,672
517,112
'
3450
General Ordinance Fines
11,175
23,845
21,071
10,111
21,070
23,037
23,040
24,500
11,510
3451
Penal Code Fines
0
280
3,000
1,655
3,000
4,500
1,500
4,500
9,000
Sub -total
____
256,861
_____________ _____________
254,830
253,379
_____________ _____________
101,795
269,770
_____________
276,305
________
_____________________
276,3 _ 10
297,672___
________
573,982
H
H
H
0
CITY OF RANCHO CUCAMONGA
BUDGET
ESTIMATED REVENUE
POPULATION ESTIMATES
Act. 101,727
0 0
Act. 111,951 Est. 125,000
ACTUAL
ACTUAL
AMENDED
AMENDED
ACTUAL
REVENUE REC'D
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND / ACCT.
DESCRIPTIONS
REVENUE
FISCAL YEAR
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVENUE
TWO YEAR
DECEMBER 31,
REVENUE
________________
------------ _____________
1987-88
1988 - 1989
___________
1989-90
-------------
1989
_____________ _____________
1989-90
1990-91
_____________
1990-91
_____________
1991-92
-------------
PROJECTION
------------
(4)
Miscellaneous
-------------
01-3901 1500
Rents 6 Leases
I,BOO
39
1
1
100
1
100
100
200
1600
Interest Earnings
252,128
350,293
818,962
171,756
700,000
838,733
700,000
700,000
1,100,000
7910
'
Sale of Printed Materials
53.729
57,771
53,819
19,220
60,000
63,909
63,910
67,715
131,655
7950
'
Returned Item Charge
225
150
250
30
250
300
300
300
600
8520
'
Other Revenue
367,196
36,021
31,072
31000
30,000
35,776
10,000
10,000
20,000
8521
Small Claims Crt Filing Fees
0
(/2)
0
12
0
0
0
' 8522
Small Claims Crt Sheriff's Fee
0
0
0
0
0
0
0
0
0
' 8710
Sale of Machinery 6 Equi Anent
5,231
8,805
0
1,170
5.000
0
0
0
0
0
8780
Sale of Land
0
0
0
0
0
0
0
8910
'
Cash Coverage 6 Shortage
101
163
100
159
200
120
0
200
0
212
0
112
8513
'
Residential Recycling Program
0
0
0
193
500
0
500
530
1,030
8523
'
Recycable Material
0
111
ISO
0
300
175
300
310
618
8521
Recycable Material - White Paper
0
137
0
120
200
0
200
212
112
Sub -total
________
680,113
________ ___-______-__
/5/,30-1
901,381
_____________ ____________
198,999
796,550
____--- _--- _
939,011
_____------- ________-------
775,510
_
779,117
____________
1,551,921
CITY OF RANCHO CUCAMONGA
BUDGET
ESTIMATED REVENUE
POPULATION ESTIMATES
Act. 101,121
0 9
Act. 111,951 Est. 125,000
ACTUAL
ACTUAL
AMENDED
AMENDED
ACTUAL
REVENUE REC'D
ESTIMATED
REVENUE REC'D
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND /
ACCT,
DESCRIPTIONS
REVENUE
FISCAL YEAR
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVENUE
TWO YEAR
DECEMBER 31,
REVENUE
----- _-.----------
------------
1987-88
_____________
1988 - 1989
_____________
1989-90
_____________
1989
_____________ _____________
1989-90
1990-91
_____________
1990-91
_____________
1991-92
_____________
PROJECTION
_____________
(5)
Intergovernmental
-----------------
01-3900
5230
Motor Vehicle in Lieu
2,587,956
3,301,510
3,787,605
1,799,913
3,900,000
1,319,972
1,237,380
1,616,150
8,803,630
'
5250
Hameomners Property Tax Relief
7,205
7,565
1,911
0
7,600
8,232
7,600
8,055
IS,656
'
5251
Govt Code Spec. Subvention
9,106
1,703
0
0
0
0
0
0
D
'
5330
Trailer Coach In Lieu - AB2004
13,108
6,550
0
0
6,500
0
6,500
6,890
13,390
01-3901
5338
Off High.ay License Fees
1,651
1,610
2,056
0
2,000
2,202
2,200
2,538
1,738
01-3900
5380
Cigarette Tax
167,952
171,101
183,555
72,303
18S,000
203,133
189,000
189,000
378,000
C
Sub -total
2,181,218
3,196,719
3,981,160
1,872,316
1,101,100
1,533,639
1,112,680
1,8525731
9,295,111
6)
Charges for services
____________________
01-3901
1186
Finger Print Fees
0
9,020
0
3,177
5,000
0
5,000
5,200
10,200
01-3901
1200
O.A.R.E. Program Reimbursement
0
0
0
0
0
0
50,000
50,000
100,000
01-3901
2100
Candidates Filing Fees
0
0
0
0
0
0
500
0
500
'
7260
Plan Check Fees
1,336,294
982.38/
826.776
379,600
031,650
812,839
1,118,500
1,185,610
21301,110
'
7280
Planning Fees
267,873
171,881
257,551
113,712
160,000
285,886
285,000
302,100
587,100
'
7290
Engineering Fees
1,157,159
2,768,793
2,388,906
871,212
2,100,000
2,157,797
2,150,000
2,597,000
5,017,000
______________________________________________
Suh-total
3,061,616
3,531,081
3,173,233
1,711,301
3,199,650
3,586,522
____________________________
3,851,000
1,139,910
8,018,910
•
CITY OF RANCHO CUCAMONGA
BUDGET
ESTIMATED REVENUE
POPULATION ESTIMATES
Act. 101,727
Act. 111,951 Est. 125,000
ACTUAL
ACTUAL
AMENDED
AMENDED
ACTUAL
REVENUE RECD
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND /
ACCT.
DESCRIPTIONS
REVENUE
FISCAL YEAR
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVENUE
TWO YEAR
DECEMBER 31,
REVENUE
_________________
____________ _____________
1987-88
1988 - 1989
_____________
1989-90
_____________
1969
-------- ---- _____________
1989-90
1990-91
_____________
1990-91
_____________
1991-92
_____________
PROJECTION
_____________
(i)
Others
01-3992
9001
Transfer In
1,197,631
2,192,306
1,943,276
0
1,913,280
2,262,210
2,362,210
2,362,210
1,721,120
01-3999
1536
Asset Seizure
0
0
0
8,563
30,560
0
30,000
0
30,000
01-3999
8522
Non -Abated Reimbursements
45,238
1,016,770
706,843
11,710
786,D00
826,185
826,000
826,000
1,652,000
01-3999
0523
Assessment District Reimbursemmt
40,947
83,555
582,893
21,087
45,000
581,000
50,000
53,000
103,000
01-3999
8530
Reimbursement From Other Funds
D
0
0
516,067
0
0
0
250,000
250,000
C 01-8888
2000
Other Financing Sources
0
305,320
0
0
0
0
0
0
0
_______________________________________________
Sub-to[al
1,283,816
3,597,957
3,313,012
_____________ _____________-------
560,127
2,80/,810
3,612,395
3,268,210
_________
3,191,210
_____________
6,759,120
TOTAL - GENERAL FUND
19,438,612
22,406,819
23,289,614
8,017,887
22,731,990
25,630,556
25,553,770
27,469,465
53,023,235
sm:eatir"2.mAl
City Council
01-0110
N
s
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---CITY COUNCIL
8110 1100 REGULAR PAYROLL
1 4110 1900 FRINGE BENEFITS
1 4110 2800 P.E.R.S.
1 4110 3100 TRAVEL MEETINGS
1 4110 3300 MILEAGE
1 4110 3900 MAINTENANCE 6 OPERATIONS
1 4110 3931 VEHICLE MAINT. 6 OPERATIONS
1 4110 3956 DUES
1 4110 3960 GENERAL LIABILITY
1 4110 5028 CONTRACT SERVICES
DEPARTMENT TOTAL
0 0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 HER 1990/91
16,052
15,560
16,500
990
9,068
17,490
27,875
27,875
27,875
0
0
5,775
(5,775)
0
0
9,756
9,756
9,756
0
0
0
0
1,250
0
0
0
0
8,352
12,208
16,150
(300)
4,714
5,500
21,040
18,190
18,190
0
0
1,050
0
0
1,050
1,050
1,050
1,050
4,976
2,698
3,125
1,800
2,183
4,925
3,280
3,280
3,280
0
0
0
0
0
0
0
0
0
0
0
600
0
500
600
600
600
600
0
0
239
(239)
0
0
260
231
231
3,160
3,047
3,000
(1,500)
1,206
1,500
3,000
3,000
31000
32,540
34,513
46,439
(5,024)
19,716
32,065
66,861
63,982
63,982
PROGRAM POSITION/SALARY SCHEDULE
• City Council
Position
Classification
Title
Position Quota
A ro riations
Current
Level
Dept.
Rcmd.
Mgr.
Rcmd.
Ado ted
Dept.
Rcmd.
Mgr.
Rcmd.
Adopted
Budget
Mayor
Councilmembers
100%
400%
100%
400%
100%
400%
$5,575
$22,300
$5,575
$22,300
Subtotal
$27,875
$27,875
Fringe Benefits
$9,756
$9,756
TOTAL
$37,631
$37,631
COST CENTER DETAIL WORKSHEET
Department/Division:
01t Council
'Obiect
Program:
ICity Council
Account Number:
01-4110
FY 90/91
No.
Description of Items & Individual Dollar Amounts
Budget
4110-1100
Re ular Salaries
$27,875
4110-1900
Fringe Benefits
$9,756
4110-3100
Travel & Meetings
S.B. County Assoc. Gov'ts
$735
League of CA Cities Conf.
$2,205
League of CA Cities/Inland Empire
$700
National League of Cities Conference
$3,600
Le islastive Conferences/Sacto
$2,400
Leacjue of CA Cities/Committee Mtq.
$950
League of CA Cities/Mayor/Council Forum
$950
Council Committee Mt s.
$1,200
AB 939 Task Force Mt s.
500
Commuter Train Mt s.
$250
Local Government Commission Mt s.
$400
Contract Cities Assoc. Was.
00
Environmental M mt. Comm. -Travel & Mt s.
$2,500
Local Was. as Required
$1,400
Subtotal
$18,190
4110-3300
Mileage
Local Mt s. as Required & Pool Car
$1,050
4110-3900
Maint. & OlDerations
Awards & En ravin s
$2,100
Office Su lies
550
Printing
630
Subtotal
$3,280
4110-3956
Dues
Local Government Commission
$600
4110-3960
General Liability
$231
4110-6028
Contract Services
Mto. Minutes
$3,000
TOTAL
1
$63,982
* a •
City Manager
014122
X.
i
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---CITY MANAGER
1 4122 1100 REGULAR PAYROLL
1 4122 1200 OVERTIME PAYROLL
1 4122 1300 PARTTIME PAYROLL
1 4122 1900 FRINGE BENEFITS
1 4122 3100 TRAVEL 6 MEETINGS
1 4122 3300 MILEAGE
1 4122 3900 MAINTENANCE 6 OPERATIONS
1 4122 3931 VEHICLE NAINT.6 OPERATIONS
1 4122 3956 DUES
1 4122 3960 GENERAL LIABILITY
1 4122 6026 CONTRACT SERVICES
1 4122 7044 CAPITAL EXPEND. -EQUIPMENT
DEPARTMENT TOTAL
87-88 FY 88-89 FY CUR FY
ACTUAL ACTUAL BUDGET
0 •
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
173,755 261,941 260,282 34,524 127,041 294,806 319,180 319,180 362,544
0 0 0 0 0 0 0 0 0
15,520 19,778 0 0 0 0 0 0 0
0 0 91,099 (84,402) 0 6,617 111,713 111,713 126,890
16,702 17,167 14,090 6,500 8,064 20,590 20,255 15,055 15,055
2,134 4,072 9,800 0 112 9,800 11,300 6,500 6,500
9,067 10,812 5,050 0 5,196 5,850 12,501 9,902 9,902
31 111 0 0 188 0 2,880 2,880 2,880
1,617 (2,555) 3,950 0 2,807 3,950 3,754 3,754 3,754
0 0 836 (836) 0 0 704 922 922
15,050 24,759 49,948 (12,638) 36,705 31,310 19,734 59,139 59,139
0 4,018 0 3,638 0 3,638 19,112 5,549 5,549
233,876 346,103 435,855 (53,294) 160,113 382,551 . 521,133 534,594 593,135
0
0
Department: Administration
Division:
City Manager
Fiscal Year
01-4122
1990/91
--------------------------------------------------------------------------------------
I
Position
Quota
I Appropriations
PositionI
-------------------------------
I -------------------------------I
Classification
ICurrentl
Dept. I
Mgr. I
I Dept.
I Mgr. I
Adopted I
Title
I Level I
Rcmd. I
Rcmd. IAdoptedl Rcmd.
1 Rcmd. I
Budget I
---------------------
City Manager
I ------- I-------
1 75$1
I-------
75$1
I-------
75$1
I---------
75$1 $84,654
I--------- I-----------
1 $76,059 1
I
$84,660 1
Deputy City Manager
1 50%1
50%1
50%1
50$1 $36,762
1 $34,110 1
$36,770 1
Deputy City Manager
1 20$1
20%1
20$1
20$1 $16,246
1 $12,348 1
$16,250 1
Asst.To City Manager
1 100$1
100%1
100%1
100%1 $48,840
1 $43,140 1
$48,840 1
Management Analyst III
100$1
100$1
100$1
100$1 $38,832
1 $32,448 1
$38,840 1
Management Analyst I
1 10011
100%1
100$1
100$1 $33,600
1 $26,052 1
$33,600 1
Executive Asst.
1 10011
10011
10011
10011 $38,448
1 $35,656 1
$38,450 1
Office Specialist II
1 10011
10011
10011
10011 $20,208
1 $17,652 1
$20,210 1
Secretary
1 011
10011
10011
10011 $27,660
1 $26,316 1
$27,560 1
Sub Total
1$345,250
1$303,981 1
$345,280 1
Merit Contingency
$17,262
$15,199
$17,264
Sub Total
I I
1
1
1$362,512
1$319,180 1
$362,544 1
Fringe Benefits
1 1
I I
1
1
1
1
1
1$126,879
1 1
1$111,713 1
1
$126,890 1
Total
I I
1
1
1$489,391
1$430,893 1
$489,434 1
admin2.wkl
-- COST CENTER DETAIL WORKSHEET
---------------------------------------------
Department/Division: I Program: (Account Number: IFiscal Yearl
Administration I City Manager 1 01-4122 1 1990/91 1
--------------------------------------------------------------------------- I ------------ I
Object No. I Description of Items & Individual Dollar Amountsi Budget I
----------- I--------------------------------------------------------------- I ------------ I
4122-1100 lRegular Salary 1 $362,544 1
I I I
4122-1900 lFringe Benefits I $126,890 I
I I I
4122-3100 ITravel & Meetings I I
I AB 939 Task Force Mtgs. $250 I 1
League of California Cities Inland Empire D $1,100 I
Environmental Mgmt. Comm. -Related Travel & $500 I I
American Society of Public Admin. Local Mtg $250 I I
Municipal Mgmt. Assts. Mtgs. $1,150 I I
League of CA Cities
$2,205 1
I League of CA Cities Manager Conference
$1,400 I
I Int'l. City Mgmt. Assoc. Conference
$1,800 1
1 Nat'l. League of Cities Conference
$1,800 1
I Solid Waste Seminars
$2,000 i
I Inland Empire Urban Managers Local Mtgs.
$600 i
( Local Mtgs. as Required
$2,000
1 Subtotal
I
$15,055
4122-3300 IMileage
I City Manager
$4,800
Deputy City Managers
$1,200 1
I Staff and Pool Car
$500 I
1 Subtotal
I
$6,500
I
4122-3900 IMaint. & Operations
I
I
I Printing & Postage
$2,000 I
I Publications
$2,000 1
Office Supplies
$5,000 1
l 1 ea. Word 4.0 (MAC)
$205 I
I 1 ea. Excel 2.2
$289 1
1 ea. Delta Graph
$195 I
1 1 ea. SAM / Fastback II
$213 I
Subtotal
I
$9,902
I
4122-3931 lVehicle Maintenance
I
I
I Sedan 1101
I
$2,880
adminl.wkl al -j49
.40
F- -I
L J
COST DETAIL WORKSHEET
Department/Division: Program: Account Number:
Administration City Manager 01-4122
Object No. I Description of Items 6 Individual Dollar Amounts
----------- I ---------------------------------------------------------------
4122-3956 JDues
Municipal Mgmt. Assts.
American Society of Public Admin.
International City Mgmt. Assoc.
Gov't. Finance Officers Assoc.
LGC
CALED
Rancho Cucamonga Chamber of Commerce
So. Cal. Gov't. Finance Officeers Assoc.
Urban Land Institute
Miscellaneous
AICP
Subtotal
4122-3950 )General Liability
1
4122-5028 lContract Services
Fiscal Year
1990/91
-------------
Budget
------------�
� I
$160 1
$375
$2,059 1
$150 )
$100
$110
$100
$50
$150 )
$250
$250
Special Projects $13,500
MIS Administration $41,954
Computer Equipment Maintenance 6 Programmin $3,685
Subtotal
4122-7044 )Capital Equipment
1 ea. Mac IIcx 40CPU Computer w/ Color Monitor and
Apple Keyboard $4,724
1 ea. 1 MB Memory Upgrade $350
lea. Electronic Typewriter $475
I Subtotal
adminl.wkl a52-jl04
TOTAL
$3,754 1
1
$922 1
$59,139 �
I
$5,549 )
I
$593,135
Department: Administration
COMPUTER SOFTWARE REQUEST FORM
Fiscal Year: 90/91
Account Number
Software Identification
Serial Number/ID of
Computer Unit where
Qty
Unit
Cost
Estimated
Cost
Resource Center
Use Only
Approved
Denied
Date
Software is to be installed
4122-3900
Lotus 123
New
1
$310
$310
X
4/10/90
4122-3900
Word Perfect (IBM)
New
1
$245
$245
X
4/10/90
4122-3900
Word 4.0 (MAC)
New
1
$205
$205
X
4/10/90
4122-3900
Excel 2.2
New
1
$289
$289
X
4/10/90
4122-3900
Delta Graph
F8458BEM5011
1
$195
$195
X
4/10/90
4122-3900
Page Maker 4.0
F8458BEM5011
1
$398
$398
X
4/10/90
4122-3900
SAM
New
1
$88
$88
X
4/10/90
4122-3900
Fastback II (MAC)
New
1
$125
$125
X
4/10/90
Totals: 8 $1,855 $1,855
0
COMPUTER CONTRACT • VICES REQUEST FORM
Department: Administration Fiscal Year: 90/91
1.
I
Account Number
Contract Services
Justification
Oty
Unit
Cost
stimated Cost
Resource Center
Use Only
Approved
Denied
Date
4122-6028
Mac SE
1
575
575
X
4/10/90
4MB Memory Upgrade
1
560
560
X
4/10/90
Dot Matrix Printer
2
276
552
X
4/10/90
IBM
4
358
1,432
X
4/10/90
Color Monitor
4
151
604
X
4/10/90
Mac Ilcx w/Color Monitor
1
862
862
X
4/10/90
Totals: 13 2,782 4,585
CAPITAL EQUIPMENT REQUEST FORM
0 Department: Administration Fiscal Year: 90/91
•
L
Account
Number
New/ or
Re laces
EQUIPMENT IDENTIFICATION & JUSTIFICATION OF NEED
Estimate
Cost
4122-7044
Replace
Mac llcx 40CPU Computer w/ Color Monitor and
Apple Keyboard - Replaces curent IBM used by
$4,724
Executive Asst. to allow higher quality printing
and desk top publishing for City Manager's Office.
4122-7044
New
1 ea. 1MB Memory Upgrades - For Exec. Asst. and
$350
Admin Analyst for enhanced multi tasking and print spools.
4122-7044
New
Electronic Typewriter - For new personnel.
$475
Department: Administration
COMPUTER HARDWARE REQUEST FORM
Fiscal Year: 90/91
Account Number
Hardware Description
Identification
Work Area
Location
Qty
Unit
Cost
Estimated
Cost
Resource Center
Use Only
Approved
Denied
Date
4122-7044
1 ea. Mac Ilcx 40CPU Computer w
Exec. Asst.
1
$4,724
$4,724
X
4/10/90
Color Monitor and Apple Keyboard
4122-7044
Mac SE Hard Disk 20 CPU
Office Asst.
3
$2,093
$6,279
X
4/10/90
Computers w/ Apple Keyboards
Admin. Analyst
Sr. Office Asst.
4122-7044
1 MB Memory Upgrades
Exec. Asst.
1
$350
$350
X
4/10/90
4122-7044
Laserwriter IINT
Shared Use
1
$3,424
$3,424
X
4/10/90
4122-7044
Compaq w/ Color Monitor
Deputy City Mgr.
1
$3,000
$3,000
X
4/10/90
Totals: 7 $13,591 $17,777
Public Safety Commission
01.4123
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-09)
ACCOUNT
-'--' ---------
PUBLIC SAFETY COMMISSION
1 4123 3100 TRAVEL 6 MEETINGS
1 4123 3300 MILEAGE
1 4123 3900 MAINT d OPERATIONS
DEPARTMENT TOTAL
•
0/22/90
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 80-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
------
0 0 2,900 2,900 2,900
0 0 300 300 300
0 0 500 500 500
0 0 0 0 0 0 3,700 3,700 3.700
COST CENTER DETAIL WORKSHEET
Department/Division: I Program: I Account Number:
PUBLIC SAFETY COMMISSION I PUBLIC SAFETY I 01-4123
---------------------------------------------------------------------------
Object -N-o-.Description of Items 6 Individual Dollar Amounts
---------- I ----------------------------------
----------
3100 (TRAVEL 6 MEETINGS ------------
C.S.T.I. $2,400
I
misc. $500
Subtotal:
I
I
3300 IMILEAGE
I
1
3900 (OPERATIONS 6 MAINTENANCE
I
I
I
I
I
I
I
I
I
I
I
I
I
I
1231fm2a.wk1
I
I
(Fiscal Yearl
1990-91
1-----------1
l Budget 1
-----------1
I I
I I
I I
$2,900 l
$300
$500
. I TOTAL I $3,700
I 1
Emergency Preparedness
01.4125
r
a
•
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---EMERGENCY PREPAREDNESS
4125 1100 REGULAR PAYROLL
0
10/22/90 CITY OF RANCHO CUCAMONGA
1 4125 1200 OVERTIME PAYROLL
1 4125 1900 FRINGE BENEFITS
1 4125 3100 TRAVEL 6 MEETINGS
1 4125 3300 MILEAGE
1 4125 3900 MAINTENANCE 6 OPERATIONS
1 4125 3901 TRAINING EDUCATION
1 4125 3931 VEHICLE MAINT.6 OPERATIONS
1 4125 3956 DUES
1 4125 3960 GENERAL LIABILITY
1 4125 6027 HAZARDOUS WASTE REMOVAL
1 4125 6026 CONTRACT SERVICES
1 4125 7044 CAPITAL EXPEND. -EQUIPMENT
1 4125 7045 CAPITAL EXPEND. -VEHICLES
DEPARTMENT TOTAL
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NGR 1990/91
31,180 83,471 115,739 61944 52,466 122,683 121,525 130,305 147,430
0 2,131 1,500 0 857 11500 3,500 3,500 3,500
0 0 40,509 (40,509) 0 0 42,534 45,606 51,600
118 20,394 14,720 0 3,405 14,720 0,965 8,995 8,995
113 335 2,000 0 21 21000 2,500 2,500 2,500
10,948 24,115 30,273 0 5,546 30,273 32,575 31,955 31,955
0 0 0 0 0 0 0 0 0
1,184 3,419 3,000 0 0 3,000 2,000 2,500 2,500
250 40 300 0 150 300 400 580 580
0 0 836 (836) 0 0 738 1,051 1,051
0 0 0 0 13,169 0 0 0 0
653 6,360 33,306 (2,062) 24,734 31,244 25,389 51,485 51,485
17,095 61,764 6,800 0 0 6,800 0 3,000 3,000
0 0 0 0 0 0 0
62,201 202,029 248,983 (36,663) 100,949 212,520 240,126 281,477 304,596
Department:
•
Position
Classification
Title
Dis. Prep. Manager
Dis. Prep. Specialist
Secretary
Mgmt.Aralyst I
Subtotal:
Merit Contingency
Subtotal:
Fringe Benefits
Subtotal:
Part -Time
Tota':
•
eocbudgt\
1251fml
0
wkt
PROGRAM POSITION/SALARY SCHEDULE
Fiscal,, Year
Administration Division:Dis. Preparedness 1990/91
01-4125
Position Quota
Appropriations
j
'— ------------------------------
-------------------------------1
1Currentl
Dept. I
Mgr. 1,
Dept. I
Mgr.
I Adopted I
I Level 1
Rant. I
kcmd. IAdopted
1 Rcmd. I
Rcmd.
I Budget 1
---
1---I-------
100$1
I
100$1
-------' --------'
1C0$1
--------- I----------
100$1 $50,000 1
$50,000
I---------- I
I $54,780
1 lo0$j
100$1
100$1
100$1 $26,500
$26,500
1 $29,370 1
1 100$1
100$1
100$1
100$1 $21,600 1
$21,600
1 $22,660 1
100%]
100%1
i00%�
100$1 $26,000 1
$26,000
I E33,600 1
I
i
!$124,10C
$124,100
1 $140,410
$6,205
$6,205
1 $7,021
I I
I
I
1$130,305 1
I I
$130,305
1 $147,431 1
I I
1 $45,606 1
$45,506
1 $51,60C
I
I
1$175,911 1
$175,911
1 $199,030 1
I I
I I
I
I
i I
I $0 I
$o
I I
I $0 1
I
I I
I I
I I
I I
I i
i i
I I
I I
I I
1 I
i I
I I
I I
1
I
I
I
I
I
I
I
i
i
I
I
I
I
1
I
I
I
I
I
i
I
I
i
I
I
I
I
1$175,911 1
I
I I
I I
I I
I I
I I
i i
I i
I i
i i
I I
I I
I I
I I
$175,911
1 $199,030 1
I I
I i
I I
I I
I I
I i
I
I I
I i
i
I i
I i
i I
I I
COST CENTER DETAIL WORKSHEET
----------------------------------------------------------------------------Fisc--------
Department/Division: I Program: I Account Number:Fiscal Year
Administration I -Disaster -Preparedness --------- .01-4125 ----1 1990/91
-- I
-------------------------- ----------
Object No.j Description of Items 6 Individual Dollar Amounts Budget
1100 (Regular Salary
1
1200 10vertime
1
1900 lFringe Benefits
1
3100 1Meetings & Travels
1 CSTI EOC Procedure -Aide, Coor.,Tech
j CSTI Earthquake
(designated City Staff)
In -House Training-Emerg. Mgt.
1 SCESA
1 SCEEP - Quarterly Meeting
1 SCESA Annual Conference
Local WEEP Monthly Mtg.
MMASC (Tony Flores)
I
3300 jMileage
I
390C IMaintenance 6 Operations
Water - (Barrels)
Office Supplies
Pub. Ed. Materials
Training Materials
Training Program
Small Tools
Publications/Subscriptions
;ECC Equipment
3-50 Persor Packs @350 per pac'i.
20 Strechers @90 ea.
Training -Emergency Response Team(New
eocbuc,t\
125LFM2.wk1
i
0
$147,430
I
j $3,500
$51,600
I
51,995 �
$4,400
$500
$250
$100
$1,350
$100
$300
Subtotal:
$2,00,
$2,250
$5,000
$2,000
$1,000
$200
$500
$1,050
$1,800
$3,OOC ;
Subtotal:
I
Subtotal(pg.1)
$8,995
$2,500
$1P,800 �
t
$232,825
I
COST CENTER DETAIL WORKSHEET
Department/Division: j Program: j Account Number:lFiscal Year j
• Administration f Disaster Preparedness j 01-4125 1 1990/91 j
--------------------------------------------------------------------------------------�
Object No.1 Description of Items S Individual Dollar Amounts 1 Budget 1
----------I---------------------------------------------------------------- -------------
(Cont'd) j Subtotal (Pg.l)j $232,825 j
3900 IEOC Equip
I i
I i
j
Computer Software
j Misc.
1 Quake Grip to secure computer equip
Printing of EOC S.O.P'S
20 Cots @ 100 ea
1 50 Blankets
Printing ci Emery Manuals
1 Film and Videro Tapes
1 2-16
I
j
3931 jVehicle Maintance
3956 jDues
SCESA
1 National Emerg Mgnt Assoc
1 Bi-Ceep
j ASPA-Tony Flores
MMASC-Tony Flores
j
3960 1General Liability
i
6027 [Hazardous Waste Removal
j
6028 1Contract Services
I Maintenance on Generator
Mctorla Maint on 16 channel Max Tract Radios
j 5 Pager Rentals
1 Motorla - Maint on Micro wave system
j Computer Maintenance
j MIS Administration
j Secretarial Services
I
eocbudgt\ 1
125LFM21.wk1 70TAL
$705
$500
$5,000
$500
$2,000
$200
$2,500
$750
Subtotal: I
$13,155
$2,500
$125
$100 1 j
$250
$55
$50
Subtotal: j $580 1
1 $1,051 j
I
$25,000
$425 1
$3,024 j
$1,440 j
$3,000 1
$2,080 j
$14,516
$2,000 j
Subtotal: 1
I
(Pg. 2)
I
$26,485
$301,596
•
COST CENTER DFA.IL WORKSHEET
---------------------------------------------------------------------------------------
Department/Division: iprogram: Account Number:IFiscal Year
Administration Disaster Preparedness 01-4125 1990/91
-
----------- - -------------------------------------------------'
Obj-ect----Na--',----------Description of Items 6 Individual Dollar Amounts j Budget
----------I
Subtotal(pg.2) $301,59E
I I I
1044 ICapital Expenditures -Equipment
Land/Sea Container $3,000
I I �
Subtotal: $3,000
� I
I �
I I �
I � I
� I
i
eocbudgt\
125LFM20.wk1
�ota':: $304,59E
COMPUTER SOFTWARE REQUEST FORM 1990/91
• Department: Admin./Disaster Prep, Fiscal Year: 1990/91
C J
Account Number
Software Identification
Serial Number/ID of
Computer Unit where
Oty
Unit
cosi
Estimated Cost
Resource Center
Use Only
Approved
Dented
Date
Software is to be Installed
0
4125-3900
P.C. Link
Mac SE F84589XMSO I I
1
$115
$115
$t15
VerseTerm Pro
Mac SE F84589XM5011
1
$225
$225
$225
Upgrades(WordPerfect,Excel
Mac SE and IBM
6
$80
$480
$480
MacDraft, Pagemaker,
0
IBM Wordperfect, SuperPeint)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Totals: 1 B 420 820 S705 115
COMPUTER GBLINO MISC REQUEST FORM 1990/91
wDepartment: Admin./Dlsester Prep. Fiscal Year: 1990/91
is
0
Accountb, cunt Number
Cabling Mist; Needs
Location/Computer Unit
OlY
Unit
Coal
Estimated Cost
Resource Center
Use Only
Apprwea
Denied
Date
4125-3900
One Mac SE to Single Printer
Mrgmnl Analyst
1
$110
S110
silo
MISC. Cabling
DIs. Prep. Office
1
$110
$110
$110
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Totals: 1 2 220 220 0 220
COMPUTER CONTRACT SERVICES REQUEST FORM 1990/91
• Department: Admin./Disaster Prep. Fiscal Year: 1990/91
11
Account Number
Contract Services
Justification
Oly
Unit
Cost
Estimated Cost
Resource Center
Use Only
Approved
Denied
Date
4125-6028
Mac SE/f84589xMS011
Mint Contract
1
$575 $575
$575
IBM
Maint. Contract
1
$509 $509
$509
TosMDe 351C Printer
Maint. Contract
1
$276 $276
$276
ImapeWriler UQ
Maint. Contract
1
$720 $720
$720
Hardware and Software
Tralnin0
Maintain Max. Efficiency
1
$900 $900
$900
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
CAPITAL EQUIPMENT REQUEST FORM 1990/91
• Department: Flscel Year: 1990/91
E
s-
Account
Number
Now/ or
Replaces
EQUIP ME NT IDENT IFICATION& JUST IFICATION OF NEED
Estimate
Cost
New
Lena/See Container3
000
Subtotal:
$3.000
Subtotal:
3 000
TOTAL:
3 000
City Clerk
01-4126
N
w
0 0
BUDGET PROJECTION WORKSHEET 10/22/90 CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-89)
DEPT COUNCIL
87-88 FY 08-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACCOUNT ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
GENERAL FUND ---CITY CLERK
1 4126
1100
REGULAR PAYROLL
44,366
68,003
121,527
7,292
29,257
128,819
150,532
122,453
132,636
1 4126
1200
OVERTIME PAYROLL
0
12
4,800
0
0
4,800
4,500
4,500
4,500
1 4126
1300
PARTTIME PAYROLL
5,167
0
0
0
0
0
0
0
10,300
1 4126
1900
FRINGE BENEFITS
0
0
42,534
(42,534)
0
0
52,686
39,712
46,423
1 4126
3100
TRAVEL 6 MEETINGS
2,021
4,200
4,150
0
1,611
4,150
4,750
3,500
3,500
1 4126
3300
MILEAGE
23
91
300
0
0
300
300
300
300
1 4126
3900
MAINTENANCE 6 OPERATIONS
41,550
33,557
55,450
0
8,627
25,000
56,900
57,805
57,805
1 4126
3956
DUES
270
435
702
0
0
702
475
475
475
1 4126
3960
GENERAL LIABILITY
0
0
1,815
(1,015)
0
0
1,000
1,200
1,200
1 4125
6028
CONTRACT SERVICES (ELECTIONS)
13,129
37,552
120,922
(4,500)
54,446
50,000
20,271
55,692
55,692
1 4126
7044
CAPITAL EXPEND. -EQUIPMENT
2,793
10,244
0
0
0
0
20,195
16,300
16,300
DEPARTMENT TOTAL
109,319
154,104
352,200
(41,557)
93,942
223,771
319,609
301,947
329,131
E
PROGRAM POSITION/SALARY SCHEDULE
Department: Administration
I
Dept. I
Position Quota
Position
------------------------
Rcmd. I
Rcmd.
Classification 1Currentl
Dept. I
Mgr. I
Title I
Level
Rcmd. I
Rcmd. 1
-------------------1-------1-------
City Clk/Records Mgr1
100%1
I
100%1
------- I
100$1
Deputy City Clerk 1
100%1
100%1
100%1
Asst.Dep.City Clerk 1
100%1
100%1
100%1
Minute Clerk 1
0%1
100%1
0%1
Records Clerk 1
100%1
100%1
100%1
Records Clerk I
0%I
i
100%1
0%1
I
Subtotal: I
!
i
I
i
I
Merit Contingency i
I
1
I
I
Subtotal:
I
Fringe Benefits I
I
1
I
1
I
Total: 1
I
1
I
I
I
I
I
I
Part-time/Rec.Clerk I
I
I
0 1
I
I
0%1
I
I
50%1
I
I
I
GRAND TOTAL: I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
1
I
I
I
I
I
I
I
1
I
I
I
I
I
I
I
I
I
I
126LFM1A.wkl I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
1
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
1
I
I
I
I
I
I
I
I
I
Fiscal Year
Division:City Clerk 1990/91
01-4126
Appropriations
I
Dept. I
Mgr.
Adopted
Adopted I
Rcmd. I
Rcmd.
1 Budget
--- ---I----------1----------1---------
100%1
$39,936 1
$39,936
1 $51,340
100%1
$26,532 1
$26,532 1
$29,080
100%1
$22,656 1
$22,656
1 $25,290
0%1
$17,652 1
SO 1
$0
100%1
$18,936 1
$18,936
1 $20,610
0 1
$17,652 1
$0 1
$0
1 $143,364 1 $106,060 1 $126,320
I $7,168 1 $5,403 1 $6,316
$150,532 I $113,463 1 $132,636
1 $52,686 1 $39,712 I $46,423 1
$203,218 1 $153,175 1 $179,059 1
50%1 $0 1 $9,000 1 $10,300
$203,218 1 $162,175
$189,359
.•
•
r
1
COST CENTER DETAIL WORKSHEET
Department/Division: l Program: I
Account mUmoer:lrlscal Tear 1
Administration
City Clerk 1
01-4126 1
1990/91
---------------------------------------------------------------------------------------�
Object No.1
Description of Items & Individual Dollar Amounts
Budget
----------
1100
I----------------------------------------------------------------
IRegular Salary
------------
$132,636
1200
10vertime
$4,500
1300
I
Part -Time Salary
$10,300
1900
lFringe Benefits
$46,423
3100
ITravel & Meetings
City Clerk's Association (CCASC)
$320
League of California Cities
$800
City Clerk's State Conference (CCAC)
$720 1
Assoc. of Records Mgrs. Administrators (ARMA)
$410
Cont. Education for Public Officials (CEPO)
$600
New Law Seminar
$570
Local Meetings as Required
$80
Subtotal:
$3,500
3300
IMileage
Staff Reimbursement & .26
$300
$300
3900
IMaintenance & Operations
Code Updates
Municipal
$5,000
State
$2,500
Legal Advertising
$30,000
Office Supplies
$8,000
Municipal Codes (10)
$3,000
Microfilm Supplies
$8,000
Software Upgrades
$1,305
Subtotal;
$57,805
3956
IDues
City Clerk's Association of California
$125
International Institute of Municipal Clerks
$150
Association of Records Managers
$200
Subtotal:
$475
3960
lGeneral Liability
$1,200
6028
lContract Services
Maintenance Agreements (Equipment)
$7,500
Microfilm Services (35MM)
$7,000
Off -Site Storage (Vital Records)
$1,000
Election
$7,000
MIS Administration
$28,898
Computer Maintenance
$4,294
Subtotal:
$55,592
7044
ICapital Equipment
Auto Microfiche Jacket Titler
$5,528
Auto Jacket Loader
$7,741
Reader / Printer 4000
$3,031
Subtotal:
$16,300
126LFM2a.wkl
TOTAL:
$329,131
COMPUTER SOFTWARE REQUEST FORM
6rtment: Administration / City Clerk Fiscal Year: 1990/91
01-4126
126LFM1a.wkl
Totals: 4 $1,305 $1,305 $1,305 $0
Resource Center
Use Only
Account Numbers Software Identification
Serial Number/ID of I Qty I
Unit
jEstimated Cost
-----------------------------I
Computer Unit where I I
Cost
I I
Approved
Denied Date
15oftware is to be installed
-------------- --------------------------
4126-3900 lWordperfect
I --------------------------- ----- I
101d 1 1
---------
$245
I -------------- I
1 $245 1
----------
$245
-------- ---------
1 104-16-90
ABR -425 Jacket Indexer
100692 1 1
$350
1 $350 1
$350
1 104-16-90 1
Lotus 123
101d 1 1
$310
1 $310 1
$310
1 104-16-90
Upgrade: Lotus/WordperfectjOld
1 1
$400
1 $400 1
$400
1 104-16-90 1
126LFM1a.wkl
Totals: 4 $1,305 $1,305 $1,305 $0
0
•
0
COMPUTER CONTRACT SERVICES REQUEST FORM
Department: Administration / City Clerk
01-4126
Account NumberlContract
4125-6028
126LFM5a.wkl
Servicesl Justification
IIBM PC
(Color Monitors
IMono Monitors
(Diablo Printer
1HP Lazer.
IToshiba
Ilan
I
Fiscal Year
1990/91
---------------
I I
------------------
I
� --- Resource Center
I
I I
I
I Use Only
i
IQtyl
Unit
(Estimated Cost
I ------------------------------I
1 I
Cost
I
1Approvedl Denied
I Date 1
I-- I----------I-----------------I--------I----------I----------I
l 5 1
$358
1 $1,790
1 $1,790 1
104-16-90 I
13 1
$151
1 $453
1 $453 I
104-16-90 I
1 2 1
$69
I $138
I $138 1
104-16-90 I
1 1 1
$607
I $607
1 $607 1
104-16-90 1
1 1 1
$690
I $690
1 $690 I
104-16-90 1
1 1 1
$276
1 $276
I $276 I
104-16-90 I
1 1 1
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
li i
$1,200
I $1,200
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
II
I $0 1 $1,200
I I
I I
I I
I I
I I
I I
I I
I i
I I
I I
I I
I I
I I
i I
I I
I I
II 11
104-16-90 1
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I
I
I
I
I
11
------------ 1433----3-351-----
Totals: 14 $3,351 $5,154 $3,954 $1,200
•
•
CAPITAL EQUIPMENT REQUEST FORM
Department:
Administration / City Clerk
Fiscal Year
01-4126
1990/91
--ZEun---------
---------------------------------------------------------a---- 1 New/ or
I
� Estimate �
Number
-----------
I Replaces
----------
1EQUIPMENT IDENTIFICATION 6 JUSTIFICATION OF NEED
-------------------------------------------------
Cost
-----------�
4126-7044
1 New
lAutomatic Microfiche Jacket Titler
$5,528
1 New
jAutomatic Jacket Loader
$7,741
New
Reader/Printer 4000
$3,031
1261fm3a.wkl
TOTAL
$16,300
• COMPUTER HARDWARE REQUEST FORM
Department: Administration/City Clerk Fiscal Year: 1990/91
01-4126
---------------------------------------------------------------------------
I I I I I weso
Unit I I
Account Numberl Hardware Description I Mork Area 1Qty I Cost 1Estimated Cost I ----------
I Identification I Location I I I I Approved
--------------
4126-7044
I -------------------------
(Compaq 286e
I --------------
(City
I ----
Clerk 1
I ----------1---------
1 1 $2,500 1
$2,500
4126-7044
1
1Color Monitor
I
I
I
1
(City
I
I
I
1
Clerk 1
I
I
I
1 1
1 1 $500 1
I I
I I
I I
$500
E
126LFM4a.wkl
0
rce Center
Use Only
-------------------
Denied I Date I
-------- I ----------1
$2,500 104-16-90 1
1 1
$500 104-16-90 1
Totals: 2 $3,000 $3,000 $0 $3,000
Administrative SUcsJAdmin.
014150
•
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---ADMIN SERV/ADMIN
4150 1100 REGULAR PAYROLL
1 1150 1200 OVERTIME PAYROLL
1 4150 1300 PARTTIME PAYROLL
1 1150 1900 FRINGE BENEFITS
1 1150 3100 TRAVEL A MEETINGS
1 1150 3300 MILEAGE
1 1150 3900 MAINTENANCE 6 OPERATIONS
1 4150 3901 TRAINING 6 EDUCATION
1 4150 3931 VEHICLE NAINT. OPERATIONS
w
0 1 1150 3956 DUES
1 4150 3960 GENERAL LIABILITY
1 1150 6028 CONTRACT SERVICES
1 1150 7011 CAPITAL E%PEN.-EQUIPMENT
DEPARTMENT TOTAL
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
81-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
125,692 137,109 92,321 6,139 69,676 98,463 101,535 161,567 111,825
59 22 300 0 0 300 300 300 300
11,517 63 0 0 0 0 0 0 0
0 0 32,313 (32,313) 0 0 35,537 57,605 61,189
2,891 3,222 11000 0 2,069 4,000 4,300 4,300 4,300
4,624 5,757 4,000 0 1,414 4,000 4,500 4,500 1,500
4,742 3,065 3,000 0 669 3,000 3,100 3,100 3,100
0 557 0 0 0 0 0 0 0
0 0 0 0 0 0 0 0 0
156 719 625 0 125 62S 770 770 770
0 0 486 (486) 0 0 186 486 486
4,116 2,015 36,948 (3,281) 33,831 33,664 22,030 16,596 16,596
0 3,067 0 648 648 616 0 0 0
154,457 155,657 173,996 (29,296) 108,431 111,700 172,SS8 252,211 266,066
L.J
•
is
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
Department: Administrative Services Division: Administration 1990/91
01-4150
I Position Quota I Appropriations
Position I
--------------------------------I
I
I
I
$18,410 1
I $17,000 I
$17,000 I
----�-----
Classification 1Currentl
Dept. I
Mgr. I
I
Dept.
Title I
Level I
Rcmd. I
Rcmd. (Adopted I
Rcmd.
--------------------- I-------
Admin. Serv. Dir. **1
I-------
40%1
I-------
40%1
I --------
40%1
I
40%1
----------
$34,000
Mgmt. Analyst I *1
0%1
100%1
100%1
100%I
$41,600
Receptonist *1
0%1
100%1
100%1
100%1
$18,350
Administrative Secy. 1
100%1
100%1
100%1
100%1
$25,800
Office Specialist II 1
100%1
100%1
100%1
100%1
$20,000
Office Services Clerk]
100%1
100%1
100%1
100%1
$17,000
Subtotal: I
I
I
I
I
I
I
I
I
I
$156,750
Merit Contingency
Subtotal:
Fringe Benefits 1
Total: 1
I
I
Redevelopment Agency 1
Admin. Serv. Director]
Subtotal: I
Merit Contingency
Fringe Benefits
Total
I
I
I
I
I
I
20%1
1
1
1
1
1
1
1
1
I
I
I
I
I
I
20%1
1
1
1
1
1
1
1
1
1
1
1
I
]
I
I
I
I
20%1
I
I
I
I
I
I
I
1
I
I
I
I
I
I
] $7,838
$164,588
]
I $57,606
1 $222,193
I
Mgr. I Adopted
Rcmd. I Budget
1 $34,000 1 $36,820 1
1 $41,600 1 $41,020 1
1 $16,350 1 $18,750 1
1 $25,800 1 $28,360 1
1 $20,000 1 $22,320 1
1 $17,000 1 $19,230 1
1 $156,750 1 $166,500 1
I I I
1 $7,838 1 $8,325 1
I $164,588 1 $174,825 1
I I I
I $57,606 1 $61,189 1
$222,193 1 $236,014 1
I I I
I I
I I
I I
1 $17,000 1
I
I
I
$17,000 1
I
I
I
$18,410 1
I $17,000 I
$17,000 I
$18,410 I
I I
1 $850 1
I
$850 1
I
$921 1
I I
1 $5,950 1
I
$5,950 1
I
$6,444 1
I I
I $23,800 I
I
$23,800 I
I
$25,774 I
* Mgmt. Analyst I: Reflects transfer of Financial Analyst from Finance Division.
* Information C1erk:Reflects transfer of Information Clerk from Finance Division.
** Admin. Serv. Dir.: Distributed as follows: 40% Admin. Serv./Administration
40% Admin. Serv./Personnel
20% Redevelopment Agency
150LFMla.wkl
•
COST CENTER DETAIL WORKSHEET
-------------------------------------9----------------------------Numb---------------I
Department/Division: Pro ram:
Account Number:
Fiscal Year
Administrative Services Administration I
01-4150
( 1990/91
-----------------------------
Object N -o
------------------------------------------
- Description of Items & Individual Dollar
Amounts
- -----------1
I Budget I
----------
1100
I----------------------------------------------------------------
IRegular Salary
I ------------
I $174,825 I
1200
I
(Overtime
I I
I $300 1
1900
1
(Fringe Benefits
1
I $61,189 I
3100
i
ITravel & Meetings
I I
I
I League of California Cities Annual Conference
$800
I I
Parma Annual Conference
$1,000
I 1
I Prima Annual Conference
$1,250
I
GFOA Annual Conference
$1,250
I I
Subtotal:
i $4,300 I
3300
I
IMileage
I I
I
I Staff Reimbursement
$3,000
I
Use of Pool Car (Mail and Misc Meetings)
$1,500
I
I
Subtotal:
I $4,500 I
I I
3900
I
IMaintenance & Operations
� I
II
•
Office Supplies
$2,100
I I
Training and Education
$1,000
I I
I
Subtotal:
I $3,100 I
I I
3956
I
(Dues & Subscriptions
I I
I
I CMTA
$70
I
I CSMFO
$100
I I
Rotary
$300
I
Subscriptions
$300
I I
Subtotal:
$770 I
3960
I
IGeneral Liability
I i
I $486
6028
I
(Contract Services
I I
I I
I Computer Maintenace
$2,797
I
MIS Administration
$13,799
I
I
I
Subtotal:
$16,596
I I
i
I
I
I
Total:
I I
� I
I I
$266,066 I
150LFM2a.wkl
•
•
•
0
COMPUTER SOFTWARE REQUEST FORM
Department:Aministrative Services / Administration
01-4150
Fiscal Year: 1990/91
-------------I----------------
Resource Center
Use Only
Account NumbelSoftware Identification] Serial Number/ID of jQty I
Unit
jEstimatedl----------------
Computer Unit where I I
Cost
I jApprovedl Denied
Software is to be installed) I
I I
I
------------ I-----------------------
01-4150-3900 lWordperfect MAC
I--------------------------- I ---- I----------
INew Position: Analyst I 1 1
$205
I--------- I --------
1 $205 1
I-------
$205 1
)Excel
INew Position: Analyst ( 1 1
$289
1 $289 1
$289 1
Page Maker 4.0
INew Position: Analyst 1 1
$398
1 $398 1
$398 1
[SAM
INew Position: Analyst I 1
s88
I s88 1
$88
Fastback MAC
INew Position: Analyst 1 1
$125
1 $125 1
$125 1
150LFM7a.wkl
Totals: 5 $1,105 $1,105
NOTE : 1990/91 Budget = 0 ; to be funded from 1989/90 monies.
Date
X04-16-901
X04-16-9DI
X04-16-901
X04-16-901
X04-16-901
1 1
1 1
1 1
1 1
1 1
•
•
11
COMPUTER HARDWARE REQUEST FORM
Department: Administrative Services / Administration
01-4150
I
Account Numberl Hardware Description
I Identification
01-4150-70441MAC II, Monitor, Video
I Card, Keyboard
I
(MAC 1mb Memory
I
ILaserwriter II NT
150LMF4a.wkl
Fiscal Year
1990/91
I I I
I
I Resource Center
I I I
Unit
I
I
Use Only
I Work Area (Qty I
Cost
(Estimated Cost
I------------------------------
Location I I
I
I Approved
I Denied I Date
-------------- I ---- I
INew Position: I I
----------
I---------------1----------
I
I
I-------- I----------
I I
I Analyst 11 l
$4,724
I $4,724
I $4,724
I 104-16-90
I
I I I
1 Analyst 1 1 1
$350
I
1 $350
I
1 $350
I
1 104-16-90
I
I I I
1 Analyst 1 1 1
I I I
I I I
I II I
$3,424
I
I $3,424
I
I
11
I
1 $3,424
I
I
I
I
1 104-16-90
I I
I I
I I
Totals: 3 $8,498 $8,498 $8,498 $0
NOTE: 1990/91 Budget r 0; To be funded from 1989/90 monies.
Finance
01.4151
L�
BUDGET PROJECTION
WORKSHEET 10/22/90
CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-89)
.
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY
CUR FY
ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
ACCOUNT
----------------------------------------------------------------------------------------------------------------------------------------------------
ACTUAL
ACTUAL
BUDGET
ADJUST
12/31/89
ACTUAL
1990/91
NOR
1990/91
GENERAL FUND ---FINANCE
1 4151 1100
REGULAR PAYROLL
137,593
204,573
305,852
(17,119)
116,453
288,403
521,567
334,845
377,559
1 4151 1200
OVERTIME PAYROLL
0
352
1,000
0
0
1,000
1,000
1,000
1,000
1 4151 1300
PARTTIME PAYROLL
1,526
0
0
0
0
0
1,000
1,000
1,000
1 4151 1900
FRINGE BENEFITS
0
0
107,018
(107,048)
0
0
182,548
117,195
132,146
1 4151 3100
TRAVEL 6 MEETINGS
1,378
1,599
950
0
511
950
3,900
3,100
3,100
1 4151 3300
MILEAGE
353
3,008
3,500
(585)
231
2,915
3,500
3,500
3,500
1 4151 3900
MAINTENANCE 6 OPERATIONS
13,229
12,452
24,871
(216)
13,502
24,655
33,320
31,990
31,990
1 4151 3901
TRAINING 6 EDUCATION
508
248
0
0
0
0
0
0
0
0
1 4151 3956
DUES
231
254
465
0
50
465
1,100
1,100
1,100
1 4151 3960
GENERAL LIABILITY
0
0
1,335
(1,335)
0
0
1,410
1,410
1,410
1 4151 6028
CONTRACT SERVICES
43,143
11,535
103,696
27,284
111,130
130,980
99,100
109,831
109,831 -
1 4151 7044
CAPITAL E%PEN.-EQUIPMENT
34,869
4,362
2,800
5,000
0
7,000
9,000
6,000
6,000
DEPARTMENT TOTAL
232,824
301,383
$51,517
(94,349)
241,910
457,168
857,115
610,971
668,636
PROGRAM POSITION/SALARY SCHEDULE
Department: Administrative Services
Division: Finance
Fiscal Year
---------------------------------------------
4151
01- ----------------
-------
1990/91
---
I
Position
Quota
I
Appropriations
1
PositionI----
--------------------------1---------------------------------1
Classification ICurrentl
Dept. I Mgr. I
I
Dept. I
Mgr. I
Adopted I
Title I
Level I
Rcmd. I Rcmd. (Adopted I
Rcmd. I
Rcmd.
I Budget I
-------------------- I-------
Finance Officer 1
I
90$1
------- I-------
90$1
I--------
90$1
I----------
9011
I----------
$50,730 1
I
$60,730
----------- I
1 $65,450 1
Accounting Manager 1
9011
9011
9011
9011
$36,000 1
$36,000 1
$40,800 1
Financial Analyst *1
10011
10011
011
011
$41,600 1
$0
1 $0 1
Accountant I
011
20011
10011
10011
$75,660 1
$37,830 1
$38,260 1
Account Technician *1
8011
011
011
011
$0 I
$o
1 $0 1
Accts.Payable Supervl
10011
10011
10011
10011
$29,340 1
$29,340
1 $31,180 1
Account Clerks 1
40011
400%1
40011
50011
$66,000 1
$86,000
1 $132,240 1
Acct. Technicians 1
10011
20011
20011
10011
$45,000 1
$45,000
1 $26,850 1
Cashier/Acct.Clerk 1
10011
10011
10011
10011
$24,000 1
$24,000
1 $24,800 1
Senior Office Asst. 1
10011
011
011
011
$0 I
SO
I $o I
Information Clerk *1
10011
011
011
011
$0 I
$0
I $o I
Subtotal: I
l
I
I
1
$398,330 1
$318,900
1 $359,580 I
Merit Contingency I
l
I
I
I
$19,917 I
$15,945
i $17,979 I
Subtotal: I
1
I
I
I
$418,247 1
$334,845
1 $377,559 I
Fringe Benefits I
I
I
I
I
$146,386 I
$117,195
I $132,146 1
Total: l
I
l
l
l
$564,633 1
$452,040
I $509,705 I
i
Redevelopment Agencyl
I
I
I
I
I
I
I
I
I
I
I I
I I
Finance Officer I
1011
1011
1021
1
$6,750 1
$6,750
1 $7,280 1
Acct. Manager I
1011
1011
1011
1
$3,600 1
$3,600
1 $4,540 1
Account Technician 1
2011
011
011
1
$0 I
$0
I $o I
Accountant I
10011
10011
10011
1
$38,600 1
$38,600
1 $40,220
Subtotal: I
I
I
I
l
$48,950 1
$48,950
1 $52,040 1
I
Merit Contingency I
i
I
I
l
I
I
I
I
1
$2,448 1
$2,448
1 1
1 $2,602 1
Subtotal: I
I
I
I
I
$51,398 I
$51,398
1 $54,642
Fringe Benefits 1
1
I
I
i
$17,989 1
$17,989
1 $19,125
Total: 1
I
I
I
I
$69,387 1
$69,387
I $73,767
I
I
Fire District: 1
I
I
I
I
I
I
I
I
I
I
I
Account Technician 1
10011
10011
10011
l
$20,680 I
$20,680
1 $25,800
Merit Contingency I
l
I
l
l
$1,034 1
$1,034
I $1,290
Subtotal: 1
I
l
I
l
$21,714 1
$21,714
I $27,090
Fringe Benefits I
I
i
I
I
$7,600 I
$7,600
1 $9,482
Total: 1
I
I
I
I
I
I
I
I
I
$29,314 I
I
$29,314
1 $36,572
I
* Financial Analyst:
Position
transferred to
Admin. Services/Admin. Div.
* Account Technician:
* Information Clerk:
Position transferred to
Position transferred to
Admin.Services/City Treasurer
Admin. Services/Admin. Div.
Div.
lotus:151LFMlA.wkl
COST CENTER DETAIL WORKSHEET
-------------------------------------9------------i-----------------------I-----------j
Department/Division: Pro ram: Account Number: Fiscal Year
Administrative Services j Finance 1 01-4151 j 1990/91 j
--------------------------------
No.
-------------------
No.I Description of Items & Indiv
- - j---------------
1100 jRegular Payroll
1200 10vertime Payroll
1
1300 jPart-Time Payroll
1
1900 jFringe Benefits
1
3100 (Travel & Meetings
j CSAC/League Legislative Seminar
j GFOA National Conference
j CSMFO Annual Conference
j Miscellaneous Meetings
j
3300 (Mileage
I Mileage Allowance
I City Pool Vehicle
1
3900 (Maintenance & Operations
•I Office & Computer Supplies
j Printing (CAFR'S & BUDGET)
j Misc. Equipment & Furniture
Training & Education
Computer Software
3956 (Dues
CMTA
j CSMFO
j GFOA
j Local Memberships
1
3960 jOeneral Liability
6028 jContract Services
j Office & Computer Equipment Maintenance
MIS Administration Charge
Sales & Use Tax Audit
j Wang File Maintenance
i
7044 jCapital Equipment
j Compaq & Laser Printer - Accountant
j
j
lotus:151LFM2A.wkl
Subtotal
$800 j
$1,000 j
$800
$500 j
j
j
$3,000 j
$500 j
Subtotal:
$10,500
$15,000
$2,000
$2,500
$1,990
Subtotal:
$50
$150
$700
$200
Subtotal:
Budget
-----------
$377,559 j
j
$1,000
$1,000 i
j
$132,146
j
j
1
I
$31,990
$1,100
j $1,410
I I
$10,000
$82,831
$5,000
$12,000 j
Subtotal: $109,831
$6,000 $6,000
j
Total: $668,636
COMPUTER CABLING MISC REQUEST FORM
•
Department: Finance Fiscal Year: 1990/91
01-4151
------------------------------------------------------------------------------------------------------------------------------
�.
Resource Center
Use Only
Account Number Cabling 6 Misc Needs
Location/Computer Unit I Qty I
Unit JEstimated Cost
----------------------------- I
Cost I I
Approved I Denied I Date
---------------- I-----------------------
4151-3900 ICables
I----------------------- I----- I----------
Finance/Compaq 1 2 1
I-------------- I-----------
$110 1 $220 1
I --------- I------- 1
1 $220 14-16-901
SAB Switch Boxes
1
(Finance/Compaq I 1 1
1 1 1
$60 1 $60 1
1 1
1 $60 14-16-901
1 1 1
Ll
lotus: 151LFM6A.wkl
Totals: 3 $170 $280 $0 $280
Department:
Account Number
4151-3900
0
1511fm7a.wkl
COMPUTER SOFTWARE REQUEST FORM
Finance
Fiscal Year:
1990/91
01-4151
------------------------------------------------------------------------------------------------------------------------
I
I I
I
I I
Resource Center
I
I I
I
I I
Use Only
I Software Identification
I Serial Number/ID of I Qty
I Unit
(Estimated Cost1------------------------------
Computer Unit where I
I Cost
I I
Approved I Denied
I Date
I
ISoftware is to be installed)
I
I I
I
I
I--------------------------
1Word Perfect 5.1
I --------------------------- I-----
(Compaq-Acct.Sup.&Accountantl 2
I ------------
1 $250
I -------------- I----------
1 $500 1
I----------
$500 1
I-------
104-16-90
ILotus 123
1Compaq - Accountant 1 1
1 $310
1 $310 1
$310 1
104-15-90
1Harvard Graphics
(Compaq-Acct.Sup.6Accountantl 2
1 $290
1 $580 1
$580 1
104-16-90
Ilmpress
(Compaq-F.M.;Acct.Sup;Acct. 1 3
1 $200
1 $600 1
$600 1
104-16-90
so
I
I I
I
I so
I
I
I
I I
I
I so
I
I
I
I I
I
I so
I
I
I
I I
I
I so
I
I
I
1 I
I
I so
I
I
I
I I
I
I so
I
I
I
I I
I
sol
I
I
so
I
I
I
I I
I
I sol
I
I
I
I I
1
I sol
I
I
I
I I
I
I so
I
I
i
I I
I
I so
I
I
I
I I
I
I so
I
I
I
I I
I
I so
I
I
I
I I
I
I so
I
I
I
I I
I
I so
I
I
1
I I
I
I sol
I
I
I
I I
I
I so
I
I
i
I I
I
I sol
I
I
I
I I
I
I so
I
I
Totals: 8
$1,050
$1,990
$1,990 $0
Ll
Department: Finance
Account Numbers Contract Services
-------------�-------------------
-4151-6028 JIBM
INBI Sys. 64
Compaq
Printer: Dot Matrix
SPT 200
lColor Monitor
jImpact Printer
ILasar Printer
IN81 Printer
INBI 3
lotus: 151LFM5A.wkl
COMPUTER CONTRACT SERVICES REQUEST FORM
Fiscal Year: 1990/91
Totals: 22 16,311 19,050 19,050 10
Resource Center
Use Only
Justification
jQtyl
Unit
jEstimated Cost
I------------------------------
�
Cost
I
jApprovedl Denied
I Date
------------------
IMaintenance Serv.
I --- I ----------
1 3 1
$358
I ---------------
1 $1,074
-------- ----------
$1,074
I----------
104-16-90
Share 1 User
1 1 1
$340
1 1340
1 1340 1
104-16-90 1
Maintenance Serv.
12 I
1302
1 1604
1 1604 1
104-16-90
Maintenance Serv.
1 3 1
1276
1 1928
1828 1
104-16-90
Maintenance Serv.
1 5 1
$179
1 1895
1895 1
104-16-90 1
Maintenance Serv.
1 4 1
1151
1 1604
1 1604 1
104-16-90 1
Maintenance Serv.
I 1 I
13,420
1 13,420
1 13,420 1
104-16-90
Maintenance Serv.
I 1 1
1690
1 1690
1 1690 (
104-15-90 1
Maintenance Serv.
1 1 1
1308
1 13D8
1 1308 1
104-16-90
Maintenance Serv.
11 1
$287
1 $287
1 1287 1
104-16-90 1
Totals: 22 16,311 19,050 19,050 10
COMPUTER HARDWARE REQUEST FORM
Department: Finance 40
01-4151
Account Numberl Hardware Description I Work Area
1 Identification I Location
-------------- I ------------------------- I -----------
4151-?044 1Compaq - Accountant (finance
(Color Monitor -Accountant (finance
ILasar Printer -Accountant (Finance
I I
I I
I I
I I
I I
I I
I I
I I
I �
• I I
I I
I I
I I
I I
I I
I I
I I
151LMF4.wkl
•
Totals:
Fiscal Year:
I I
1 Unit
(Qty I Cost
I I
I 1 I $2,500
1 1 I $500
I 1 I $3,000
$6,000
1990/91
I I Resource Center 1
1 I Use Only 1
(Estimated Cost I_ I
-----------------------------
Approved I Denied I Date I
--------------- I ---------- I -------- I ----------
1 $2,500 I $2,500 I 104-16-90 I
1 $500 1 $500 I 104-16-90 1
1 $3,000 1 $3,000 1 104-16-90 1
I I I I I
I I I I I
I I I I I
I I I I I
I I I I I
I I I I II
I I I II I
I I I I I
I I I I I
I I I I
I I I I
$6,000 $6,000 $0
Licensing
01.4152
a
N
9
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---LICENSING
1 4152 1100 REGULAR PAYROLL
1 4152 1200 OVERTIME PAYROLL
1 4152 1300 PARTTIME PAYROLL
1 4152 1900 FRINGE BENEFITS
1 4152 3100 TRAVEL 6 MEETINGS
1 4152 3300 MILEAGE
1 4152 3900 MAINTENANCE 6 OPERATIONS
1 4152 3901 TRAINING 6 EDUCATION
1 4152 3956 DUES
1 4152 3960 GENERAL LIABILITY
1 4152 6028 CONTRACT SERVIC
1 4152 7044 CAPITAL EXPENDITURES
DEPARTMENT TOTAL
0 0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
59,281
59,412
68,775
4,127
31,624
72,902
106,050
88,383
102,155
0
0
500
0
0
500
0
0
0
0
887
1,000
600
1,582
1,600
0
0
0
0
0
24,071
(24,071)
0
0
37,118
30,934
35,754
640
070
1,100
585
1,064
1,685
1,700
1,300
1,300
175
54
200
0
152
200
5,000
2,000
2,000
4,568
5,355
9,500
3,788
6,299
13,284
10,100
10,700
10,700
0
79
0
0
0
0
0
0
0
30
40
55
0
40
55
70
70
70
0
0
359
(359)
0
0
519
519
519
22,235
24,703
0
9,640
0
40,000
35,596
35,596
3,361
1,537
0
0
0
19,000
21,000
21,000
90,290
92,937
105,560
(15,338)
50,402
90,226
220,157
191,502
210,094
Is
0
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
Department: Administrative Services
Division: Licensing
1990/91
--------------------
------------------
-----
Position Quota
--- ----- ---------- ---------
Appropriations
1
PositionI--------------------------------j-------------------------------1
Classification
1Currentl
Dept. I
Mgr. I
I Dept. I
Mgr.
Adopted 1
Title
I Level I
Rcmd. I
Rcmd. (Adopted I Rcmd. I
Rcmd. I
Budget 1
1
--------------------1-------
Business Lic. Supv.
I-------
1 0%1
I-------
0%1
I--------
0%1
I--------- I----------
0$1 $0 1
I----------
SO I
SO I
Business Lic. Tech.
1 200%1
200%1
200$1
100$1 $50,000 1
$50,000 1
$32,450 1
Business Lic. Clerk
1 100%1
100%1
100%1
100%1 $21,675 1
$21,675 1
$24,180 1
Sr. Bus. Lic. Tech.
I 0%I
100%1
0%1
100$1 $30,000 1
$0
1 $27,660 1
Technician/Bus.Lic.*1
0%1
0%1
50%1
50%1 $0 1
$12,500
1 $13,000 1
Subtotal:
I I
I
I
1$101,675 1
$84,175
I $97,290 1
Merit Contingency
1 I
I
I
I $5,084 1
$4,208
I $4,865 1
Subtotal:
I I
I
(
1$106,759 1
$88,383
1 $102,155 1
I I
Fringe Benefits
I I
I I
I
I
I
I
I I
I $37,366 1
$30,934
1 $35,754 1
Subtotal:
1 1
I I
I
I
I
I
1$144,125
I I
1 $119,317
1 $137,909
I I
TOTAL:
1 I
I
I
1$144,125 1
$119,317
1 $137,909
I I I I I I
I I I I I I
I I I I I I
* Position shared 50% with Purchasing Division (acct. 401-4153).
I I I I I I
I I I I I I
I I I I I I
I I I I I I
I I I I I I
I I
I I
I I
I I
I I
152LFMla.wkl 1 1
COST CENTER DETAIL WORKSHEET
---------------------------i----------------------'-----------------------------------
Department/Division:
Program:
Account Number:I
Fiscal Year I
Administrative Services I
Business Licensing 1
01-4152
1 1990/91 1
----------------------------------------------------------------------------------------
Object No.1
Description
of Items & Individual
Dollar Amounts
I
I Budget I
----------
1100
I----------------------------------------------------------------I
IRegular Salary
------------
1 $102,155 I
1900
I
(Fringe Benefits
I $35,754
I I
3100
(
ITravel & Meetings
I
(Membership & Dues
I
1
$70
3960
I CMBTA Quarterly
Meetings
$200
1
I
(Contract Services
CMBTA Conference
$1,100
I
$20,000
I
Subtotal:
I $1,300 1
3300
IMileage
1
Subtotal: I
I I
7044
I Use of City Pool
I
Vehicle
1 $2,000
I I
3900
IMaintenance & Operations
I
I Postage
$4,500
Office Supplies
$2,200 1
1 Printing &-Forms
$3,000
(Training & Education
$1,000 1
Subtotal:
$10,700
3956
I
(Membership & Dues
I
1
$70
3960
I
1General Liability
i
1
$519
6028
I
(Contract Services
I
I Rapid Data/Computer Maintenance
$20,000
I MIS Admin Charge
$16,596
1
Subtotal: I
$36,596
7044
I
JCapital Expenditures
I
I
P.C. Network
$16,000 I
Licensing Software
$5,000 I
I
I
I
I
I
Subtotal: I
I
I
i
I
$21,000
I
I
I
i
1
I
I
I
I
I
Total: i
$210,094
152LFM2a.wkl
00
Department: Admin Sery/Licensing
Account Number) Contract Services
- ---- - ---- -------------------
4152-6028 IIBM PC
0
152LFM5a.wkl
COMPUTER CONTRACT SERVICES REQUEST FORM
I
Justification
------------------
IMaintenance Serv.
Fiscal Year: 1990/91
Resource Center
Use Only
IQtyl Unit $Estimated Cost I ------------------------------ I
Cost I jApprovedl Denied I Date
--- --------------------------- -------- ---------- I ----------
4 $358 $1,432 $1,432 104-16-90
------------------------------------------------------------------------------------------------------------------------
Totals: 4 $358 $1,432 $0 $1,432
•
^00;
Department: Admin Services/Licensing
Account Numberl Hardware Description
--i-----Identification--
4152-1044 (Personal Computer
II
I
152LFM4a.wkl
COMPUTER HARDWARE REQUEST FORM
I
1 Work Area
1 Location
(Licensing
II
I
I
I
I
Fiscal Year: 1990/91
----------------------------------------- Res--
ource Center 1
Unit I 1 Use Only I
IQtY I Cosx (Estimated Cost 1------------------------------I
I I I I Approved I Denied I Date 1
1----1----------1---------------1----------1-------- I ----------
1 41 $4,0001 $16,000 l $16,0001 104-16-90 1
I I I I I 1 I
I I I I I I I
I I I I I I I
I I I I I I I
I I I I I I I
I I I I I I I
I I I I I I I
I I I I I I I
I I I I I I I
Totals: 4 $4,000 $16,000 $16,000 $0
COMPUTER SOFTWARE REQUEST FORM
Administrative Services
Department: - Business Licensing --- -- Fiscal Year:- 1990/91
-------------- ------------------
-------------------------------------------------
I I I I I I Resource Center l
I I I I I I Use Only I
Account Numberl Software Identification I Serial Number/ID of I Qty I Unit (Estimated Costl_ I
-------------------------
I I Computer Unit where I I Cost I (Approved 10eniedl Date I
I (Software is to be installedl I I I I I I
-------------- I -------------------------- I --------------------------- I ----I--------I--------------I---------I------I---------1
01-4152-7044 leus. Licensing Software lBus.Lic.Div.: 4 New PC's I 1 1 $5,000 1 15,000 1 $5,000 1 104-16-90 1
I I I I I I I I i
I I I I I i I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
• I I I I I I I I I
f I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
152LFM7a.wkl I I I I I I I I
I I I I I I I I I
Totals: 1 15,000 15,000 15,000 10
cr
Purchasing
01-0153
r00
i
BUDGET PROJECTION MORNSHEET 10/22/90
(ACTUALS TO 12/31/09)
ACCOUNT
GENERAL FUND ---PURCHASING
1 4153 1100 REGULAR PAYROLL
1 4153 1200 OVERTIME PAYROLL
1 4153 1900 FRINGE BENEFITS
1 4153 3100 TRAVEL 6 MEETINGS
1 4153 3300 MILEAGE
1 4153 3900 MAINTENANCE 6 OPERATIONS
1 4153 3956 DUES
1 4153 3960 GENERAL LIABILITY
1 4153 6028 CONTRACT SERVICES
1 4153 7044 CAPITAL EXPEND. -EQUIPMENT
1 4153 7045 CAPITAL EXPEND. -VEHICLES
DEPARTMENT TOTAL
•
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-00 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL 1990/91 MDR 1990/91
61,933
74,403
80,199
4,812
37,632
85,011
107,720
103,656
116,561
0
79
1,000
0
0
1,000
1,000
1,000
1,000
0
0
28,070
(28,070)
0
0
39,587
36,200
40,796
1,532
1,005
1,400
0
756
1,400
2,100
2,100
2,100
197
27
1,000
0
0
1,000
1,000
11000
11000
1,551
4,035
11,525
0
1,345
3,500
11,450
11,450
11,450
80
45
240
0
0
240
240
240
240
0
0
455
(455)
0
0
455
455
455
5,250
8,894
31,294
(3,400)
29,061
27,886
31,294
24,894
24,694
15,464
1,996
15,000
0
1,905
3,000
5,450
1,800
1,800
0
0
0
0
92,007
90,485
170,103
(27,121)
70,699
123,037
200,296
182,875
200,296
0
•
11
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
Department: Administrative
Services
Division:
Purchasing
1990/91
01-4153
---------------------------------------------------------------------------------------
I
Position Quota
1
Appropriations
1
PositionI
-1
Classification
---------------------------------1----`------------------------
ICurrentl
Dept. I
Mgr. I
I
Dept.
I Mgr.
I Adopted I
Title
I Level I
Rcmd. I
Rcmd. I
Adopted I
Rcmd.
I Read.
I Budget I
K ----------------------
g Agent
I ------- I
1 100%1
------- I
100%1
-------1---------1----------
100%1
100%1
$41,640
I---------
1 $41,640
I---------- I
1 $46,470 1
Buyer
1 100%1
100%1
100%1
100%1
$24,780
1 $24,780
1 $29,980 1
Jr. Buyer
1 0%1
100%1
0 1
0 1
$21,500
1 0
1 0 1
Office Specialist 111
100%1
100%1
100%1
100%1
$19,800
1 $19,800
1 $21,560 1
Technician/Bus.Lic.
1 0%1
0%1
50%1
50%1
$0
1 $12,500
1 $13,000 1
Subtotal:
1
i
1
1
$107,720
I1 $98,720
1 $111,010 1
Merit Contingency
1 I
1
1
1
$5,386
1 $4,936
1 $5,551 1
Subtotal:
I I
I
1
1
$113,106
1$103,656
1 $116,561 1
Fringe Benefits
I I
I
1
1
$39,587
1 $36,280
1 $40,796 1
Total:
I I
I
1
1
$152,693
1$139,936
1 $157,357 1
• COST CENTER DETAIL WORKSHEET
------------------
----------------I--- --------
------ I--------
-----------------------------
Department/Division: Program: Account Number:lFiscal Year
Administrative Services Purchasing 01-4153 1 1990/91 1.
---------------------------------
Object -No.1
--
-----------
Description of Items & Individual Dollar
Amounts
Budget
-----------
1100
I ----------------------------------------------------------------
JRegular Salary
-----
i
------�
$116,561
1200
10vertime
$1,000
1900
lFringe Benefits
$40,796
3100
ITravel & Meetings
CA Assn. of Pub. Pch. Officers. Conf.
$1,800
Local Assn. of P.P.O. Meetings
$300
Subtotal:
$2,100
3300
IMileage
Staff Mileage Reimbursement
$500
Use of Pool Vehicles
$500
Subtotal:
$1,000
3900
IMaintenance & Operations
Office Supplies
$1,050
Printing Forms, P.O.s, etc.
$7,875
Advertising Bid Notices
$1,500
Thomas Register
$225
.
Postage
$100
Training & Education
Professional Workshops, Computers, etc.
$700
Subtotal:
$11,450
3956
IDues
CA Assn. of Public Purchasing Officials
$180
National Assn. of Purchasing Officials
$60
Subtotal:
$240
3960
JGeneral Liability
$455
6028
JEquipment Maintenance, WANG, NBI
$3,418
PMIS Administration
$21,476
Subtotal:
$24,894
7044
ICapital Outlay
Bar Coding Machine/Software
$1,800
Subtotal:
$1,800
�
$200,296 �
Total:
kl
COMPUTER CONTRACT SERVICES REQUEST FORM
is
Fiscal Year
Department: Administrative Services Division: Purchasing 1990/91
-----------------------------------------------
I
I
I
I Resource Center 1
I
I
I I
I Use Only I
Account Numberl Contract Services
I Justification
1Qty1
Unit
1Estimated Cost
1 -------------------------- 1
I
I
I I
Cost
I
1ApprovedlDeniedl Date 1
--------- - ---I---------------------
01-4153-6028 11BM Computer
I ------------------
IMaintenance
I ---I ----------
1 3 1
$358
I-----------------
1 $1,074
I--------I------ I ----------I
1 $1,074 1 104-16-90 1
1NB1 1 201
IMaintenance
1 1 1
$483
1 $483
1 $483 1 104-16-90 1
(Printers
IMaintenance
1 2 1
$276
1 $552
1 $552 1 104-16-90 1
1Sys 64/Share 3 Users
IMaintenance
1 1 1
$1,020
1 $1,020
1 $1,020 1 104-16-90 1
1Mono Monitor
IMaintenance
1 2 1
$69
1 $138
1 $138 1 104-16-90 1
1Color Monitor
I
I
I
I
I
I
I
IMaintenance
I
I
I
I
I
I
I
1 1 1
I I
I I
I I
I I
I I
I I
I I
$151
1 $151
I
I
I
I
I
I
I
1 $151 1 104-16-90 1
I I I I
I I I I
I I I I
I I I I
I I I I
I I I I
I I I I
•
153LMF5b.wki
--------------------------------------------------------------------------------------------------------------------
Totals: 10 $2,357 $3,418 $3,418 $0
0
CAPITAL EQUIPMENT REQUEST FORM
• Department: Administrative Services Division: Purchasing
01-4153
•
J
Account I New/ or
Number I Replaces JEquipment Identification b Justification of Need
4153-7044 IRepl. lCompaq Deskpro 286 w/Color
New jBar Coder Machine/Software
New IToshiba Printer, Model :341
1 1
153LFM3b.wk
Total:
Fiscal Year
1990/91
Estimate �
Cost I
$0 Idenied
$1,800
$0 Idenied
$1,800
r
Li
COMPUTER HARDWARE REQUEST FORM
Fiscal Year
Department: Administrative Services Division: Purchasing 1990/91
---------------------------------------------------------------------------------------------------------------------
I
( I I
I I
Resource Center
I
1
Unit
I I
Use Only 1
Account Numberl Hardware Description
I York Area ]Qty I
Cost
]Estimated Cost
I_ 1
-----------------------------
1 Identification
I Location I I
I I
Approved I Denied I Date 1
----- -------I-------------------------I--------------I----I----------I---------------I----------I--------I----------I
/153-1044 (Compaq Deskpro 286
(Purchasing I 1 1
$3,000
1 $3,000 1
1 $3,000 104-16-90 1
Iw/Color Monitor
I I I
I
I
I I I I
I I I
I
(Toshiba Printer, 4341
I I I
(Purchasing 11 1
$650
I
1 $650
1 1 $650 104-16-90 1
I I
I
]Bar Coding Machine
1 I 1
I I I
I I
I
I
I I I I
1w/Software
I
(Purchasing 1 1 1
I I I
$1,800
1 $1,800 1
I I
$1,800 1 104-16-90 1
I I I
153LFM4b.wk1
Totals: 3 $5,450 $5,450 $1,800
$3,650
Risk Management
01.4154
•
0
26,460
•
BUDGET PROJECTION WORKSHEET
10/22/90 CITY OF RANCHO CUCAMONGA
57,720
29,820
(ACTUALS TO 12-31-89)
0
0
0
0
0
DEPT COUNCIL
0
0
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST CITY APPROVED
0
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91 MGR 1990/91
0
GENERAL FUND ---RISK MANAGEMENT
1 4154 1100 REGULAR PAYROLL
1 4154 1100 OVERTIME PAYROLL
1 4154 1900 FRINGE BENEFITS
1 4154 3100 TRAVEL 6 MEETINGS
1 4154 3300 MILEAGE
1 4154 3900 MAINTENANCE 6 OPERATIONS
1 4154 3901 TRAINING 6 EDUCATION
1 4154 3956 DUES
1 4154 3960 GENERAL LIABILITY
1 4154 6028 CONTRACT SERVICES
1 4154 7044 CAPITAL EXPEND. -EQUIPMENT
DEPARTMENT TOTAL
20,220
23,914
26,460
1,468
12,086
27,928
57,720
29,820
35,280
0
0
0
0
0
0
0
0
0
0
0
9,261
(9,261)
0
0
20,202
10,437
11,348
1,616
3,399
2,900
0
569
2,900
5,900
2,800
2,800
3
0
500
0
0
500
700
700
700
2,966
1,979
6,300
(216)
788
6,084
9,550
8,300
8,300
85
1,253
0
0
300
0
0
0
0
347
240
470
0
266
470
620
620
620
0
0
415
(415)
0
0
459
459
459
225
13,803
31,316
(552)
16,927
30,764
29,908
28,198
28,798
2,290
797
3,500
0
3,398
3,500
4,500
0
0
27,752
45,385
81,122
(8,976)
34,335
72,146
129,459
81,934
89,305
•
•
L_J
PROGRAM POSITION/SALARY SCHEDULE
Department: Administrative Services Division: Risk Management Fiscal Year
01-4154 1990/91
------------------------------------------------------------------------------------
Position Quota I Appropriations
PositionI-------------------------------- -----------------------------�
Classification jCurrentj Dept. I Mgr. I Dept. I Mgr. I Adopted
Title I Level I Rcmd. I Rcmd. jAdopted I Rcmd. I Rcmd. ( Budget
-------------------- ------- I ------- I ------- I -------- I --------- I -------- I ----------
Personnel/Risk Mgr 0 1 50%1 0%1 0%1 $30,000 1 $0 1 SO
Risk Mgmt. Analyst 1 100$1 200$1 100$ 100%1 $50,400 1$28,400 1 $33,600 1
Subtotal: 1 $80,400 1$28,400 1 $33,600 1
Merit Contingency j j j II 1 $4,020 �1 $1,420 j $1,680 j
Subtotal: 1 $84,420 1$29,820 1 $35,280
Fringe Benefits 1 $29,547 1$10,437 1 $12,348
Total: 1$113,967 1$40,257 1 $47,628
154LFMia.wkl
1
3900 IMaintenance S Operations
I Office Supplies
I Safety Supplies, First Aid Kits
I Printing
I Posters/Pamphlets
I
(Training S Education
I Professional Risk Management Seminars
• I City Sponsored First Aid 6 CPR
1 National Safety Council Film Rental
3956 1Dues & Subscriptions
I Public Agency Risk Managers Assn.
1 Public Risk 6 Insurance Management Assn.
I Risk Management Magazine
I
1
3960 1General Liability
1
6028 (Contract Services
1 Carl Warren 6 Company
1 City Wide Employee Assistance Program
I Update of Public Works Maint.Safety Manual
1 Recharge of City Owned Fire Extinguishers
I Computer Maintenance
1 MIS Administration
1
1
1
I
I
I
154LFM2a.wl
• 1
I I
I I
(1,100 I I
$2,000 1 I
$1,000 I I
$500 I 1
I I
I I
$700 I 1
$2,000 1 1
$1,000 I 1
Subtotal: 1 $8,300 I
I I
$20 1 1
$400 1
$200 I 1
Subtotal: 1 $620
I �
1 $459
1 �
$8,000 I
$10,000 1
$1,000 I
$1,500 I
$719 1
$7,569 1
Subtotal: 1 $28,798
I
I
I
I
Total: 1 $89,305
I
COST CENTER DETAIL WORKSHEET
-----------------------------------------------------------I----------count--------------------
Department/Division: 1 Program: I
Account Number:IFiscal
Yearl
Administrative
Services I Risk Management 1
01-4154
1 1990/91 I
----------------------------------------------------------------------------------1-----------
Object No.1
Description of Items S Individual Dollar Amounts
I Budget I
I
----------
1100
I----------------------------------------------------------------------
(Regular Salary
-----------
1 $35,280 I
I 1
1900
I
(Fringe Benefits
I $12,348
I I
3100
I
11'ravel S Meetings
I 1
1 Public Agency Risk Mgr Assn Annual Conference
$1,500
1 I
1 Local Public Agency Risk Managers Assn Mtgs.
$300
1
I Risk Management Basic/Advanced Training Tucson
$1,000
1 1
1
Sutotal:
I $2,800 1
3300
(Mileage
I Staff Reimbursement/Use of City Vehicle
1 $700 I
1
3900 IMaintenance S Operations
I Office Supplies
I Safety Supplies, First Aid Kits
I Printing
I Posters/Pamphlets
I
(Training S Education
I Professional Risk Management Seminars
• I City Sponsored First Aid 6 CPR
1 National Safety Council Film Rental
3956 1Dues & Subscriptions
I Public Agency Risk Managers Assn.
1 Public Risk 6 Insurance Management Assn.
I Risk Management Magazine
I
1
3960 1General Liability
1
6028 (Contract Services
1 Carl Warren 6 Company
1 City Wide Employee Assistance Program
I Update of Public Works Maint.Safety Manual
1 Recharge of City Owned Fire Extinguishers
I Computer Maintenance
1 MIS Administration
1
1
1
I
I
I
154LFM2a.wl
• 1
I I
I I
(1,100 I I
$2,000 1 I
$1,000 I I
$500 I 1
I I
I I
$700 I 1
$2,000 1 1
$1,000 I 1
Subtotal: 1 $8,300 I
I I
$20 1 1
$400 1
$200 I 1
Subtotal: 1 $620
I �
1 $459
1 �
$8,000 I
$10,000 1
$1,000 I
$1,500 I
$719 1
$7,569 1
Subtotal: 1 $28,798
I
I
I
I
Total: 1 $89,305
I
�J
I�
n
�J
COMPUTER CONTRACT SERVICES REQUEST FORM
Fiscal Year
Department: Administrative Services Division: Risk Management 1990/91
----------------------------------------
-------------------------------------------------i---i- Resource Center
Use Only
Account lContract Services Justification ]Qtyl Unit jEstimatedl------------------------�
Number I I I Cost Cost jApprovedIDeniedl Date
-----------I------------------I------------------I-- I------ --------- I -------- I------I--------
�
01-4154-60281IBM PC MaintenancelCurrent Equipment 1 2 1 $302 $604 1 $302 1 $302 104-16-901
Printer ICurrent Equipment I 1 1 $276 $276 1 $276 1 $0 104-16-901
Color Monitor ICurrent Equipment I 1 1 $151 $151 1 $151 1 $0 104-i6-901
154LFM5a.wk1l
Totals: 4 $1,031 $729 $302
City Treasurer
014155
.ldlm�
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-09)
10/22/90
ACCOUNT
GENERAL FUND ---CITY TREASURER
1 4155 1100 REGULAR PAYROLL
1 4155 1900 FRINGE BENEFITS
1 4155 3100 TRAVEL 6 MEETINGS
1 4155 3900 MAINTENANCE 6 OPERATIONS
1 4155 3956 DUES
1 4155 6028 CONTRACT SERVICES
DEPARTMENT TOTAL
9
0 •
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 89-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
603
606
612
0
278
612
25,812
31,692
28,844
0
0
0
0
9,034
11,092
10,095
683
20
300
D
240
300
1,400
1,200
1,200
0
16
0
0
0
0
0
0
0
0
25
100
100
0
200
100
100
100
0
0
0
785
785
0
1,286
667
1,012
100
518
1,111
36,346
44,869
41,024
0
Redevelopment Agency
Accounting Tech * 1 20%1 20$1
Merit Contingency
Subtotal:
Fringe Benefits
Total / Redevelopments
* Position transfered
from the Finance Division
therefore, this does not
add a new position
155LFMIa. wk1
20%1 20%1 $5,600 (
$5,600 1
PROGRAM
POSITION/SALARY SCHEDULE
$280 1
$336
1 1 $5,880 1
$5,880 1
$7,056
1 1 1
1 1 $2,058 1
1
$2,058 1
Fiscal Year
Department: Administrative Services
•
Division: City Treasurer
1990/91
01-4155
----------------------------------------------------------------------------------------
Position Quota Appropriations
Position----
---------
----------------�-------------------
Classification
jCurrentj
Dept. I
Mgr. I I Dept.
I Mgr.
-----
I Adopted
Title
Level I
Rcmd. I
Rcmd. jAdopted I Rcmd.
I Rcmd.
I Budget
------------------------
Treasurer
------- I
100$1
------- I
100$
------- I -------- I --------
100$ 100$ $700
I --------
1 $612
I ----------
( $620
Accounting Tech *
1 80$1
80$1
80$1 80$1$24,000
1$24,000
1 $26,880
Merit Contingency
1
(1
1 1
1 $1,200
1
1 $1,200
1 1
1 $1,344
Subtotal:
1 1$25,900
1$25,812
1 $28,844
Fringe Benefits
$9,065
$9,034
$10,095 1
Total / General
Fund:1 I
1
1 1$34,965
1$34,846
1 $38,939
0
Redevelopment Agency
Accounting Tech * 1 20%1 20$1
Merit Contingency
Subtotal:
Fringe Benefits
Total / Redevelopments
* Position transfered
from the Finance Division
therefore, this does not
add a new position
155LFMIa. wk1
20%1 20%1 $5,600 (
$5,600 1
$6,720 1
$280 1
$280 1
$336
1 1 $5,880 1
$5,880 1
$7,056
1 1 1
1 1 $2,058 1
1
$2,058 1
1
$2,470
1 1 $7,938 1
1 1 1
1 1 (
1 1 1
$7,938 1
(
1
1
$9,526
1
1
0
C�
COST CENTER DETAIL WORKSHEET
-------------------
Department/Division: I Program: Account Number:lFiscal Yearl
Administrative Services I City Treasurer 1 01-4155 1 1990/91 I
------------------------------------------------------------------------------------II
Object No.1 Description of Items & Individual Dollar Amounts Budget
---------- I---------------------------------------------------------------- I -----------
1100 (Regular Payroll I $28,844 1
1900 1l Fringe Benefits 1I $10,095 I
3100 ITravel & Meetings I I
I California Municipal Treasurer's Association $300 I
Miscellaneous Meetings $100 I I
League of Calif Cities Annual Conf $800 I I
Subtotal: $1,200 I
I I
3956 1Dues
I California Municipal Treasurer's Association I $100 1
I I i
I i
I I I
6028 (Contract Services I
I Computer Maintenance (IBM PC, color monitor, and I I
I dot matrix printer) $785 I
Subtotal: $785
I I I
1 I I
I I I
1 i I
1 I I
I I
1 I I
i
I
I
I I I
1 I I
155LFM2a.wk1
I i
1 I I
Total: $41,024
I I I
0
COMPUTER CONTRACT SERVICES REQUEST FORM
Department: Administrative Ser. Division: City Treasurer Fiscal Year
01-4155 1990/91
Account lContract Services I Justification
Number
------------ I ------------------ I ------------------
01-4155-60281IBM IMaint./Acct. Tech.
]Color Monitor IMaint./Acct. Tech.
10ot Matrix PrinterlMaint./Acct. Tech.
I
155LFM5a.xkll
Totals:
Resource Center
Use Only
Qtyj Unit lEstimatedl------------------------I
Cost I Cost jApprovedl0enied I Date
--- I ------- I--------- I -------- I ------- I -------
1 $358 1 $358 1 $358 1 $0 14/16/901
1 $151 $151 1 $151 1 $0 14/16/901
1 1275 1276 1 $276 1 10 14/16/901
1785 1185 f0
Personnel
01.4156
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---PERSONNEL
4156 1100 REGULAR PAYROLL
4156 1200 OVERTIME PAYROLL
4156 1900 FRINGE BENEFITS
4156 1901 NEN POSITION CONTINGENCY
4156 3100 TRAVEL 6 MEETINGS
4155 3300 MILEAGE
4156 3900 MAINTENANCE 6 OPERATIONS
4156 3931 VEHICLE MAINT.S OPERATIONS
4156 3956 DUES
N 1 4156 3960 GENERAL LIABILITY
1 4156 6028 CONTRACT SERVICES
1 4156 7043 CAPITAL EXPEND. -BUILDING
1 4156 7044 CAPITAL EXPEND. -EQUIPMENT
DEPARTMENT TOTAL
0 •
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
83,878 66,376 107,350 6,441 34,238 68,000 155,161 115,542 127,754
200 7 500 0 8 500 500 500 500
0 0 37,573 (37,573) 0 0 57,806 40,439 44,714
35,312 26,557 20,000 (7,000) 1,677 13,000 26,000 26,000 26,000
5,011 1,465 3,100 0 1,239 3,100 3,450 3,450 3,450
2,776 659 500 0 91 500 500 500 500
19,764 13,134 14,910 7,000 10,154 21,910 29,400 26,600 28,600
0 0 0 0 0 0 0 0 0
35S 270 1,140 0 180 1,140 1,380 1,380 1,380
0 0 682 (682) 0 0 500 600 600
24,836 20,354 48,546 20,472 45,013 55,000 25,218 39,447 39,447
0 0 0 0 0 0 0 0 0
0 0 1,000 0 0 1,000 0 0 0
172,132 128,822 235,301 (3,342) 92,608 164,150 309,915 256,450 272,945
•
•
•
PROGRAM POSITION/SALARY SCHEDULE
Department: Administrative Services Division: Personnel Fiscal Year
Position
Mgr. I
Classification (Current)
Title I
Level I
--------------------1-------1
Admin.Serv. Director)
40$I
Personnel/Risk Mgr. 1
0$1
Personnel Analyst I 1
100$1
Benefits Technician 1
100$1
Personnel Clerk I
100$1
Subtotal: 1
I
I
Merit Contingency I
I
1
Subtotal: I
I
I
Fringe Benefits 1
I
1
Total: I
I
FIRE DISTRICT
Personnel Clerk
Subtotal: I 1
I I
Merit Contingency 1 1
Subtotal: I 1
I I
Total: I I
I I
I I
I I
I �
1 I
I I
I I
I I
I I
� I
124LFMla.wkl / 156LFM1a.wkl I
01-4156 1990/91
Position Quota I Appropriations
Dept. I
Mgr. I
I Dept.
I Mgr.
I Adopted I
Rcmd. I
Rcmd. (Adopted I Rcmd. I
Rcmd.
I Budget I
------1-------1--------
40$1
40$1
I ---------
40$1 $34,000 1
I ----------1----------1
$34,000
1 $36,820 1
50$1
0$1
0$1 $30,000
1 $0
I $0 I
100$1
100$1
100$1 $32,140 1
$32,140
1 $35,860 1
100$1
100$1
100$1 $20,632
1 $21,950
1 $25,290 1
200$1
100$1
100$1 $41,264 1
$21,950
1 $23,700 1
1
1
1$158,036
1 $110,040
1 $121,670 1
I
I
I I
$7,902
1 $5,502
I I
1 $6,084 1
1
1
1$165,938 1
$115,542
1 $127,754 1
I
I
I
$58,078 I
I
$40,440
I I
1 $44,714 I
I
I
I
1
I
I
1$224,016
I
I I
1 $155,982
I
1 $172,467 1
I I
I I
$0
$7,500 1
$8,320
$7,500 I
$8,320
I
$375 1
$416
$7,875 I
$8,736
$7,875 1 $8,735
40
•
1
11
L,
•
COST CENTER DETAIL WORKSHEET
Department/Division: Program:
Account Number:IFiscal Year I
Administrative Services Personnel
01-4156
1990/91 1
----------------------------------------------------------------------------I------------�
Object No.1
Description of Items & Individual Dollar
Amounts
Budget
----------
1100
I-----------------------------------------------------------------
IRegular Salary
------------
$127,754 I
1200
10vertime
$500
1900
1
(Fringe Benefits
$44,714 I
1901
INew Position Contingency
$26,000
3100
(Travel & Meetings
I CALPELRA
$900
I MMASC Conference
$350
League of California Cities Labor Institute
$900
Personnel Development Seminar
$100
Personnel/Training Seminars
$500
Local Personnel Meetings
$700
Subtotal:
$3,450
3300
IMileage
I
I Staff Reimbursement/Use of City Pool Vehicle
1
$500 1
3900 IMaintenance & Operations
I Personnel/Legal Advertising
I rates re classified ads)
I Pre -Employment Physicals
Recruitment & Examination
Oral Review Boards
New Employee Supplies
Printing
Publications
Office Supplies
Misc Supplies
(reflects increased
3956 (Dues & Subscriptions
CALPELRA (Labor Relations Association)
Municipal Mgmnt. Asst. of So. Calif.
American Society for Public Admin.
International Personnel Management Assoc
I Fair Labor Standards Act Handbook
3960 (General Liability
5028 (Contract Services
Personnel Orientation Video
1 Employee Service Awards
1 Liebert Personnel Consortium
Personnel Consultations
I MIS Administration
Contract Maintenance / Computers
I
124LFM2a.wkl / 156LFM2a.wkl
$15,000
$5,000
$2,000
$1,000
$800
$2,000
$800
$1,200
$000
Subtotal:
I
I
I
I
I
$28,600 I
$150 1
$80 I
$150 I
$400 I
$600 I
Subtotal: 1 $1,380
I
I $600
$15,000 1
$6,000 I
$3,000 I
$3,000 I
$10,375 1
$2,072
Subtotal: I $39,447
PERSONNEL DIVISION TOTAL:1 $112,945
•
•
r
COMPUTER CONTRACT SERVICES REQUEST FORM
Department: Adminstrative Services Division: Personnel Fiscal Year
01-4156 1990/91
------------------------------------------------------------------------------------------------
I I I I I I Resource Center I
1 I I Use Only 1
Account I Contract Services IJustitication iQtyi Unit (Estimatedl------------------------I
Number I I I I Cost I Cost IApprovedlDenied I Date I
------------ I--------------------- I-------------- I ---1------- I --------- I -------- I------- I------- I
01-4156 60281NB1 Term Maintenance (Current Equip.( 2 1 $276 1 $552 I $276 1 $276 14-16-901
(Printer Maintenance (Current Equip•1 1 1 $607 1 $607 1 $607 1 $0 14-16-901
INBI Mork Station INew Position 1 1 1$2,000 1 $2,000 1 $0 1$2,000 14-16-901
(IBM PC 15162-1024514 1 1 1 $358 1 $358 1 $358 1 $0 14-16-901
1Color Monitor I - 1 1 1 $151 1 $151 1 $151 1 $0 14-16-901
ISystem 64 IShare 2 Users I 1 1 $680 1 $680 1 $680 1 $0 14-16-901
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
124LFM5a.wkl 156LFMSa.wk1
I
Totals: 7 $4,348 $2,072 $2,276
City Facilities
01.4245
•
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12/31/89)
ACCOUNT
GENERAL FUND ---CITY FACILITIES
10/22/90
1 4245 1100 REGULAR PAYROLL
1 4245 1200 OVERTIME PAYROLL
1 4245 1900 FRINGE BENEFITS
1 4245 3100 TRAVEL 6 MEETINGS
1 4245 3300 MILEAGE
1 4245 3900 MAINTENANCE 6 OPERATIONS
1 4245 3950 GENERAL LIABILTY
1 4245 6026 CONTRACT SERVICES
1 4245 6040 CITY OWED STREET LIGHTS
1 4245 7043 CAPITAL EXPEND. -BUILDING
1 4245 7044 CAPITAL EXPEND. -EQUIPMENT
m
1 4245 7045 CAPITAL EXPEND. -VEHICLES
DEPARTMENT TOTAL
87-88 FY 88-89 FY CUR FY
ACTUAL ACTUAL BUDGET
a
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
OUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ADJUST 12/31/99 ACTUAL 1990/91 MGR 1990/91
0 0 45,625 2,738 0 0 182,188 110,859 111,353
0 0 2,000 0 0 0 15,000 15,000 15,000
0 0 15,969 (15,959) 0 0 66,954 38,800 38,974
0 0 0 0 0 0 0 0 0
0 0 1,000 0 0 0 0 1,000 1,000
263,471 335,586 446,500 1,850 172,923 300,000 689,900 609,900 689,900
0 (2) 9,091 (9,091) 0 0 11,414 11,414 11,414
0
363,300 445,617 461,551 8,508 184,531 400,000 183,334 150,334 150,334
0 0 0 0 0 0 0 0 0
0 0 0 0 0 0 0 0 0
34,892 2,555 750 21,000 4,000 6,000 4,200 4,200 4,200
0 0 0 0 20,000 20,000 20,000
661,669 783,756 982,486 9,036 361,454 706,000 1,172,990 1,041,507 1,062,175
i
•
245LMFlb.wkl
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
Department: Administrative Services
Division:
City Facilities
1990/91
01-4245
---------------------------------------------------------------------------------------
I
Position Quota I
Appropriations
1
PositionI--------------------------------I----�---------------------------1
Classification
ICurrentl
Dept. I
Mgr. I I
Dept. I
Mgr.
I Adopted I
Title
I Level I
Rcmd. I
Rcmd. (Adopted I
Rcmd. I
Rcmd.
I Budget I
--------------------
Custodian
I------- I-------
1 200%1
I-------
200%1
I-------- I----------
200%1 200%1
I----------
$45,624
1 145,624
I ----------
1 $45,320 1
Custodian
1 0%1
600%1
100%1 100%1
$114,912 1
$21,652
1 $22,660 1
Custodian Supervisorl 0%1
100%1
100%1 100%1
$21,652
1 $38,064
1 $38,070 1
I
Subtotal:
I I
I I
I
I
I I
I I
I
$182,188
1 $105,340
I
1 $106,050 1
Merit Contingency
I I
I
I I
$9,109
1 $5,267
1 $5,303 I1
Subtotal:
I I
I
I 1
$191,297 1
$110,607
1 $111,353 1
Fringe Benefits
I I
I I
I
I
I I
I I
$66,954 1
I
$38,712
I i
1 $38,974 1
Total:
I I
I I
I
I
1 1
I I
$258,251
1 $149,319
I
1 $150,327 1
I I
•
245LMFlb.wkl
•
COST CENTER DETAIL WORKSHEET
-------------------------- i--------- Program: -am: ----------i---------
DepartmentJDivision: r
Account----------Number:i-----
Fiscal ----------
Year
Administrative Services I City Facilities I
01-4245 I
1990/91 1
8;j------------------------------------------------------------------------I------g------�
ect No.1
Description of Items 6 Individual Dollar
Amounts I
Budget
i
----------
1100
I------- ------------- -----------------------------------
IRegular Salary
---------
1
I
-------------
$111,353 I
I
1200
I
(Overtime
I
I
$15,000 I
I
1900
I
(Fringe Benefits
I
I
$38,974 i
I
3100
I
(Travel 6 Meetings
I
$0 I
I
3300
1
(Mileage
I Staff Mileage Reimbursement
$500
1
i Use of Pool Vehicle
$500
Subtotal: I
$1,000 I
3900
IMaintenance 6 Operations
I Telephone Billings, CC, PS, RCNC, Lions
$115,000 I
I
I Electric
$250,000 1
I
Gas
$15,000
Water
$10,000 1
1 Postage
$97,000
•
Office Supplies
1 Maintenance Supplies
$95,000 I
$27,500
I
General Maintenance & Repair
$15,000
1
UPS Pick-up
$1,000
I I
1 Medical Supplies
$2,000 1
1 Misc. Supplies
$2,000
I
Padding Machine
$400
Subtotal:
I $689,900 1
3960
IIGeneral Liability
I $11,414
I
6028
(Contract Services
I
I Air Cond./Mech Equip Prev. Maint. Diagnostics $2.500
I I
Telephone System Maintenance
$30,000
1 I
Copy Equipment Service/Maintenance
$30,000
1 I
Office Machines Maintenance (all depts.)
$2,500
P.O. Box rental
$84
I
Lease/Purchase Copy Equipment
$57,000
I I
1 Postage Equipment Mtr. Rent/Service
$1,200
I
Miscellaneous Services
$5,250
1 Pest Ctrl„ Cvc Ctr, P.S.Fac,RCNC, Lion
$1,600
j I
1 Air Filter Maintenance, RCNC, Lions
$1,000
I
1 Vending Machine Rental
$1,000
I
Plant Service
$18,000
1
Subtotal:
$150,334
•
2452B1.wk11
Gubtetal(pg.1)
$1,017,975 j
COST CENTER DETAIL WORKSHEET
• -------------------------i-----------------------------------------
Department/Division: P-ro 9 ram: ------- --------Account Number:( Fiscal Year I
Administrative Services I City Facilities I 01-4245 I 1990/91 I
----------I-------------I
--'-----
oh ieci No I Description ----------- of---- Items----&--Individual-----------Dollar--------Amounts----- Budget
(Cont
7044 ICapital Equipment
I Electric Paper Cutter
I Floor Polishers (3 0 5650/ea)
I Vacuum Cleaners (3 0 5500/ea)
I
1
7045 (Vehicles
I Cargo Van
I
I
I
I
I
I
I
•
2452b2.wk1I
I
I
I
I
I
C�
J
Subtotal:
Total
------- I -------------- I
(pg•1) I $1,017,975 I
I I
I I
$750 I I
$1,950 I I
$1,500 I I
I $4,200 I
I I
I I
I $20,000
$1,042,175
I
I
I
• CAPITAL EQUIPMENT REQUEST FORM
Department: Administrative Services Division: City Facilities Fiscal Year
01-4245 1990/91
11
Account New/ or Estimated
Number Replaces 1EQUIPMENT IDENTIFICATION & JUSTIFICATION OF NEED Cost
------I---------------------------------------------------------------�
Ot-4245-7044INew jPaper Cutter, Electric $750
01-4245-7044INew IVacuum Sweepers (3 & 5500/ea) $1,500
01-4245-7044INew lFloor Polishers (3 & 5650/ea) 11,950
TOTAL ACCOUNT NUMBER 01-4245-7044: 14,200
01-4245-70451New
245LMF3b.wkll
lCargo Van 120,000
TOTAL ACCOUNT NUMBER 01-4245-7045:
I �
GRAND TOTAL:
120,000
124,200
Personnel Overhead
01-4265
J
r
BUDGET PROJECTION WORKSHEET 10/22/90
CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-09)
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY
CUR FY
ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
ACCOUNT
------------------------------------------------------------------------------------------------------------_-----------------------------------
ACTUAL
ACTUAL
BUDGET
ADJUST
12/31/89
ACTUAL
1990/91
NOR
1990/91
GENERAL FUND ---PERSONNEL
OVERHEAD
1 4265
1901 SALARY CONTINGENCY
55,301
94,992
600,000
(455,450)
0
455,450
675,000
675,000
0
1 4265
2011 FWT PENALTIES
2,207
(465)
0
0
0
0
0
0
0
1 4265
2012 SWT PENALTIES
0
59
0
0
0
0
0
0
0
1 4265
2100 COFFEE FUND
800
1,197
1,200
0
0
1,200
1,200
1,200
1,200
1 4265
2200 DEFERRED COMPENSATION
113,432
130,935
0
134,586
120,873
134,586
0
0
0
1 4265
2300 TUITION REIMBURSEMENT
3,677
10,176
10,000
7,000
1,711
6,500
10,000
10,000
10,000
1 4265
2400 EMPLOYEE DEVELOPMENT
14,566
23,370
30,000
0
7,013
20,000
30,000
30,000
30,000
1 4265
2500
0
0
0
0
330
0
0
0
1 4265
2800 P.E.R.S.
359,212
493,733
0
1,049,218
571,753
1,049,210
0
0
0
1 4265
2801 P.E.R.S. ACTUARIAL ST
0
0
0
0
0
0
0
0
0
1 4265
3962 UNEMPLOYMENT INSURANCE
5,975
3,008
0
7,718
982
7,748
0
0
0
1 4265
3963 WORKER'S COMPENSATION
165,484
149,405
0
t99,487
102,119
199,407
0
0
0
1 4265
3964 HARBOR ADMIN/SELF-FUN
0
0
0
0
0
0
0
0
0
1 4265
3965 MEDICAL INSURANCE
$04,147
751,155
0
088,712
480,476
888,712
0
0
0
1 4265
3966 L/T DISABILITY/LIFE INS.
19,021
3,209
0
00,872
1,168
88,872
0
0
0
1 4255
3967 DENTAL INSURANCE
92,593
109,943
0
165,934
63,542
165,934
0
0
0
1 4265
3968 INTERVALLEY HEALTH PLAN
0
0
0
0
0
0
0
0
0
1 4265
3969 OPTICAL INSURANCE
16,891
38,576
0
46,270
21,819
45,270
0
0
0
t 4265
3970 MEDICARE
32,312
59,544
0
77,645
(2,637)
11,645
0
0
0
1 4265
3971 DISABILITY ADVANCE
6,210
0
10,330
125
1,000
0
0
0
1 4265
3972 EMPLOYEE LOANS
0
0
0
0
0
0
0
0
0
0
1 4265
7000
0
0
0
0
39,298
0
0
0
DEPARTMENT TOTAL
1,421,866
1,868,045
641,200
2,220,352
1,408,572
3,142,622
716,200
716,200
41,200
0
COST CENTER DETAIL WORKSHEET
---------------------------I----------------------i---------------------------------
Department/Division: Program: Account Number:
-i Fiscal YearI
Personnel
Overhead I Personnel I
01-4265
I 1990/91
-----ect---No.1------------
Obj
D------escription-------of---Items-----&--------Individual-----Dollar-------Amounts---------------I
I Bu-----dget------�
I
----------
1901
I----------------------------------------------------------------
(Reserve Contingency (allocated to each dept. -in
final budget)
I ----------- I
I 50 I
2100
I
(Coffee Contribution
I I
I $1,200 I
2200
I
(Deferred Compensation
$144,007
I I
I s0 I
2300
I
ITuition Reimbursement
I
I $10,000 I
2400
I
(Employee Development
I
I $30,000
2800
I
(Public Employees Retirement System Contributions
$1,101,679
I
I s0 I
3962
I
(Unemployment Insurance
$8,135
I I
I s0
3963
I
(Worker's Compensation Insurance
$213,451
I �
I $0 I
3965
I
IMedical Insurance
$950,922
i I
I s0 I
3966
I
ILTO/Life Insurance
$95,093
I I
I s0 I
•
3967
I
IDental Insurance
$174,339
I I
I 50 I
3969
I
(Optical Insurance
1
$49,509
I I
I s0 I
I 1
3970
IMedicare Contributions
$83,080
I s0 I
I
I I
3971
IDisability Advances
I
$11,053
I s0 I
I I
L
I
I
I I
I I
(Computed as Component of Personnel Overhead Rates
Developed
I I
lin each Departmental Budget.
I
�
I
I
�
I
I I
I I
I I
I I
I �
I I
I I
I
I
�
I
I
I
I
265LFM2a.wk1
I I
I I
I I
I I
I I
I I
I I
•
I
Total:
I 641,200 I
General Overhead
01-0285
J
W
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---GENERAL OVERHEAD
0 0
10/22/90 CITY OF RANCHO CUCAMONGA
4285 2015 COMMUNITY BENEFITS
4285 3100 TRAVEL 6 MEETINGS
4285 3931 VEHICLE MAINT. 6 OPERATIONS
4285 3955 ELECTRONIC DATA INSURANCE
4285 3956 DUES(CITY)
4285 3957 MISCELLANEOUS INSURANCE
1 4285 3958 AUTOMOBILE INSURANCE
1 4285 3959 FIRE INSURANCE
1 4285 3960 GENERAL LIABILITY
1 4285 3961 GENERAL LIABILITY INS.
1 4285 6028 CONTRACT SERVICES
1 4285 7044 CAPITAL EXPEND. -EQUIPMENT
4285 9001 INVESTMENTS
DEPARTMENT TOTAL
87-88 FY 88-89 FY CUR FY
ACTUAL ACTUAL BUDGET
DEPT COUNCIL
CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
0 0 0 0 0 0 0 0 0
0 0 0 0 21,930 21,930
0 0 0 0 0 0 0 0 0
8,153 0 10,000 0 0 0 10,000 10,000 10,000
12,407 25.374 26,394 0 8,222 26,394 26,394 29,132 29,132
4,305 4,572 0 3,517 521 3,511 0 0 0
54,420 86,201 72,000 23,016 74,481 95,016 100,000 100,000 100,000
4,265 0 10,000 0 12,228 12,228 35,000 35,000 35,000
0 0 0 0 0 0 0 0 0
225,698 413,675 0 151,165 464,969 600,000 100,000 100,000 100,000
293,873 324,555 393,000 110,000 266,651 503,000 353,600 1,410,600 1,418,600
0 0 0 0 0 0 0 0 0
0 0 0 0 0 0 0 0 0
603,132 854,377 511,396 287,698 827,072 1,240,155 824,994 1,714,662 1,714,662
• ------ COST CENTER -DETAIL WORKSHEET------
-------------------------------
Department/Division: I Program: Account NumberlFiscal Yearl
General Overhead General I 01-4285 1 1990/91
---------------------------------------------------------1
on of Items 6
(Travel 6 Meeting
Annual Meeting With Legislative Advocate
Legislative Advocate/Misc. Meetings As Required
Team Building S Goal Workshop
Year End Employee Meeting
CLOUT It Chamber of Commerce Mtgs
Employee Incentive Program
I
3955 (Electronic Data Insurance
3956 IOues
CCAN Innovation Group
San Bernardino Association of Governments
National League of Cities
Southern California Association of Governments
League of California Cities
• I
California
I California Contract Cities
' I Southern California Water Committee
I
I
3958 (Automobile Insurance
I
3959 (Fire Insurance, Inland Marine, Surety Bonds
I
3961 (General Liability
6028 (Contract Services
City Attorney
Chamber of Commerce
Student Government Day
Animal Control Services
Audit Services
Legitech Services
National Management Association
Legislative Advocate
Animal Control Reserve
A8939 Implimentation
Fire District Reserve
I 800 MHz
• I Library Master Plan
I
285LFM2a.wki
I
Dunts I Budget 1
-------------- I -----------
I I
$950 I 1
$2,250 I 1
$3,000 I 1
$2,730
$3,000 1
$10,000 I I
Subtotal: I $21,930 I
I I
I I
I I
I $10,000 1
$3,500
$2,500
$5,203
$4,000
$9,697
$3,082
$400
$750
Subtotal:
I
I
I
$400,000 I
$29,132 1
I
I
$100,000 I
$35,000
$100,000
$155,600 I I
$12,000 I I
$1,000
$75,000 I I
$80,000 I I
$3,500 I I
$2,500 I I
$24,000 I I
$450,000 1
$150,000 I I
$250,000
$200,000 1 I
$15,000 I I
Subtotal: 1$1,418,600 1
I I
I I
Total: 1$1,714,662 1
Community DevelopmentlAdmin.
014313
i
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---COMM DEV ADMIN
6313 1100 REGULAR PAYROLL
4313 1400 RDA BOARD MEMBER COMP
4313 1900 FRINGE BENEFITS
4313 3100 TRAVEL 6 MEETINGS
4313 3300 MILEAGE
4313 3900 MAINTENANCE 6 OPERATIONS
4313 3931 VEHICLE MAINT.6 OPERATIONS
6313 3956 DUES
4313 3960 GENERAL LIABILITY
J
1 4313 6028 CONTRACT SERVICES
1 4313 7044 CAPITAL ENPEN.-EQUIPMENT
DEPARTMENT TOTAL
i -0)
CITY OF RANCHO CUCA14ONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
218,860
234,723
86,667
5,200
165,371
91,867
115,481
110,481
121,601
0
0
0
(6,075)
0
0
0
0
0
0
0
30,333
(30,333)
0
0
40,418
38,668
42,560
3,140
895
6,075
6,075
1,432
5,000
0,500
6,375
6,375
4,258
3,009
0
0
3,600
0
3,800
3,800
3,800
6,253
3,356
7,000
0
1,283
3,000
8,609
7,685
7,685
0
0
0
0
0
0
0
0
0
1,005
735
1,550
0
0
300
1,700
1,700
1,700
0
0
342
(342)
0
0
671
671
671
624
8,226
19,593
(6,325)
10,968
13,268
8,498
8,498
8,498
13,813
1,810
0
0
0
0
5,000
6,000
6,000
248,013 253,554 151,560 (31,000) 162,653 113,435 193,677 183,878 198,890
r�L
PROGRAM POSITION/SALARY SCHEDULE
Department: Community Development Division: Administration . Fiscal Year
01-4313 1990/91
Position Quot
Position
Appropriations
I
Classification
-----------------------
1Currentl
Dept. I Mgr.
Title
--------------------1-------1-------1-------
I Level I
Rcmd. I Rcmd.
Com.Dev.Director
I I
1 90$1
I
90$1 901
Senior Office Asst.
1 100$1
I I
100$1 1001
I
Sub Total:
I I
I I
1 I
I
I
I
Merit Contingency
I I
I
Sub Total:
I I
I I
I
I
Fringe Benefits
I I
I I
I I
I
I
I
TOTAL:
I I
i
I I
I I
I I
I I
I
I
I
I
I
'3131fmla.wkl
a I
Appropriations
I
------- ---------------------------------
Dept. I
Mgr. I
Adopted I
(Adopted I
1--------1----------
Rcmd. I
I
Rcmd. I
----------1-----------
Budget I
I I
I 90$1
I
$76,120 1
I
$76,120 1
I
$84,940 1
1 10011
I I
$29,100 1
I
$29,100 1
I
130,870 1
i
$105,220 1 $105,220
I
I
$5,261 1 $5,261
$110,481 1 $110,481
I I
I $36,668 1 $38,668
I I
$115,010
$42,550 1
1
$149,149 1 $149,149 1 $164,161
•
•
COST CENTER DETAIL WORKSHEET
---------------------------I--------------------I------------------------------------
Department/Division: Program:
Account Number:
' Fiscal Year I
Community Development Administration I
01-4313
1 1990/91
--------------------------------------------------------------�
Obj-ect--No.�- - Description of Items 6 Individual -----
Dollar------- Amounts-------
Budget
---------- I---------------------------------------------------------------
1100 IRegular Salaries
-------------
$121,6D1
I
1900 lFringe Benefits 0 35%
$42,560
3100 ITravel / Meetings:
National American Planning Association
$1,600
League Of California Cities
$800
Calif. American Planning Assoc.
$675
Planning Commission Institute
$500
Public Works Officers' Institute
$500
I
Local Meetings
$825
Council / Planning Commission Meetings
$975
Local Seminars
$500
I
Sub Total:
I $6,375
3300 IMileage Reimbursements:
I Auto Allowance
3900
3956
3960
6028
• 7044
Private Use Reimbursements
Maintenance / Operations:
Printing / Publications
Office Supplies
I Postage
Computer Training
Data Processing Supplies
Computer Software
(Dues:
I American Institute Certified Planners
NAHRO
Urban Land Institute
ASPA
IC14A
APA
National Notary Assoc.
(General Liability
lContract Services:
Xerox Memorywriter
GIS Administration
Computer Maintenance
Capital Outlay:
Computer Equipment
313LFM2A.WK1
$3,000
$800
Sub Total:
$2,000
$3,650
$300
$550
$300
$885
Sub Total:
$250
$200
$200
$250
$350
$350
$100
Sub Total:
$200
$7,682
$616
Sub Total:
DEPARTMENT TOTAL:
I
I
$3,800
$7,685
$1,700
671
$8,498
$5,000
$196,890
COMPUTER SOFTWARE REQUEST FORM
Fiscal Year
Department: Community Development Division: Adminstration 1990/91
1
I
1
1
1
1
3131fm7a.wk11
Totals:
$2,584 $2,584 $885 $1,699
1 1 1
1 1
Resource Center 1
1Serial Number/ID ofl 1
1 1
Use Only 1
Account 1 Software Identification
1Computer Unit wherelQtyl
Unit
lEstimatedl_
--------'-----'----------
1
Number
Software is to
Cost
Cost 1
Approved
1Denied
1 Date 1
be installed
1
1
1 1
------------1--------------------------1-------------------1---
01-4313-39001Micro Soft Word
------------1---------1----------1-------1-------1
1New Unit 1 1 1
$256
1 $255 1
$0
1 $256
14/10/901
1Micro Soft Excel
1New Unit 1 1 1
$289
1 $289 1
$0
1 $289
14/10/901
1MAC II Video Card
1New Unit 1 1 1
$454
1 $454 1
$0
1 $454
14/10/901
1MAC 2mb Memory
1New Unit 1 1 1
$700
1 $700 1
$0
1 $700
14/10/901
1Word Perfect
1New Unit 1 1 1
$245
1 $245 1
$245
1 $0
14/10/901
1Fast Back
1New Unit 1 1 1
$130
1 $130 1
$130
1 $0
14/10/901
1Clip Art/Word Perfect
1New Unit 1 1 1
$200
1 $200 1
$200
1 $0
14/10/901
1Lotus 123
1New Unit 1 1 1
$310
1 $310 1
$310
1 $0
14/10/901
1
I
1
1
1
1
3131fm7a.wk11
Totals:
$2,584 $2,584 $885 $1,699
COMPUTER CONTRACT SERVICES REQUEST FORM
E
Fiscal Year
Department: Community Development
Division: Administration
1990/91
•
----------------------------------------------------
------------
--------- ----
--------
------
------
I
I
I I
I I
Resource-Center
1
Account I
I
I I
I I
Use Only
1
Number 1 Contract Services
1 Justification
IQtyl Unit
IEstimatedl------------------------
I
I
I
I I Cost
I Cost IApprovedlDenied
I Date I
------------ I ---------------------
01-4313-60281NBI
I------------------
INaint.Exist.Unit
I --- I ------
1 1 1 $276
I --------- I--------
1 $276 1
$276
I-------
1 $0
I------- I
14/10/901
INBI-ICU Share (luser)lMaint.Exist.Unit
1 1 1 $340
1 $340 1
$340
1 $0
14/10/901
(Xerox 1025 Copier
(Share Maint.
I 1 1 $900
1 $900 1
$0
1 $900
14/10/901
(Xerox Memorywriter
IMaint.
I 1 1 $200
1 $200 1
$0
1 $200
14/10/901
IMAC II CX
IMaint/New Unit
1 1 1 $862
1 $862 1
$0
1 $862
14/10/901
(Laser Printer
IMaint/New Unit
I 1 1 $632
1 $632 1
$0
1 $632
14/10/901
(Memory Upgrades
I
I
I
I
I
IMaint/New Unit
I
I
I
I
I
1 1 1 $560
I I
I I
I I
I I
I I
1 $560 1
I I
I I
I I
I I
I I
$0
1 $560
I
I
I
I
I
14/10/901
I I
I I
I I
I I
I I
I
I
I
I
I
I
I
I
I
I
I I
I I
I I
I I
I I
I I
I I
i I
I I
I I
I
I
I
I
I
I I
I I
I I
I I
I I
j
I
I
I
I
I I
I I
I I
I I
I
I
I I
I I
j
I
3131fm5a.wkll
I
I
I I
I I
I I
I I
I
I
I I
I I
----------------------------------------------------------------------------------------------------
Totals:
5
$3,770
$616
$3,154
E
DepartmentCommunity Development
0
Account
Number
01-4313-7044
10
COMPUTER HARDWARE REQUEST FORM
Fiscal Year
Division: Administration 1990/91
I I I I I Resurce Center I
I I I Unit I I Use Only 1
Hardware Description I Work Area (Qty I Cost (Estimated I ------------------------
Identification
_________ --Identification I Location I I I Cost IApprovedl Deniedl Date I
1----------------------- I-------------- I---- I ------- I---------- I-------- I------- I ------- I
ICompaq 286e ISr.Off.Assist.l 1 1$3,000 1 $3,000 1 =3,000 1 14/10/901
(Apple Color Monitor I 1 1 1 $700 1 $700 1 $0 1 $700 14/10/901
(Apple Extended Keyboardl 1 1 1 $161 1 $161 1 $0 1 $161 14/10/901
(Laser Printer I 1 1 1$3,000 1 $3,000 1 $3,000 1 14/10/901
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I i I I
I I I I I I I I I
I I I I I I I I I
3131fm4a.wkll
to
Totals:
$6,861 $6,000 $861
Planning
01.4333
9
•
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---PLANNING
4333 1100 REGULAR PAYROLL
0
10/22/90 CITY OF RANCHO CUCAMONGA
1 4333 1200 OVERTIME PAYROLL
1 4333 1300 PARTTIME PAYROLL
1 4333 1900 FRINGE BENEFITS
1 4333 2800 P.E.R.S.
1 4333 3100 TRAVEL 6 MEETINGS
1 4333 3300 MILEAGE
1 4333 3900 MAINTENANCE 6 OPERATIONS
1 4333 3931 VEHICLE MAINT.6 OPERATIONS
1 4333 3956 DUES
1 4333 3960 GENERAL LIABILITY
1 4333 6028 CONTRACT SERVICES
1 4333 7044 CAPITAL E%PEN.-EQUIPMENT
1 4333 7045 CAPITAL E%PEN.-VEHICLE
DEPARTMENT TOTAL
DEPT
87-88 FY 08-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91
COUNCIL
CITY APPROVED
MGR 1990/91
729,998 893,783 1,066,221 63,914 473,130 1,130,195 1,382,527 1,252,284 1,355,141
0 0 1,000 0 0 1,000 3,000 3,000 3,000
17,913 9,633 17,188 0 6,894 17,188 21,428 21,428 22,760
0 0 373,177 (362,333) 0 10,844 683,884 438,299 414,299
0 0 0 0 900 0 0 0 0
7,238 13,126 15,760 0 2,717 4,500 21,950 16,000 16,800
0
1,990 3,567 3,300 0 1,403 3,300 3,650 3,650 3,650
50,607 41,398 67,596 21,000 11,063 15,000 100,119 76,224 76,224
0
18,593 33,622 15,809 0 891 15,809 0 68,040 68,040
745 1,269 1,150 0 738 1,150 1,800 1,000 1,800
0
0 0 4,640 (4,600) 0 /0 0 6,500 6,500
92,921 166,100 379,528 240,842 258,981 320,000 367,388 325,880 325,880
0
0,863 29,703 7,719 0 1,099 3,000 44,782 18,400 18,400
12,873 11,563 0 0 0 0 36,000 0 0
949,807 1,203,762 1,954,086 (41,117) 757,816 1,522,026 2,466,528 2,232,305 2,372,494
0,
PROGRAM POSITION/SALARY SCHEDULE
PLANNING DIVISION TOTAL: $1,887,932 $1,712,011 $1,852,200
333LF11a.wkl
Ll
Department: Community Development
Division:
Planning
Fiscal Year
01-4333
1990/91
------------------------------------------------------------------------
Position Quota
-----
Appropriations
Position----------------
---------------------------------------------------�
Classification
jCurrentj
Dept. I
Mgr. I
I
Dept. I
Mgr.
I Adopted
Title
I Level I
Rcmd. I
Rcmd. jAdopted I
Rcmd. I
Rcmd.
I Budget
--------------------
City Planner
I ------- I-------
1 100$1
I
100$
------- I--------
100$1
I------------
100%1
I------------
$72,800 1
$72,800
I ------------
1 $81,230
Deputy City Planner
1 100$
100%
100$
100%1
$59,343 1
$59,343
1 $66,210 1
Principal Planner
1 200$
200$1
2005
200$1
$112,902 1
$112,902
1 $125,980 1
Assoc. Planner
1 800$1
900$1
800$j
700$1
$392,462 1
$349,462
1 $312,950
Senior Planner
1 0E1
0%1
0$1
100%1
$0 1
$0
( $57,870 1
Assistant Planner
1 900$1
900$1
900$
800%1
$339,948 1
$308,000
1 $302,970
Planning Technician
1 100%1
100$1
100$1
200$]
$30,515
1 $30,515
1 $58,970 1
Code Enfor. Sup.
1 100$
100%1
100$1
100%1
$39,042 1
$39,042
1 $43,550
Code Enfor. Rep.
1 200$]
300$
200$
200%1
$92,044
1 $61,000
1 $68,900
Code Enfor. Tech.
1 100$1
100$
100%1
100$1
$26,333 1
$26,333
1 $29,370
P.C. Secretary
1 100$
100$1
100$
100%1
$30,410
1 $30,410
1 $33,270 1
Secretary
1 100$1
100$
100$1
100$1
$22,845
1 $22,845
1 $24,300
Office Asst.
1 400%1
500%1
400$
0$1
$98,114
1 $80,000
1 $0
Office Spec. I
1 0E1
0%1
0%1
100%1
i0 I
$0
1 $19,910
Office Spec. II
1 0%1
0$1
0%1
300%1
$0
-----------
1 $0
------------
1 $65,130
------------�
Subtotal:
$1,316,758
$1,192,652
$1,290,610
Merit Contingency
$65,838
------------
$59,632
------------
$64,531
------------�
Subtotal:
$1,382,596
$1,252,284
$1,355,141
Fringe Benefits
$483,909
$438,299
------------
$474,299
-----------�
Subtotal:
------------
$1,866,504
$1,690,583
$1,829,440
Part -Time
Planning Aides
1 100$1
100$1
100%1
1
$21,428
1 $21,428
1 $22,760
PLANNING DIVISION TOTAL: $1,887,932 $1,712,011 $1,852,200
333LF11a.wkl
Ll
0
17J
•
COST CENTER DETAIL WORKSHEET
Department/Division:
Community Dev./Planning
Object No.1 Description i
---------- I --------------------
1100 (Regular Salaries
1
1900 ]Fringe Benefits @35%
Program: Account Number:
Planning 01-4333 1990/91
-------------------------------------------------
tems & Individual Dollar Amounts I Budget
1200 ]Overtime
i
1300 (Part Time
I
I
1
3100 (Travel and Meetings
I National APA Conference
I State APA Conferences
I League of California Cities Conference
I League of Cities Planning Comm. Inst.
Local Preservation Meeting
] State Preservation Meeting
] National Preservation Meeting
] Management Seminars:
] Supervisor Seminars Assoc.
] Planning Related Sem.
Clerical Seminars
Code Enforcement Seminars
] Computer Training
Miscellaneous Meetings & Travel
] Design Review Committee Meetings & Workshops
HPC/PC/CC Workshops
1
1
3300 (Mileage Reimbursements
I Auto Allowance
I Mileage Reimbursement
I
I
I
I
I
333LF21a.wkl
I
I
I
1,355,141 ]
]
474,299 ]
I
3,000 I
I
22,760
]
Subtotal 1,855,200
1,850
1,800
800
1,500
125
550
1,175
800
700
2,375
375
500
250
400
3,000
500
Subtotal 16,800
I
1
3,000
650
Subtotal I 3,650
Subtotal(pg.1) ] 1,875,650
I
•
•
C1
COST CENTER DETAIL WORKSHEET
D---------------------: ------I-------- Program: ----------------
eparCment/Divisionram: j
- j
Account Number:
Community
Dev./Planning j Planning j
001-4333 1990/91-
- ------
Object No.j
-------------------- ------- ----------------------------
Description of Items & Individual
------ --
Budget
Dollar Amountsji
j------- '
-------
(cont'd)
j --------------------------------------------
j
-
Subtotal(pg 1) j 1,875,665050 j
3900
jMaintenance and Operations
Subscriptions/Books
1,000 j
I Miscellaneous Office Supplies
3,000 j
Photographic Supplies
5,500 j
j Data Processing Supplies
1,800
Computer Paper & Supplies
2,000
Design Awards Program & Supplies
2,500
Advertising & Posting
12,000
j Historic Landmarks
3,000 j
j Document Printing:
j
General Plan
4,500
j Industrial Specific Plan
3,000 j
I
j
j
j
j
j
I
333LF21b.wjk1
Community Profile
Development Code
North Etiwanda Specific Plan
Foothill Boulevard Specific Plan
Caryn Plan
Terra Vista Planned Community
Victoria Planned Community
Developer's Handbook
Planning Commission Info. Guide
Applications & Permits
Code Enforcement Documents & Forms
Trails Study
Design Awards Brochure
Zoning & Other Maps
Notices, Postcards, Etc.
HPC Documents & Forms
Miscellaneous
Etiwanda Plan
Trail Maps
Software
Equipment:
Archive Equipment & Supplies
Misc. Tools
1,250
2,500
1,500
2,100
700
1,500
1,500
3,500
700
1,500
2,600
2,000
1,100
5,000
750
2,600
1,000
1,800
1,000
1,474
Misc. Code Enforcement Equipment
Misc. Protective Gear (Vest, gloves)
Paper cutter, heavy duty stapler (copy room)
Dictaphone mini -transcriber, eraser
Misc. Computer Cabling & Accessories
Subtotal
1,50
20C
750
30(
10(
25(
10(
TOTAL Subtotal(pg.2
76,224
1,951,874
•
COST CENTER DETAIL WORKSHEET
Department/Division: Program:
Community Dev./Planning Planning
Account Number:
01-4333 1990/91
Object No.j Description. of Items & Individual Dollar Amounts Budget
-' ----- ----------------------------------------------------------------I-----------
(cont'd) I Subtotal(pg.2) j 1,951,874
3931 IVehicle Maintenance and Operations
j 2 Utility Vehicles (710 & 712)
j 600 mi./mo./vehicle @ $.50/mile:
4 Code Enf Vehicles (713,713,715,716)
j 1,560 mi./mo./vehicle @ $.65/mile:
I
I
I
3956 (Dues
I American Planning Assoc. Membership
I City Planner, Dep. City Plan., 2 Print. Plan
j American Society of Landscape Architects
j Southern Calif. Assoc. of Code Enf. Officers
j American Assoc. of Code Enf. Officers
Misc. Professional Memberships
I
I
I
I
3960 jLiability @ 1$ Operating Expenses
I (Not including Salary & Capital Expenses)
I
I
i
I
i
i
333LF21d.wk1
$7,200
$60,840
I
Subtotal I 68,040
1,175 j
225
150 i
25 j
225 1
Subtotal
Subtotal(pg.3)
2,02E,214
0
0'
C'j
COST CENTER DETAIL WORKSHEET
Department/Division: I Program: 1 Account Number:1 i
Community Dev. Planning I Planning 01-4333 11990/91
- --t No. I Description of Items & Individual Dollar Amounts Bud9------------------------------------------------------------------------- 11------ - II
Objece.
---------I----------------------------------------------------------------I------------I
(cont'd) Subtotal(p9.3) 1 2,028,214
I I I
60281Contract Services
Temporary Employees
I S.B. County Weed Abatement (Private Property)
i West Valley Vector Control District
Community Code Representative
I Misc. Studies (Seismic, Noise, etc.)
1 Planning & HPC Minutes
Nuisance/Vehicle Abatement
I Plan Check Services
I Graphics
1 5 Aerials
1 HPC Archives Consultant
Street Name Changes
I Oral History Program
I Air Quality Element
Transcriber Maintenance
Panasonic Copier Maintenance
Mita Copier Maintenance
Dictaphone Maintenance
j Computer Contract Services Maintenance
Computer System Maintenance & Operations
I (15% City Share) MIS Admin.
i
70441Capital Equipment
I Office Equipment
I Computer Equipment
I
I
I
70451Capital Equipment / Vehicles
I
I
I
I
I
I
I
I
333LF21e.wk11 TOTAL
I
1,000
18,000
50,000
39,104
3,000
2,700
7,500
2,000
2,500
5,000
1,500
10,000
8,500
15,000
403
864
360
687
15,134
142,528
Subtotal 1 325,880
I
I
I
7,800 I
10,500 I
Subtotal I 18,400
I
I
01
Subtotal 0
I I
I I
I I
I I
1 2,372,494 I
I
•
•
•
I I
I I
01-4333-7045 (Replace 11 - Utility Vehicle:
I I Replaces existing Blazer Lic. 441975
I I ***Refer to IGS (Fund 012) for funding.***
I I
I I
I I Subtotal / Vehicles:
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
333LF31b.wk1 1 I
I I
0
I I
I I
I I
I I
I I
I I
I I
I I
I I
TOTAL 1 $7,800 1
CAPITAL EQUIPMENT REQUEST FORM
Department:
Community
Development Division: Planning
Fiscal Year
01-4333
1990/91
---------------------------------------------------------------------------
Account
I New/ or
I (Estimated
Number
I Replaces
(EQUIPMENT IDENTIFICATION & JUSTIFICATION OF NEED I
Cost 1
-------------
01-4333-7044
I ----------
I New
I ------------------------------------------------- I
13 - Mobile 2 -way radios, antennas, power supply 1
---------- I
3,000 I
1
1 Needed for disaster response in Chevy Blazersl
I
1
I and for back-up unit for vehicles and 1
I
I
I temporary base station I
I
7044
I
1 New
I I
14 - Handheld radios, charger bases, battery packs)
I
3,600 1
1
1 Provide direct communication at all times i
1
1
I with field officers for improved I
1
I
I communication and safety 1
I
7044
I
1 Replace
I
I I
12 - Electric Typewriters 1
I I
I
1,200 I
----------i
I
1
I I
I Subtotal / Equipment: 1
I
$7,800 1
I I
I I
01-4333-7045 (Replace 11 - Utility Vehicle:
I I Replaces existing Blazer Lic. 441975
I I ***Refer to IGS (Fund 012) for funding.***
I I
I I
I I Subtotal / Vehicles:
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
333LF31b.wk1 1 I
I I
0
I I
I I
I I
I I
I I
I I
I I
I I
I I
TOTAL 1 $7,800 1
COMPUTER SOFTWARE REQUEST FORM
• Department: Community Development
Division: Planning
Fiscal Year
01-4333
1990/91
----------------------------------------------------------------------------------------------------------
Resource Center
Use Only
Account
ISoftware
I Serial Number/ID of jQtyj
Unit
I Est.
I_ -------------------------
Number
lIdentification
I Computer Unit where I I
Cost
I
jApprovedl
Denied
I Date
Software is to be installed) I
I
I I
I I
-------------
Ot-4333-3900
-------------------
IPicture Base
I --------------------------- I --- I
IF820087M5030 (Adv. Plan.) 1 1 1
------
$100
I -------
1 $100
I -------- I
1 $0 1
--------
$100
I --------
104-16-901
3900
SMAC Draft
IF820087M5030 (Adv. Plan.) 1 1 1
$250
1 $250
1 1250 1
10
104-16-901
3900
jOrganizational ToolIF820087M5030
(Adv. Plan.) 1 1 1
1250
1 $250
1 10 1
1250
104-16-901
3900
IForm Maker
IF820087M5030 (Adv. Plan.) 1 1 1
$175
1 1175
1 10 1
$175
104-16-901
3900
JAIdus PageMaker
jAdvance Planning 1 2 1
$379
1 1758
1 $0 1
1758
104-16-901
3900
(MicroSoft Word 4.0
jAdvance Planning ( 5 1
1256
111,280
1 10 1
11,280
104-16-901
3900
)Excel
jAdvance Planning 1 5 1
$260
111,300
1 10 1
11,300
104-16-901
3900
ISuperPaint
jAdvance Planning 1 2 1
$119
1 1238
1 $0 1
1238
104-16-901
3900
IStuffit
jAdvance Planning 1 2 1
124
1 148
1 $0 1
148
104-16-901
3900
IMacProject 2.0
jAdvance Planning 1 1 1
1359
1 $359
1 1359 1
f0
104-16-901
3900
ICricket Graph 1.2
jAdvance Planning 1 1 1
$250
1 $250
1 f0 1
1250
104-15-901
3900
ILotus 123
IP.C. Sec., Code Enforcement) 3 1
1310
1 1930
1 $620 1
1310
104-16-901
3900
lWordPerfect
)Code Enforcement 1 2 1
1245
1 1490
1 $245 1
1245
104-16-901
3900
IFormTool
IP.C. Sec., Code Enforcement) 2 1
175
1 1150
1 $0 1
1150
104-16-901
3900
IFoxbase 2.0
jAdvance Planning 1 1 1
1291
1 $291
1 10 1
$291
104-16-901
333LF71a.wkl
Totals: 30 $6,869 11,474 15,395
•
L J
COMPUTER CABLING MISC REQUEST FORM
Department:
Community Development
Division:
Planning
Fiscal Year
01-4333
1990/91
---------------------------------------------------------------------------------------------------------
Resource Center
Use Only
Account
Cabling 6 Misc Needs
Location/Computer
UnitjQtyj
Unit
jEstimatedl------------------------
I
Number
I
I I
Cost
I Cost
jApprovedlOenied
I Date
------ ----------------------------
01 4333-3900�Misc. Cabling
I ----------------------
jAdv., P....Sec.,
I ---I
Code 1 8 1
------
$110
I---------
1 $880
I--------
1 $0
I-------
1 $880
I ------- I
14-16-901
3900
Connections-MAC,printerlAdvance
Planning 1 7 1
$50
1 $350
1 $0
1 $350
14-16-901
3900
IDust Cover - MAC II
lCommon
I 1 1
$25
1 $25
1 $25
1 $0
14-16-901
3900
joust Cover -MAC Monitor
lCommon
1 1 1
$20
1 $20
1 $20
1 $0
14-16-901
3900
10ust Cover-Laserwriter
lCommon
1 1 1
$35
1 $35
1 $35
1 $0
14-16-901
3900
jOust Cover -MAC KeyboardlCommon
I 1 1
$20
1 $20
1 $20
1 $0
14-16-901
333LF61a.wkll I I I
Totals: 19 $1,330 $100 $1,230
COMPUTER CONTRACT SERVICES REQUEST FORM
•
Department:
Community Development
Division: Planning
Fiscal Year
-----------------------------------------------
01-4333
-------------------------
1
-------------------
Resource Center
Use Only
Account
Contract Services
Justification
jQtyjUnit
jEstimatedl
--------------------------
I
Number
I
ICost
I Cost jApprovedl
Denied
I Date
------------ I---------------------
01-4333-60281IBM PC
I-----------------
IMaint.
Contracts
I ---
1 4
I -----
1 358
I--------- I--------
1 $1,432 1
$1,432 1
I--------
$0
I--------
104-16-901
6028
jCompaq
IMaint.
Contracts
1 5
1 302
1 $1,510 1
$604 1
$906
104-16-901
6028
SPT 200
IMaint.
Contracts
1 6
1 179
1 $1,074 1
$1,074 1
$0
104-16-901
6028
jHirez
IMaint.
Contracts
1 1
1 240
1 $240 1
$240
1 $0
104-16-901
6028
lColor Monitor
IMaint.
Contracts
1 9
1 151
1 $0 1
$906 1
($906)04-16-901
6028
IMonochrome Monitor
IMaint.
Contracts
1 0
1 69
1 $69 1
$0
1 $69
104-16-901
6028
ITektronix Display TerlMaint.
Contracts
I 1
1 402
1 $1,608 1
$402 1
$1,206
104-16-901
6028
ILaser Printer
IMaint.
Contracts
1 4
1 690
1 $4,830 1
$690
1 $4,140
104-16-901
6028
loot Matrix Printer
IMaint.
Contracts
1 7
1 276
1 $1,104 1
$1,656 1
($552)104-16-901
6028
SMAC II Color Monitor
IMaint.
Contracts
1 4
1 862
1 $2,586 1
$1,724
1 $862
104-16-901
6028
SMAC SE
IMaint.
Contracts
1 3
1 575
1 $2,875 1
$0
1 $2,875
104-16-901
6028
SMAC Memory Upgrade
IMaint.
Contracts
1 5
1 560
1 $2,800 1
$0
1 $2,800
104-16-901
6028
SMAC Laser. Printer
lMaint.
Contracts
1 2
1 632
1 $1,264 1
$1,264
1 $0
104-16-901
6028
INBI 2000 Workstation
IMaint.
Contracts
1 6
1 276
1 $1,656 1
$1,380
1 $276
104-16-901
6028
INBI Diablo Printer
IMaint.
Contracts
I 1
1 607
1 $607 1
$607
1 $0
104-16-901
6028
IN8I Daisy Wheel PrintlMaint.
Contracts
I 1
1 345
1 $345 1
$345
1 $0
104-16-901
6028
INBI Impact Printer
IMaint.
Contracts
1 1
1 607
1 $607 1
$0
1 $607
104-16-901
6028
INBI Sheetfd. Ziyad
IMaint.
Contracts
I 1
1 287
1 $287 1
$287
1 $0
104-16-901
•
6028
6028
INBI Sheetfd. Z201
INBI SheetFd. 6291
IMaint.
IMaint.
Contracts
Contracts
1 1
1 1
1 483
1 483
1 $483 1
1 $483 1
$483
$483
1 $0
1 $0
104-16-901
104-16-901
6028
INBI ICU 6 Multinet
IMaint.
Contracts
I 1
11060
1 $1,050 1
$2,040
1 ($980)104-16-901
(Planning portion)
333LF51a.wkll
----------------------------------------------------------------------------------------------------
Totals:
64
$26,920
$15,617
$11,303
•
0
COMPUTER HARDWARE REQUEST FORM
Department: Community Development Division: Planning
01-4333
I I I
I I I
Account I Hardware Description I Work Area iQty
Number I Identification I Location 1
------------1-------------------------1--------------1— —
01-4333-70441Mac II cx 40CPU I Adv. Plan. 1 2
7044 (Apple Col Hi Res ROB Mon I Adv. Plan. 1 2
7044 (Apple Extended Keyboard 1 Adv. Plan. I 5
7044 IMac II 8 bit Video Card 1 Adv. Plan. I 2
7044 IMac SE/30 Hard Disk 40CPU1 Adv. Plan. 1 3
7044 (Compaq 286e 1P.C.Sec, Code 1 3
7044 1Color Monitor 1P.C.Sec, Code 1 3
7044 INBI Multi -net Adapters 1P.C.Sec, Code 1 3
7044 ILaser Printer IP.C.Sec, Code 1 2
7044 ILeg. Sheet/Env. Feeder (Code Enf. 1 1
7044 (Prime Adapters IP.C.Sec., Codel 3
I I I
I I I
I I I
I I I
I I I
1 I I
I I I
I
I
I
333LF41a.wkll
I
Totals: 29
Fiscal Year
1990/91
I I I Reurce Center I
I I I Use Only 1
I Unit lEstimatedl--------------------------I
I Cost I Cost IApprovedl Denied I Date I
I------- I--------- I -------- I-------- I--------1
1$3,409 1 $6,818 1 $0 1 $6,618 104-16-901
1 $700 1 $1,400 1 so 1 $1,400 104-16-901
1 $161 1 $805 1 $0 1 $805 104-16-901
'1 $454 1 $908 1 $0 1 $908 104-16-901
1$3,092 1 $9,276 1 $0 1 $9,276 104-16-901
1$2,500 1 $7,500 1 $5,000 1 $2,500 104-16-901
1 $500 1 $1,500 1 $1,000 1 $500 104-16-901
1 $600 1 $1,800 1 $1,200 1 $600 104-16-901
1$3,000 1 $6,000 1 $3,000 1 $3,000 104-16-901
1 $4001 $4001 $4001 $0104-16-901
1 N/I s0 I s0 1 $0 104-16-901
I I I I I I
I I I I I I
$36,407 $10,600 $25,807
Planning Commission
01-0353
•
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---PLANNING COMMISSION
10/22/90 CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
1 4353
1100
REGULAR PAYROLL
5,916
5,955
6,000
450
2,786
6,000
6,000
6,000
6,000
1 4353
1900
FRINGE BENEFITS
0
0
0
0
0
0
0
0
0
1 4353
3100
TRAVEL 6 MEETINGS
6,103
8,546
9,500
0
1,608
9,500
11,350
11,200
11,200
1 4353
3900
MAINTENANCE 6 OPERATIONS
0
981
500
0
130
500
750
750
750
1 4353
3960
GENERAL LIABILITY
0
0
100
(100)
0
0
121
120
120
DEPARTMENT TOTAL
12,019
15,492
16,100
350
4,522
16,000
18,221
18,070
18,070
N
COST CENTER DETAIL WORKSHEET
---------------------------
Department/Division:--------I
Program: Account Number:
Comm.Dev./Planning I Planning Commission 01-4353
-----------
--------------------------------------------------------------
Object No. Description of Items & Individual Dollar Amounts
-------------------------------
1100 iSalaries
3100 ITravel and Meetings - Planning Related Conferences
National APA Conferences
League of Calif. Cities Planning Comm. Institut
League of Calif. Cities Conference
Subtotal
3900 Im,bucliallwous Supplies and Printing
3960 JLM0111LY ® 1% Operating Expenses
(Excluding Salary)
j
353LF21a.wkl
1 '0
TOTAL
3,400
3,750
800
3,250
Fiscal Year
1990/91 1
-----------
Budget
-----------I
6,000 1
I
11,200
750
120
18,070
Historic Preservation Comm.
01-0354
•
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
10/22/90
ACCOUNT
-------------------------------------------
GENERAL FUND ---HISTORIC PRESERVATION COMMITTEE
1 6351 1100 REGULAR SALARIES
1 6351 3100 TRAVEL 6 MEETINGS
1 6356 3900 MAINTENANCE 6 OPERATIONS
1 6351 3956 DUES
1 6356 3960 GENERAL LIABILITY
DEPARTMENT TOTAL
• i
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL 1990/91 NGR 1990/91
0 1,387
2,900
0
0
2,900
6,525
6,650
6,650
0 292
500
0
36
500
750
750
750
0
300
0
0
300
325
325
325
0 0
33
(33)
0
0
76
0
0
0 1,679
3,733
(33)
36
3,700
7,676
5,525
5,525
COST CENTER DETAIL WORKSHEET
-------------------------------------------
------------
. Department/Division: I Program: I Account Number: IFiscal Year
Comm.Dev./Planning (Hist. Preservation Comml 01-4354 I 1990/91 I
----------------------------------- -------
-------- I ----------- I
--------
Object No.I 5;S---i-ption----- of---Items-6- Individual- Dollar Amounts I Budget I
----------ITravel----------------------------------ion
--------------------I-----------I
3100 (Travel and Meetings - Historic Preservation Related Conferences I I
I Local Calif. Preservation Foundation Meetings 350 I I
Calif. Stae Preservation Foundation Conference 1,800 I I
National Historic Preservation Trust Conference 2,300 I I
Subtotal I 4,450 I
3900 IMiscellaneous Printing i 750 II
3956 (Dues
I I
I California Preservation Foundation 200 I I
National Trust for Historical Preservation 125 I I
Subtotal I 325 I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I
I I I
I I I
I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I
I I I
I I I
I I I
I I I
I
• ITOTAL I 5,525 II
354LF21a.wk1
I I I
Environ. Mgmt Commission
01.4355
•
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
-----------------------------------
ENVIROMENTAL MGMT COMMISSION
1 4355 3100 TRAVEL 6 MEETINGS
1 4355 3300 MILEAGE
1 4355 3900 MAINT A OPERATIONS
DEPARTMENT TOTAL
m
10/22/90
9 0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL 1990/91 MGR 1990/91
0 0 2,500 2,500
0 0 300 300
0 0 500 500
0 0 0 0 0 0 0 3,300 3,300
COST CENTER DETAIL WORKSHEET
--------------------
Department/Division: ----------------- g
• I Program: l Account Number:
Comm.Dev./Planning lEnvironmental M mt. ComI 01-4355
---------------------------------
------------------------------
Object No.1 Description of ------- Items fi-Individual Dollar Amounts
----------I------------------------------
I
I
3100 (Travel and Meeting:
I Local and Regional Meetings
I
I
I
0
LJ
3300 (Mileage
I Mileage Reimbursement
I
I
1
3900 lMaintenance b Operations:
I Misc. Supplies
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
355LF21a.wkl
(Fiscal Yearl
1 1990/91 1
I----------- I
l Budget l
I -----------I
I I
I I
2,500 1
I I
I I
I I
Subtotal l 2,500 i
I I
I I
I I
I I
I I
I I
I I
300 1
I I
I I
I I
I I
500 l
I I
II I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
TOTAL l 3,300 l
I I
Building & Safety
014373
8
•
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
--------------------------------
GENERAL FUND ---BUILDING 6 SAFETY
1 4373 1100 REGULAR PAYROLL
1 4373 1200 OVERTIME PAYROLL
1 4373 1900 FRINGE BENEFITS
1 4373 3100 TRAVEL 6 MEETINGS
1 4373 3300 MILEAGE
1 4373 3900 MAINTENANCE 6 OPERATIONS
1 4373 3931 VEHICLE MAINT.6 OPERATIONS
1 4373 3956 DUES
1 4373 3950 GENERAL LIABILITY
1 4373 6018 CONTRACT SERVICES
1 4373 7043 CAPITAL EXPEN.-BUILDING
1 4373 1044 CAPITAL E%PEN.-EQUIPMENT
1 4373 7045 CAPITAL E%PEN.-VEHICLE
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCAMONGA
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
DEPT COUNCIL
REQUEST CITY APPROVED
1990/91 MGR 1990/91
759,080
877,501
1,059,697
53,582
453,307
1,123,279
1,438,068
1,406,921
1,509,239
55
2,183
2,000
0
36
2,000
3,000
3,000
31000
0
0
370,894
(370,894)
0
0
503,324
492,422
528,234
4,716
4,498
4,700
0
2,242
4,700
7,000
6,000
6,000
2,839
3,011
3,200
D
1,385
3,200
3,200
3,200
3,200
19,943
22,646
29,760
0
3,710
29,760
44,172
40,365
40,365
67,732
86,221
40,349
0
4,236
40,349
51,000
80,200
80,200
682
415
810
0
0
810
835
885
885
0
0
3,898
(3,898)
0
0
4,857
5,300
5,300
0
79,115
260,946
312,619
0
193,504
312,619
371,390
301,551
301,557
0
0
0
0
0
0
0
0
0
12,657
4,504
9,600
0
5,105
9,600
85,224
25,024
25,024
10,952
11,279
0
0
0
0
148,000
41,000
41,000
951,771 1,281,204 1,837,527 (311,210) 663,525 1,526,317 2,660,070 2,405,874 2,544,004
0
PROGRAM POSITION/SALARY SCHEDULE
Department: Community
Development
Division:
Building S Safety
Fiscal Year
01-4373
1990/91
•
----------------------------------ition-----Quota
I
Pos
-------------------
l
------------
Appropriations --------------------
1
Position1-------------------------------
I----
-------------------I
Classification ICurrentl
Dept. I Mgr. I
I
Dept. I
Mgr.
I Adopted 1
Title I
Level I
Rcmd. I Rcmd. (Adopted I
Rcmd. I
Rcmd.
I Budget 1
I
--------------------I-------I-------I------
Building Official 1
100$1
100%1
I------
100$1
I ------------I----
100$1
$69,948 1
------
$69,948
I-----------
1 $78,060 1
Asst. Building Off. 1
100%1
100%1
100$1
100%1
$46,573 1
$45,573
1 $68,300 1
Plan Check Coord. 1
100%1
100%1
100%1
100%1
$55,608 1
$55,608
1 $59,030 1
Bldg. Insp. Supv. 1
100%1
100%1
100%1
100%1
$45,552 1
$45,552
1 $50,330 1
Bldg. Insp. Supv. 1
100%1
100%1
100%1
100%1
$45,552 1
$45,552
1 $50,330 1
Principal Plns Exam 1
100%1
100%1
100%1
100%1
$39,120 1
$39,120
1 $43,340 1
Principal Plns Exam 1
100%1
100%1
100%1
100%1
$47,880 1
$47,880
1 $51,860 1
Sr.Pl.Ckr/Fire Prot.1
100%1
100%1
100%1
100%1
$42,261 1
$42,261
1 $44,660 1
Counter Plns Exam 1
100%1
100%1
100%1
100%1
$44,419 1
$44,419
1 $47,880 1
Plans Examiner 1
100%1
100%1
100%1
100%1
$41,220 1
$41,220
1 $45,560 1
Plans Examiner 1
100%1
100%1
100%1
10D%I
$36,167 1
$36,167
1 $39,620 1
Plans Examiner I
100%1
100%1
100%1
100%1
$33,684 1
$33,684
1 $36,160 1
Grading P1. Clerk 1
0%1
100%I
0%1
0%1
$0 I
$0
I $0 I
Plns Exam/Grading 1
100%1
100%1
100%1
100%1
$41,213 1
$41,213
1 $45,560 1
Elec. Specialist 1
100%1
100%l
100%1
100%1
$41,213 1
$41,213
1 $45,560 1
Rehab. Specialist 1
100%1
100%1
100%1
100%1
$41,213 1
$41,213
1 $44,660 1
Plumb./Meth. Spec. 1
0%1
100%1
100%1
108%1
$33,694 1
$33,684
1 $43,340 1
Struct. Specialist 1
0%1
100%1
100%1
100%1
$33,684 1
$33,684
1 $43,340 1
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$37,308 1
$37,308
1 $41,220 1
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$37,308 1
$37,308
1 $41,220 1
Bldg. Inspector I
100%1
100%1
100%1
100%1
$37,123 1
$37,123
1 $39,220 1
•
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$36,279 1
$36,279
1 $37,310 1
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$35,457 1
$35,457
1 $36,590 1
Bldg. Inspector 1
100%1
100%1
100%I
100%1
$34,751 1
$34,751
1 $35,500 1
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$33,664 1
$33,664
1 $35,500 1
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$33,329 1
$33,329
1 $35,500 1
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$32,635 1
$32,635
1 $35,500 I
Bldg. Inspector 1
0%1
100%1
100%1
100%1
$29,561 1
$29,561
1 $39,220 1
Bldg. Inspector 1
100%1
100%1
100%1
100%1
$29,076 1
$29,076
1 $32,130 1
Office Supervisor 1
0%1
100%1
0%1
0%1
$25,620 1
$0
I $0 I
Sr. Office Assistantl
100%1
100%1
100%1
100%1
$27,760 1
$27,760
1 $30,870 1
Pub. Serv.Technicianl
100%1
100%1
100%1
100%1
$29,664 1
$29,664
1 $32,280 1
Pub. Serv.Technicianl
100%1
100%1
100%1
100%1
$28,536 1
$28,536
1 $31,340 1
Office Specialist 111
100%1
100%1
100%1
100%1
$22,656 1
$22,656
1 $24,660 1
Office Specialist I11
100%1
100%1
100%1
100%1
$22,656 1
$22,656
1 $24,660 1
Office Specialist 111
100%1
100%1
100%1
100%1
$22,189 1
$22,189
1 $23,010 1
Office Specialist 111
0%1
100%1
100%1
100%1
$22,189 1
$22,189
1 $23,460 1
Office Assistant 1
0%1
100%1
0%1
0%1
$0 I
$0
1 $0
Administrative Aide 1
0%1
100%1
0%1
0%l
$23,173 1
$0
1 $0
I
Subtotal: I
I
1
I
I
I
I
I
1
I
$1,339,925 1
$1,291,132
I
1 $1,437,370
I
Merit Increases I
I
I
I
I
I
I
I
I
$66,996 1
I
$64,557
I
1 $71,869
Subtotal: I
I
I
I
I
$1,406,921
1 $1,355,689
1 $1,509,239
I
I
Fringe Benefits 1
I
I
I
I
I
I
I
I
$492,422
I
1 $474,491
I $528,234
.
Total: 1
I
1
1
I
I
I
$1,899,343
1 $1,830,180
I
i $2,037,473
I
I
3731fmla.wkl I
I
I
I
I
I
I
I
I
COST CENTER DETAIL WORKSHEET
----------------------------------------------
--------- I
Department/Division: Program: Account Number: (Fiscal Yearl
I
Com.Dev./Building & Safetyl Building Inspection l
01-4373 1
1990/91 1
------------------------------------------------------------------
Object No.1 Description of Items & Individual Dollar
Amounts I
---------1
Budget l
- I----------------------------------------------------------------I-----------1
1100 (Regular Salary
151,509,239 l
I I
1200 10vertime
1
$3,000 i
1900 lFringe Benefits
i
$528,234 lI
3100 11ravel & Meetings
I
I
I IC80 Annual Bus. Meeting
$3,000 1
l
l CALK Ann. Business Meeting
$2,000 l
I
1 Local Meetings
$1,000 1
I
l
Subtotal: l
$6,000 l
3300 (Mileage
l
l Auto Allowance - Building Official
$3,000 1
I
l Miscellaneous Mileage
$200 1
i
1
Subtotal: 1
$3,200 l
3900 (Maintenance & Operations
I
I
Postage
$700 1
l Office Supplies
$3,800 i
I
1 Printing - Permit Forms
$4,000 l
I
Printing - Pamphlets/Booklets
$2,000 l
I
l Miscellaneous Printing
$4,000 l
I
•
l Books/Publications
I
l
i
Codes
$1,000 1
Miscellaneous Technical Books
$500 1
I
1 Miscellaneous Small Tools
$1,000
l I
l Technical Training
$10,000
l I
1 Computer Supplies
$1,000
l I
i Computer Cabling
SD
I 1
1 Computer Software
$10,065
1
1 Miscellaneous Office Accessories
$2,000
1 I
l Hand Held Calculator
$300
1 I
l
Subtotal:
l $40,365 l
3931 ll Vehicle Maintenance
1 $80,200 l
I I
3956 (Dues
1 I
I International Conf. of Building Off.&
I I
I Inter. Assoc. of Plumb. & Mach. Officials
$200
1 I
l California Building Officials
$175
l I
l Inter. Assoc. of Electrical Inspectors
580
l I
l National Fire Protection Assoc.
$80
I I
l Local Chapters
l
$350
l $885 l
I I
I
3131fm2a.wk1
Subtotal(pg.1)
I I
152,171,123 l
I
I I
COST CENTER DETAIL WORKSHEET
Department/Division: I Program:
Account Number:
IFiscal Year
Com.Dev./Building 6 Safety) Building Inspection-
01-4373
1990/91
------------------------------------------------------------
Object No.1 Description of Items 6 Individual
-----------------�
Dollar Amounts
Budget
------- ------------------------------------------------------------------
(Cont'd)
Subtotal(pg.1)
------------�
$2,171,123
3960 lGeneral Liability
( $5,300
6028 )Contract Services
Sullivan 6 Associates
$60,000
Community Development Services
$5,000
Grading Consultants
$2,000
Pacesetter
$125,000
Microfilming of Plans/Permits
$5,000
Rehab./Abatement Program
$25,000
JEquipment Maintenance
Contract Maint./Computers
$6,631
Spot Copiers
$2,000
Microfilm Reader/Printer
$800
Typewriters/Calculators
$2,000
Video Monitor
$75
MIS Administration
$68,051
Subtotal:
$301,557
7044 ICapital Equipment
Computer Equipment
$16,624
Pagers
$1,000
Spot Copier
$5,000
Handheld Radios
$2,400
Subtotal:
$25,024
7045 JCapital Vehicles
Utility Vehicle (Blazer)
$16,000
2 Compact Sedans (4 door)
$22,000
3 Two -Way Radios
$3,000
Subtotal:
$41,000
Total:
$2,544,004
3731fm2b.wkl
0
0
COMPUTER SOFTWARE REQUEST FORM
Department: Community Development
Division: Building 6
Safety
Fiscal Year
01-4373
1990/91
------------------------------------------------------------------------------------------------------------
I
I I
I
I Resource
Center
1
(Serial Number/ID of
I I
I
I
Use Only 1
Account I Software Identification
(Computer Unit where
IQtyl Unit
1Estimatedl
.........................
I
Number I
I Software is to
I I Cost
I Cost
lApprovedlOeniedl
Date I
I
I be installed
I I
I
I
I
I I
----437-------I--------------------------I--------------------I--
01-3-3900JP1an Analyst/Upgrade
IPlan Check Room
I -------
1 1 1 $400
I---------
1 $400
I--------
1 $400
I------
1 $0
I---------I
104-16-90 1
11C80 Eval. Service/Subscr.lPlan
Check Room
1 1 1 $300
1 $300
1 $300
1 $0
104-16-90 1
1Structural
IPlan Check Room
1 1 1$2,000
1 $2,000
1 $2,000.1
$0
104-15-90 1
(Fire Protection
IPlan Check Room
1 1 1$2,000
1 $2,000
1 $2,000
1 $0
104-16-90 1
1Grading
IPlan Check Room
1 1 1$2,000
1 $2,000
1 $2,000
1 $0
104-16-90 1
IT -Graph
(Throughout
1 4 1 $550
1 $2,200
1 $2,200
1 $0
104-16-90 1
1Pagemaker MAC
1Admin. Aide
I 1 1 $398
1 $398
1 $398
1 $0
104-16-90 1
1Wordperfect MAC
1Admin. Aide
1 1 1 $205
1 $205
1 $205
1 $0
104-16-90
1Cricket Draw MAC
1Admin. Aide
1 1 1 $200
1 $200
1 $200
1 $0
104-16-90 1
ISuperpaint MAC
1Admin. Aide
I 1 1 $149
1 $149
1 $149
1 $0
104-16-90
1S.A.M.
I
1 1 1 $e8
1 $88
1 $88
1 $0
104-16-90 1
(Fastback MAC
I
I
I
I
I
I
I
1 1 1 $125
I I
I I
I I
1 $125
I
I
I
1 $125
I
I
I
1 $0
I
I
I
104-16-90
I
I
I
I
I
I
lotus7a.wkl 1
Totals: 15 $10,065 $10,065
$0
0
0
0
COMPUTER CONTRACT SERVICES REQUEST FORM
Department: Community Development
Division: Building &
Safety
Fiscal Year
01-4373
1990/91
---------------------------------------------------------------------------------------------
1 Resource Center
Use Only
Account Contract Services
IJustificationlQtyl
Unit
jEstimatel
Number
I I I
Cost
I Cost
..........................
jApprovedl
Denied
I Date
---------- I---------------------
01-4313-60281EQUIPMENT MAINTENANCEI
I ------------- I --- I------
I --------
I -------- I--------
I --------
INBI - ICU/Multi-net
JEquip.Maint. I 1 1
850
1 $850
1 $1,020 1
($170)104-16-901
INBI Workstations
1 1 2 1
276
1 $552
1 $828 1
($276)104-16-901
JNBI Printers
1 1
1090
1 $1,090
1 $1,090 1
$0
104-16-901
11BM Computer
1 1 1
509
1 $509
1 $509 1
$0
104-16-901
Compaq Computer
1 1 3 1
453
1 $1,359
1 $1,359 1
SO
104-16-901
SPT 200's
1 1 4 1
179
1 $716
1 $716 1
$0
104-16-901
ISelanar Terminal
I I 1 1
179
1 $179
1 $179 1
$0
104-16-901
Toshiba Printer
I 1 1 I
276
I $276
1 $276 1
$0
104-16-901
NEC 3550 Impact Ptr.
1 1 3 1
218
1 $654
1 $654 1
$0
104-16-901
lotus5a.wk1
Totals: 17 $6,185 $6,631
•
•
COMPUTER HARDWARE REQUEST FORM
Department: Community Development Division: Building 6 Safety Fiscal Year
01-4373 1990/91
----------------------------------------------- -------------------------------------------------
I I I I I I Reurce Center I
I I I I I Use Only i
Account i Hardware Description I Work Area [Qty I Unit IEstimatedl--------------------------I
Number Identification I Location I Cost I Cost IApprovedl Denied I Date I
- I ----------------------- I -----------I--- I --------I --------- I -------- I -------- I -------- I
Oi-4373-70441Compaq 286e, Color Mon.lClerical 1 1 1 $3,800 1 $3,800 1 $0 1 $3,800 104-16-901
ICompaq 286e, Color Mon.IClerical I 1 1 $3,000 1 $3,000 1 $3,000 1 $0 104-16-901
ICompag386e,Color Mon. [Clerical 1 1 1 $4,000 1 $4,000 1 $4,000 1 $0 104-16-901
IMAC Ilcx, 40CPU (Admin. Aidel 1 1 $6,074 1 $6,074 1 $6,074 1 $0 104-16-901
(Laser Printer [Admin. Aidel 1 1 $3,550 1 $3,550 1 $3,550 1 $0 104-16-901
I I I I I I I I I
I I I I I I I I II
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
lotus4A.wkl I
Totals:
$20,424 $15,624 $3,800
•
•
CAPITAL EQUIPMENT REQUEST FORM
Department: Community Development Division: Building 6 Safety Fiscal Year
01-4373 1990/91
Account I New/ or I I
Number (Replaces (EQUIPMENT IDENTIFICATION 6 JUSTIFICATION 1
------------1---------1----------------------------------------------
01-4373-70441
--------------------------------------- =---01-4373-70441 (CAPITAL EQUIPMENT: 1
I I I
70441New (Pager (4) $1,000 1
I IFor new personnel I
I I I
70441New (Spot Copier (for Division copy room $5,000
I I I
70441New (Hand Held Radios (2 each) $2,400
� I I
I I I
I I TOTAL FOR ACCOUNT NUMBER 01- 4373-7044:1
01-4373-70451
(CAPITAL EQUIPMENT / VEHICLES: I
----------------------
70451New
(Blazer 2wd 1990 (1) $16,000 II
1
IFor use by new Building Inspector I
I
70451New
I I
(Compact sedan - 4 door (2) $22,000 I
1
1 For use by Plumb./Mech., and 1
1
1 Struct. Specialist 1
I
70451New
I I
(Two-way radio (3) $3,000 1
1
I
I
IFor new vehicles 1
I I
I I
I
I
I
I
I
I
I
lotus3A.wkl
I
TOTAL FOR ACCOUNT NUMBER 01- 4373-7045:1
1
GRAND TOTAL:
Estimated 1
Cost 1
$8,400
I
I
I
I
$41,000 I
I
$49,400
Sheriff's Department
01-0451
I
•
BUDGET PROJECTION WORMSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND --- SHERRIFF'S DEPARTMENT
4451 1100 REGULAR PAYROLL
0,
10/22/90 CITY OF RANCHO CUCAMONGA
4451 1200 OVERTIME PAYROLL
4451 1300 PARTTIME PAYROLL
4451 1900 FRINGE BENEFITS
4451 3100 TRAVEL 6 MEETINGS
$451 3300 MILEAGE
4$51 3900 MAINTENANCE 6 OPERATIONS
$451 3931 VEHICLE MAINT.6 OPERATIONS
4451 3956 DUES
4451 3958 AUTO INSURANCE
4451 6027 HAZARDOUS WASTE REMOVAL
4451 6028 CONTACT SERVICES
1 4451 7043 CAPITAL ENPEN.-BUILDING
1 4$51 7044 CAPITAL ENPEN.-EQUIPMENT
4451 7045 CAPITAL EXPEND. -VEHICLE
DEPARTMENT TOTAL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL
DEPT COUNCIL
REQUEST CITY APPROVED
1990/91 MGR 1990/91
37,195 31,213 41,328 2,480 17,467 43,808 43,233 43,233 43,233
240 SOS 0 0 287 0 a 0 0
29,468 42,581 58,000 0 21,473 58,000 62,392 82,392 82,392
0 0 14,465 (14,465) 0 0 15,132 15,132 15,132
193 499 2,250 0 133 2,250 2,250 2,250 2,250
0 4 0 0 a 0 0 0 a
90,815 85,834 138,160 0 33,130 75,000 121,035 82,563 02,563
111,118 145,621 281,314 0 53,639 110,000 297,536 277,457 277,457
60 2,475 4,350 0 45 4,360 5,060 5,060 5,060
0 0 0 0 0 0 0 0 0
2,538 21135 0 0 0 0 0 0 0
4,905,338 5,591,910 6,027,721 66,000 2,414,415 5,000,000 7,101,583 6,748,198 6,748,198
0 0 0 0 0 0 0 0 0
10,591 2,731 25,029 8,732 22,372 33,761 12,314 26,514 26,514
0 10,441 0 0 0 0 0 0 0
5,187,552 5,915,949 6,592,627 $2,747 2,562,961 5,327,179 7,680,535 7,202,795 1,282,795
•
•
Department: POLICE
-------------------
Position
Classification
Title
--------------------
CAPTAIN
LIEUTENANT (ADMIN.)
LIEUTENANT (PATROL)
LIEUTENANT (TRAFFIC)
SERGEANT
SERGEANT
SERGEANT
SERGEANT
SERGEANT
SERGEANT
SERGEANT
SERGEANT
SERGEANT
(DETECTIVE)
(TRAFFIC)
(ADMIN.)
(PATROL)
(PATROL)
(PATROL)
(PATROL)
(PATROL)
(PATROL)
PROGRAM POSITION/SALARY SCHEDULE
FISCAL YEAR
01-4451 Division: SWORN PERSONNEL 1990/91
jCurrentj
Level
100$
100%
100%1
100$1
100$
100%1
1 100%1
100$
100%j
1 100$1
100$1
100%1
1 100$1
SENIOR DEPUTY (TRAFFIC))
SENIOR DEPUTY (PATROL)
SENIOR DEPUTY (PATROL)
SENIOR DEPUTY (INVEST.))
SENIOR DEPUTY (INVEST.)
SENIOR DEPUTY (INVEST.))
SENIOR DEPUTY (INVEST.)
SENIOR DEPUTY (INVEST.))
SENIOR DEPUTY (INVEST.))
SENIOR DEPUTY (INVEST.))
SENIOR DEPUTY (INVEST.)
SENIOR DEPUTY (INVEST.))
DEPUTY II (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY li (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY 11 (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY II (TRAFFIC)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
DEPUTY II (PATROL)
lotusl.wkl (a1 -p61)
100$1
100%
100%j
took
100$)
100%
100$
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100
100%
100
--------------------
Position Quota Appropriations
Dept.
$1
$1
Mgr. I
I
Dept.
Mgr.
Adopted
Rcmd. I
Rcmd. Adopted
Rcmd.
Rcmd.
Budget
------- I -------
100%j
I --------
100$
I -----------
100$1
-----------
$67,641 1
-----------
$67,641 s
$67,641
100$1
100%j
100$1
$61,398
$61,396
$61,398
100$j
100$1
100%1
$61,398
$61,398 1
$61,398 1
100$
100%
100$
$61,398
1
$61,398
1
$61,398
1
1
100$1
1
100$
�
100$
$53,181
$53,181 1
$53,181
100%j
100kj
100%]
$53,181
$53,181
$53,181
100$j
100$
100$1
$53,181
$53,181
$53,181
100%j
100$
100%1
$53,181 1
$53,181
$53,181 1
100$1
100$j
100%
$53,181
$53,181
$53,181
100$
100%1
100$j
$53,181 (
$53,181
$53,181 1
100$
100$1
100%1
$53,181
$53,181
$53,181
100%1
100%j
100%1
$53,181 1
$53,181
$53,181
100%j
100$1
100%1
$53,161
$53,181
1
$53,181
1
1
100%j
1
100%1
1
100%j
1
$46,688 1
$46,688
$46,688 1
100%1
1005]
100%1
$46,688 1
$46,688
$46,688 1
100$
100%1
100%1
$46,688
$46,688
$45,688 1
100$1
100%1
100%1
$46,688
$45,688 1
$46,688
100%j
100$
100$
$46,688
$46,688 1
$46,688 1
100%1
100%j
100$1
$46,588 1
$46,688
$46,686
100%
100%
100$1
$46,688
$46,688
$46,688 1
1 100%1
100%1
100$1
$46,688 1
$46,688 1
$46,688
100%j
100%1
100%1
$46,688
$46,688 .1
$46,688
100%1
100%1
100%1
$46,688 1
$46,688
$46,688
100%1
100%1
100%1
$46,688 1
$46,688
$46,688
100%j
100$1
100$1
$46,688
$46,688 1
1
$46,688
1 1
1 100%1
1
100%j
1
100$1
1
$42,345 1
$42,345
$42,345
100%1
100$
100$1
$42,345 1
$42,345
$42,345
1 100%
100%1
100%1
$42,345 1
$42,345 1
$42,345
1 100$1
100$1
100%
$42,345 (
$42,345
$42,345
100%1
100%
100%1
$42,345 1
$42,345
$42,345
1 100$1
100%1
100%1
$42,345 1
$42,345 1
$42,345
100%1
100$
100%1
$42,345 1
$42,345
$42,345
100%1
100$
100%1
$42,345 1
$42,345 1
$42,345
100$1
100%j
100$1
$42,345 1
$42,345 1
$42,345
100$1
100%1
100%1
$42,345
$42,345 1
$42,345
100$
100$1
100%1
$42,345 1
$42,345
$42,345
1 100$1
100$1
100%1
$42,345
$42,345 1
$42,345
1 100%j
100$1
100%1
$42,345 1
$42,345 1
$42,345
100%
100$1
100%1
$42,345 1
$42,345
$42,345
100$1
100%1
100%1
$42,345 1
$42,345
$42,345
100%1
100$
100$1
$42,345 1
$42,345
$42,345
100$
100$1
100$1
$42,345
$42,345
$42,345
100%
100%1
100$1
$42,345 1
$42,345
$42,345
100%1
100%1
100%1
$42,345
$42,345 1
$42,345
1 100%1
100%j
100%
$42,345 1
$42,345 1
$42,345
100%1
100%1
100%1
$42,345 1
$42,345 1
$42,345
0
0
SWORN PERSONNEL PG.2 PROGRAM POSITION/SALARY SCHEDULE F1 S,A990/9;AR
Department: POLICE 01-4451 Division: SWORN PERSONNEL
Position Quota Appropriations
SWORN SUBTOTAL:
5% MERIT CONTING.:
FRINGE BENEFITS:
SWORN TOTAL: 74
0
lotusl.wkl (a63 -p117)
75
---------------
Mgr. I
Position
I_______________
_
Classification
Rcmd. jAdopted I
jCurrentj
Dept.
Budget
Title
I Level I
Rcmd.
--P---------------------I-------I-------I.
DEUTY
II
(PATROL)
1 1009
100$1
DEPUTY
IT
(PATROL)
1 100$1
100%1
DEPUTY
II
(PATROL)
1 100$1
100$1
DEPUTY
II
(PATROL)
I 100$j
100%1
DEPUTY
II
(PATROL)
1 100$1
100$
DEPUTY
II
(PATROL)
I 1001]
10011
DEPUTY
II
(PATROL)
1 10011
10011
DEPUTY
II
(PATROL)
1 1001
1001
DEPUTY
II
(PATROL)
1 1001
10011
DEPUTY
II
(PATROL)
1 1001
1001
DEPUTY
II
(PATROL)
1 10011
1001
DEPUTY
II
(PATROL)
1 1001
10011
DEPUTY
II
(PATROL)
1 10011
10011
DEPUTY
II
(PATROL)
1 1001
100$1
DEPUTY
II
(PATROL)
1 10011
10011
DEPUTY
II
(PATROL)
I 1001]
1001
DEPUTY
II
(PATROL)
1 10011
1001
DEPUTY
II
(PATROL)
1 100$1
100$1
DEPUTY
II
(PATROL)
1 1001
10011
DEPUTY
II
(PATROL)
1 10011
10011
DEPUTY
II
(PATROL)
1 10011
1001
DEPUTY
11
(PATROL)
1 10011
10011
DEPUTY
II
(PATROL)
1 10011
1001
DEPUTY
II
(PATROL)
1 1001
1001]
DEPUTY
II
(PATROL)
1 10011
1001
DEPUTY
II
(PATROL)
1 10011
1001
DEPUTY
II
(PATROL)
1 1001
10011
DEPUTY
II
(PATROL)
1 10011
10011
DEPUTY
II
(D.A.R.E.)
1 031
10011
SWORN SUBTOTAL:
5% MERIT CONTING.:
FRINGE BENEFITS:
SWORN TOTAL: 74
0
lotusl.wkl (a63 -p117)
75
---------------
Mgr. I
-----------------------------------�
Dept.
Mgr.
Adopted
Rcmd. jAdopted I
Rcmd. (
Rcmd.
Budget
------ I --------
100$1
I ----•------ -----------
100$1 $42,345 1
$42,345 1
-----------
$42,345 1
100$
100%1
$42,345 1
$42,345 1
$42,345 1
100$j
100$1
$42,345 1
$42,345 1
$42,345 1
100%1
100%1
$42,345 1
$42,345 1
$42,345 1
100$1
100$j
$42,345 1
$42,345 1
$42,345 1
100%1
100%1
$42,345 1
$42,345 1
$42,345
1001
100%1
$42,345 1
$42,345 1
$42,345
10011
10011
$42,345 1
142,345 1
$42,345
1001]
10011
$42,345 1
$42,345 1
$42,345
10011
100%1
$42,345 1
$42,345 1
$42,345
1001
10011
$42,345 1
$42,345 1
$42,345
10011
10011
$42,345 1
$42,345 1
$42,345
1001]
iCD%l
$42,345 1
$42,345 1
$42,345 1
100$1
10011
$42,345 1
$42,345 1
$42,345 1
10011
10011
$42,345 1
$42,345 1
$42,345
1001
100%1
$42,345 1
$42,345 1
$42,345
100$1
10011
$42,345 1
$42,345 1
$42,345 1
10011
10011
$42,345 1
$42,345 1
$42,345
1001
100%1
$42,345 1
$42,345 1
$42,345
1001
10011
$42,345 1
$42,345 1
$42,345
10011
10011
$42,345 1
$42,345 1
$42,345
1001
10011
$42,345 1
$42,345 1
$42,345
10011
100%1
$42,345 1
$42,345 1
$42,345
10011
10011
$42,345 1
$42,345 1
$42,345
1001
100%1
$42,345 1
$42,345 1
$42,345
1001
100%1
$42,345 1
$42,345 1
$42,345
10011
100%1
$42,345 1
$42,345 1
$42,345
10011
10011
$42,345 1
$42,345
1 $42,345
1001]
10011
$42,345 1
$42,345
1 $42,345
75
1$3,407,970 153,407,970 1$3,407,970
1 $170,399 1 $170,399 1 $170,399
1$1,657,717 1$1,657,717 1$1,657,717
1 1 1
75 1$5,065,687 1$5,065,687 1$5,065,687
1 1 1
• Department: POLICE
Position
Classification
Title
PROGRAM POSITION/SALARY SCHEDULE
01-4451 Division:NON-SWORN PERSONNEL
Position Quota I Appropriations
ICurrentl Dept. I Mgr. I I Dept•
I Level I Rcmd. I Rcmd. (Adopted I Rcmd.
- ---- -- -- ----------I-------I-------1-------1--------1-
COMMUNITY SVCS.OFF.
I 100$1
100$1
100$1
100%1
COMMUNITY SVCS.OFF.
I 100$1
100%1
100$1
100%1
MOTORPOOL SVCS.ASST.
1 100%1
200$1
200$1
200%1
SECRETARY II
1 100%1
100$1
100%1
100%1
SECRETARY I
1 100%1
100%1
100%1
100%1
CLERK SUPERVISOR
1 100%1
100%I
100%1
100%I
STATION CLERK
1 100%1
100%1
100%1
100%1
STATION CLERK
1 100%1
100%1
100%1
100%1
STATION CLERK
1 100%1
100%1
100%1
100%1
STATION CLERK
1 100%1
100%1
100%1
100%I
STATION CLERK
I 100%1
100%1
100%1
100%1
STATION CLERK
1 100%1
100%1
100%1
10011
STATION CLERK
1 100%1
100%1
100%1
100%1
STATION CLERK
1 100%1
100%1
100%1
100%1
POLICE CLERK
I 10D%I
100%1
100%1
100%1
POLICE CLERK
1 100%1
100%1
100%1
100%1
PUBLIC INFO CLERK
1 100%1
100$1
100%1
100%1
FORENSIC SPECIALIST
1 100%1
100%1
100%1
100%1
FORENSIC SPECIALIST
1 100%1
100%1
100%1
100%1
• SERVICE SPECIALIST
1 100%1
100%1
100%1
100%1
SERVICE SPECIALIST
1 100%1
100%1
100%1
100%1
SERVICE SPECIALIST
1 100%1
100%1
100%1
100%1
DISPATCHER
1 100%1
100%1
100%1
100%1
DISPATCHER
1 100%1
100%1
100%1
100%1
DISPATCHER
1 100%1
100%1
100%1
100%1
DISPATCHER
1 100%1
100%1
100%1
100%1
DISPATCHER
1 100%1
100%1
100%1
100%1
DISPATCHER
1 100%1
100%1
100%1
100%I
DISPATCHER
1 100%1
I I
I I
100%1
I
I
100%1
I
I
100%1
I
I
NON -SWORN SUBTOTAL: I I I
I I I
FRINGE BENEFITS: 1 I I
I I I
• NON -SWORN TOTAL: 1 29 1 30 1 30
I I I
lotusl.wkl (a124-pl79)
$23,347
$23,347
$47,898
$26,413
$24,534
$25,766
$23,344
$23,344
$23,344
$23,344
$23,344
$23,344
$23,344
$23,344
$21,617
$21,617
$19,251
$31,341
$31,341
$25,766
$25,766
$25,766
$28,397
$28,397
$28,397
$28,397
$28,397
$28,397
$28,397
FI SCAL YEAR
1990/91
mgr. I Aaopte
Rcmd. I Budget
-----------
$23,347 1
$23,347 1
$47,898 1
$26,413 1
$24,534 I
$25,766 1
$23,344 1
$23,344 1
$23,344 1
$23,344 I
$23,344 1
$23,344
$23,344
1 $23,344
$21,617
1 $21,617
$19,251
1 $31,341
1 $31,341
I $25,766
1 $25,766
I $25,766
1 $28,397
$28,397
1 $28,397
1 $28,397
I $28,397
$28,397
I $28,397
$23,347
$23,347
$47,898
$26,413
$24,534
$25,766
$23,344
$23,344
$23,344
$23,344
$23,344
$23,344
$23,344
$23,344
$21,617
$21,617
$19,251
$31,341
$31,341
$25,766
$25,766
$25,766
$28,397
$28,397
$28,397
$28,397
$28,397
$28,397
$28,397
I I
I I
I I
$759,301 1 $759,301 I $759,301
I I
$232,992 I $232,992 I $232,992
30 1 $992,293
$992,293 I $992,293
I
•
0
PROGRAM POSITION/SALARY SCHEDULE
Department: POLICE 01-4451 Division:CROSSING GUARDS
CROSSING -GUARD SUBTOTALS
CROSSING GUARD TOTAL 1 19 1 24
• lotusl.wkl (a185 -p241)
ations
Mgr.
Rcmd.
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$82,392 $82,392
24 1 24 1 $82,392 1 $82,392
FISCAL YEAR
1990/91
------------
Adopted
Budget
-----------
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$82,392
$82,392
Position Quota
Appropr
Position
-------------------------------
------------
Classification
jCurrentj
Dept. I
Mgr. I
I
Dept.
Title
I Level I
Rcmd. I
Rcmd. jAdopted I
Rcmd.
----OSS-------------------
CRING
GUARD
I ------- I
1 100$
------- I
100$1
------- I --------
100$1
I-----------
100$1
$3,433
CROSSING
GUARD
1 100$
100$
100$1
10031
$3,433
CROSSING
GUARD
1 10031
1003
1003
100%1
$3,433
CROSSING
GUARD
1 100$1
100$1
10031
10031
$3,433 1
CROSSING
GUARD
1 100$1
10031
10031
100%1
$3,433 1
CROSSING
GUARD
1 10031
1003
10031
10031
$3,433 1
CROSSING
GUARD
1 100$
10031
10031
100%1
$3,433
CROSSING
GUARD
1 10031
10031
10031
10031
$3,433
CROSSING
GUARD
I 1D0$j
100$1
10031
100%1
$3,433
CROSSING
GUARD
1 10031
10031
100$1
100$1
$3,433 1
CROSSING
GUARD
1 100$
100$1
100$1
100$1
$3,433 1
CROSSING
GUARD
1 10031
10031
10031
10031
$3,433 1
CROSSING
GUARD
1 10031
10031
100$1
100$1
$3,433
CROSSING
GUARD
1 10031
100$1
100$1
10031
$3,433 1
CROSSING
GUARD
1 10031
10031
1003
100%1
$3,433
CROSSING
GUARD
1 100$1
100$1
100$1
10031
$3,433 1
CROSSING
GUARD
1 10031
1003
100$1
100%1
$3,433
CROSSING
GUARD
1 1003
1003
10031
100$1
$3,433 1
CROSSING
GUARD
1 10031
10031
1003
10031
$3,433 1
CROSSING
GUARD
1 031
100$]
100$
10031
$3,433 1
CROSSING
GUARD
1 031
1003
1003
100$1
$3,433
CROSSING
GUARD
I 0$j
10031
10031
10031
$3,433 1
CROSSING
GUARD
1 0%1
1003
1003
100%1
$3,433
CROSSING
GUARD
1 031
1 1
1 1
10031
1
1
1003]
1
1
10031
1
1
$3,433
1
1
CROSSING -GUARD SUBTOTALS
CROSSING GUARD TOTAL 1 19 1 24
• lotusl.wkl (a185 -p241)
ations
Mgr.
Rcmd.
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$82,392 $82,392
24 1 24 1 $82,392 1 $82,392
FISCAL YEAR
1990/91
------------
Adopted
Budget
-----------
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$3,433
$82,392
$82,392
0
0
POLICE
COST CENTER DETAIL WORKSHEET
Program: I Account Number:
POLICE 1 01-4451
Object No.1 Description of Items 5 Individual Dollar Amounts
scat Yearl
1990/91 1
Budget 1
---------•-------------------------
1100
IREGULAR SALARY
I
I
I
43,233 I
I
1300
IPART TIME PAYROLL
I
I
82,392 I
I
1900
I
(FRINGE BENEFITS
I
I
I
15,132 I
I
3100
I
ITRAVEL 6 MEETINGS
(
I
2.250 I
I
3900
IMAINTENANCE 6 OPERATIONS
I
1
UNIFORMS AND EQUIPMENT
2,625 I
I
HOUSEKEEPING
3,465 I
I
EQUIPMENT MAINTENANCE
3,048 I
I
FACILITY MAINTENANCE
3,116 I
MEDICAL SUPPLIES
525 I
I
OFFICE EXPENSE
24,090 I
I
PROFESSIONAL SERVICES
1,800 I
I
SPECIAL DEPT EXPENSE
16.825 I
I
PRIVATE MILEAGE
1,000 I
I
POSTAL SERVICES
4,329 I
I
SMALL EQUIP PURCHASE
3,352 I
I
I OFFICE FURNITURE
1,288 I
I
CRIME PREVENTION MATERIAL
17,000 I
I
SUBTOTAL: I
82,563 I
3931
I
IVEHICLE MAINTENANCE S FUEL
I
I
I
277,457 I
3956
IDUES
I
I
I CRIME PREVENTION
860 I
I
LEGAL DEFENSE FUNDS
4,200 I
I
SUBTOTAL: I
5,060 1
6028
I
(CONTRACT SERVICES
I
I
I
I
SHERIFF'S DEPARTMENT
6,523,393 I
I
OVERTIME
219,483 I
XEROX
17,925 I
I
I IDENT-I-KIT
800 I
I
I EQUIPMENT SERVICES CONTRACT
4,886 I
I
CRISS-CROSS PHONE BOOK
150 I
I
MIS CHARGES
16,596 I
I
I (LESS SUPPLIES AND FORMS ADJUSTMENT)
(19,951)1
(LESS STATION CLERK ADJUSTMENT)
(61,582)1
I
1 CAL I.D. PROGRAM
46,500 1
i
SUBTOTAL: 1
6,748,194 I
I
7044
1
ICAPITAL EQUIPMENT
I
I
I VEHICLE
16,000 I
I
OFFICE EQUIPMENT
800 1
1
1 COMPUTER EQUIPMENT
9,714 1
1
1
SUBTOTAL: I
26,514 I
lotus2.wk11
I
I
TOTAL: 17,282,795
I
1
r1
�J
•
•
CAPITAL EQUIPMENT REQUEST FORM
Department: POLICE Fiscal Year: 1990/91
01-4451
------------------------------------------------------------------------ ---------
Account I New/ or I (Estimate i
Number I Replaces (EQUIPMENT IDENTIFICATION & JUSTIFICATION OF NEED I Cost
----------- I ---------- I ------------------------------------------------- ---------
4451-7044 INEW IFORD OR CHEVROLET MINI -VAN WITH SPECIAL D.A.R.E. I $16,000
IPAINT SCHEME
TO BE USED BY PROJECTED D.A.R.E. OFFICER TO I
TRANSPORT PERSONNEL AND MATERIALS TO CLASSES I
I THROUGHOUT THE CITY. I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I
I I I
I I I
I I I
I
I I �
I I �
I I �
I I I
I I I
I
I I I
I I I
I I I
I I I
I I I
I I �
I I I
I
I I I
lotus3.wk1 I I
I I
TOTAL I $16,000
•
•
DepartmentPOLICE
01-4451
COMPUTER HARDWARE REQUEST FORM
Fiscal Y1990/91
------------ -------------------------- ------
Resource Center
l I I I Unit1 1Use Only
Account I Hardware Description (Work Area 1Qty I Cost lEstimatedl-----------
Number I Identification 1 Location I I I Cost 1 Approved 1
---------j------------------------1----------1---1-------1---------1----------
--- 1
01-4451-70441CANON model AP160-II I 1 I I I I
(TYPEWRITER 1 1 1 1 $800 1 $800 1 $800 1
IDEC VT -320 Sys w/cables 1 1 3 1$1,938 1 $5,814 1 $5,814 1
16 Inter. w/county Comp. I I I I I I
10igital LA210 printers I 1 3 1$1,300 1 $3,900 1 $3,900 1
I I I I I I I
I I I I I I I
I I I I I I I
I I I I I I I
I I I I I
j I I I
I I I I
I I I I
I I I I
I I I I
1 I I I
lotus4.wkl I I I 1
I I I I
I I Totals: 7
$10,514
Denied I Date
$0
$0
$0
Community Services
01.4352
r
r
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---COMMUNITY SERV. ADMIN
4532 1100 REGULAR PAYROLL
6532 1200 OVERTIME PAYROLL
6532 1300 PARTTIME PAYROLL
4532 1900 FRINGE BENEFITS
4532 2000 P.E.R.S.
6532 3100 TRAVEL 6 MEETINGS
6532 3300 MILEAGE
4532 3900 MAINTENANCE 6 OPERATIONS
6532 3931 VEHICLE MAINT.6 OPERATIONS
4532 3956 DUES
1 4532 3960 GENERAL LIABILITY
1 4532 6028 CONTACT SERVICES
1 4532 7043 CAPITAL EXPEN.-BUILDING
1 4532 7044 CAPITAL EXPEN.-EQUIPMENT
1 4532 7045 CAPITAL EXPEND. -VEHICLES _
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCA14ONGA
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
397,333 466,656 461,483 27,689 252,717
74 0 0 0 0
69,776 104,014 128,499 0 57,247
0 0 150,500 (160,580) 0
0 0 D 0 350
5,867 16,773 11,235 0 5,304
3,155 4,850 3,500 0 2,010
156,819 131,398 219,512 (9,350) 93,654
3,161 5,842 3,580 0 111
1,075 1,921 1,760 0 1,162
0 0 3,052 (3,052) 0
35,527 72,573 62,510 6,762 26,521
365 20,109 0 0 0
3,364 150 3,830 0 0
0 0 0 0
616,526 82/,886 1,062,581 (138,531) 639,110
DEPT COUNCIL
REQUEST CITY APPROVED
1990/91 MGR 1990/91
189,172 651,414 533,322 612,664
0 51,168 0 0
128,199' 148,221 135,593 142,373
0 238,229 188,750 216,694
0 0 0 0
14,235 32,764 16,040 16,080
3,500 6,500 8,200 4,200
210,222 254,007 227,964 221,964
3,580 6,150 6,150 6,150
1,110 2,903 1,955 1,955
0 3,881 3,434 3,438
69,272 91,957 115,977 115,977
0 3,600 0 0
31830 45,982 12,937 12,937
0 18,000 18,000 18,000
924,050 1,554,782 1,264,322 1,378,588
•
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
Department: Community Services Division: Administration 1990/91
01-4532
-------Position -----------------------------
1
Position Quota
Appropriations
1
--------1
------------------------------
1-------------------------------
Classification
Classification
-------- -
1Currentl
Dept. I
Mgr. I
I Dept,
I Mgr. I
Adopted 1
Title
I Level I
Rcmd. I
Rcmd. (Adopted I Reed.
I Rcmd. I
I--------- I-----------
Budget 1
I
-----------------------
Community Services Dir.1
I------- I-------
100%1
I-------
100$1
I--------
100%1
I---------
100%1 $79,236
I $78,500 1
$87,552 1
Rec. Superintendent
1 100%1
100%1
100%I
100%1 $50,076
1 $50,086 1
$55,884 1
Management Analyst II
1 100%1
100%1
100%1
100%1 $41,640
1 $41,640 1
$46,464 1
Comm.Serv.Technician
1 200%1
200%1
200%1
200%1 $64,248
1 $64,248 1
$70,992 1
Admin. Secretary
I 100%1
100%1
100%1
100%1 $25,140
1 $32,136 1
$29,508 1
Recreation Supervisor
I 400%1
400%1
400%1
400%1$142,368
1$142,368 1
$158,976 1
Recreation Coordinator
1 200%1
300%1
300%1
300%1 $71,347
1 $55,078 1
$92,304 I
Office Specialist 11
1 200%1
200%1
200%1
200%1 $39,444
1 $43,870 1
$42,000 1
Subtotal:
I 1
I
I
1$513,499
1$507,926 1
$583,680 1
Merit Contingency
1 5%1
5%1
5%1
5%1 $25,675
1 $25,396 1
$29,184 1
Subtotal:
I 1I
I I
I
I
I
I
1$539,174
i
1$533,322 1
I I
$612,864 1
I
Fringe Benefits
1 35%1
35%1
35%1
I
35%1$188,711
i
1$186,663 1
I I
$214,502 1
I
TOTAL:
I I
1 1
I I
I I
I
I
i
I
1
I
I
1$727,885
I
I
1$719,985 1
I I
I I
$827,366 1
I
i
Reg. P/T Rec.Leaders
1 300%1
300%1
300%1
300%1 $10,440
1 $10,440 1
$10,962
Fringe Benefits
1 20%1
20%1
20%1
20%1 $2,088
I
1 $2,088 1
I I
$2,192 1
Subtotal:
I I
1 I
I
I
I
1
1 $12,528
1 $12,528 1
$13,154
1
Part -Time Payroll
I I
1 I
I
I
I
I
I
I
I
I
I I
I I
I
1$147,153
I
I
I
1$125,153
I
I
1 $131,411
I
I
GRAND TOTAL:
1
I
1
1
I I
1 1
I
1$881,566
I
1$857,666
I
1 $971,932
5321fml.wkl
I
I
I I
I
I
I
COST CENTER DETAIL WORKSHEET
•
Department/Division: I Program: I Account Number:
(Fiscal Yearl
Community
Services I Administration I 01-4532
i 1990/91-1
Object No.1
Description of Items & Individual Dollar
Amounts
-
-----------
I Budget I
----------
1100
I----------------------------------------------------------------
lRegular Salaries
I ----------- I
I $612,864 I
1300
1
(Part-time Payroll
I I
I $131,411 I
lRegular Part-time Payroll
I $10,962 I
1900
I
lFringe Benefits - Regular Payroll
I I
I $214,502
Fringe Benefits - Regular Part-time Payroll
I $2,192 I
I I
3100
I
(Travel & Meeting:
I I
I Congress NRPA
$1,860
i 1
1 League of Calif. Cities
$790
I I
1 Calif. Parks & Rec. Society
$5,000
I I
I League of Calif. Citites, Community Services
$1,600
I 1
1 Misc. Seminars; Local Meetings; Prof. Training
$6,790
I I
1
SUB -TOTAL:
I $16,040 I
3300
I
(Mileage Reimbursement:
I I
l 1
I Car Allowance
$3,000
I I
I Local Mileage
$1,200
l 1
SUB -TOTAL:
I $4,200 I
3900
I
(Maintenance & Operations:
I �
I I
•
I Promotional Advertising
$3,675
I
1 Photographic Supplies & Service
$8,969
I I
1 Misc. Printing & Forms
$10,000
l
I Grapevine
$103,312
I I
1 Specialized Programs (Recreation)
$10,000
1
1 Community Special Events
$28,350
I
I Office Supplies
$23,835
I
1 Community Ctr.Building Maint. & Supplies
$35,756
I
I Software
$1,824
1
I Image Writer
$978
1
I Publications
$1,266
1
1
SUB -TOTAL:
I $227,964
3931
I
(Vehicle Maintenance & Operations
I
I $6,150
3956
I
(Membership Dues:
I
1
I Calif. Parks & Rec. Society
$1,260
1
1 National Park & Rec. Assoc.
$180
I
I Misc. Dues to Professional Organizations
$515
1
I
I
SUB -TOTAL:
I $1,955
I
�
I
532LFM2.WK1(A1-L53)
PAGE 1 TOTAL:
I
I
1$1,228,240
•
COST CENTER DETAIL WORKSHEET
---------------------------------------------------------------------------------------
Department/Division: � Program: I
Account Number:
Fiscal Year
Community Services I Administration 1
01-4532
1 1990/91
---------------------------------------------------------------------------
Object No.1 Description of Items & Individual
Dollar Amounts
-----------�
Budget
--------------------------------------------------------------------------
PAGE 1 TOTAL:
-----------
1$1,228,240
3950 JGeneral Liability
$3,434
6028 lContract Services:
Copy Machine (Xerox)
$8,440
Computer Maintenance
$10,467
Library Services Enhancement
$25,000
Professional Services
$5,000
Painting & RCNC
$15,000
Painting Q Lions Center
$5,000
MIS Administration
$43,470
Repaint Snack Bars
$3,600
SUBTOTAL:
$115,977
7044 JCapital Expenditures:
Computer Equipment
$7,102
P.A. System at RCNC
$2,000
Drop Safes (2)
$1,200
Easi File
$635
Office Equipment/Furnishings
$2,000
.
SUBTOTAL:
$12,937
7045 JCapital Expenditures - Vehicles:
IGS Fund To Replace Unit 0410
$0
Astro Van (8 passenger)
$18,000
SUBTOTAL:
$18,000
5321fm2.wkl (07-003)
GRAND TOTAL:
1$1,378,588
•
•
r1
U
Department: Community Services
I
I
Account I Software Identification
Number 1
I
------------ -------------------
01-4532-3900ILotus 123
(Word Perfect
IPagemaker
(Excel
lNord Perfect
ISuperpaint
IMac Draw
1Eloectronic Clip Art
114ac Fastback
IMac SAM
I
I
I
5321fm7.wkl 1
COMPUTER SOFTWARE REQUEST FORM
Division: Administration
01-4532
I I I
ISerial Number/ID oft 1
(Computer Unit where) Qty 1
I Software is to 1
1 be installed I I
1-------------------
lExisting/Parks 1 1 1
(Existing/Parks 1 1 1
(New Mac II 1 1 1
(New Mac II I 1 I
(New Mac II 1 1 I
INew Mac II 1 1 1
INew Mac II I 1 I
INew Mac II 1 1 I
INew Mac 11 I 1 1
INew Mac II 1 1 1
I I I
II I I
Totals: 10
Fiscal Year
1990/91
$2.224 $1.824 $400
I I
Resource Center
I
I I
Use Only
1
Unit
IEstimatedl
-----------------------------I
Cost
i Cost I
I I
Approved
I Denied
I
I Date 1
I I
---$319
1--------- I
I $319 I
----------1----------
$319
1 $0
I -------
14/16/901
$251
I $251 1
$0
1 $251
14/16/901
$398
1 $398 1
$398
1 $0
14/16/901
$289
1 $289 i
$289
1 $0
14/16/901
$205
1 $205 1
$205
I $0
14/16/901
$149
i $149 l
$0
l $149
14/16/901
$200
1 $200 1
$200
1 $0
14/16/901
$200
1 $200 1
$200
I s0
14/16/901
$125
1 $125 1
$125
1 $0
14/16/901
$88
1 s88 1
I I
I 1
I I
I I
I
I
$88
I
I
1 $0
I
I
I
I
I
11
14/16/901
I I
I I
I I
I I
I I
I I
$2.224 $1.824 $400
COMPUTER CONTRACT SERVICES REQUEST FORM
Department: Community Services Division: Administration Fiscal Year
01-4532 1990/91
--------------------------------------------------------------------------
I I I I I Resource Center I
I I I I I I Use Only 1
Account I Contract Services IJustificationlQtyl Unit (Estimated I ------------------------I
Number I I I I Cost I Cost 1ApprovedlDenied I Date I
-------------- I---------------------- I------------- I--- I---------- I---------- I-------- I------- I-------1
01-4532-6028 INCR Tower/7 Monitors IMaint. 1 1 I $7,000 1 $7,000 I $7,000 I $0 14/16/901
118M 1 1 2 1 $358 1 $716 1 $716 1 $0 14/16/901
(Color Monitor 1 1 2 1 $151 1 $302 1 $302 1 $0 14/16/901
IHewlet Packard Printerl 1 1 1 $690 1 $690 1 $690 1 $0 14/16/901
loot Matrix Printer I 1 1 1 $276 1 $276 I $552 1 $0 14/16/901
ILaser Writer Printer I 11 1 $632 1 $632 1 $632 1 $0 14/16/901
IMAC Plus I 11 1 $575 1 $575 1 $575 1 $0 14/16/901
IMac II w/Color Monitorl 1 1 1 $862 1 $862 I $0 1 $862 14/16/901
11mage Writer Printer I 1 1 1 $276 1 $276 1 $0 1 $276 14/16/901
•
5321fm5.wkl I
•
Totals: 11 $11,329 $10,467 $1,138
L J
0
•
COMPUTER HARDWARE REQUEST FORM
Department: Community Services
Division: Administration
Fiscal Year
01-4532
1990/91
------------------------------------------------------------------------------------------------------
Reurce Center
Use Only
Account Hardware Description
lWork
Area jQty I
Unit
jEstimated
I -------------------------�
Number Identification
I Location I I
Cost
I Cost
jApprovedl
Denied
I Date
I
------------ I-------------------------
01-4532-7044IMac II cx 40 CPU
I ----------
(CSD
I---- I ----------
Tech I 1 1
$3,409
I----------
1 $3,409
I-------- I
1 $3,409 1
--------
SO
-------
14/16/901
jApple Color High Res.ROB
UCSD
Tech I 1 1
$700
1 $700
1 $700 1
$0
14/16/901
Mac 11 8 Bit Video Card
UCSD
Tech I 1 1.
$454
1 $454
1 $454 1
$0
14/16/901
Apple Extended Keyboard
UCSD
Tech I 1 1
$161
1 $161
1 $161 1
$0
14/16/901
Max/4 M8 Memory
JCSD
Tech 1 1 1
$1,400
1 $1,400
1 $1,400 1
$0
14/16/901
11magewriter
JCSD
Tech 1 1 1
$978
1 $978
1 $978 1
$0
14/15/901
5321fm4.wkl
Totals: 6 $7,102 $7,102 $7,102 $0
Park & Rec. Commission
014540
0
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
10/22/90
ACCOUNT
-------------------------------------------
GENERAL FUND ---PARK 6 RECREATION COMMITTEE
1 4540 3100 TRAVEL 6 MEETINGS
1 4540 3900 MAINTENANCE 6 OPERATIONS
1 6560 3956 DUES
1 6540 3960 GENERAL LIABILITY
DEPARTMENT TOTAL
r
N
r
0 0
CITY OF RANCHO CUCA14ONGA
DEPT COUNCIL
81-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/99 ACTUAL 1990/91 NGR 1990/91
0 537
2,450
0
0
2,650
2,450
2,450
2,450
0 397
750
0
0
750
805
805
805
0 100
415
0
369
615
340
650
450
0 0
36
(36)
0
0
36
37
37
0 1,034
3,651
(36)
369
3,615
3,631
3,742
3,762
COST CENTER DETAIL WORKSIEEr
r
Department /Division:
, ommunity Services
Program:
Parks & Recreation Commission
Account Number:
01-4540
FY 90/91
Ob'ect No.
Descri tion of Items & Individual Dollar Amounts
Budget
3100
Travel and Meetin s
CPRS Annual Meeting
$2,000
Xerisca a
130
Local Travel and Meetings
$320
$2.450_
3900
Maintenance and O erations
Legal Advertisin
530
Publications
275
$805
3956
Membership Dues
CA Parks and Recreation Assoc.(Public Azency Member
340
CA Parks and Recreation Assoc. (Commission
/Board Members
110
450
3960
General Liability
37
TOTAL
$3.742_j
Engineering/Admin.
01.4637
N
N
w
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
-----------------------------------------------
GENERAL FUND ---ENGINEERING ADMINISTRATION
1 4637 1100 REGULAR PAYROLL
1 4637 1200 OVERTIME PAYROLL
1300 PARTTIME PAYROLL
1 4637 1900 FRINGE BENEFITS
1 4637 3100 TRAVEL 6 MEETINGS
1 4537 3300 MILEAGE
1 4637 3900 MAINTENANCE 6 OPERATIONS
1 4637 3931 VEHICLE MAINT.6 OPERATIONS
1 4637 3956 DUES
1 4637 3960 GENERAL LIABILITY
1 4637 4537 HUGHES INVESTMENT DEP
1 4637 6028 CONTACT SERVICES
1 4637 7044 CAPITAL ENPEN.-EQUIPMENT
1 4537 7045 CAPITAL EXPEND. -VEHICLES
DEPARTMENT TOTAL
i
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
275,305 231,763 206,002 12,360 225,966
2,332 316 900 0 4,098
0 0 0
0 0 72,101 (72,101) 0
3,033 3,831 7,600 0 3,471
2,518 3,226 3,500 0 1,385
2,464 26,967 33,675 0 2,928
9,856 15,131 8,640 0 3,825
290 298 690 0 214
0 0 2,238 (2,238) 0
10,000
34,765 67,492 102,446 (6,624) 75,282
16,315 2,463 7,365 0 0
0 5,756 0 0 0
347,758 357,239 445,157 (58,603) 318,169
210,362 261,356 230,296 250,796
900 2,110 21110 2,110
0 0 0
0 91,475 80,603 87,779
7,600 9,500 7,650 7,650
3,500 3,500 3,500 3,500
33,615 28,475 28,453 28,463
8,640 10,800 10,800 10,800
690 570 570 570
0 570 1,309 1,309
10,000
95,822 134,180 77,007 77,007
7,365 8,252 0 0
0 0 0 0
386,554 $49,788 442,308 469,984
PROGRAM POSITION/SALARY SCHEDULE Fiscal Year
1990/91
Department: Engineering Division: Administration
01-4637
I I I Position Quota I Appropriations 1
Position I I I------------------=------------I-----------------------------I
Classification 1Pos. I Emp. 1Currentl Dept. I Mgr. I I Dept. I Mgr. I Adopted I
Title 6 Position 8 I R I % I Level I Rcmd. I Rcmd. lAdoptedl Rcmd. I Rcmd. I Budget I
I I I I I I I I I I
City Engineer
Management Analyst II
Admin. Aide*
Sr Admin Secretary
Office Specialist II
Office Specialist 11
Office Specialist II
Office Specialist II
Office Specialist I
Office Specialist I
Secretary
Subtotal:
Merit Contingency:
Subtotal:
• Fringe Benefits
Subtotal:
Part-time
TOTAL
1 (Vacant 1
7 1 2042 1
48 new 1
8 1 8388
9 1 2134 1
10 1 3823 1
11 1 5679 1
12 1 8682 1
13 1 4049 1
53 new 1
9lnew I
I I
I �
I I
I �
I I
I �
I I
I �
I I
I �
I I
I �
100%1
100%1
100%1
60%1
100%1
20%1
60%1
100%1
_ 1
100%1 100%1 100%1 81228 1 81228 1 91584 1
100%1 100%1 100%1 38064 1 38064 1 42480 1
100%IN/R IN/R 1 24060 IN/R IN/R I
100%1 100%1 100%1 30564 1 30564 1 30864 1
60%1ReclasslReclassl 11707 1 - I - 1
60%1 60%1 60%1 11707 1 11707 1 13392 1
100%1 100%1 100%1 21132 1 21132 1 23640 1
20%1 20%1 20%1 3982 1 3982 1 4555 1
100%1 100%1 100%1 17652 1 17652 1 18744 1
I - I - IN/R IN/R IN/R 1
60%1 60%1 60%1 12931 1 12931 1 13594 1
I I I I I I
I I 1 253027 1 217260 1 238853 1
I I I 12651 1 10863 1 11943 1
I I I 265678 1 228123 1 250796 1
I I 1 92907 1 79843 1 87778 1
I I 1 358665 1 307966 1 338574 1
I I I DI DI DI
1 1 1 358665 1 307966 1 338574 1
(Proposed reclassification of an Office Assistant to Senior Office Assistant.
• *Proposed New N/R Not Recommended
COST CENTER DEARKSHEET 199091 •
Department/ Division:
Enoineerina
Program:
I Administration
Account Number:
01-4637
Department
Pro osed
City Mgr.
Proposed
Ob'ect No. Description of Items & Individual Dollar Amounts
Budget
Re roduction of City Mas 8 Blueprints
750
750
Copies of Recorded Mas from County
5250
5250
U dated Assessor Ma Pages
350
350
SUBTOTAL
28475
28463
3931 Vehicle Maintenance & Operations
Blazer 2x4 (6,000 x .60
3600
3600
Blazer 4x4 (6,000 x .60
3600
3600
Astro Mini -Van 6000 x .60
3600
3600
SUBTOTAL
10800
10800
3932 Equipment Maintenance
'None'
SUBTOTAL
0
0
3956 Dues
APWA - Nat'l. & So. Calif. Chapters C.E.
100
100
ITE - Nat'I. L.A. & San Bernardino/Riverside C.E.
150
150
ASCE - Nat'l. & San Bernardino/Riverside C.E.
125
125
City/County Eno. - San Bernardino/Riverside C.E.
50
50
ASPA Admin. Asst.
75
75
MMASC Admin. Asst.
50
50
: Notary
20
20
SUBTOTAL
570
570
3960 General Liability 1% of Operations
1348
1309
6028 Contract Services
Computer & Word Processing Maintenance
9105
10294
Microfiche Maintenance
475
475
MIS Admin. Charges
42750
64388
OCE Machine Maintenance asset transferred to 01-4150
0
0
Blue Print Machine Maintenance 1 transferred to 01-46471
350
350
Storm Water Discharge Program
80000
0
Photocopier Maintenance 3 spot copiers)
1500
1500
SUBTOTAL
134180
77007
7044 Capital Equipment
MAC SE
2002
0
MAC 2 mb RAM Upgrade For SE
725
0
Da nafile 1.2 mb 5.5 Inch Drive
800
0
Tectronix Terminal
4725
0
SUBTOTAL
8252
0
TOTAL
559817
469984
• COST CENTER DETOORKSHEET 1990/91 •
Department/Division:
Program:
Administration
Account Number:
01-4637
Department
Proposed
City Mgr.
Proposed
Ob'ect No.
Description of Items & Individual Dollar Amounts
Bud et
1100 Regular Payroll
268209
250796
1200 Overtime Payroll
2110
2110
1300 Part-time Payroll
0
0
1900 Frin a Benefits & 35%
93873
87779
3100 Travel & Meetings
APWA Local Meetings C.E.
100
100
APWA National Convention C.E.
1300
1300
ASCE Local Meetin s C.E.
125
125
City/CountV Engineers Meetings C.E.
125
125
General League of Calif. Cities C.E.
800
800
ITE Local Meetin s C.E.
150
150
ITE Regional Meeting C.E.
850
850
Public Works Officials Leanue of Calif. Cities C.E.
850
850
ASPA Local Meetings Admin. Asst.
100
100
ASPA Regional Conference Admin. Asst.
500
200
MMASC Annual Conferences Admin. Asst.
100
0
MMASC Local Meetings Admin. Asst.
50
50
Business Womens Training Institute
850
850
Committee Commission & Board Meetings
1250
1250
Computer Training Seminars
500
500
Management Seminars & Technical/Professional
Workshops as needed
850
400
SUBTOTAL
8500
7650
3300 Milea e
City En (neer 12x250
3000
3000
Staff Reimbursement
500
500
SUBTOTAL
3500
3500
3900 Maintenance & Operations
Blue rint Machine Supplies & Paper 1 transferred to 01-4647
2125
2125
OCE Machine Supplies asset transferred to 014150
0
0
Misc. Supplies
12750
12750
Cont uter Printer Supplies
800
800
Com uter Cabling & Misc. Materials
100
0
Software & Software Updates
2700
2788
Printing & Publications
1250
1250
Film & Film Processing
1300
1300
M tars & Mylar Duplicates
550
550
Microfiche Mas from Count
550
550
0 COMPUTER SOFTWAROOUEST FORM 1990/91 •
Department Engineering
Adminlnr.a Hnn
Fiscal Year:
199cdgI
Account Number
.._......._.. _.._..
Software Identification
.----
Serial Number/ID of
Computer Unit where
Software is to be Installed
Qty
I
Unit
Cost
Department
P
Proposed
Estimated Cos
Cit Mgr.
Y 9
Proposed
Estimated Cost
Approved
Resource Center
Use Only
Denied
Date
01-4637-3900
Software UpdatesA
Various
1
500
Soo
5D0
J
MS Word (MAC)
New Mac for Admin. Aide
1
250
250
250
J
MS Excel (MAC)
New Mac for Admin. Aide
1
250
250
250
J
MAC Project II
New Mac for Admin. Aide
1
500
500
SDO
J
Super Paint 2.0 (MAC)
New Mac for Admin. Aide
1
200
200
200
J
Delta Graph (MAC)
New & F7469O3MS030
2
300
600
600
J
Fast Back II MAC
New & F7469O3MS030
2
200
400
400
J
SAM
New
1
88
0
88
J
Totals: 10 2288 2700 2786
"Updates Include: Dbase Mac, MS Excel and MS Word
• COMPUTER CONTRACI•RVICES REQUEST FORM
Department: Engineering Fiscal Year:
Administration 1990191
Account Number
Contract Services
Justification
O1y
Unit
Cost
Estimated Cos
Resource Center
Use Only
Approved
Denied
Date
01-4637-6028
MAC 11 w/ Color Monitor
Maintenance Contract
1
862
862
Memory Upgrade /nib RAM
Maintenance Contract
2
560
1,120
NBI 2000 Workstation
Maintenance Contract
6
276
1,656
NBI Diablo Printer
Maintenance Contract
3
607
1,821
NBI Sheet Feeder Z 201
Maintenance Contract
3
483
1,449
NBI-ICU Share
Maintenance Contract
1
2,040
2,040
Multinet
Maintenance Contract
1
133
133
LaserWriter Printer
Maintenance Contract
1
632
632
Tektronix Terminal
Maintenance Contract
1
402
402
VIP Terminal
Maintenance Contract
1
179
179
*Includes only existing equipment, new
equipment to be serviced under warranty.
20 6,174 10,294
5/2/90
Development Management
01-0638
r
N
0
BUDGET PROJECTION NORNSHEET 10/22/90
(ACTUALS TO 12-31-09)
ACCOUNT
GENERAL FUND ---DEVELOPMENT MANAGEMENT
1 4638 1100 REGULAR PAYROLL
1 4638 1200 OVERTIME PAYROLL
1 4638 1300 PARTTIME PAYROLL
1 4638 1900 FRINGE BENEFITS
1 4638 3100 TRAVEL 6 MEETINGS
1 4638 3300 MILEAGE
1 4638 3900 MAINTENANCE 6 OPERATIONS
1 4638 3931 VEHICLE MAINT.6 OPERATIONS
1 4638 3956 DUES
1 4638 3960 GENERAL LIABILITY
1 4638 6028 CONTACT SERVICES
1 4638 7044 CAPITAL E%PEN.-EQUIPMENT
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
81-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
364,881 472,591 581,753 34,9D5 240,290
0
0 0 0 0 0
0 0 0 0 0
0 0 203,613 (203,613) 0
2,392 3,075 5,600 0 1,160
27 0 500 0 0
15,181 6,166 11,650 0 1,206
0 0 0 0 0
18 84 1,130 0 0
0 0 4,947 (4,947) 0
312,217 352,320 475,790 (2,939) 248,452
2,063 6,423 4,063 0 0
616,658 670,545 594,219 641,965
0 0 0 0
0 0 0 0
0 234,591 207,977 224,688
5,600 7,600 6,150 6,150
500 500 500 500
11,650 20,498 10,240 10,240
0 0
1,130 980 725 725
0 295 5,139 5,139
472,851 548,382 499,495 499,495
4,083 8,296 900 900
696,119 840,659 1,289,066 (176,594) 491,108 1,112,472 1,491,788 1,325,345 1,389,802
• Department: Engineering
Position
Classification
Title 6 Position S
PROGRAM POSITION/SALARY SCHEDULE
Division: Developement Management
01-4638
I Position Quota
I
1Pos.
Deputy City Engineer
I --------------
1Currentl
Senior Civil Engineer
1 0
I
Senior Civil Engineer
1 Level I
I I
Associate Engineer
Associate Engineer
Associate Engineer
Landscape Designer
Asst. Landscape Des.
Assistant Engineer
Assistant Engineer
Assistant Engineer
Assistant Engineer
Engineering Tech
Engineering Tech
Eng. Aide
.
Jr. Engineer* **
Subtotal
Merit Contingency:
Subtotal:
Fringe Benefits
Subtotal:
Part-time
TOTAL
PROGRAM POSITION/SALARY SCHEDULE
Division: Developement Management
01-4638
I Position Quota
I
1Pos.
I
I Emp.
I --------------
1Currentl
Dept.
1 0
I
1 0
I
1 Level I
I I
Rcmd.
2
63
4
14
15
16
17
27
23
24
25
26
34
44
47
54
• **Funded using Special Funds
*Proposed New Position
700 1
3882 1
3194 1
5558
7413 1
7550 1
6363
549 1
4225 1
4132 1
7969 1
8135 1
25 I
2013 1
5139 1
new
I Mgr• I I
I Rcmd. lAdoptedl
I I I
100%1 100%1 100%1
80$1 90%1 90%1
100%1 100%1 100$1
100%1 100%1 100%1
100%1 100%1 15%1
100%1 100%1 100%1
20%1 20%1 20%1
100%1 100%1 100%1
100%1 100%1 100%1
100%1 100%1 100%1
100%1 100%1 100%1
100%1 100%I 100%1
100%1 100%1 100%1
100%1 10011 100%1
100%1 100%1 100%1
- 1 100%1 0%1
I I I
I I I
100%1
90%1
100%1
100%1
15%1
100%1
20%1
100%1
100%1
100%1
100%1
100%1
100%1
100%1
100%1
0%1
I
I
I
I
I
Fiscal Year
1990/91
---------------------------
Appropriations
---------------------------
Dept. Mgr. Adopted
Rcmd. I Rcmd. I Budget 1
I I I
64260 1
52337 1
61128 I
44208 1
47640 1
52632 1
8081 1
29964 i
45324 1
35316 1
35316 1
40212 1
25668 1
31332
27660 1
31512 1
632590
31630
664220
232477
896697
0
896697
64260
52337
61128
44208
7146
52632
8081
29964
45324
35316
35316
40212
25668
31332
27660
0
560584
28029
588613
206015
794628
0
794628
I I I I
I I I I
I I I I
I I I I
I I I I
I I I I
N/R Not Shown In Draft Budget
71712 1
56970 1
66540 1
46932 1
7974
55884 1
9019 1
33432 1
48120 1
39408 1
37500 1
42684 1
32448 1
34968
27804 1
of
I
611395 1
30570
641965 1
224688 1
866653 I
OI
866653 1
I
I
I
• COST CENTER DETINORKSHEET 1990191 •
Department/Division:
Program:
Administration
Account Number:
01-463TR
Department
Pro Osed
City Mgr.
ProDosed
Obiect No. I Description of Items & Individual Dollar Amounts
Bud et
1100 Re ular Pa roll
670545
641965
1200 Overtime Payroll
0
0
1900 Fringe Benefits 0 35%
234691
224688
3100 Travel & Meetings
APWA National Convention (Deputy C.E.
1300
1300
Public Works Officials Leanue of Calif, Cities (Deputy
C.E.
850
850
APWA Local Meetings
200
200
APWA Pavement M mt. Seminar
500
500
ASCE Local Meetings
200
150
City/ ountEngineers Meetings
350
350
Com uter Training (Engineering Applications)
15W
500
Landscape & Irrigation Seminars
500
300
Special Classes & Seminars
1000
1000
Subdivision Map Act Seminar
1200
1000
SUBTOTAL
7600
6150
3300 Mileage
Staff Reimbursement
500
500
3900 Maintenance & Operations
Computer Cablina & Misc. Materials
100
0
Pubtications & Reference Manuals
850
850
Software and Software Updates
1748
790
S ecial Materials Drafting & Field Supplies
2000
2000
Standard Drawing Printing
13800
4800
Misc. Supplies
1200
1000
Computer Supplies disks. ribbons etc.
500
500
H dr logy AES Program Annual Subscription
300
300
SUBTOTAL
20498
10240
3931 Vehicle Maintenance & Operations
'None'
SUBTOTAL
3932 Equipment Maintenance
'None'
SUBTOTAL
3956 Dues
APWA - Natl. & So. Calif. Chapters
3001
300
COST CENTER DETAILINORKSHEET1990FJ1
Department/Division:
En ineerin
Program:
Devel. mt.
Account Number:
01-4638
Department
Pro osed
City Mgr.
Proposed
Obect No. I
Description of Items & Individual Dollar Amounts
Budget
ASCE - Natl. & San Bernardino/Riverside
250
250
International Society of Aboriculture
55
0
American Soc. of Landscape Architects
160
160
Urban Forestry Council
15
15
California Parks & Recreation Society
200
0
SUBTOTAL
980
725
3960 General Liabili 1% of Operations
5780
5139
6028 Contract
Services
Computer Maintenance
3382
3382
Microfilm Service - Construction & Improvement Plans
5000
4000
Consultants & Contract Employees
Plan Check Consultants are Fee Supported)
540000
474750
MIS Admin. Char es
0
17363
SUBTOTAL
548362
499495
7044 Capital
Expenditures
MAC SE'
2871
0
MAC 2mb RAM Upgrade For SE'
725
0
Da nafile 1.2mb 5.5 Inch Drive
800
0
Hewlett Packard Plotter 6 Pen
0
0
VIP Terminals 3
3000
0
Han Ing Map Stand & Holder
900
900
SUBTOTAL
8296
900
7045 Capital
Expenditure - Vehicles
'NONE'
SUBTOTAL
0
0
'Funded From Special Funds
TOTAL
14972711
1389802
COMPUTER SOFTW•
REOUEST FORM 1990/91
Department: Engineering Fiscal Year:
Devokmmant Mane ement 1990/91
Account Number
Software IdentificationSerial
Number/ID of
Computer Unit where
Software is to be installed
Oty
Unit
Cost
Department
Proposed
Estimated Cosl
City Mgr.
Proposed
Estimated Cos
Resource Center
Use Only
Approved
Denied
Date
01-4638-3900
Software Updat"A
Various
1
300
300
300
J
01.4638-3900
Word Pedect
Eng. Aide & Eng. Tech. -
2
245
490
490
J
(existing PCs)
22-46373900
MS Word (MAC)
Jr. Civil Eng. - New
1
167
167
167
J
22-M7.3900
MS Excel (MAC)
Jr. Civil Eng. - New
1
246
246
246
J
22-4637.3900
MAC Project II
Jr. Civil Eng. - New
1
495
495
495
J
22.4637-3900
MAC Draw II
Jr. Civil Eng. - New
1
0
WR
N/R
J
AUpdates include: Lotus 1-2-3, MS Excel and MS Word
' General Fund $790
Special Funds $908
Totals: 7 1,453 1,698
F
0 COMPUTER CONTRACAVICES REQUEST FORM
Department: Engineering Fiscal Year:
DeveloomantMananamant 11oon101
Account Number
Contract Services
Justification
Qty
Unit
Cost
Estimated Cosi
Resource Center
use only
Approved
Denied
Date
01-4638-6028
Compaq 286
Maintenance Contract
1
302
302
01-4638-6028
IBM
Maintenance Contract
3
358
1,074
01.4638-6028
Color Monitor
Maintenance Contract
4
151
604
O1-4638-6028
Dot Matrix Printer
Maintenance Contract
2
276
552
01-4638-6028
PT200
Maintenance Contract
1
179
179
01-4638-6028
MAC SE
Maintenance Contract
1
575
575
01-4638-6028
Memory Upgrade /Mb RAM
Maintenance Contract
2
48
96
'Includes only existing equipment, new
equipment to be serviced under warranty. Totals: 14 1,889 3,382
E IN
0
•
•
CAPITAL EQUIPMENT REQUEST FORM
Department: Fiscal Year: 1990/91
Development Management
Account
New/ or
Department
City Mgr.
Number
Re laces
EQUIPMENT IDENTIFICATION & JUSTIFICATION OF NEED
Proposed
Proposed
01-4638-7044
New -.
Hanging Map Stand 3 Holder
900
900
5/1/90
TOTAL 900 900
• COMPUTER HARDWAROOUEST FORM 1990/91 •
Departmen Engineering
Develooment Management
Fiscal Year: 1990/91
Account Number
Hardware Description
Identification
Work Area
Location
Oty
Unit
Cost
Department
Proposed
Estimated
Cost
City Mgr.
Proposed
Estimated
Cost
Approved
Resource Center
Use Only
Denied Date
01.4638.7044
Hewlett Packard Plotter 6 Pen
Plaza Level Civ Cl1
1900
N/R
0
J
Asst. Civil
01.4638-7044
VIP Terminal
Sr. 8 Assoc. C.E.s
3
1000
3000
0
J
22-4637-7044
MAC SE
Lower Level
1
2871
2871
2871
J
22-4637-7044
MAC 2 mb RAM Upgrade For SE
Jr. Civil Eng. - Nay
1
725
725
725
J
22-4637-7044
Daynafile 1.2 mb 5.5 Inch Drive
Jr. Civil Eng. - Nay
1
800
800
0
J
Totals
General Fund $0
Special Funds $4,396
7296 7396 3596
Traffic Management
01-4639
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---TRAFFIC MANAGEMENT
4639 1100 REGULAR PAYROLL
4639 1200 OVERTIME PAYROLL
4639 1300 PARTTIME PAYROLL
4639 1900 FRINGE BENEFITS
4639 3100 TRAVEL A MEETINGS
4639 3300 MILEAGE
4639 3900 MAINTENANCE 6 OPERATIONS
4639 3931 VEHICLE MAINT.6 OPERATIONS
4639 3956 DUES
N
1 4639 3960 GENERAL LIABILITY
J
1 1639 6078 CONTACT SERVICES
1 4639 7011 CAPITAL E%PEN.-EQUIPMENT
1 4639 7045 CAPITAL ERPENPENO.-VEHICLE
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCA14DNGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL 1990/91 MGR 1990/91
116,704 182,013 105,226 11,114 81,963
256 154 1,050 0 0
0 0 0 0 0
0 0 61,829 (64,829) 0
437 1,235 2,840 0 179
67 50 300 0 0
5,312 5,804 5,000 0 913
0 0 3,600 0 0
172 378 675 0 285
0 0 746 (746) 0
0 0 74,632 (1,895) 30,000
10,009 815 1,000 0 (112)
0 884 0 0 112
133,031 191,333 339,898 (56,356) 119,340
196,340 287,796 226,386 247,291
1,050
1,055
1,000
1,000
0
0
0
0
0
86,729
79,235
86,552
2,840
4,520
3,490
3,490
300
300
300
300
5,000
8,670
5,660
5,660
3,600
3,600
3,600
3,600
675
775
535
535
0
1,039
657
657
72,737
85,983
59,788
59,788
1,000
29,650
17,900
17,900
0
0
0
0
283,512 110,217 398,551 826,773
PROGRAM
POSITION/SALARY SCHEDULE
Fiscal Year
1990/91
•
Department: Engineering
Division:
Traffic
Management
01-4639
--------------------
I
I
I
Position
Quota
I
Appropriations
1
PositionI
I
I -------------------------------I-----------------------------1
Classification
IPos.
I Emp.
1Currentl
Dept. I
Ngr. I
I
Dept. I
Mgr. I
Adopted 1
Title 6 Position 8
I B
I
I 8
I
I Level I
I I
Rcmd. I
I
Read. IAdoptedl
I I
Rcmd. I
I
Rcmd. I
I
Budget I
I
Traffic Engineer
1 3
1 6800
1 75$1
7511
15$1
7511
45646 1
45846 1
51155 1
Associate Engineer
1 18
1 3211
1 3511
3511
3511
3511
18421 1
18421 1
19559 1
Associate Engineer
1 19
1 5137
1 8311
88.511
88.511
88.511
46579 1
46579 1
49457 1
Assistant Engineer
1 28
1 6312
1 8011
8011
7011
7011
36259 1
31727 1
33684 1
Assistant Engineer
1 49
1 8149
1 10011
8011
8011
8011
28253 1
28253 1
30000 1
Assistant Engineer
1 50
1 6682
1 4011
011
011
011
0 1
0 1
0 1
Engineering Tech.
1 35
1 100
1 10011
10011
10011
10011
29484 1
29484 1
34968 1
Engineering Aide
1 45
1 152
1 6011
6011
6011
6011
13262 1
13262 1
16682 1
Engineering Tech.* **
1 55
Inew
I - 1
5011
011
011
15666 1
0 1
0 1
Subtotal
I
I
I
I
I I
I I
I
I
I
I
I
i
I
233770 1
I
213572 1
I
235515 I
Merit Contingency:
I
I
I I
I
I
1
11689 1
10679 1
11776 1
Subtotal:
I
I
I I
I
I
I
245459 1
224251 1
247291 1
Fringe Benefits
I
I
I I
I
I
I
85910 1
78488 1
86552 1
Subtotal:
1
I
I I
I
I
I
331369 1
302739 1
333843 1
•
Part-time
1
1
I I
I
I
I
g 1
0 1
0 1
TOTAL
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I I
I I
I I
I I
I I
I I
I I
I I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
i
I
331369 1
i
I
I
I
I
I
I
302739 1
I
I
I
I
I
I
I
333843 1
i
I
I
I
I
I
I
•
I
I
I
I
I
I
I
i
I
I
**Funded using Special Funds
*Proposed New Position
I
I I
I i
I I
I I
I I
I I
I I
I I
I I
I I
I
I
I
I
I
I
I
I
I
I I I I
I I I I
I I I I
I I I i
I I I I
I I I I
I I I I
I I I I
I I I I
I I I I
N/R Not Recommended
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
• COST CENTER DETOORKSHEET 1990/91 •
Department/Division:
Enqineerina
Program:
I Traffic Management
Account Number:
01-4639
Department
Proposed
City
Pro
Mgr.
sed
Obiect No. I Description of Items & Individual Dollar Amounts
Bud et
1100 Re ular Pa roll
247796
247291
1200 Overtime Payroll
1000
1000
1900 Fringe Benefits @ 35%
86729
86552
3100 Travel & Meetings
ITE Regional Meeting Traffic Engineer)
900
840
Cltv/County Engineers Meetings
430
60
ITS Courses
2000
1500
ITE Local Meetin s
500
400
Riverside/San Bernardino Traffic Eng. Assn.
500
400
IES/Lamplighter Local Meetings
200
200
TSA Meetings
90
90
SUBTOTAL
4620
3490
3300 Milea e
Staff Reimbursement
300
300
300
300
3900 Maintenance 8 Operations
Computer Cabling & Misc. Materials
100
0
Equipment Maintenance
700
500
Field Supplies
1600
1100
Publications
605
150
Software & Software Updates
5665
3910
SUBTOTAL
8670
5660
3931 Vehicle Maintenance & Operations
Astro Mini -Van (6,000 x .601
3600
3600
SUBTOTAL
3600
3600
3932 Equipment Maintenance
'None'
SUBTOTAL
0
0
3956 Dues
RCE Registration
120
0
RTE Registration
120
0
Illuminating Eng. Soo.
150
150
ITE
300
300
Riverside/San Bernardino Traffic Eng. Assn. 6
60
60
Traffic Signal Assn. TSA
22
20
Cit Traffic Engineers
5
5
SUBTOTAL
7751
1535
' COST CENTER DETRORKSHEET 1990/91 i
Department/Division:
Engineerina
Program:
I Traffic Management
Account Number:
01-4639
Department
Pro osed
City Mgr.
Pro osed
Obect No. I
Description of Items & Individual Dollar Amounts
Bud et
3960 General Liability 1% of Operations
1039
657
6028 Contract Services
Computer Maintenance
2119
2119
Consultants & Contract Employees
50000
10000
MIS Administration
23864
47669
AFA - Traffic Model Consulting (expense offset by
user fee
10000
0
SUBTOTAL
85983
59766
7044 Capital
Expenditures
LAN For Traffic Applications
0
0
Compaq 386 with 387 Math Coprocessor fee supported
activity)
14000
14000
Epson FX 1050 Printer
500
0
HP Desk'et Plus Printer
800
800
Houston Inst. H152 Plotter
7000
0
SummaSketch Plus
400
400
31/2Inch Floppy Drive
150
150
Memory Expansion to 1mb
550
550
Compaq 286e
2500
0
Color Monitor
500
0
Epson FX 1050 Printer
700
0
Memory Expansion to imb for new Compaq 286
550
0
Log! ch HIRez Mouse 2
200
200
Traffic Counters 4
6000
0
IMC -IV Count Board
1800
1800
SUBTOTAL
35650
17900
7045 Capital
Expenditures - Vehicles
'None'
SUBTOTAL
0
0
TOTAL
476162
426773
0 0 i
COMPUTER HARDWARE REQUEST FORM
Department Engineering Fiscal Year: 1990/91
Traffic Management
Department
City Mgr.
Resource Center
Account Number
Hardware Description
Work Area
Qty
Unit
Cost
Proposed
Estimated
Proposed
Estimated
Use Only
Identification
Location
Cost
Cost
Approved
Denied
Date
01-4639-7044 LAN for Traffic Applications &
Plaza Level Civ Ctr
1
5000
5000
0
J
Traffic Model
Traffic Engineer,
Assoc. 8 Asst.
Civils
Compaq 386 with 387 Math
Plan./Dev. Group
1
14000
14000
14000
J
Coprocessor R VGA Monitor
HP Deskjet Plus Printer for
Plan./Dev. Group
1
800
800
800
J
Traffic Model
Houston Inst. H152 Plotter for
PlanJDev. Group
1
7000
7000
0
J
Traffic Model'
SummaSketch Plus for
Plan./Dev. Group
1
400
400
400
J
Traffic Model
3 1/2 Inch Floppy Drive
2118685170
1
150
150
150
J
Memory Expansion to 1 mb
2118685170
1
550
550
550
J
Compaq 286e
Traffic Engineer
1
2500
2500
0
J
Color Monitor
1
500
500
0
J
Epson FX 1050 Printer
1
700
700
0
J
Memory Expansion to tmb for
1
550
550
0
J
new Compaq 286e
Logitech Hi Rez Mouse
2
100
200
200
J
tThe Traffic Model is a user fee supported activity.
Present equipment IBM 286 AT requires processing times of greater than 5 hours.
The processing time does not include printing.
Proposed equipment would
result in processing times of
approximately
2 hours.
Existing IBM 286 AT will be transferred to the Assistant C.E. 828 (probable
reclassification to Associate C.E. in 91/92).
*Existing otters are not compatible with the Traffic Model
Totals: 13 32,250 32,350 16,100
5/15/90
Department: Engineering
Traffic Yanann,nanr
COMPUTER SOFTWAR•QUEST FORM 1990/91 •
Fiscal Year:
Inenrn4
Account Number
Software Identification
Serial Number/ID of
Computer Unit where
Software is to be installed
Oty
Unit
Cost
Department
Proposed
Estimated Cosl
City Mgr.
Proposed
Estimated Cos
Resource Center
Use Only
Approved
Denied
Date
01.4639-3900
Auto Cad Release 10
2116665170
1
2,110
WR
0
J
Assoc. Civil
Software Updates"
Various
1
300
300
300
J
Auto Cad/366
Traffic Model
1
1,900
3,000
1,900
J
PC Tools Deluxe 5.5
Operations & Design
1
90
270
90
J
XTree Pro Gold
Operations
1
100
300
100
J
Virus Sean
Various
3
25
75
0
J
McTrans (Traffic Software)
Various
1
100
100
100
J
Word Peeled 5.1
Operations & Traffic Eng.
2
245
490
490
J
Lotus 1-2-3 Ver. 3
Operations 8 Planning
2
310
620
0
J
Lotus 1-2.3 Ver. 2.2
Traffice Engineer
3
310
310
930
J
"Updates include: Lotus 1-2-3 and AutoCad
Totals: 16 5,490 5,465 3,910
5/15/90
Project Management
014640
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---PROJECT MANAGEMENT
1 4640 1100 REGULAR PAYROLL
1 4640 1200 OVERTIME PAYROLL
1 4640 1300 PARTTIME PAYROLL
1 4640 1900 FRINGE BENEFITS
1 4640 3100 TRAVEL 6 MEETINGS
1 4640 3300 MILEAGE
1 4640 3900 MAINTENANCE 6 OPERATIONS
1 4640 3931 VEHICLE MAINT.6 OPERATIONS
1 4640 3956 DUES
1 4640 3960 GENERAL LIABILITY
1 4640 6028 CONTACT SERVICES
1 4640 7044 CAPITAL ENPEN.-EQUIPMENT
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
3,586
80,759
6,046
363
(4,146)
0
0
0
0
0
0
0
0
0
0
0
0
2,116
(2,116)
0
1,548
1,183
3,000
0
309
5
0
200
0
0
11,462
7,012
4,300
0
1,676
0
0
0
0
0
687
498
610
0
283
0
0
451
(451)
0
0
0
36,948
(3,149)
33,799
21,293
3,555
0
0
0
38,581
93,008
53,731
(5,353)
31,921
6,409
6,400
6,480
6,987
0
0
0
0
0
0
0
0
0
2,268
2,268
2,445
3,000
4,600
4,600
4,600
200
SOO
500
500
4,300
10,937
4,000
4,000
0
0
0
0
670
1,040
1,040
1,040
0
522
556
556
33,799
27,165
53,937
53,937
0
8,380
0
0
48,370
69,692
73,381
74,065
PROGRAM
POSITION/SALARY SCHEDULE
Fiscal Year
1990/91
•
Department: Engineering
Division:
Project Management
01-4640
----------------------------------------------------------------------------------------------------
I I
I Position Quota
I
Appropriations
I
PositionI
I
I -------------------------------1-----------------------------1
Classification
1Pos. I
Emp.
1Currentl
Dept. I
Ngr. I
I
Dept. I
Mgr. I
Adopted 1
Title b Position 0
10
I I
I a
I Level I
I I
Rcmd. I
i
Rcmd. IAdoptedl
I I
Rcmd. i
I
Rcmd. I
I
Budget 1
I
Senior Civil Engineer
I 5
1 5822
1 10%1
10$1
10%1
c
1011
6113 1
6113 1
6654 1
Associate Engineer
1 20
1 2140
1 011
011
0%]
011
0 1
0 1
0 1
Associate Engineer
1 21
1 5275
1 011
011
011
011
0 1
0 1
0 1
Associate Engineer
1 22
1 5700
1 011
011
011
011
0 1
0 1
0 1
Assistant Engineer
I 29
1 2641
1 011
011
011
011
0 1
0 1
0 1
Assistant Engineer
I 51
1 4687
1 011
011
011
011
0 1
0 1
0 1
Jr. Engineer
( 32
1 2020
1 011
011
011
011
0 1
0 1
0 1
Engineering Tech.
1 36
1 551
1 011
011
011
011
0 1
0
1 0 1
Engineering Aide
1 46
1 5800
1 011
Oil
011
011
0 1
0 1
0 1
Engineering Aide
I 52
1 128
1 011
Oil
011
011
0 1
0
1 0 1
Assist. Civil Engineer*
1 56
lnew
1 011
011
011
011
0 1
0
1 0 1
Subtotal
1
I
I I
I
I
I
6113 1
6113
1 6654 1
Merit Contingency:
I
I
I I
I
I
i
306 1
306
1 333 1
Subtotal:
I
1
1 I
I
I
I
6419 1
6419
1 6987 1
•
Fringe Benefits
I
I
I I
I
I
I
2247 1
2247
1 2445 I
Subtotal:
1
1
i I
I
i
1
8666 i
8666
1 9432 1
Part-time
1
1
I I
I
I
I
0
I D
I 0 1
TOTAL
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I I
I I
I I
I I
I I
I I
I
I I
I
I
I
I
I
I
I
I
I
I
I
I
I
I I
I I
I
I
I
I
I
I
I
I
8666 1
8666
I
I
I
I
I
I
I
1 9432 I
I I
I I
I I
I I
I I
I I
I I
**All positions in the
I
I
I
I
I
Project
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I I
I I
I I
I I
I I
I
11
I
I
I
I
I
I
I
I
I
I
I
I
I
Management Section are
funded
using Special Funds
*Proposed New Position
0 COST CENTER DET- VORKSHEET 199091 •
Department/Division:
En Ineerin
Program:
Traffic Management
Account Number:
01-4639
Department
Proposed
City Mgr.
Proposed
Obiect No. I
Description of Items & Individual Dollar Amounts
Bud et
1100 Re ular Payroll
6480
6987
1900 Fringe Benefits 0 35%
2268
2445
3100 Travel & Meetings
APWA Local Meetings
100
100
ASCE Local Meetings
300
300
CAD Seminar
800
800
City/County En ineers Meetings
150
150
Drainage Seminar
1000
1000
ITE Hydrology Seminar
525
525
Righ-of-Way Assn. Meetings
200
200
Rion -of-WaSeminars
525
525
S ectal Classes & Seminars as needed
1000
1000
SUBTOTAL
4600
4600
3300 Milea e
Staff Reimbursement
500
500
39DO Maintenance & Operations
Com uter Cabling & Misc. Materials
100
0
Software & Software Updates
14837
0
Special Supplies(Drafting Tools & Supplies, etc.
4000
4000
SUBTOTAL
18937
4000
3931 Vehicle Maintenance & Operations
'None'
SUBTOTAL
0
0
3932 Equipment Maintenance
'Non'
SUBTOTAL
0
0
3956 Dues
APWA So. Cal Chapter
250
250
ASCE - San Bernardino/Riverside
500
Soo
City/ ountEngineers - San Bernardino/Riverside
50
60
RCE Registration
120
120
Ri h -of-Way Assn.
120
1
120
SUBTOTAL
1040
1040
3960 General Liability 1% of Operations
5221
1556
• COST CENTER DETAIORKSHEET 1990/91 0
Department/Division:
Enaineerina
Program:
I Pro'ect Management
1
Account Number:
01-4640
Department
Proposed
City Mgr.
Proposed
Ob'ect No. I
Description of Items 8 Individual Dollar Amounts
Budget
6028 Contract
Services
Computer Maintenance
5203
4750
MIS Administration
21962
49187
SUBTOTAL
27165
53937
7044 Capital
Expenditure
Compaq 386 Color w/ 1mb RAM 8
6000
0
5.25. 8 3.5 Inch Drives 387 Math Co ooessor'
Universal VIP Computer Terminal
1000
0
'
Summa Sketch'
1380
0
SUBTOTAL
8380
0
'Funded From Special Funds
TOTAL
69892
74065
0
COMPUTER CONTRACT--RVICES REQUEST FORM
Department: Engineering Fiscal Year:
Project Management 1990/91
Account Number
Contract Services
Justification
Oty
Unit
Cost
Estimated Cos
Resource Center
Use Only
Approved
Denied
Date
01-4640-6028
Compaq 286
Maintenance Contract
1
302
302
01-4640-6028
IBM
Maintenance Contract
1
358
358
01-4640.6028
Color Monitor
Maintenance Contract
2
151
302
01-4640.6028
PT200
Maintenance Contract
1
179
179
01-4640.6028
Calcomp Plotter
Maintenance Contract
1
475
475
01-4640.6028
Calcomp Digitizer
Maintenance Contract
2
1266
2,532
01-4640.6028
Dot Matrix Printer
Maintenance Contract
2
276
552
01-4640-6028
Sumagraphics Digitizer
Maintenance Contract
1
50
5o
'Includes only existing equipment, new
equipment to be serviced under warranty. Totals: 11 3,057 4,750
5090
Construction Management
01-4641
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---CONSTRUCTION MANAGEMENT
4541 1100 REGULAR PAYROLL
4641 1200 OVERTIME PAYROLL
4641 1300 PARTTIME PAYROLL
4641 1900 FRINGE BENEFITS
4641 3100 TRAVEL 6 MEETINGS
4641 3300 MILEAGE
4641 3900 MAINTENANCE 6 OPERATIONS
4641 3931 VEHICLE NAINT.6 OPERATIONS
4641 3956 DUES
N
ol
OD 1 4641 3960 GENERAL LIA81LITY
ro
1 4641 6029 CONTACT SERVICES
1 4641 7044 CAPITAL EXPEN.-EQUIPMENT
1 4641 7045 CAPITAL EXPEND. -VEHICLE
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
144,826 241,245 230,204 13,812 122,096
1,789 13,822 12,075 0 4,967
0 0 0 0 0
0 0 80,571 (80,571) 0
1,141 239 1,000 0 48
0 0 0 0 0
7,097 5,332 7,000 0 2,106
58,601 82,046 108,000 0 1,562
18 0 310 0 0
0 0 899 (899) 0
84,632 33,340 40,790 (2,648) 28,142
4,773 9,238 2,792 0 0
25,351 13,615 0 0 0
328,228 398,877 483,641 (70,305) 158,921
246,016 310,235 278,321 300,824
12,015 12,150 12,150 12,150
0 0 0 0
0 108,583 97,412 105,288
1,000 2,225 2,225 2,225
0 0 0 0
7,000 8,200 1,400 7,400
108,000 129,600 108,000 108,000
310 750 750 750
0 1,156 11389 1,389
38,142 35,804 22,447 22,447
2,792 0 0 0
0 38,000 0 0
413,335 647,314 530,094 560,473
0
•
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
1990/91
Department: Engineering Division: Construction Management
01-4641
-----------------------------------------------------------------------------------------------------
Position Quota I Appropriations
PositionI I I------------------------------- -----------------------------
Classification jPos. I Emp. jCurrentj Dept. I Mgr. I Dept. I Mgr. I Adopted
Title 6 Position 0 I 4 0 Level I Rcmd. I Rcmd. jAdoptedl Rcmd. I Rcmd. I Budget
Public Works Engineer 1
6
1 6350
Spry Public Works Insp.**l
30
1 4900 1
Spry Public Works Insp..
31
1 8241
Public Works Insp. II ** 1
37
115
Public Works Insp. II **
38
1075
Public Works Insp. II 1
39
450
Public Yorks Insp. II l
40
1 900 l
Public Works Insp. II
41
1 3891
Public Works Insp. 11 i
42
7966 1
Public Works Insp. II
43
2727
Jr. Engineer
33
480
Public Works Insp.* ** 1
64
INew
Public Works Insp.* 1
65
INew
Subtotal
Merit Contingency:
Subtotal:
Fringe Benefits
Subtotal:
Part-time
TOTAL
**Positions funded using
Special Funds
• *Proposed New
501
011
1001
0%1
011
1001
10011
10011
1001]
801
2011
501
5011
5011
26932 1
28932
011
011
011
0 1
0 1
1001]
10011
10011
44868 1
44868
011
011
011
0 1
0
011
011
011
0 1
0 1
10011
10011
10011
38640 1
38640 1
10011
10011
10011
38640 1
38640
1001
10011
10011
38640 1
38640 1
10011
10011
10011
38640 1
38640
801
8011
8011
27283 1
27283
1011
2011
2011
6924 1
6924
011N/R
IN/R
1
0 1
0 1
1001IN/R
JN/R
1
30108 1
0 1
1
292675
262567
14634 1
13128
l
307309
275695 1
107558 i
96493
i
414867
372188 1
0 1
0
1
414867
372188
N/R Not Recomme
ided
31650
0
48600
0
0
41844
41844
41844
41844
31373
7500
0
0
286499
14325 l
300824 i
105288 l
406112 1
01
406112 I
• COST CENTER DETARRKSHEET 199091 0.
Department/Division:
Engineerina
Program: I
I Construction Management
Account Number:
01-4641
Department
Pro osed
City Mgr.
Proposed
Obiect No. I Description of Items & Individual Dollar Amounts
Bud et
1100 Re ular Pa roll
310236
300824
1200 Overtime Payroll
12150
12150
1300 Part-time Pa roll
0
0
1900 Fringe Benefits 9 35%
108583
105288
3100 Travel & Meetings
Construction Inspectors Assn. Meetings
225
225
Seminars as Required(Protect Management,
Standard Updates, New Materials etc.
2000
2000
SUBTOTAL
2225
2225
3900 Maintenance & Operations
Publications & Field Supplies
7800
7000
Software Updates
300
300
Computer Cabling & Misc. Materials
100
100
SUBTOTAL
8200
7400
3931 Vehicle Maintenance
10 ea. Utility Vehicles (18,000 x .60
108000
106000
SUBTOTAL
108000
108000
3956 Dues
Construction Inspectors Assn.
750
750
SUBTOTAL
750
750
3960General Liability 1% of Operations
1550
1389
6028 Contract Services
Surveys, Soils Testing, Inspection, Misc.
10000
10000
Computer Maintenance
2761
2761
MIS Administration
23043
9686
SUBTOTAL
35804
22447
7044 Capital Ex enditures
Universal VIP Computer Terminal
0
0
SUBTOTAL
0
0
7045 Capital Expenditure - Vehicles
Replace Utility Vehicle #227 funded from IGS
Replace Utility Vehicle #228 funded from IGS
• COST CENTER DETMORKSHEET 1990/91 •
Department/Division:
Enaineerino
Program:
I Construction Management
Account Number:
01-4641
Department
Pro osed
City Mgr.
Proposed
Obiect No. I
Description of Items & Individual Dollar Amounts
Budget
Re lace Utility Vehicle #229 funded from IGS
Utili Vehicles for New Inspectors 2 $18,000)
36000
0
VHF Radios with antennae and installation 2 $1,D00)
2000
0
SUBTOTAL
38000
0
TOTAL
625497
560473
• COMPUTER SOFTWAGEQUEST FORM 1990/91 •
Department: Engineering Fiscal Year:
rnnafr, lin. u----- ---
Account NumberSoftware
Identification
Serial Number/ID of
Computer Unit where
Software is to be installed
Qty
Unit
Cost
Department
Proposed
Estimated Cost
Ciry Mgr.
Proposed
Estimated Cos
Resource Center
Use Only
Approved Denied Date
01-4641-3900
Software Updates"
Various
1
300
300
300
J
"Updates include: Dbase Mac, MS Excel and MS Word
Totals: 1 300 300 300
5090
COMPUTER CONT SERVICES REQUEST FORM
eyuiPn"m[ to oa servicw unoer warranty. Totals: 13 1,802 2,761
5090
0
Maintenance
01.4647
r
N
•
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
GENERAL FUND ---MAINTENANCE
0
10/22/90 CITY OF RANCHO CUCAMONGA
1 4647 1100 REGULAR PAYROLL
1 4647 1200 OVERTIME PAYROLL
1 4647 1300 PARTTIME PAYROLL
1 4641 190D FRINGE BENEFITS
1 4647 3100 TRAVEL 6 MEETINGS
1 4647 3300 MILEAGE
1 4647 3900 MAINTENANCE 6 OPERATIONS
1 4647 3931 VEHICLE MAINT.6 OPERATIONS
1 4647 3932 EQUIPMENT PAINT. 6 OPERATIONS
1 4647 3933 EMERG 6 REG VEHICLE RNTL
1 4647 3955 DUES
1 4647 3960 GENERAL LIABILITY
1 4647 6027 HAZARDOUS WASTE REMOVAL
1 4547 6028 CONTACT SERVICES
1 4647 6040 MOVED TO 1-4245-6040
1 4647 7043 CAPITAL E%PEN-BUILDING
1 4647 7044 CAPITAL E%DEN.-EQUIPMENT
1 4647 7045 CAPITAL EXPEND -VEHICLE
1 4647 8021 MATER UTILITIES
1 4647 8022 ELECTRIC UTILITIES
DEPARTMENT TOTAL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
526,727 1,018,610 1,498,140 89,888 662,392
0
32,993 31,664 35,000 0 25,791
19,356 14,396 18,873 0 13,191
0 0 524,349 (524,349) 0
4,233 10,155 9,000 0 8,280
1,493 1,811 2,000 0 1,102
341,735 477,920 568,019 0 279,311
181,641 517,963 330,960 0 113,337
0 51,194 125,000 0 44,437
0 0
240 1,154 1,500
0 90 21.919
3,607 6,221 5,000
196,239 642,218 885,320
0 0 0
75,847 207,509 0
108,639 100,183 118,000
137,030 138,973 319,200
95,677 93,424 165,000
79,951 79,939 100,OOD
0 435
(21,918) 0
(5,000) 2,180
(3,970) 209,123
0 0
203,000 4,314
5,800 37,714
87,000 143,302
0 56,071
0 33,660
DEPT COUNCIL
REQUEST CITY APPROVED
1990/91 MGR 1990/91
1,588,028 1,795,323 1,468,462 1,561,852 1i A 7,
35,000 40,000 40,000 40,000
18,873 10,000 9,845 11,471
0 628,363 513,961 581,648
9,000 13,350 10,750 10,750
2.000 4,000 2,000 2,000
568,019 1,011,600 632,810 832,810
330,960 481,500 328,000 328,000
65,000 333,618 190,618 190,618
0 30,000 15,000 15,000
1,500 1,575 1,575 1,575
0 31,351 24,120 24,120
0 10,000 10,000 10,000
540,000 876,682 830,194 830,482 b 3 °icy
0 0 0 0
15,000 3,825,000 50,000 50,000
80,000 293,819 78,650 78,850
250,000 623,555 251,755 251,755
100,000 214,200 150,200 150,200
75,000 158,550 100,150 100,150
1,805,408 3,393,424 4,727,279 (169,549) 1,634,640 3,618,380 10,382,406 4,908,290 5,171,281
.vjo,51
9
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
•
Department: Engineering
Division:
Maintenance
1990/91
01-4647
-----------------------------------------------------------------------------------------------------------
Position
Quota
Appropriations
Position-----------------------------------------------------------------�
Classification 1Pos. 1
Emp.
1Current 1
Dept. 1
Mgr. 1
1
Dept. 1
Mgr.
1 Adopted 1
Title S Position 0 1
1 1
11
1 Level 1
Rcmd. 1
Rcmd. 1Adopted 1
Rcmd. 1
Rcmd.
i Budget 1
----------------------------------------------------------------------------------------------------------1
Public Works Maint. Managerl
101 1
9000
1 10011
10011
10011
10011
53160 1
53160
1 59328 1
Parks/Landscape Maint Spvsrl
102 1
307
1 10011
10011
10011
10011
48120 1
48120
1 53700 1
Streets/Storm Drn Maint Spt1
103 1
8112
1 10011
10011
10011
10011
40008 1
40008
1 53700 1
Fleet Maint Supervisor 1
104 1
6353
1 4011
011
011
011
0 1
0
1 0 1
Management Analyst 1 1
105 1
7957
1 10011
10011
10011
10011
30864 1
30864
1 34452 1
Secretary 1
106 1
220
1 10011
10011
10011
10011
26580 1
26580
1 29364 1
Management Aide 1
107 1
3438
1 10011
10011
10011
10011
20604 1
0
1 28932 1
Office Specialist II 1
162 1
8151
1 10011
10011
10011
10011
17664 1
0
1 19224 1
Maint.Supr.(Streets) 1
108 1
6875
1 9111
9411
9411
9411
32701 1
32701
1 37608 1
Maint.Supr.Parks (East) 1
109 1
2494
1 3011
011
011
011
0 1
0
1 0 1
Maint.Supr.Parks (Cont.) 1
110 1
2681
1 10011
1111
1111
1111
3264 1
3264
1 4023 1
Maint.Supr.Parks (Tree) 1
111 1
4625
1 9311
9411
9411
9411
31900 1
31900
1 35600 1
Maint.Supr(Streets) 1
112 1
5889
1 10011
10011
10011
10011
28600 1
28800
1 36204 1
Maint.Supr.Parks(Nest) 1
157 1
8425
1 4211
10011
10011
10011
27660 1
27660
1 40008 1
Equipment Operator (Sweeper)
148 1
5025
1 10011
011
011
011
0 1
0
1 0 1
.
Equipment Operator (Sweeper)
150 1
5200
1 10011
011
011
011
0 1
0
1 0 1
Equipment Operator (Sweeper)
151 1
819
1 8811
8811
8811
8811
22039 1
22039
1 22028 1
Equipment Operator (Sweeper)
149 1
6992
1 10011
011
011
011
0 1
0
1 0 1
Equipment Operator (Sweeperl
152 1
7925
1 10011
10011
10011
10011
27960 1
27960
1 31176 1
Lead Maint. Worker (St.) 1
191 1
150
1 10011
1411
1411
1411
4111 1
4111
1 4823 1
Lead Maint. Worker ( Red Hid
114 1
163
1 011
011
10011
10011
0 1
27948
1 32772 1
Lead Maint. Worker ( Citywil
115 1
1100
1 10011
6411
6411
6411
18156 1
18156
1 22049 1
Lead Maint. Worker ( St. ) 1
116 1
2319
1 3011
10011
10011
10011
26328 1
26328
1 31332 1
Lead Maint. Worker( Pks. Eal
121 1
2714
1 10011
011
011
011
0 1
0
1 0 1
Lead Maint. Worker( Pks. Eel
123 1
3185
1 3011
011
011
011
0 1
0
1 0 1
Lead Maint. Worker( Pks. Wei
158 1
5051
1 3011
10011
10011
10011
27660 1
27660
1 30864 1
Lead Maint. Worker( St. ) 1
160 1
5561
1 10011
10011
10011
10011
24060 1
24060
1 28212 1
Lead Maint. Worker( St. ) 1
161 1
6782
1 2211
1111
1111
1711
4408 1
4408
1 5222 1
Lead Maint. Worker( Trees )1
113 1
7121
1 9411
9411
9411
9411
25628 1
25628
1 28584 1
Lead Maint.Worker( Pks. Masi
163 1
8032
1 10011
10011
10011
10011
21780 1
21780
1 27384 1
Lead Maint.Worker( Heritagel
119 1
2313
1 9011
10011
10011
10011
30832 1
30832
1 32112 1
Lead Maint. Worker( Pks/Tra1
159 1
5569
1 10011
6111
6111
6111
17392 1
17392
1 19793
Sr. Maint. Worker( St. ) 1
120 1
1138
1 10011
5811
5811
5811
14665 1
14665
1 15570 1
Sr. Maint. Worker( Irr. C.W1
117 1
1600
1 8011
6511
6511
6511
17277 1
17277
1 19282
Sr.Maint. Worker( Irr. West1
122 1
2819
1 10011
10011
10011
10011
30276 1
30276
1 32124
Sr.Maint.Worker( Civic Centl
189 1
5823
1 8311
5011
10011
10011
12030 1
24060
1 25800
Sr. Maint. Worker( St. ) 1
118 1
5857
1 8811
5911
5911
5911
14195 1
14195
1 15838
Maint.Worker( Trails/Citywil
127
1 507
1 1811
6111
6111
6111
13278 1
13278
1 15270
Maint.Worker( Pks. Irr. West
177 1
832
1 3011
10011
10011
10011
21780 1
21780
1 25032 1
Maint. Worker( St. ) 1
140
1 644
1 1011
5311
5311
5311
11537 1
11537
1 13470
Naint. Worker( St. ) 1
124
1 5824
1 3011
10011
10011
10011
22896 1
22896
1 23820 1
.
Maint. Worker( St. ) 1
137
1 2143
1 10011
1011
1011
1011
2177 1
2177
1 2632
Maint.Worker( Pks. Red Hi111
174
1 565
1 3011
10011
10011
10011
21780 1
21780
1 25032
Maint. Worker( St. ) 1
131
1 873
1 10011
10011
10011
10011
21564 1
21564
1 24780
PROGRAM POSITION/SALARY SCHEDULE
Fiscal
Year
•
Department: Engineering
Division:
Maintenance
1990/91
01-4647
-----------------------------------------------------------------------------------------------------------
Position
Quota
Appropriations
Position
-
"""----""'
----I-----------------------------1
Classification 1Pos.
I Emp.
1Current I
Dept. 1
Mgr. i
I
Dept. 1
Mgr. I
Adopted
Title & Position A 1
4
1 4
1 Level I
Rcmd. I
Rcmd. 1Adopted I
Rcmd. I
Rcmd. I
Budget
I
-----------------------------------------------------------------------------------------------------------
Naint.Worker( Pks .West ) 1
141
1 1048
1 100%1
100%1
100%1
100%1
21768 1
21768 1
25284
Maint.Worker( Pks. East ) 1
134
1 1088
1 94%1
0%1
0%1
0%1
0 1
0
1 0 1
Maint. Worker( St. ) 1
173
1 1915
1 0%1
100%1
100%j
100%1
21984 1
21984 1
23820 1
Maint.Worker( Pks .West ) 1
132
1 6045
1 94%1
100%j
100%j
100%j
20712 1
20712
1 23820 1
Maint.Worker( Trees ) 1
136
1 1844
1 100%1
94%1
94%1
901
21951 1
21951
1 24004 1
Maint. Worker( St. ) 1
197
Ivacant
1 83%1
100%1
100%1
100%1
20712 1
20712
1 22656 1
Naint. Worker( St. 1
129
1 813
1 100%1
100%j
100%1
100%1
20712 1
20712
1 26712 1
Maint.Worker( Pks East ) 1138
1 2740
1 100%1
0%1
0%1
0%1
0 1
0
1 0 1
Maint.Worker( Fac. Citywide)
139
1 3203
1 100%1
64%1
64%1
641
13932 1
13932
1 16182 1
Maint.Worker( Pks. Heritagel
135
1 4262
1 100%j
100%1
100%1
100%1
22896 1
22896
1 26315 1
Maint. Worker( St. ) 1
145
1 4962
1 100%1
100%1
100%1
100%1
20712 1
20712
1 23820
Maint. Yorker( St. ) 1
169
1 5055
1 10%1
5%1
5%1
5%1
1036 1
1036
1 1191 1
Maint. Worker( St. ) 1
166
1 6928
1 0%1
5%1
5%1
5%1
1024 1
1024
1 1397 1
Maint.Worker( Pks. Irr. Cre1
175
1 5388
1 30%1
65%1
65%1
65%1
15639 1
15639
1 17449
Naint.Worker( Pks. East ) 1
146
1 5563
1 100%1
0%1
0%1
0%1
0 1
0
1 0 1
Naint. Worker( St. ) 1
196
1 5091
1 88%1
100%1
100%1
100%1
21768 1
21768
1 24780
.
Maint.Worker( Trees ) 1
167
1 5863
1 100%1
94%1
94%1
94%1
21522 1
21522
1 23530 1
Maint. Worker( St. ) (
142
1 6009
1 10%j
100%j
100%1
100%1
20712 1
20712
1 22656
Naint.Worker( Pks. West ) 1
222
1 1310
1 100%1
100%1
100%1
100%1
20712 1
20712
1 23340
Maint. Worker( St. ) 1
133
1 8677
1 10%j
10%1
10%i
10%1
2071 1
2071
1 2358
Maint. Worker( St. ) 1
125
Ivacant
I 100%j
100%1
100%1
100%1
19512 1
19512
1 22656
Maint.Worker( Pks. Red Hilly
170
)vacant
1 30%1
100%1
100%1
100%1
22896 1
22896
1 22656
Naint.Worker( Pks. West ) 1
171
1 6773
1 30%1
100%1
100%1
100%1
25548 1
25548
1 27936
Maint.Worker( Pks. West ) 1
143
1 7397
1 100%1
100%j
100%1
100%1
20712 1
20712
1 23820
Maint.Worker( Pks. West ) 1
184
1 7638
1 100%1
100%1
100%1
100%1
20712 1
20712
1 23620
Maint.Worker( Pks. Red Hillj
128
1 8151
1 0%1
0%1
100%1
100%j
0 1
22896
1 25032
Maint. Worker( St. ) 1
130
1 6181
1 100%1
100%j
100%1
100%1
21768 1
21768
1 23820
Maint.Worker( Pks. Fac. Crel
183
1 8681
1 30%1
64%1
64%1
601
13939 1
13939
1 16020
Maint. Worker( Pks. East ) 1
144
1 6740
1 100%1
0%1
0%1
0%1
0 1
0
1 0
Maint. Worker( St. ) 1
165
1 2645
1 0%1
5%1
5%1
5%j
1089 1
1089
1 1133
Maint. Worker( Pks. East ) 1
147
1 514
1 100%1
0%1
0%1
0%1
0 1
0
1 0
Maint. Worker( Pks. East ) 1
126
1 132
1 80%1
0%1
0%1
0%1
0 1
0
1 0
Seasonal M. Tech( Citywide 1
200
1 2071
1 100%1
100%1
100%1
100%1
3096 1
3096
1 4482
Seasonal M. Tech( Citywide 1
199
1 4610
1 100%1
100%1
100%1
100%1
3096
1 3096
1 3494
Seasonal M. Tech( Citywide 1
153
1 5076
1 100%1
0%1
0%1
0%1
0 1
0
1 0
Seasonal M. Tech( Citywide 1
154
1 5552
1 100%1
0%1
0%1
0%1
0
1 0
1 0
Seasonal M. Tech( Citywide 1
155
1 6660
1 100%1
0%1
0%1
0%1
0
1 0
1 0
Seasonal M. Tech( Citywide 1
156
1Vacant
1 100%1
100%1
100%1
100%1
3096
1 3096
1 3494
Lead Mechanic( IGS ) 1
192
1 159
1 20%1
0%1
0%1
0%1
0
1 0
1 0
Mechanic 1
179
1 3036
1 20%1
0%1
0%1
0%1
0
1 0
1 0
•
Mechanic 1
Mechanics Assistant 1
180
181
1 5883
1 1305
1 20%1
1 20%1
0%1
0%1
0%1
0%1
0%1
0%1
0
0
1 0
1 0
1 0
1 0
Inventory Spec Equip Matrlsl
182
1 5994
1 40%1
40%1
40%1
40%1
9158
1 9158
1 10738
Signal & Lighting Tech 1
201
1 2562
1 100%1
0%1
0%1
0%1
0
1 0
1 0
PROGRAM
POSITION/SALARY SCHEDULE
Department: Engineering
Division: Maintenance
Fiscal Year
1990/91
01-4647
-----------------------------------------------------------------------------------------------------'
Position Quota
Appropriations
---
i
Position-----------------------------------------------------------------I
I
I
Classification IPos.
I Emp. (Current
I Dept. I Mgr. I
I
Dept.
I Mgr.
I Adopted
Title 6 Position 4 1
4
1 4 1 Level
I Rcmd. I Rcmd. (Adopted I
Rcmd.
I Rcmd.
I Budget I
---------------------------------------------------------------------------------------------------------
Supervisor Streets 1
187
lProposel -
1 0%1
0%1
0%1
0
1
0
I
1 0 1
Supervisor Pks. Citywide 1
186
lProposel -
I 64%IN/R
IN/R
1
16020
IN/R
1N/R I
Office Assistant 1
202
lProposel -
I 100%IN/R
IN/R
1
17664
IN/R
IN/R I
Equipment Operator 1
206
lProposel -
I 66%IN/R
IN/R
1
14367
IN/R
IN/R I
Equipment Operator 1
207
lProposel -
1 0%1
O%I
0%1
0
1
0
1 0 1
Equipment Operator (Sweeperl
204
lProposel -
1 0%1
0%1
0%1
0
1
0
1 0 1
Lead Maint. Worker: St. 1
190
lProposel -
I 100%IN/R
1N/R
1
24060
IN/R
1N/R I
Lead Maint. Worker: St. 1
235
lProposel -
1 0%1
0%1
0%1
0
1
0
1 0 1
Lead Maint. Worker: Trail Cl
224
lProposel -
I 61%IN/R
IN/R
1
14677
IN/R
IN/R I
Lead Maint. Worker: Pks. GI
226
lProposel -
I 21%IN/R
IN/R
1
5053
IN/R
IN/R I
Lead Paint. Worker: Pks. II
225
IProposel -
I 64%IN/R
IN/R
1
15398
IN/R
IN/R I
Lead Maint. Worker: Pks. LI
227
lProposel -
I O%IN/R
IN/R
1
0
IN/R
IN/R I
Sr. Maint Worker: Pks. West1
198
lProposel -
IN/R IN/R
IN/R
IN/R
IN/R
IN/R I
Sr. Maint. Worker: Pks. Mowl
229
lProposel -
I 100%IN/R
IN/R
1
24060
IN/R
IN/R I
Sr. Maint. Worker: Pks. Berl
188
lProposel -
I 100%IN/R
IN/R
1
24060
IN/R
IN/R I
Sr. Maint. Worker: Pks. Fal
172
lProposel -
I O%IN/R
IN/R
1
0
IN/R
IN/R 1
Sr. Maint. Worker: Pks. Fal
164
lProposel -
I 100%IN/R
IN/R
1
24060
IN/R
IN/R I
Sr. Paint. Worker: Pks. Irl
176
lProposel -
I 0%IN/R
IN/R
1
0
IN/R
IN/R I
Sr. Maint. Worker: Pks. Lowl
178
lProposel -
I 0%lN/R
IN/R
1
0
IN/R
IN/R I
Sr. Maint. Worker : St. 1
185
lProposel -
I 48%IN/R
IN/R
1
9942
iN/R
IN/R I
1
Maint. Worker Pks. Beryl 1
214
lProposel -
I 100%IN/R
IN/R
1
20712
IN/R
IN/R I
Maint. Worker Pks. Civic 1
195
IProposel -
I C%IN/R
IN/R
1
0
IN/R
IN/R
Paint. Worker : Pks. East 1
208
lProposel -
1 0%1
0%1
0%1
0
1
0
1 0 1
/
Paint. Worker : Pks. East 1
209
IProposel -
1 0%1
0%1
0%1
0
1
0
1 0 1
Paint. Worker : Pks. Fee. EI
215
lProposel -
I 0%IN/R
IN/R
1
0
IN/R
IN/R I
Maint. Worker : Pks. Fac. WI
218
lProposel -
1 100%1
100%1
100%1
20712
1 20712
1 22656
Maint. Worker : Pks. Herital
232
lProposel -
I 100%IN/R
1N/R
1
20712
1N/R
1N/R I
Maint. Worker : Pks. Marital
233
lProposel -
I 100%IN/R
1N/R
1
20712
IN/R
1N/R
Maint. Worker : Pks. Irr. EI
213
lProposel -
I 0%IN/R
IN/R
1
0
IN/R
1N/R I
Maint. Worker : Pks. Trail 1
236
lProposel -
I 0%IN/R
IN/R
1
0
IN/R
IN/R
Maint. Worker : Pks. Low CrI
211
lProposel -
I 0%IN/R
IN/R
1
0
IN/R
IN/R
Paint. Worker : Pks. Low Crl
237
lProposel -
I 100%IN/R
1N/R
1
20712
1N/R
IN/R
Paint. Worker : Pks. Mow 1
212
lProposel -
I 100%IN/R
1N/R
1
20712
IN/R
IN/R
Paint. Worker:Pks. Trail LMI
217
lProposel -
1 0%1
0%1
0%1
0
1
0
1 0
Paint. Worker Pks. West 1
193
lProposel -
1 100%1
100%1
100%1
20712
1 20712
1 22656
Maint. Worker Pks. West 1
194
IProposel -
1 100%1
100%1
100%1
20712
1 20712
1 22656
Maint. Worker Pks. West 1
210
lProposel -
I 100%IN/R
IN/R
1
20712
IN/R
IN/R
Paint. Worker St. 1
205
lProposel -
I 0%IN/R
IN/R
1
0
IN/R
IN/R
Paint. Worker St. 1
216
lProposel -
I O%IN/R
1N/R
1
0
IN/R
IN/R
Maint. Worker St. 1
219
lProposel -
I 0%IN/R
IN/R
1
0
1N/R
IN/R
Maint. Worker St. 1
Lead Mechanic 1
131
228
[Proposal -
lProposel
I 100%IN/R
1 0%1
1N/R
0%1
1
0%1
20712
0
IN/R
1
0
1N/R
1 0
Mechanic 1
220
lProposel
1 0%1
0%1
0%1
0
1
0
1 0
Mechanics Asst. 1
221
lProposel -
1 0%1
0%1
0%1
0
1
0
1 0
• Department: Engineering
Position
Classification
Title & Position A
Subtotal
Merit Contingency:
Subtotal:
Fringe Benefits
Subtotal:
Part-time
Subtotal:
Merit Contingency:
TOTAL:
�Pos
0
Emp
A
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
Division: Maintenance 1990/91
01-4647
Position Quota I Appropriations
Current I Dept. I Mgr. I I Dept. I Mgr. I Adopted
Level I Rcmd. I Rcmd. jAdopted I Rcmd. I Rcmd. I Budget
------------------------------------------------------------------�
1656812 1347073 1582716
82841 67354 79136
1739653 1414427 1661852
608878 495049 581648
2348531 1909476 2243500
9288 9288 11471
2357819 1918764 2254971
464 464 574
2358283 1919228 2255545
*Proposed New Position
**Proposed reclassification of existing position from Sr. Maint. Worker to Lead Maint. Worker
Note: All positions shown are fully funded. Balance of funding for Positions with Less than 100%
General Fund shown, are from Special Funds
N/R 89 Not Recommended FY 89/90 N/R 90 Not Recommended FY 90/91
0
PROGRAM POSITION/SALARY SCHEDULE
•
Department: Engineering/Maintenance
Division:
Red Hill/Heritage
Parks
fiscal Year
1990/91
------------------------------------------------------------------------------------------------------------1
Position Quota
I
Appropriations
1
I
PositionI
I
I
I-----------------------------------------------------------------]
I
I
Classification IPos. I
Emp.
(Current I
Dept. I
Mgr. I
I
Dept. I
Mgr. I
Adopted I
Title & Position A I
D I
A
I Level I
Rcmd. I
Rcmd. (Adopted I
Rcmd. I
Rcmd. I
Budget I
----------------------------------------------------------------------------------------------------------
Public Works Maint. Managerl
101 1
9000
1 011
011
Oil
011
0 1
0 1
I
0 1
Parks/Landscape Maint Spvsrl
102 1
307
1 011
Oil
011
011
0 1
0 1
0 1
Street/Storm Orn Maint Suptl
103 1
8112
1 011
011
011
01]
0 1
0 1
0 1
Fleet Maint Supervisor 1
104 1
6353
1 011
Oil
011
011
0 1
0 1
0 1
Management Analyst I 1
105 1
7957
1 011
011
011
011
0 1
0 1
0 1
Secretary 1
106 1
2201
011
Oil
011
Oil
01
01
01
Management Aide 1
107 1
3438
I 011
011
011
011
0 1
0 1
0 1
Office Specialist II 1
162 1
8251
1 011
011
011
01l
0 1
0 1
0 1
Maint.Supr.Streets 1
108 1
6875
1 011
011
011
011
0 1
0 1
0 1
Maint.Supr.Parks: East {
109 1
2494
1 011
011
01l
011
0 1
0 1
0 1
Maint.Supr.Parks: Cont. 1
110 1
2681
1 011
011
011
011
0 1
0 1
0 1
Maint.Supr.Parks: Tree 1111
1
4625
1 011
011
01l
011
0 1
0 1
0 1
Maint.Supr.Streets 1
112 1
5889
1 011
011
011
011
0 1
0 1
0 1
Maint.Supr.Parks: West 1
157 1
8425
1 011
011
011
011
0 1
0 1
0 1
Equipment Operator (Sweeperl
148 1
5025
1 Oil
011
011
011
0 1
0 1
0 1
Equipment Operator (Sweeperl
150 1
5200
1 01l
Oil
011
Oil
0 1
0 1
0 1
.
Equipment Operator (Sweeperl
151 1
6928
1 011
011
Oil
011
0 1
0 1
0 1
Equipment Operator (Sweeperl
149 1
6992
1 011
011
01l
011
0 1
0 1
0 1
Equipment Operator (Sweeperl
152 1
7925
1 011
Oil
011
011
0 1
0 1
0 1
Lead Maint.Worker: St. 1191
1
150
1 011
011
011
01l
0 1
0 1
0 1
Lead Mechanic: IGS 1
192 1
159
1 011
011
011
011
0 1
0 1
0 1
Lead Maint. Worker: Red Hill
114 1
163
1 10011
10011
10011
01l
27948 1
0 1
0 1
Lead Maint. Worker: City Wil
115 1
1100
1 011
011
011
01l
0 1
0 1
0 1
Lead Maint.Worker: St. 1
116 1
2319
1 011
011
011
Oil
0 1
0 1
0 1
Lead Maint. Worker: Pks Easl
121 1
2714
1 011
Oil
011
Oil
0 1
0 1
0 1
Lead Maint. Worker: Pks. Eal
123 1
3185
1 011
011
011
011
0 1
0 1
0 1
Lead Maint. Worker: Pks. Wel
158 1
5051
1 011
011
011
011
0 1
0 1
0 1
Lead Maint. Worker:St. 1160
1
5561
1 011
011
011
011
0 1
0 1
0 1
Lead Maint. Worker:St. 1
161 1
6782
1 011
011
011
Oil
0 1
0 1
0 1
Lead Maint.Worker :Trees 1
113 1
7121
1 011
011
011
011
0 1
0 1
0 1
Lead Maint.Worker: Pks . Wel
163 1
8032
1 011
01l
.011
011
0 1
0 1
0 1
Lead Maint.Worker: Heritagel
119 1
2313
1 0%1
011
011
01l
0 1
0 1
0 1
Lead Maint. Worker: Parks/TI
159 1
5569
1 011
011
011
011
0 1
0 1
0 1
Sr.Maint.Worker: St. 1
120 1
1138
1 011
011
011
011
0 1
0 1
0 1
Sr. Maint. Worker: Irr. C.WI
117 1
1600
1 011
011
011
011
0 1
0 1
0 1
Sr. Maint. Worker: Irr. Wesl
122 1
2819
1 0%1
011
011
011
0 1
0 1
0 1
Sr.Maint.Worker: Civic Centl
189 1
5823
1 011
011
011
011
0 1
0 1
0 1
Sr.Maint.Worker: St. 1
118 1
5857
1 011
011
011
011
0 1
0 1
0 1
Maint.Worker: Pks. East 1
126 1
132
1 011
011
011
011
0 1
0 1
0 1
Maint.Worker: Trails/City WI
127 1
507
1 011
011
011
Oil
0 1
0 1
0 1
•
Maint.Worker: Pks. Irr. Wes]
Maint.Worker: St. 1
177 1
140 1
565
644
1 011
1 011
011
011
011
011
011
011
0 1
0 1
0 1
0 1
0 1
0 1
Maint.Worker :St. 1
124 1
813
1 011
011
011
011
0 1
0 1
0 1
Maint.Worker :St. 1
137 1
819
1 Oil
011
011
Oil
0 1
0 1
0 1
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
.
Department: Engineering/Maintenance
Division:
Red Hill/Heritage
Parks
1990/91
------------------------------------------------------------------------------------------------------------�
Position Quota
Appropriations
Position-----------------------------------------------------------------�
Classification jPos.
I Emp.
Current I
Dept. I
Mgr. I
I
Dept. I
Mgr. I
Adopted
Title 6 Position g 1
4
1 D
1 Level I
Rcmd. I
Rcmd. jAdopted I
Rcmd. I
Rcmd. I
Budget
------------------------------------------------------------------------------------------------------------
Maint.Worker: Pks. Red Milli
174
1 832
1 0$1
0$1
0k1
0%1
0 1
0 1
I
0
Naint.Worker: St. 1
131
1 873
1 0$1
0$1
0%1
Oil
0 1
0 1
0
Maint.Worker: Pks. West 1
141
1 1048
1 0%1
0%1
0$1
0k1
0 1
0 1
0
Maint.Worker Pks: East 1
134
1 10B8
1 0R1
0$1
0%1
0$1
0 1
0 1
0
Maint.Worker:St. 1
173
1 1291
1 0$1
0%1
0$1
0$1
0 1
0 1
0 1
Maint.Worker Pks: West 1
132
1 1310
1 0%1
0$1
0%1
0%1
0 1
0 1
0 1
Maint.Worker: Trees 1
136
1 1844
1 0E1
0E1
0%1
0%1
0 1
0 1
0
Maint. Worker:St. 1
197
1 1915
1 0%1
0$j
0%1
0$1
0 1
0 1
0 1
Maint.Worker :St. 1
129
1 2143
1 O%j
Oki
0E1
0%1
0 1
0 1
0 1
Naint.Worker Pks: East 1
138
1 2740
1 0$1
0$1
0%1
0$1
0 1
0 1
0
Maint.Worker: Fac. Citywidel
139
1 3203
1 0%1
0$1
0$1
0%1
0 1
0 1
0
Maint.Worker Pks: Heritage 1
135
1 4262
1 0$1
0$1
Oki
0$1
0 1
0 1
0 1
Maint.Worker :St. 1
145
1 4962
1 O%j
0$1
0k1
0$1
0 1
0 1
0 1
Maint.Worker: St. 1
169
1 5055
1 Ott
0$1
0%1
0$1
0 1
0 1
0 1
Maint.Worker: St. 1
166
1 5091
1 0E1
0$1
0%1
0$1
0 1
0 1
0 1
Naint.Worker: Pks. Irr. Crel
175
1 5561
1 0%1
0$1
0$1
0$1
0 1
0 1
0 1
.
Maint.Worker: Pks. East 1
146
1 5563
1 0%1
0E1
Ott
0E1
0 1
0
0 1
Maint. Worker: St. 1
196
1 5824
1 0%1
0%1
0%1
0%1
0 1
0 1
0 1
Maint.Worker: Trees 1
167
1 5863
1 0%1
0$1
0$1
0%1
0 1
0 1
0 1
Naint.Worker :St. 1
142
1 6009
1 0%1
0%1
0%1
0%1
0 1
0 1
0
Maint.Worker: Pks. West 1
222
1 6045
1 0E1
0%1
0E1
Oil
0 1
0 1
0 1
Maint.Worker :St. 1
133
1 6181
1 0$1
OEj
0$1
0%1
0 1
0 1
0 1
Maint.Worker: St. 1
125
1 6740
1 Ott
0%1
0k1
0%1
0 1
0 1
0 1
Naint.Worker: Pks. Red Hillj
170
1 6744
1 0$1
0%1
0$1
0E1
0 1
0 1
0 1
Maint.Worker: Pks. West 1
171
1 6773
1 Oil
Oil
Ott
Ott
0 1
0 1
0 1
Maint.Worker: Pks. West 1
143
1 7397
1 011
Ott
0E1
0$1
0 1
0 1
0
Maint.Worker: Pks. West 1
184
1 7638
1 0%1
0$1
0%1
0%1
0 1
0 1
0 1
Maint.Worker: Pks. Red Hilll
128
1 8151
1 100$1
100$1
100$1
Ott
22896 1
0 1
0 1
Maint.Worker :St. 1
130
1 8677
1 0$1
0%1
0k1
Oil
0 1
0 1
0 1
Maint.Worker: Pks. Fac. Cres
183
1 8681
1 0$1
0k1
Ott
031
0 1
0 1
0
Maint.Worker: Pks. East 1
144
IVacant
1 Ott
Ott
011
0E1
0 1
0 1
0
Maint.Worker: Pks. East 1
147
IVacant
1 0$1
0%j
0E1
0$1
0 1
0 1
0 1
Naint.Worker: St. 1
165
lVacant
1 0$1
0$1
0%1
0%1
0 1
0 1
0 1
Seasonal M. Tech: City Widel
153
lVacant
1 0%1
0%1
011
0$1
0 1
0 1
0
Seasonal M. Tech: City Wider
154
lVacant
1 0%1
0$1
OEC
011
0 1
0 1
0 1
Seasonal M. Tech: City Widel
155
JV&cant
1 0%1
0R1
0%1
0$1
0 1
0 1
0
Seasonal M. Tech: City Widel
156
IVacant
1 0%1
011
0%1
0%1
0 1
0 1
0 1
Seasonal M. Tech: Citywide 1
199
IVacant
1 0%1
0$1
Oil
G%j
0 1
0 1
0
Seasonal M. Tech: Citywide 1
200
IVacant
1 0%1
0%1
0$1
O%j
0 1
0 1
0 1
Mechanic 1
179
1 3036
1 0$1
0%1
0$1
0%1
0 1
0 1
0 1
Mechanic 1
180
1 5883
1 0$1
0%1
0%1
0E1
0 1
0 1
0 1
•
Mechanics Assistant 1
181
IVacant
1 0%1
0%1
011
0$1
0 1
0 1
0 1
Inventory Spec Equip Mtrls 1
182
1 5994
1 0$1
0$1
0E1
Oki
0 1
0 1
0
Signal 6 Lighting Tech 1
201
IVacant
1 0%1
0E1
0$1
0$1
0 1
0 1
0 1
PROGRAM
POSITION/SALARY
SCHEDULE
Fiscal Year
•
Department: Engineering/Maintenance
Division: Red
Hill/Heritage
Parks
1990/91
------------------------------------------------------------------------------------------------------------I
Position Quota
I
I
Appropriations
I
I
I
Position I
I
I I----------------------------------------------------------------
_I
Classification IPos.
I Emp. (Current
I Dept. I Mgr.
I
I
Dept. I Mgr.
I
Adopted I
Title 6 Position p I
I
I A I Level
I Rcmd. I Rcmd.
(Adopted I
Rcmd. I Rcmd.
I
Budget I
I
------------------------------------------------------------------------------------------------------------
Supervisor Parks Citi Wide 1186
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I
0 I
Supervisor Streets 1187
IProposedl -
I OEI
0$I
0$I
0 I
0 I
0 I
Office Assistant 1202
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I
0 1
Equipment Operator (Sweeperl
204
IProposedl -
I 0$I
0$I
0$I
0 I
0 I
0 I
Equipment Operator 1206
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I
0
Equipment Operator 1207
IProposedl -
I 0$I
0$I
0$I
0 I
0 I
0 1
Lead Maint.Worker: St. 1190
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I
0
Lead Plaint Worker:St. 1235
IProposedl -
I - I
Dill
0$I
- I
0 I
0
Lead Plaint. Worker: Trail Cl
224
IProposedl -
I - IN/R
IN/R
I
- IN/R
I
0
Lead Worker: Pks. Irr. C.W.I
225
IProposedl -
I - IN/R
IN/R
I
- IN/R
I
0
Lead Worker: Pks .GF LMO Col
226
IProposedl -
I - IN/R
IN/R
I
- iN/R
I
0
Lead Worker: Pks. LMD Contrl
227
IProposedl -
I - IN/R
IN/R
I
- IN/R
I
0
Lead Mechanic 1228
IProposedl -
I - I
0$I
0$I
- I
0 I
0
Sr. Maint. Worker: Pks. Berl
188
IProposedl -
I 0$lN/R
IN/R
I
0 IN/R
I
0
Sr. Plaint. Worker: Pks. Wesl
198
IProposedl -
I Oal -
I -
I
0 I
0 I
0
Sr. Maint. Worker: Pks. Nowl
229
IProposedl
I - IN/R
IN/R
I
- IN/R
I
0
.
Sr. Plaint. Worker: Pks. Fal
164
_
IProposedl
I O%IN/R
IN/R
I
0 IN/R
I
0
Sr. Plaint. Worker: Pks. Fal
172
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I
0
Sr. Maint. Worker: Pks. Irl
176
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I
0
Sr. Plaint. Worker: Pks.Low 1178
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I
0
Sr. Plaint. Worker: St. 1185
IProposedl -
I - IN/R
IN/R
I
- IN/R
I
0
Maint. Worker :Pks. West 1193
IProposedl -
I 0$I
0$I
O%I
0 I
0 I
0
Maint. Worker : Pks. West 1
194
IProposedl -
I 0$I
0$I
ORI
0 I
0 1
0
Maint. Worker : Pks. Civic 1195
IProposedl -
I OEIN/R
IN/R
I
0 IN/R
I
0
Plaint. Worker : St. 1231
IProposedl -
I - IN/R
IN/R
I
- IN/R
I
0
Maint. Worker : Pks. East 1208
IProposedl -
I Oil
0$I
0$I
0 I
0 I
0
Maint. Worker : Pks. East 1209
IProposedl -
I 0$I
OEI
0$I
0 I
0
1 0
Plaint. Worker : Pks. West 1210
IProposedl -
I 0$I
0$I
0%1
0 I
0 I
0
Maint. Worker : Sts. 1219
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I 0
Maint. Worker : Pks. Mow 1212
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I 0
Maint. Worker : St. 1216
IProposedl -
I O%JN/R
IN/R
l
0 IN/R
I 0
Plaint. Worker: Pks. Beryl 1214
IProposedl -
I 01IN/R
IN/R
I
0 IN/R
I 0
Plaint. Worker : Pks. Fac. EI
215
IProposedl -
I O%JN/R
IN/R
l
0 IN/R
I 0
Maint. Worker : Pks. Fac. NI
218
IProposedl -
I 0$I
0$I
0$I
0 I
0
I 0
Plaint. Worker : Pks. Trail 1217
IProposedl -
1 0$I
OEI
O%l
0 I
0
I 0
Maint. Worker : Pks. Irr. EI
213
IProposedl -
I 0$IN/R
IN/R
I
0 IN/R
I 0
Plaint. Worker : Pks. Low Crl
211
IProposedl -
I D%JN/R
IN/R
I
0 IN/R
I 0
Naint. Worker : Pks. Low Crl
237
IProposedl -
I - INA
IN/R
I
- IN/R
I 0
Plaint. Worker Pks. Herital
232
IProposedl -
I - IN/R
IN/R
I
- IN/R
I 0
Maint. Worker Pks.Heritagl
233
IProposedl -
I - IN/R
IN/R
I
- IN/R
I 0
Plaint. Worker Pks. Trail 1236
IProposedl -
I IN/R
IN/R
I
_ iN/R
I 0
•
Maint. Worker St. 1205
IProposedl
_
I IN/R
IN/R
I
IN/R
I 0
Mechanic 1220
lProposedl
I 0$I
Otl
0%1
0 I
0
I 0
Mechanics Asst. 1221
IProposedl -
1 0$I
0$I
0%1
0 1
0
1 0
0
0
•
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
Department: Engineering/Maintenance Division: Red Hill/Heritage Parks 1990/91
------------------------------------------------------------------------------------------------------------I
Position Quota I Appropriations
I
PositionI
I I I I
I I----------------------------------------------------------------I
I
Classification
IPos. I Emp. (Current I Dept. I Mgr. I I Dept. I Mgr. I
Adopted I
Title 6 Position N
1 4 1 4 1 Level I Rcmd. I Rcmd. (Adopted I Rcmd. I Rcmd. I
Budget I
------------------------------------------------------------------------------------------------------------I
Subtotal
I I I I 1 1 I 50844 I 0 1
0 1
Merit Contingency:
I I 1 I I I 2542 I 0 1
0 1
Subtotal:
I I I I 1 1 I 53386 I 0 1
0 1
Fringe Benefits
I I I I 1 1 I 18685 I 0 1
0 1
Subtotal:
I I 1 I 1 1 I 72071 I 0 1
0 1
Part-time
I I I I I I I 01 01
01
Subtotal:
I 1 1 I 1 I I 72071 I 0 1
0 1
Merit Contingency:
I I I I I I I 0 1 0 1
0 1
TOTAL:
I I 1 I I I I 72071 I 0 1
0 1
*Proposed New Position
**Proposed reclassification of Existing
Position from Sr. M.N. to Lead M.W.
N/R 69 Not Recommended FY 89/90
N/R 90 Not Recommended FY 90/91
• COST CENTER DETAORKSHEEf 199091 •
Department/Division:
Enqineerino
Program:
I Maintenance
Account Number:
01-4647
Department
ProDosed
City Mgr.
Pro osed
Obiect No. Description of Items & Individual Dollar Amounts
Budget
1100 Re ular Payroll
1756221
1661852
1200 Overtime Payroll
40000
40000
1300 Part-time Payroll
9288
11471
1900 Frincte Benefits 0 35%
614677
581648
3100 Travel & Meetin s
A.P.W.P. National Convention Maintenance Superintendent)
1000
1000
MSA Conference St. & S.D. Maint. Su . & Crew Su v.
1000
1000
MSA Meetings
800
800
CPRS Maim. M mt. School
3000
2000
Vehicle Maintenance Seminar
1000
1000
Maintenance Superintendent Meetings
600
0
Turf Manaltement Seminar
633
633
Xerisca a Conference
317
317
Crew Training & Seminars
4000
4000
NAPA Paving Seminar
1000
0
SUBTOTAL
13350
10750
3300 Mileage
4000
2000
SUBTOTAL
4000
2000
3900 Maintenance & Operations
Materials Supplies, Tools Uniforms Asphalt, Concrete etc.
900000
730510
Com uter Software & Software Updates
1500
1300
Computer Cabling
100
0
Blue Print Machine transferred from 01-4637
2000
2000
'Red Hill Park Maintenance
38000
19000
*Heritage Park Maintenance
35000
15000
*Beryl Park Maintenance
35000
15000
Graffiti Removal Enhancement Program
50000
50000
SUBTOTAL
1061600
832810
3931 Vehicle Maintenance
General
374500
274500
'Red Hill Park
38000
19000
*Heritage Park
34500
17250
*Beryl Park
34500
17250
SUBTOTAL
481500
328000
3932 Equipment Maintenance And Operations
General
247618
147618
'Red Hill Park
30000
15000
*Heritage Park
280001
14000
• COST CENTER DETARKSHEET 1990/91 •
Department/Division:
Enalneerina
Program:
I Maintenance
Account Number:
01-4647
Department
Pro osed
City Mgr.
Proposed
Obect No. I
Description of Items & Individual Dollar Amounts
Budget
*Beryl Park
28000
14000
SUBTOTAL
333618
190618
3933 Emeroency
& Routine Vehicle & E ui ment Rental
30000
15000
SUBTOTAL
30000
15000
3956 Dues
A.P.W.A.
100
100
MMASC Mana ement Analyst)
25
25
Maintenance. Supt. Assoc.
200
200
Certified Applications License
400
400
California Parks & Recreation Assoc.
275
275
Intl. Society of Arboriculture
300
300
TCSA/ISMA (Signal Maint.
100
100
Turf Grass Assoc.
100
100
Street Tree Seminar
25
25
CAPCA Pest Control Requirement)
50
5o
SUBTOTAL
1575
1575
3960General Liability 1% of Operations
31851
24120
6027 Hazardous Waste Removal
Removal of City induced spills i.e. diesel hydraulic fluidpesticides)
10000
10000
6028 Contract
Services
Alarm Service at City Yard
2500
2500
Office Equipment Service
2110
2110
Computer & Word Processing Maintenance
5480
5480
General City Landscape Contract
244000
244000
City taff Pager Rental
14000
14000
Contract Chemical Application
20000
0
County Parkway Weed Abatement
5000
5000
General Consultants (Surveying, Soils Eng., Irrigation, etc.
45000
45000
Facilities Lighting Maint.:
General
15000
15000
'Red Hill Park
14000
14000
*Heritage Park
14000
14000
*Beryl Park
14000
14000
Re air City Backflow Devices 3rd Year on Going Program)
12000
12000
Repeater Station Rental
200
200
Safety Training Programs:
Federal & State Required M.S.D.S. etc.
7000
7000
Tree Maintenance Contract
140000
140000
Routine/EmergencyRoutine/Emergency Street Repairs
105000
85000
Concrete Contract
85000
75000
• COST CENTER DEARKSHEET 199091 •
Department/Division:
En inee Ing
Program:
I Maintenance
Account Number:
01-4647
Department
Pro osed
City Mgr.
Proposed
Ob act No I
Description of Items 8 Individual Dollar Amounts
Budget
Public Works Maintenance Management Program New Program)
35000
35000
Citywide Centralized Irri ation Management Study
50000
40000
MIS Administration
47392
61192
SUBTOTAL
876682
830482
7043 Ca ital
Expenditures: Facilities
Construction Phase II of City Yard
3150000
0
Design Phase III Vehicle Maint. Bldg.)
600000
0
Facilities Needs and Fee Nexus Study
50000
50000
Alternate Yard Land Acquisition
0
0
Trainin Room - Finish
0
0
Interim Sweeper Transfer Site Lease
0
0
General Fund Landscape Uparades -
lant materials 8 moisture sensors
25000
0
SUBTOTAL
3825000
50000
7044 Capital
Exoenditures
General see detail
287769
75850
Computers
6050
3000
SUBTOTAL
293819
78850
7045 Capital
Expenditure - Vehicles see detail
New Vehicles
519100
147300
On -Going Lease Payments
104455
104455
SUBTOTAL
623555
251755
8021 Water
Utilities
General
144900
110900
'Red Hill Park
23100
13100
*Heritage Park
23100
13100
*Beryl Park
23100
13100
SUBTOTAL
214200
150200
8022 Electric
Utilities
General
32550
17950
'Red Hill Park
42000
27400
*Heritage Park
42000
27400
*Beryl Park
42000
27400
SUBTOTAL
158550
100150
• COST CENTER DETOORKSHEET 199091 •
Transfers
01-0991
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
-----------------------------------
GENERAL FUND - TRANSFERS OUT
1 4991 0000 TRANSFER IN
1 4991 9000 TRANSFERS OUT
DEPARTMENT TOTAL
0
10/22/90 CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-08 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
0
0
0
0 0
0
(72,758)
(72,758)
(81,937)
2,264,296
491,169
425,000
(425,000) 0
0
475,000
425,000
425,000
2,246,296
491,169
425,000
(425,000) 0
0
402,242
352,242
343,063
•
•
COST CENTER DETAIL WORKSHEET
---------------------------------------------------------------------------------------
Department/Division: I Program: I Recount Number: 1
TRANSFERS ITRANSFERS 1 01-4991 1990/91 1
---------- Ob)---------De-------scription------of---Items----6---------Individual----Dollar-------Amounts---------------I--B---9-
ud-----
etect No.
---------- I----------------------------------------------------------------1-----------1
I I I
8000 ITRANSFERS IN 1 (91,931)1
1 1 1
1 1 1
1 1 1
1 1 1
9000 ITRANSFERS OUT 1 425,000 1
I I I
I I I
I I I
1 I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
991LFM2A.W1
I
I
I
I
I
I I
NET TRANSFERS: I 343,063 1
I I
Resource Svcs./Admin.
33.4130
BUDS OJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
87-88 FY 88-89 FY CUR FY
ACCOUNT ACTUAL ACTUAL BUDGET
---------------------------------------------------------------------------------
Resource Services - Administration
33 4130
1100
REGULAR PAYROLL
231,589
416,905
106,231
33 4130
1200
OVERTIME PAYROLL
1,489
3,980
5,000
33 4130
1300
PART TIME PAYROLL
2,355
2,987
0
33 4130
1900
FRINGE BENEFITS
84,515
170,558
37,181
33 4130
3100
TRAVEL 6 MEETINGS
3,255
7,498
1,895
33 4130
3300
MILEAGE
2,022
4,028
290
33 4130
3900
MAINTENANCE 6 OPERATIONS
20,828
29,400
10,950
33 4130
3942
ACCUMULATED DEPRESIA.
0
0
0
33 4130
3956
DUES
281
365
0
33 4130
3960
GENERAL LIABILITY
646
1,873
696
33 4130
6028
CONTRACT SERVICES
78,479
155,335
60,965
33 4130
7043
CAPITAL EXPEND. -BLDG
0
0
0
33 4130
7011
CAPITAL EXPEND. -EQUIP
111,219
70,302
2,900
DEPARTMENT TOTAL
596,678
863,241
226,108
33 4130 9000 TRANSFER OUT 5,910 0
DEPARTMENT TOTAL $96,618 869,151 226,108
CITY OFk0 CUCAMONGA
DEPT
CUR FY ACTUAL TO DEPT EST REQUEST
ADJUST 12/31/89 ACTUAL 1990/91
COUNCIL
CITY APPROVED
MGR 1990/91
6,311 50,818 112,605 137,811 120,877 136,080
5,000 61 10,000 4,000 3,000 3,000
0 0 0 0 0 0
0 37,181 37,101 48,234 42,307 47,628
300 1,598 2,195 3,545 2,145 2,145
280 1,387 570 260 812 812
1,550 4,021 12,500 11,510 8,305 8,305
0 0 0 0 0 0
0 0 0 0 0 0
0 696 696 0 287 287
0 54,338 82,000 17,511 17,511 17,511
0 0 0 0 0 0
5,000 (390) 7,900 4,400 1,400 1,400
18,504 149,739 265,647 227,271 196,644 217,168
0 0 0 0
18,504 149,739 265,611 227,271 196,611 211,168
i
PROGRAM POSITION/SALARY SCHEDULE
Department: Resource Services Division Administration Fiscal Year
33-4130 1990/91
ition Quota I Appropriations
PositionI-------------------------------I
--------------------------------
I
Classification
ICurrentl
Dept. I
Mgr. I
I
Dept.
I Mgr. I
Adopted I
Title
I Level I
Rcmd. I
Rcmd. lAdootedl
Rcmd.
I Rcmd. I
Budget I
-------------------
Deputy City Manager
I------- I
I 20$1
------- I
1011
------- I -------
20$1
I
20$1
---------
$5,609
I--------I
1 $11,218 1
-----------I
$16,250 1
Ressource Sery Supvrl 100$1
100$1
10011
100$1
$37,128
1 $37,128 1
$38,840 1
Microcomputer Spec.
1 10081
150$1
100$1
100$1
$42,102
1 $29,076 1
$32,450 1
Office Assistant
1 100$1
15011
100$1
011
$27,570
1 $18,859 1
$0 1
Data Entry Operator
1 10011
10011
10011
011
$18,840
1 $18,840 1
s0 I
Office Spec. lI
1 011
011
011
20011
so
1 $0 1
$42,060 1
Subtotal:
I I
1
1
1$131,249
1$115,111 1
$129,600 1
Merit Inc.
I I
I
I
I
$6,562
1 $5,756 1
$6,480 1
Subtotal:
I I
I I
I
I
1
I
1$137,811
i
1$120,877 1
I I
$136,080 1
I
Fringe Benefits
Subtotal:
• Part -Time Off.Asst
Subtotal:
130LFMIa.wkl
0
I 1 1 $48,234 1 $42,307 1 $47,628 1
I I 1 1$186,045 1$163,184 1 $183,708 1
I I I I I I I
011 10011 011 011 $9,000 1 $0 1 $o I
1 I 1 1$195,045 1$163,184 1 $183,708 1
I I I I I I I
I I I I I I I
COST CENTER DETAIL WORKSHEET
•
---------------------------------------------------
Department/Division: I Program:
-----------------------------
I Account No. (Fiscal Yearl
Resource Service Dept. l Administration
l 33-4130 l
90/91 I
O---e-c-t---i----------e-s-cr-i-p-t-i-o-n--o-f--I-t-e-m-s--&--I-n-d-i-v-i-d-u-a-1--D-o-l-l-a-r--A-m-o-u-n-t-s------
- i-----
I
----
Budgeti
--------
1100
--------------------------------------------------------------
lRegular Payroll
I
I
I
-----------
$136,080 l
1200
10vertime
I
I
I
$3,000 l
1900
I
lFringe Benefit
I
I
I
I
$47,628 l
3100
ITravel & Meetings
I
I
I
I
I Comdex Computer Conference
$900 I
I
I Special Training (Computer Maint. &
Software) $995 l
I Supervisory & Management Training
$250 I
I
l
Subtotal: l
$2,145 l
3300
IMileage:
I
I
I
I
I Mileage (400 miles Q .65)
$260 I
I
l Mileage Reimbursement/Dep.City Mgr.
$552 l
I
I
Subtotal: i
$812 l
3900
IMaintenance & Operations
I
I
I Computer Software and Upgrades
$2,305 I
I
l Office Supplies
$2,750 I
l
I Paper
$2,200 1
l
•
l File Cabinet (1 0 $35D)
$350 I
l
I Periodicals (IBM, Mac Magazines)
$200 I
I
l Computer Connectors
$500 I
I
Subtotal: l
$6,305 l
3960
16eneral Liability
I
i
$287 l
I
6028
I
lContract Services
l
l
l Westek
$5,000 1
l
l IBM, Compaq & Clones
To Be Transferl
I
I Apple
To Be Transferl
l
I McAllister Computer Consultant
$1,000 I
I
l Computer Contract Services
$6,711 I
I
NBI
To Be Transferl
I
NCR
To Be Transferl
I
Student Intern
$4,800 I
I
�
Subtotal: l
$17,511 I
7044
ICapital Expenditures
I
l
I
I Mac 11 RAM Upgrade
$1,400 i
l
I
I
Subtotal: l
I
$1,400 l
I
130LFM2a.wkl
I
I
Total: I
I
$217,168 l
•
I
I
I
•
COMPUTER SOFTWARE REQUEST FORM
Department: Resource Services
Division: Administration
Fiscal Year
33-4130
1990/91
-------------------------------------------------------------------------------------------------------
I
I I I
I I
Resource Center I
I
(Serial Number/ID ofl I
I I
Use Only
I
Account (Software IdentificationlComputer
Unit wherelQtyl
Unit
IEstimatedl
Number l
I Software is to I I
Cost
I Cost 1Approvedl
.........................
Denied
I Date I
1
1 be installed I I
I I
I
I I
---------- 1-----------------------
33-4130-39001Wordperfect
1------------------ I ---I
(New 1 1 1
------
$245
I --------- I
1 $245 1
-------- I
$0 1
--------
$245
I ------- I
14/16/901
IWordperfect
1 5206-7505170 1 1 1
$245
1 $245 1
$245 1
14/16/901
(Lotus
INew 1 1 1
$310
1 $310 1
$0 1
$310
14/16/901
(Lotus
I
I 5206-7505170 1 1 1
I
$310
1 $310 1
$310 1
14/16/901
IMisc. Software Upgradesl
I
1 1
i 1
I
$400
I I
1 $400 1
I
$1,400 1
I I
14/16/901
(Security Programs
I
I I
1 180 1
I
$50
I I
1 $4,000 1
I
$0 1
$4,000
I I
14/16/901
1PC Utilities
I
I I
1 5205-7505170 l 1 l
$275
I 1
1 $275 1
I
$275 1
$0
1 1
14/16/901
(Form Tool
I
I
I
I I I
(Citywide 1 1
I I I
I I I
I I I
$75
I I
1 $75 1
I I
I I
I I
1
$75 1
I
I
I
$0
1 1
14/16/901
I I
I I
I I
I I I I I I I I I
1 I I I I I I I I
I I I I I I I I I
t I I I I I I I I
I I I I I f I i I
1301fm7a.wkll I I I I I I I I
Totals: 85 $5,860 $2,305 $4,555
COMPUTER CABLING MISC REQUEST FORM
•
Department: Resource Services Division: Administration Fiscal Year
33-4130 1990/01
------------------------------------------------------------------------------------------------------
Resource Center
Use Only
Account ICabling 6 Misc NeedslLocation/Computer Unit jQtyj Unit jEstimatedl....................... I
Number I I I I Cost I Cost ApprovedlDeniedl Date
------------ I-------------------- I ----------------------- I--- I------ I--------- I -------- I------ I -------
33-4130-3900IMisc. Connectors IFor City-wide Computersi 1 $500 1 $500 1 $500 1 $0 14/16/901
1301fm6a.wkll
0
Totals:
$500 $500 $0
0
•
Department: Resource Services
I
I
Account ( Contract Services
Number I
------------ I --------------------
33-4130-60281 Westek
1 IBM,Compaq 6 Clones
1 Apple
McAllister
1 Student Intern
I NBI
1301fm5a.wkll
Mac II
IBM
Compaq Portable
Laserwriter II nt
Centronics Laser
Scanner
Toshiba
Onyx Computer
COMPUTER CONTRACT SERVICES REQUEST FORM
Division: Administration
33-4130
Justification
(Comp. Assistance
(Computer Maint.
(Computer Maint.
(Comp Consultant
(Computer Maint
(Maintenance
(Maintenance
IMaintenance
(Maintenance
(Maintenance
IMaintenance
IMaintenance
IMaintenance
I
I
I
I
I
Totals:
I I
I I
Qtyl Unit (Estimated
I Cost I Cost
I I $5,000
1 1 Transfer
I I Transfer
I 1 $1,000
1 1 $4,800
1 (Transfer
I I
1 2 1 $862
1 3 I $509
I 1 1 $576
I 1 I $632
I 1 1 169C
I 1 1 $338
12 I $27E
1 1 1 $672
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
12
1 $5,000
Ifrom Dept
Ifrom Dept
1 $1,000
1 $4,800
Ifrom Dept
I
I $1,724
I $1,527
I $576
1 $632
I $690
1 $338
I $552
I $672
Fiscal Year
1990/91
Resource Center I
Use Only 1
1-----------------------1
IApprovedlOeniedl Date I
1 $5,000 I SO 14/16/901
I $0 I $0 1 I
I $0 1 $0 I I
1 $1,000 I $0
1 $4,800 1 $0 I
i $0 1 $0 1
I $0 1 $0 I I
1 $1,724 I $0 1
1 $1,527 I $0 1
I $576 1 $0 1
I $632 1 $0 1
I $690 1 $0 I
I $338 1 $0 1
I $552 1 $0 I
1 $672 1 $0
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
I I I
$17,511 $17,511 $0
0
COMPUTER HARDWARE REQUEST FORM
Department: Resource Services Division: Administration Fiscal Year
33-4130 1990/91
Account
Number
33-4130-7044
33-4130-7044
1301fm4a.wki
I I I I I Resource Center I
I I I I Use Only I
Hardware Description) York Area IQty I Unit IEstimatedl_ I
-----------------------
Identification 1 Location I I Cost I Cost IApprovedl Deniedl Date I
----------'-'-------I-------------- I ---- I ------- I---------I--------I-------I-------I
Compaq Computer IAdministrationj 1 1$3,000 1 $3,000 1 $0 1$3,000 14/16/901
Mac II 2MB Upgrade IAdministrationl 2 1 $700 1 $1,400 1 $1,400 1 $0 14/16/901
Totals:
$4,400 $1,400 $3,000
Special Districts
334131
Resource Services - Asset Administration
33
4131
1100 REGULAR PAYROLL
•
BUDGE71R7JECTION WORKSHEET
10/22/90 CITY OF Rm CUCAMONGA
5,745
33,290
(ACTUALS TO 12-31-89)
152,348
130,803
136,280
33
4131
DEPT COUNCIL
0
0
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST CITY APPROVED
0
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91 MGR 1990/91
1,000
Resource Services - Asset Administration
33
4131
1100 REGULAR PAYROLL
0
0
95,754
5,745
33,290
8,500
152,348
130,803
136,280
33
4131
1200 OVERTIME PAYROLL
0
0
1,000
(150)
0
850
1,000
1,000
1,000
33
4131
1300 PART TIME PAYROLL
0
0
0
0
0
0
0
0
0
33
4131
1900 FRINGE BENEFITS
0
0
33,514
0
33,514
33,514
53,322
45,809
41,698
33
4131
3100 TRAVEL 6 MEETINGS
0
0
1,500
0
27
1,500
1,500
2,000
2,000
33
4131
3300 MILEAGE
0
0
150
0
0
ISO
200
752
752
33
4131
3900 MAINTENANCE 6 OPERATIONS
0
0
13,850
(250)
4,901
13,600
18,925
18,470
18,470
33
4131
3942 ACCUMULATED OEPRESIA.
0
0
0
0
0
0
0
0
0
33
4131
3956 DUES
0
0
0
0
0
0
0
0
0
33
4131
3960 GENERAL LIABILITY
0
0
617
0
617
617
0
775
775
33
4131
6028 CONTRACT SERVICES
0
0
46,290
(2,540)
30,843
43,750
56,330
43,144
43,144
r
J
33
4131
7043 CAPITAL EXPEND. -BLDG
0
0
0
0
0
0
0
0
0
33
4131
7044 CAPITAL EXPEND. -EQUIP
0
0
10,400
0
3,286
3,500
3,500
0
0
DEPARTMENT TOTAL
0
0
211,075
2,805
106,479
105,981
287,125
242,833
250,119
33 4131 9000 TRANSFER OUT 0 0 0 0
DEPARTMENT TOTAL 0 0 211,075 2,805 106,479 105,981 297,125 242,833 250,119
PROGRAM POSITION/SALARY SCHEDULE fiscal Year:1990/91
• Department: Resource Services Division: Special Districts Admin.
33-4131
ON
Position
Classification
I Title
(Deputy City Manager
(Spec Dist Supervisor
(Spec Dist Tech II
ISpec Dist Tech
ISpec Dist Aide
I Subtotal:
1Merit Contingency
I Subtotal:
(Fringe Benefits
1 Total:
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
1131LFMla.wkl
1Currentl
I Level I
Position
Dept
Rcmd
10$1
100$1
100%1
200$1
0$1
I
I
1
I
l
Quota I Appropriations 1
------------- I -------------------------------- I
Mgr. I
I Dept. I
Mgr.
I Adopted I
Rcmd. (Adopted I Rcmd. I
Rcmd.
I Budget I
----- I --------
20$1
I --------- I
2011 $5,609 1
-----------
$11,218
I----------I
1 $16,250 1
100$1
100%1 $45,000 1
$45,000
1 $48,120 1
100$1
0$1 $35,000 1
$35,000
1 $0 I
100$1
200$1 $59,484 1
$33,432 1
$65,420 1
0$1
0$1 $o I
;0
I $0 I
1
1$145,093 1
$124,650 1
$129,790 1
I
I
I I
1 $7,255 i
$6,233 1
I I
$6,490 1
I
1$152,348 1
$130,883
1 $136,280 1
I
I
I I
1 $53,322 I
I
$45,809
I
1 $47,698 1
1
I
I
I
I
I
I
I
I
I
I
1$205,669 1
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
$176,691 1
I
I
I
I
I
I
I
I
$183,977 1
I I
I
I
I
I I
I
I
I
I
I
•
•
•
Department/Division:
Resource Services
COST CENTER DETAIL WORKSHEET
I Program: I Account Number:IFiscal Year I
(Special Districts Adm. 1 33-4131 1 1990/91 1
Object No.1 Description of Items & Individual Dollar Amounts
1100 (Regular Payroll
1
1200 JOvertime
I
1900 1Fringe Benefits
1
3100 11'ravel & Meetings
I District Seminars
I UCLA Ext -Stone & Youngberg (J.Fulwood)
1
3300 IMileage
I 175 mi 0 .58(pool car)
1 Mileage Reimbursement
1 Mileage Reimbursement -Deputy City Mgr.
3900 INaintenance/Operations
I Office Supplies
I Binder Supplies
I HP Plotter Pens
I Computer Paper
I Paper Stock
I GIS Maps
1 Special Maps/Computer Projects
I Cables
1 Legal Advertisment
1 Bond Call Costs
1 Paying Agent Admin. Costs
1 Toner/Cartridge for Copier
1 Software/Mist. & Upgrades
1
I
3956 1General Liability
1
6028 (Contract Services
1 Computer Tie to County
1 Computer Equipment Maintenance
1 Calculator Maintenance
1 Consulting Services (Legal & Financial)
1 Debt Service Software Maintenance
1 MIS Administration
1 Xerox Maint./Copy Charge
I
I
I
I
I
131LFM2a.wkl
I
1 Budget 1
-------1------------1
I 5136,280 1
I I
1 51,000 1
I I
1 $47,698 1
I I
I I
$1,500 1
$500 I 1
Subtotal: 1 $2,000 1
I I
$150
$50 I I
$552 I I
Subtotal: 1 $752 1
$2,000
$250
$300
$500
$1,000
$500
$1,000
$110
$750
$1,000
$9,000
$1,000
$1,050
Subtotal:
$7,500
$3,580
$250
$7,500
$1,000
$21,314
$2,000
Subtotal:
Total:
$18,470
$775
$43,144 1
1
I I
I $250,119 I
I I
•
0
COMPUTER SOFTWARE REQUEST FORM
Department: Resource Services Division: Special Districts
Fiscal Year
33-4131
1990/91
--------------------------------------------------------------------------------------------------------
I I I I
I
I Resource Center 1
I (Serial Number/ID oil I
I
I Use Only 1
Account (Software IdentificationlComputer Unit wherelQtyl
Unit
1Estimatedl------------------------I
Number I I Software is I I
Cost
I Cost
1ApprovedlDenied I Date 1
I 1 to be installed I I
I
I I I I
----------- 1----------------------1-------------------I---I--------I---------I--------I-------I-------I
33-4131-39001Wordperfect I 1 1 1
$245
1 $245
1 $0 1 $245 14/16/901
IPC Oracle 1 1 1 1
$1,020
1 $1,020
1 $0 1$1,020 14/16/901
IMisc. Software/Upgrades) 1 1
$250
1 $250
1 $750 1 ($500)14/16/901
1Lotus 1 5170-550038550 1 1 1
I I I I
I I I I
I I I I
$310
1 $310
I
I
I
1 $310 1 $0 14/16/901
I I I I
I I I I
I I I I
I
I
I
I
I
I
I
1311fm7a.wkll
Totals: 4 $1,825 $1,825
$1,060 $765
E
•
•
COMPUTER CONTRACT SERVICES REQUEST FORM
Department: Resource Services Division: Special District Fiscal Year
33-4131 1990/91
I I
I
I
I Resource Center I
I I
I I
I
I
Use Only 1
Account (Contract Services IJustificationlQtyl
Unit
(Estimated
I -----------------------
I
Number I I
I I
Cost
I Cost
1ApprovedlDeniedl
Date I
-------- I ------------------ I
33-4131-602811BM XT I
-------------
Current
I --- I-------
Use I 1 I
$358'1
I ----------
$358
I--------
1 $358
I------ I ------- I
1 $0 14/16/901
(IBM AT I
Current
Use 1 1 1
$358
1 $358
1 $358
1 i0 14/16/901
(Compaq PC I
Current
Use 1 2 1
$302
1 $604
1 $604
1 $0 14/16/901
IColor Monitors I
Current
Use 1 4 1
$151
1 $604
1 $604
1 $0 14/16/901
ILaser Printer I
New
1 1 1
$690
1 $690
1 $690
1 $0 14/16/901
loot Matrix Printerl
Current
Use 1 1 1
$276
1 $276
1 $276
1 $0 14/16/901
14045 Laser Printerl
1 I
Current
Use I 1 1
I I
$690
1 $690
1
1 $690
I
1 $0 14/16/901
1 1 1
I I I I I I I I I
I I I I I I I I I
I I I I I I I I I
I I I I I I I I 11
I I I I I II I I I
I I I I I I I I I
I I I I I I I I I
1311fm5a.wkll 1 1 I I I I I 1
Totals: 11 $3,580 $3,580 $0
Geographic Into. Systems -GIS
33-0132
00
m
H
BUDGOJECTION WORKSHEET 10/22/90 CITY OFOO CUCAMONGA
(ACTUALS TO 12-31-89)
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACCOUNT ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
Resource Services - Mapping
33 4132
1100
REGULAR PAYROLL
0
0
108,155
3,289
44,218
111,/11
171,343
149,878
165,311
33 4132
1200
OVERTIME PAYROLL
0
0
0
0
222
0
0
0
0
33 4132
1300
PART TIME PAYROLL
0
0
0
0
0
0
0
0
0
33 4132
1900
FRINGE BENEFITS
0
0
37,854
0
37,854
37,854
S9,970
52,457
57,870
33 4132
3100
TRAVEL 6 MEETINGS
0
0
2,840
0
642
2,840
3,390
3,390
3,390
33 4132
3300
MILEAGE
0
0
580
(280)
0
300
650
1,202
1,202
33 4132
3900
MAINTENANCE 6 OPERATIONS
0
0
20,962
(900)
1,847
3,500
20,585
20,050
20,250
33 4132
3942
ACCUMULATED DEPRESIA.
0
0
0
0
0
0
0
0
0
33 4132
3956
DUES
0
0
725
0
611
725
800
g00
800
33 4132
3960
GENERAL LIABILITY
0
0
522
0
522
522
0
377
377
33 4132
6028
CONTRACT SERVICES
0
0
26,669
0
13,894
18,000
24,200
24,200
24,200
33 4132
7043
CAPITAL EXPEND. -BLDG
0
0
0
0
0
0
0
0
0
33 4132
7044
CAPITAL EXPEND. -EQUIP
0
0
62,500
0
0
62,500
0
0
0
DEPARTMENT TOTAL
0
0
260,807
2,109
99,903
237,685
280,938
252,354
273,433
33 4132 9000 TRANSFER OUT 0 0 0 0
DEPARTMENT TOTAL 0 0 260,807 2,109 99,903 231,685 280,938 252,354 273,433
PROGRAM POSITION/SALARY SCHEDULE
Fiscal Year
• Department: Resource Services Division: GIS 90/91
33-4132
1 Position Quota I Appropriations
PositionI--------------------------------1-----------
Classification
ICurrentl
Dept. I
Mgr. I
Dept.
Title
I Level I
Rcmd. I
Rcmd. (Adopted 1 Rcmd. 1
I.
----------------
De -ye --- City Manager
I------- j -------
0%1
1
10%1
------- 1 --------
20$1
1---------
20$1 $5,609 I
GIS Supervisor
I 100$1
100%1
100$1
100$1 $47,000
Senior GIS Technician)
100%1
100$1
100$1
100$1 $29,508 1
GIS Technician
1 200%1
200$1
200$1
200$1 $55,015 1
Subtotal:
I
I
11137,132 1
11
Merit Contingency
I II
II
lI
1I $6,857
Subtotal:
11143,989 1
Fringe Benefits
1 I
I
I
1 $50,396 I
Total:
I
I I
I I
I I
I I
I I
I i
i
I
I
I
I
I
I
I
I
I
I
I
11194,385 1
I I
I I
I I
I I
I I
I I
•
I
FIRE DISTRICT I
I
GIS Technician * 1
I
Merit Contingency
Subtotal: I
I
Fringe Benefits 1
Subtotal: I
I
I
I
* This position will be
(fiscal years 1990-91
132LFMia.wkl
r1
I
I
0%1 100$1
I
I
I
I
I
i
I
I
I
I
I
I
I
I
I
funded by
1991-92,
I I
I I
it II
I (
100$1 100%j
I I
I I
I I
I
I I
I I
I I
I I
I I
the Fire District for
1992-93, and 1993-94;
I I I
I I I
I I I
I I I
I I I
I I
I I I
$26,052
$1,303 I
$27,355 I
I
$9,574 1
$36,929 I
Mgr. Adopted
Rcmd. i Budget 1
--------1---------- I
$11,218 I 116,250 1
$47,000 I $46,240 1
$29,508 I $32,940 1
$55,015 $62,040 1
$142,741 1 $157,470 1
I I
$7,137 $7,874
$149,878 $165,344
I
$52,457 I 157,870
$202,335 I $223,214
four (4)
I
I
I
I
I
I
I
I
i
I
$26,052 1
I
$1,303 1
$27,355 1
I
$9,574 1
$36,929 1
I
I
I
consecutive
I
I
I
I
I
I
I
1
$36,030
$1,802
$37,832
$13,241
$51,073
years
•
COST CENTER DETAIL WORKSHEET
-------------------------------------------------------Fisc--------
Department/Division: Program:
Account Number:lFiscal Year
Resource Service GIS
33-4132
1990/91
----------------------------------------------------
Object No.1 Description of Items & Individual
---- -- --------------i8I
Dollar Amounts I
------g------
et--
---------- k ------------------------------------------------------
1100 Regular Payroll
---------
:165.344 �
-Bud
-
1900 lFringe Benefit
$57,870 1
Subtotal:
$223,214
3100 ITravel & Meetings
ESRI User Conference
$1,500
Arc/Info Classes
$1,350
S•
$240
Management eminars
GIS/LIS Conference
3300 Mileage:
Mileage (1000 miles 0 .65)
Mileage Reimbursement\Dep.City Mgr.
1
3900 IMaintenance & Operations
*Office Supplies
Calcomp Plotter Supplies:
Vellum (for bluelines)
Vellum (for check plots)
Plotter Pens
Map Holders
I Periodicals
3956 IDues
SCCAMA
URISA
NCGA
3950 lGeneral Liability
6026 lContract Services:
Calcomp Maint.
$300
Subtotal: $3,390
$650
$552
Subtotal: $1,202
$2,000
$8,000
$6,000
$4,000
$50
$200
Subtotal: $20,250
$350
$250
$200
Subtotal: $80(
$37-
(1044 plotter & 9100 digitizer)
Tektronix Maint.
ESRI Maint.
ESRI
132LFM2a.wk
Program Development
$2,000
$2,200
$15,000
$5,000
Subtotal: $24,20
Total: I $273,43
• I*This is an increase because of the Fire Dept.'s needs.
COMPUTER CONTRACT SERVICES REQUEST FORM
Is
Department: Resource Services Division: GIS Fiscal Year
33-4132 1990/91
•
Account (Contract
Number I
------------ I--------
33-4132-60281Calcomp
1 1044 F
I 9100 1
I
IESRI
IESRI
--------� -------------� ---�
--------�
----
1 Resource Center 1
I 1 I
1
I Use Only 1
ServicesliustificationlQtyl
Unit
(Estimated
___________________I
1-----------------------
II I
Cost
I Cost
I
IApprovedlDeniedl Date 1
I-------- I I------
-------- I ------------- I---1--------
IMaintenance 11
----------
I
------
I I I I
otter I 1 1 1
$700
1 $700
1 $700 1 s0 14/16/901
Igitizer I 1 1
1 $1,300
1 $1,300
1 $1,300 1 $0 14/16/901
1
11Maintenance 1 1
1$15,000
1 $15,000
1$15,000 I $0 14/16/901
(Program Dev. 1 1
1 $5,000
1 $5,000
1 $5,000 1 $0 14/16/901
(Tektronix IMaintenance 1 2 1 $1,100 1 $2,200 1 $2,200 1 $0 14/16/901
1 1 I I I I I 1 1
I
I
1321fm5a.wkll
---------------------------------------------------------------------------------------------
Totals: 6 $24,200 $24,200 $0
Management Into. Systems -MIS
33-0133
BUDGEOECTION WORKSHEET 10/22/90 CITY OF 190 CUCA14DNGA
(ACTUALS TO 12-31-89)
DEPT COUNCIL
BI -BB FY 00-69 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACCOUNT ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
Resource Services - MIS
33 4133
1100
REGULAR PAYROLL
0
0
241,085
12,125
104,577
253,210
271,945
275,972
312,060
33 4133
1200
OVERTIME PAYROLL
0
0
2,000
0
877
2,000
4,000
4,000
4,000
33 4133
1300
PART TIME PAYROLL
0
0
0
0
0
0
0
0
0
33 4133
1900
FRINGE BENEFITS
0
0
84,380
0
84,380
84,300
95,180
96,590
109,221
33 4133
3100
TRAVEL 6 MEETINGS
0
0
7,500
0
2,640
7,600
6,350
2,850
2,850
33 4133
3300
MILEAGE
0
0
800
0
201
000
2,000
2,352
2,352
33 4133
3900
MAINTENANCE 6 OPERATIONS
0
0
15,820
(250)
1,811
2,700
20,397
23,277
23,277
33 4133
3942
ACCUMULATED DEPRESIA.
0
0
0
0
0
0
0
0
0
33 4133
3956
DUES
0
0
700
0
182
700
800
800
800
33 4133
3960
GENERAL LIABILITY
0
0
0
0
0
0
0
0
0
33 4133
6028
CONTRACT SERVICES
0
0
84,614
1,726
22,180
86,340
52,743
65,751
65,751
33 4133
7043
CAPITAL EXPEND. -BLDG
0
0
0
0
0
0
0
0
0
33 4133
7044
CAPITAL EXPEND. -EQUIP
0
0
40,500
0
0
10,000
33,600
0
0
DEPARTMENT TOTAL
0
0
411,499
13,601
216,911
441,730
489,015
111,592
520,311
33 4133 9000 TRANSFER OUT 0 0 0 0 0
DEPARTMENT TOTAL 0 0 671,199- 13,601 216,911 447,730 689,015 611,592 520,311
E
Ll
11
Fringe Benefits
Total:
133LFM1a.wkl
$95,181 1 $96,590 1 $109,221
$367,126 1 $372,562 1 $421,281
PROGRAM POSITION/SALARY SCHEDULE
\
Fiscal Year
Department:
Resource
Services
Division:
MIS
1990/91 \
33-4133
--------------------------------------------------------------------------------------
I
Position Quota
I
Appropriations
1
Position1-----------------------------
=-------------------------1
Classification ICurrentl
Dept. I
Mgr. I
--I----
I
Dept.
I Mgr.
I Adopted I
Title I
Level I
Rcmd. I
Rcmd. (Adopted
I
Rcmd.
I Rcmd.
I Budget I
--------------------1-------
Deputy City Manager 1
I-------
031
I-------
10%1
I--------
20%1
I---------
20$1
$5,609
I----------
1 $11,218
I ---------- I
1 $16,250 1
Programmer Analyst 1
20031
20031
20031
20031
$76,865 1
$77,223
1 $06,250 1
Computer Operator 1
10031
10031
10031
100%1
$26,268
1 $26,184
1 $29,220 1
DataBaseMgmt Analyst)
100%1
100%1
100%1
10031
$45,045
1 $45,474
1 $50,840 1
Systems Analyst 1
10031
100%1
10031
100%1
$47,400
1 $47,400
1 $52,900 1
Data Proc. Manager 1
100%1
100%1
100%1
10031
$57,809 1
$55,331
1 $61,740 1
Subtotal: I
I
I
I
1$258,996
1 $262,830
1 $297,200 1
I
Merit Contingency 5%1
I
I
I
I
I
I
I
1
I
$12,950
1 $13,142
I I
1 $14,860 1
Subtotal: 1
I
I
I
1$271,945 1
$275,972
1 $312,060 1
Fringe Benefits
Total:
133LFM1a.wkl
$95,181 1 $96,590 1 $109,221
$367,126 1 $372,562 1 $421,281
1J
•
COST CENTER DETAIL WORKSHEET
Department/Division: I
Program: I
Account Number:IFiscal
Year I
Resource Services I
MIS
33-4133
I 1990/91 I
- ----- --------------------------------------------------------------------------
Object - No.
--------- Description of
Items 6 Individual Dollar Amounts
Budget i
1
----- -----I-----------------------------------------------------------------I--------------
1100
(Regular Salary
$312,060
1200
(Overtime
I $4,000 I
1900
(Fringe Benefits
$109.221 I
3100
ITravel 6 Meetings
I
I National Prime User
Group Conference - Denver
$500
I I
Government Technology Conference (Sacramento)
$750
Comdex - Las Vegas
$500
Intl Communications
Assoc. Conference San Diego
$600
I I
Miscellaneous meetings and conferences
I
I
3300 IMileage
I Mileage Allowance
I Mileage Reibmursement - Deputy City Mgr.
I City Pool Vehicle
I
1
3900 (Maintenance 6 Operations
I Office Supplies
I Binders
Computer Paper/Stock
Cables, connectors, 6 misc. repairs
Software Books
Printer Ribbons (Dot Matrix)
Computer Software
Tapes
Oracle Systems Administration
I
I
3956 (Dues 6 Publications
I Computer Users Group
Association of Municipal OP Directors
Oracle Users Group
Subscriptions
6028 ICcntract Services
I Prime Computer Maintenance
133LFM2a.wkl
PC Maintenance
Color Monitor Maintenance
Dot Matrix Printers Maintenance
Xerox Laser Printer Maintenance
Offsite Storage
Additional Disk Drives for Prime 2755
$500 1
Subtotal: I $2,850
I
I
$800 1
$552 I
$1,000
Subtotal: I $2,352
$1,500
$250
$8,000
$3,000
$250
$150
$627
$5,000
$4,500
Subtotal: I $23,277
I
I
$250 I
$150 I
$150 I
$250
Subtotal!- I $800
$45,000
$358
$151
$552
$690
$4,000
$15,000
Subtotal:
TOTAL:
$65,751
$520,311
i
COMPUTER CONTRACT SERVICES REQUEST FORM
Department: Resource Services
Division: MIS
Fiscal Year
33-4133
1990/91
--------------------------------------------------------------------------------------------------------
Resource
Center
Use Only
Account Contract Services
1 Justification 1Qty1
Unit 1
Estimatedl
.............................
1
Number
1 1 1
Cost 1
Cost 1
Approved 1
Denied
1 Date
------------ -------------------1----------------1---1---------
33-4133-60181Prime Computer
(Current System 1 1 1
I
$45,000 1
---------- 1
$45,000 1
---------- 1
$45,000 1
---------
SO
1-------
14/16/901
IPC Maintenance
(Current System 1 1 1
$358 1
$358 1
$358 1
$0
14/16/901
(Color Monitor maintlCurrent System 1 1 1
$151 1
$151 1
$151 1
SO
14/16/901
1PC Printer maint
(Current hardwarel 2 1
$276 1
$552 1
$552 1
$0
14/16/901
I
(Xerox laser maint
I 1 1
(Current hardwarel 1 I
I
$690 I
I
$690 I
I
$690 I
$0
I 1
14/16/901
1Datavault
1Media Storage 1 1 1
$4,000 1
$4,000 1
$4,000 1
$0
14/16/901
1COMPAQ MAINTENANCE
1New systems 1 4 1
$347 1
$1,388 1
$0 1
$1,388
14/16/901
(Color Monitor maintlNew systems 1 4 1
I I I I
I I I I
I I I I
I I I I
$151 1
I
I
I
I
$604 1
I
I
I
I
$0 1
I
I
I
I
$604
14/16/901
I I
I I
I I
I I
I I I I
I I I I
I I I I
I I I I
1331fm5a.wkll 1 1 1
Totals: $52,743 $50,751 $1,992
' COMPUTER SOFTWARE REQUEST �i.nM •
Department: Resourse Services/MIS
Fiscal Year:
1990/91
I
I I
I
I I Resource Center 1
1 I
I
I I Use Only I
Account Number I Software Identification
l Serial Number/ID of I
Qty
I Unit
(Estimated Costl 1
I Computer Unit where 1
I Cost
I I Approved I Denied I Date l
I
ISoftware is to be installedl
I
I
I ( I I I
4133-7044 ITimeLine upgrade
15162-1024508 I
1
1 $217
l $217 I I I I
lWordParfact Upgrade
15162-1024508 1
1
1 $110
I $110
IMicrosoft Windows
15162-1024508 I
1
1 $150
1 $150 I I I 1
IPC DOS 4.1
I
I
I
I
I
I
I
I
I
I
15162-1024508 I
I I
I I
I I
I I
I I
I I
I I
I I
I I
I I
l
l $ISO
I
I
I
I
I
I
I
I
I
I
l $ISO I 1 I l
I I I I I
I I I I I
I I I I I
I I I I I
I I I I I
I I I I I
I I I I I
I I I I I
I I I I I
i
I
I
I
I
I
I
I
I I
I I
I I
I I
I I
I I
I I
I I
Totals:
I
I
I
I
I
I
4
I
I
$627
I i I I i
I I I I I
I I I I I
I I I I 1
I I I I I
I I I I I
I I I I I
I I 1 I I
I I I I I
$627
COMPUTER HARDWARE REQUEST FORM
•
Department: Resource Services Division: MIS Fiscal Year
33-4133 1990/91
------------------------------------------------------------------------------------------------------
I I I I I Reurce Center i
I I I I I I Use Only I
Account I Hardware Description I Work Area IQtyi Unit 1Estimatedl ......................... I
Number I Identification I Location I I Cost I Cost IApprovedl Denied I Date I
---- I------------------------- I ------------- I--- I --------- I--------- I-------- I -------- I------- I
33-4133 /I Additional disk capacity 1Computer Rooml 1 1 $15,000 1 $15,000 1$15,000 1 $0 14/16/901
(Compaq Computer Systems 1Programmers 1 4 1 $4,650 1 $18,600 1 $0 1=18,600 1 1
I I I I I I I I I
I I I I I I I I I
I I I I I i I I I
I I I I I i I I I
I I I I I I I I I
I I I I I I I I I
I i I I I I I I I
I I I I I I I I I
I I I I I I I I I
1331fm4a.wkl
•
Totals:
$33,600 $15,000 $18,600
CAPITAL
r
TABLE OF CONTENTS
CAPITAL PROJECTS
Fiscal Year 1990-91
PAGE
Revenue Detail (1987-88 through 1991-92) I -XXX
ExecutiveSummary............................................1-40
Fund No.
Fund Title
6-4637
Reimbursements/CCWD ...........................41
7-4647
Reimbursements/CalTrans .......................46
8-4647
Reimbursements/County of San Bernardino .......
51
9-4637
Gas Tax 2107 and Gas Tax 2106 .................56
11-4637
12-4637
Gas Sales Tax/Article 8 .......................69
13-4563
Recreation Services ..........................103
16-4637
TDA Article 3 ................................106
19-4637
Drainage Facility/Etiwanda...................109
20-4532
Park Development.............................112
21-4647
Beautification...............................137
22-4637
Systems Development ..........................154
23-4637
Drainage Facilities/General City.............185
24-4637
Federal Aid Urban ............................204
25-4285
Capital Reserve..............................209
28-4333
Block Grants/CDBG ............................212
32-4637
Measure I
....................................216
35-4637
SB 140
.......................................225
•
•
Landscape Districts
40-4130
Landscape
Maintenance #1 .....................238
41-4130
Landscape
Maintenance #2 .....................241
42-4130
Landscape
Maintenance #3A ....................243
43-4130
Landscape
Maintenance #4 .....................245
44-4130
Landscape
Maintenance #5 .....................248
45-4130
Landscape
Maintenance #6 .....................250
46-4130
Landscape
Maintenance #36 ....................252
47-4130
Landscape
Maintenance #7 .....................254
48-4130
Landscape
Maintenance #8 .....................256
Lighting Districts
54-4245
Lighting
District General City...............258
55-4130
Lighting
District #1 .........................260
•
56-4130
Lighting
District #2 .........................262
57-4130
Lighting
District #3 .........................264
58-4130
Lighting
District #4 .........................266
59-4130
Lighting
District #5 .........................268
60-4130
Lighting
District #6 .........................270
72-4225
Inter -Governmental
Services..................272
76-4130
CFD 88-2
Flood District ......................277
78-4130
CFD 88-2
Law Enforcement District ............
280
Assessment Districts
80-4637 AD 84-2 Alta Loma Channel....................281
81-4637 AD 84-2 Redemption Fund......................283
83-4637 AD 82-1 6th Street Industrial................285
•
• 87-4130 AD 84-1 Redemption Fund......................288
87-4637
90-4130 PD -85 Redemption Fund........................290
90-4532
90-4637
93-4130 AD 82-1R Redemption Fund.....................292
93-4637
95-4637 AD 86-2 Capital Improvements .................294
96-4130 AD 86-2 Redemption Fund......................296
96-4637
•
H
0 ' 0
CITY OF RANCHO CUCAMONGA
REVENUEPROJECTIONS__
------------------------
FUND / ACCT. DWIPTIN
SPECIAL REIM RN:
Aeiaku so." ts/00
06-3901 5891 Reimhursme Cs/CCJO
Sub -total
Pein ts/Cal Tran
07-3901 5891 Keir urvwnts/Cal Tran
ACAK New New
ACTUAL ACTUAL ESTIMITED MMU RECD EiT11MTED ESTIM1TED ETIMITED EifIVATED
8EVEWE REVEIVE REM AT REVBAIE IBM REVBAIE REvm 1M1 YEAR
DEI m 31, REVERUE
1987-88 1988 - 1989 1989-90 1989 1989-90 1990-91 1990-91 1991-92 ROJECTICH
0
10,051
18,212
20,052
30,000
76,212
158,113
97,160
255,273
10,851
70,212
20,052
30,000
158,113
91,160
0
78,212
255,273
0 306 6,865 2,291 3,000 6,885 176,575 120,533 299,108
Sub -total 0 306 6,885 2,291 3,000 6,885 116,515 120,533 299,108
Reimtarrswnts: Canty of San Bernardino
08-3901 5891 Beimhursawnt/County of S.B. 0 62,920 106,382 0 106,382 61,003 69,280 133,283
08-3992 9001 Transfers In 0 378 0 0 0 0 0
Sub -total 0 63,298 106,382 0 0 106,382 61,003 69,280 133,283
C I TY i0 CUCAF XA
BUDGET
MI NOTED REVEAUE
POPULATION ESTIMATES
0
Act. 104,727
Act. 114,954 Est. 125,000
0
ACTUAL
PRIDED
APOOED
ACTUAL
ACTUAL
ESTIMATED
REVW RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND /
ACCT.
DESICRIVTICNS
REVEMIE
REim
FBM
AT
TOM
WYM
REVENUE
REVQAIE
TTA YEAR
OECF143E12 31,
REVENUE
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PROJECTIM
Gas Tax 2107
09-3900
5130
Gas Tax 2107
805,163
646,656
903,676
405,774
916,000
967,623
989,000
1,000,000
1,989,000
r
H 09-3900
4600
Interest Earnings
43,321
9,792
26,414
0
27,000
26,912
29,700
30,000
59,700
09-3992
9001
Transfers In
20,382
161,650
11,743
0
0
18,630
0
0
0
09-3900
5150
Gas Tax 2107.5
0
0
0
0
0
0
0
0
0
09-8888
9001
Transfers In
111,231
0
0
0
0
0
0
1,131,329
947,833
405,774
943,000
1,013,195
1,018,700
1,030,000
2,048,100
Subtotal
868,866
Gas tax 2106,
2107.5
11-3900
4600
Interest Inram
75,300
44,613
32,525
10,268
20,000
33,501
21,000
13,500
34,500
4601
Lien Income
0
0
4,942
1,023
1,000
4,705
. 0
0
0
5110
State Cas Tax - 2105
307,467
375,369
381,206
181,214
381,200
417,110
417,110
450,500
867,610
5150
State Gas Tax - 2107.5
0
7,500
10,000
10,000
10,000
10,000
10,000
10,000
20,000
11-3901
7781
In Lieu Fees
0-
116
0
0
0
0
0
0
0
11-3992
9001
Transfer In
195,000
12,553
13,181
0
0
13,840
0
0
0
--------------------
Subtotal
----
577,761
412,200
479,156
118,110
474,000
922,110
202,505
--
110,251
441,854
• POPULATION FSIIM4TE5
RND / ACCT. DESCRIPTIM
59325/TDA ART.8
Act. 104,727 • Act. 114,954 Est. 125,000
ACTUAL APBW New
ACTUAL ACTUAL ESTIMATED REVENUE 8EC'D ESTIMATED ESTIMATED ESTIMATED ESTIMATED
REVENUE REVEM REVBAIE AT REVM REVENIE REVENUE REVENUE
DECM 31,
1987-88 1988 - 1989 1989-90 1989 1989-90 1990-91 1990-91 1991-92
0
M YEAR
REVBAIE
PROJECTION
12-3900
4600
Interest Earning
59,447
202,449
46,435
39,304
50,000
47,364
58,560
19,620
78,180
12-3900
5170
Gas Sales Tax
1,088,785
1,059,677
1,112,661
0
1,207,100
1,17i,268
654,000
654,000
1,308,800
12-3992
9001
Transfers In
2,625
3,143
3,300
0
0
3,465
0
0
0,
12-3999
8522
Nan -Abated Reidbu se eats
0
0
0
0
0
0
0
0
0
1,162,3%
39,304
1,251,100
112,560
1,386,180
613,620
1,222,091
1,265,269
Subtotal
1,150,857
H
H
H
Recreation Services
13-3901
7710
Recrmtim Fees
363,253
391,281
331,450
176,682
331,450
394,986
531,460
542,100
1,073,560
13-3992
9001
Transfers In
0
916
0
0
0
0
0
0
331,450
394,986
1,073,550
542,100
531,460
331,450
176,682
392,197
Subtotal
363,253
99 300
15-3900 4600 Interest Income
20,638
4,898
0
483
600
0
0
0
0
15-3900 5185 Section 2126 S 6 H Allocation
0
- 0
0
0
0
0
0
0
0
15-3992 9001 Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
20,638
4,898
0
403
600
0
0
0
0
•
CI1Y CUCAMW
BUDGET
ESTIMATED REVENUE
POPULATION ESTIMATES
Act. 104,727
Act. 114,954
Est. 125,000
ACTUAL
AMENDED
AlBiOED
ACTUAL
ACTUAL
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND / ACCT. DESCRIPTICNS
REVFMIE
REVETUE
REVENUE
AT
REVBAIE
REVINUE
REVBAIE
REVEfAIE
TWO YEAR
DECN R 31,
REVBUE
1987-88
1988 - 1989
1909-90
1989
1989-90
1990-91
1990-91
1991-92
PRDJECTICN
Pedestrian Grants/Article 3
16-3900 5180 Pedestrian/Bicycle SidewalIG
0
40,568
0
0
0
0
217,000
0
217,000
16-3901 4600 Interest Earnings
0
0
0
0
0
0
0
0
0
~ 16-3992 9001 Transfers In
c
0
0
0
0
0
0
0
0
0
Subtotal
0
0
40,568
0
0
0
217,000
0
217,000
FAIL SEC. 203
17-3900 6750 Federal Grants
68,563
30,353
0
0
0
0
0
0
0
8524 Other Reimbursements
7,618
28,016
0
0
0
0
0
0
0
-----------------
Subtotal
-----
16,181
0
0
0
0
0
58,369
0
0
Drainage Facilities/Etiwanda
19-3901 - 7485 Storm Crain Fres
26,951
161,783
532,950
0
149,580
543,609
25,000
35,000
60,000
19-3992 9001 Transfers In
364
315
662
0
80,000
694
0
0
0
Subtotal
21,315
162,098
15,000
533,612
0
229,580
544,303
35,000
60,000
c
C I TY q(jrWM CUCAMWA •
ra4rr r
ESTIMATED REVENUE
POPULATION ESTIMATES Act. 104,727
RIND / AOCT. DESCRIPTICINSi
Park develment
4600
20-3901 4600
Interest Earnings
1130
Park develgmt Fees
1131
Terra Vista Park fxwlopmnt
7734
R C Villa sewn Line Access
7735
contribution from RDA
20-3992 9001
Transfers In
Subtotal
Bout if irition
21-3901
4600
Interest Earnings
21-3901
7441
Developer's ParticipAtion
21-3901
1180
Beautification Fers
21-3901
7781
In Lite Fees
21-3901
7782
Contribution in aid
21-3901
7784
Loan repWwnt
21-3992
9001
Transfers In
Subtotal
0
Act. 114,954 Est. 125,000
116
5,611
0
ACTUAL
AMBw
0
New
0
0
ACTUAL
ACTUAL
ESTIMATED
REVENUE REC'D
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
0
REVENUE
REVENUE
REVENUE
AT
REVENUE
REVENUE
REVENUE
IBM
TWO YEAR
82,706
186,640
91,073
DECKER 31,
0
92,894
0
0
REVENUE
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PI43JECTION
0 -
0
92,000
0
50,000
92,000
550,115
954,791
284,197
222,839
285,000
298,407
298,400
200,000
498,400
3,031,178
2,754,093
2,535,660
760,003
2,500,000
2,855,654
2,865,650
3,094,900
5,960,550
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2,955
0
0
0
0
0
0
0
0
3,581,218
2,185,000
3,108,884
2,819,851
982,862
3,164,061
3,164,050
3,291,900
6,158,950
116
5,611
0
0
0
0
0
0
0
0
32,680
0
41,641
0
0
0
0
0
1,144,440
1,364,152
1,152,334
249,667
500,000
1,179,079
650,000
689,000
1,339,000
82,706
186,640
91,073
0
0
92,894
0
0
0
0
0
0
0
345,450
0
337,000
205,000
542,000
0 -
0
92,000
0
50,000
92,000
55,460
0
55,460
3.483
4,984
5,233
0
0
5,494
0
0
0
1,230,805
1,594,067
1,340,640
291,308
895,450
1,369,467
1,042,460
894,000
1,936,460
• POPULATION ESTIMATES Act. 104,127 . Act. 114,954 Est. 125,000 0
TIMO / ACTT. DESCRIPTIONS
System Developnert
22-3901 4600
Interest Earnings
4601
Lien Income
7430
System Fern
7440
Reomwable Systems Fes
7441
Developer's Particfaticn
7442
Sale of Land
7735
Contribution from RDA
7181
In Lieu Fees
7782
In Lieu Fees/Marlbaraugb
7783
Contribution in Aid
22-3992 9001
Transfers In
Subtotal
Drainage Facilities/13wal City
ACTUAL MENDED
ACTUAL ACTUAL ESTIMATED AEVEUE RECD ESTIMATED ESTIMATED
REVENUE REVENUE REVENUE AT REVENUE REVM
DECEMBER 31,
1987-88 1988 - 1989 1989-90 1989 1989-90 1990-91
AMENDED
ESTIMATED ESTIMATED
REVENUE REVEIIUE TND YEAR
REVENUE
1990-91 1991-92 PROJECTION
324
95,871
21,473
109,058
150,000
23,118
40,000
4,400
44,400
6,134
123
5,151
2,465
0
4,914
0
0
0
3,088,710
3,488,926
2,954,711
811,682
2,000,000
3,613,643
2,200,000
2,310,000
4,570,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2,449,423
0
272,600
0
0
280,611
0
0
0
0
13,250
0
0
0
0
0
0
0
514,855
(514,865)
0
0
0
0
0
0
0
0
0
0
0
111,880
0
80,000
170,000
250,000
8,026
9,506
10,986
0
288,700
12,466
0
0
0
3,092,911
3,264,957
923,205
--555D 880
-5934 7-58
752-0 0-00
_F54-4 40-0
4,864,400
--i 067-482
23-3901
7480
Storm Drain Fees
1,355,894
1,341,697
1,399,048
269,941
500,000
1,427,029
645,000
689,000
1,334,000
23-3901
1141
Developer's participation
0
0
0
0
0
0
0
0
0
23-3901
4600
Interest Earning
10
7,200
100
33,383
35,000
150
5,000
0
5,000
23-3901
7735
Contribution frau RDA
649,487
0
1,100,000
0
1,437,540
1,100,000
669,940
0
569,940
23-3992
9001
Transfers in
2,238
3,117
0
0
0
0
0
0
0
1,352,011
2,199,118
303,324
-T972540
2,527,179
1,319,940
689,000
2,008,910
Subtotal
2,008,629
• 9 0
POPIIIATILN ESTIMATES
Act. 104,727
Act. 114,954 Est. 125,000
rCi Subtotal 307,723 0 261,000 0 173,600 285,000 1,768,292 46,500 1,014,792
H
RXB" Grant
25-3900 Beryl Park
0
0
0
ACTUAL AMENDED
AMENDED
0
0
0 0
ACTUAL
ACTUAL
ESTIMATED VENUE RECD ESTIMATED ESTIMATED
ESTIMATED ESTIMATED
0
FUND / ACCT.
OWIPTIOS
I2EVFIUE
REVENUE
REVENUE AT REVENUE F VEUE
REVENUE REVENUE
TAU YEAR
0
DEC93ER 31,
0 0
REVEUE
0
0
1987-88
1988 - 1989
1989-90 1909 1989-90 1990-91
1990-91 1991-92
PBDJECTIQI
Federal Aid Urban
24-3900 6750
Federal Highway Grants
(84,751)
(51,729)
267,000 0 173,600 285,000
1,768,292 45,500
1,814,792
6751
Archibald Avenue (CM)
0
66,101
0 0 0 0
0 0
0
8514
Other Reiaburswmts
392,477
(4,372)
0 0 0 0
0 0
0
24-3992 9001
Transfers In
0
0
0 0 0 0
0 0
0
rCi Subtotal 307,723 0 261,000 0 173,600 285,000 1,768,292 46,500 1,014,792
H
RXB" Grant
25-3900 Beryl Park
0
0
0
0
31,690
0
0
0 0
26-3900 Old Tarn Park
0
0
0
0
149,000
0
0
0 0
Subtotal
0
0 0
0
0
0
180,690
0
0
Grants - CDBG
28-3901 5880 CDBG Reimbursmmts 343,904 452,219 433,000 0 433,000 433,000 433,000 433,0DO 866,000
28-3901 5881 Progran freme 0 7,855 0 0 0 0 0 0 0
Subtotal 343,904 460,074 433,000 0 433,000 433,000 433,000 433,000 066,000
("I TY O TZICWM
rA lIr(1
6;TIMATEO REME
POMJLATI(N ESTIMATES
i
Act. 104,727
Act. 114,950 Est. 125,000
0
ACTUAL AAB40ED AIMM
ACTUAL ACTUAL ESTIMATED REVEMIE RECD ESTIMATED ESTIMATED ESTIMATED ESTIMATED
FlMO / ACCT. TJFSCRIPTIO& REVEMIE REVETAJE WOVE AT REME REVEMIE REVEMIE REVFMIE TM1 YEAR
DECEABER 31, REVBAIE
1987-88 1988 - 1989 1989-90 1989 1989-90 1990-91 1990-91 1991-92 PFDJECTIQI
Park Bard Grant - 1984
29-3901 5685 Park Pad Grant / 1984 0 0 356,250 0 366,250 0 0 0 0
c
r~i
Subtotal ^0 0 366,250 0 366,250 0 0 0 0
Histroical Grant
30-3901 5880 Historical Grant REio&rsmmts 4,316 0 0 0 0 0 0 0 0
Subtotal 4,316 0 0 0 0 0 0 0 0
Park bad Act - 1986
31-3901 5885 Park Bad Grant / 19R6 0 0 50,000 0 50,000 0 0
Subtotal 0 0 50,000 0 50,000 0 0
i
i
0
0
0
0
CITY OF RAiH OXAA71G1
715,205
1,430,410
0
0
0
1UDGEI
73,100
0
1,041,104
1,823,321
2,861,125
ESTIMATED REVENUE
0
373,950
0
664,825
POMRATICN ESTIMATES
pct. 104,727
Act. 114,954
Est. 125,000
73,100
0
1,756,309
ACTUAL
New
AfB10E0
ACTUAL ACTUAL ESTIMATED
REVBAIE RECD
ESTIMATED ESTIMATED
ESTIMATED ESTIMATED
RNO / ACCT. DESCRIPTIQS
WYEMIE REVENUE REtm
AT
REVEIAIE REVENUE
W UE REVENUE
TWO YEAR
DEIBEIER 31,
FORE
1987-88 1988 - 1989 1989-90
1909
1989-90 1990-91
1990-91 1991-92
PADJECTICN
Mamre I - Transportation Revenue
32-3900 5000 Measure 1: Local Street Allotne t
32-3900 6000 Measurel: Specific Prof. Grants
Subtotal
SB 140 Grant
35-3900 SB 140 Grant Income
Subtotal
0
0
0
0
0
0
715,205
715,205
1,430,410
0
0
0
0
73,100
0
1,041,104
1,823,321
2,861,125
0
0
373,950
0
664,825
2,538,526
0
0
73,100
0
1,756,309
4,294,835
0
0
0
0
373,950
0
1,213,800
664,825
661,825
0
0
0
664,825
0
0
373,950
1,213,800
664,825
M
•
CITY OF RWK) CUCAMNA
BUDGET
ESI UNITED REM
POPULATION ESTIMATES
0
Act. 104,727
Act. 114,954 Est. 125,000
Central Park komisition
37-3901 4600 Interest Earnings
0
3,433
0
0
ACTUAL
MM
0
Allum
7900 Bard Proceeds
0
779,475
0
ACTUAL
ACTUAL
ESTIMATED
REVT34UE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
0
RMD / ACCT.
DESCRIPTIN
BEVM
REYM
IaV1341E
AT
REVUE
REVFMIE
BEVEMIE
AEVBAIE
1MT YEAR
0
0
0 0
DECEI43ER 31,
REVETAIE
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PADJECTIOV
CAPITAL PROJECT RM
Capital Reserve
25-3901 4600
Interest Earnings
605,642
911,283
285,471
136,374
275,000
254,576
250,000
250,000
500,000
8520
Other Revmue
4,350
0
0
0
0
0
0
0
0
8521
Loan Agremant Proceeds
4,290,000
0
0
0
0
0
0
0
0
8911
Adninistratioe Fees
0
0
0
0
0
0
0
0
0
25-3991 9001
Transfers In
2,010,000
0
844,380
0
044,380
843,605
0
0
0
17119,380
Subtotal
6,909,992
911,283
1,129,851
136,374
1,098,181
250,000
250,000
500,000
Central Park komisition
37-3901 4600 Interest Earnings
0
3,433
0
0
0
0
0
0 0
7900 Bard Proceeds
0
779,475
0
0
0
0
0
0 0
8520 Other Revum
0-
0
0
0
0
0
0
0 0
Subtotal
0
782,908
0
0
0
0
0
0 0
•
Interest Earnings
61,701
53,121
i
7,203
13,500
0
0
•
PGFU ATICN ESTIMATES
Bud Proceeds
0
Act. 100,727
0
0
Act. 111,951
0
Est. 125,000
0 0
8520
Other kww
0
0
ACTUAL
Mm
0
meffD
0
0 0
80-3902 9001
ACTUAL
ACTUAL
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
0 0
RIND / ACCT. DESCRIPTIONS
REVIMIE
REVM
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVENUE
TWO YEAR
OEC M 31,
REVENUE
1981-88
1988 - 1989
1989-90
1989
198990
1990-91
1990-91
1991-92
PROJECTION
NORTHEAST CON PARR RHO
66-3901 7900 Bud proceed
0
2,815,000
0
0
0
0
0
0
0
66-3901 0600 Interest incase
0
15,331
16,096
0
0
16,901
0
0
0
Sib -total
0
0
0
0
0
16,901
16,096
2,890,331
0
x
H
AD 88-2 Edwacia/Highland CFD
75-3901 0600 Interest Eamings
2,211
2,186
0
165
100
0
0
7900 Bud Proceeds
0
0
0
0
0
0
0
0
0
8520 Other Revenue
17,200
(5,938)
0
(56)
0
0
0
0
0
75-3992 9001 Transfers In
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Subtotal
(3,152)
0
109
000
0
0
0
0
/9,/11
AD 80-2 Alta Inns Channel
80-3901 0600
Interest Earnings
61,701
53,121
13,090
7,203
13,500
0
0
0 0
7900
Bud Proceeds
0
- 0
0
0
0
0
0
0 0
8520
Other kww
0
0
0
0
0
0
0
0 0
80-3902 9001
Transfers In
1,072
66,351
0
0
0
0
0
0 0
Subtotal
62,773
119,775
13,198
7,213
13,500
0
0
0 0
RA
CITY VO CIICMIJNC�A
14,423
0
0
11,221
0
0
•
4,384
0
0
16,070
0
0
0
0
0
0
0
0
0 0
0 0
0 0
ubtotal------- -------------14,423
BUR I
11,221
16,065
4,384
16,070
--0 ---
0 --
0 7
ESTIMATED REVENUE
PORILATICN ESTIMATES
Act. 104,727
Act. 114,954
Est. 125,000
ACTUAL
ABBw
A1Bw
ACTUAL
ACTUAL
ESTIMATED
AEVEUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
RAO / ACCT. DESCRIPTIONS
REVENUE
REVBUE
REVENUE
AT
REVENUE
REVENUE
FUME
REVBUE
TWO YEAR
OECBBER 31,
FF UE
1987-88
1988 - 1909
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PR03ECTICN
AD 82-1 6th Street Industrial
83-3901 4600 Interest Earnings
72,319
76,976
23,768
14,806
23,770
0
0
0
H 83-3992 9001 Transfers In
1,413
0
0
0
0
0
0
0
0
0
H
Subtotal
14,806
13,792
0
0
76,976
23,768
23,710
0
0
AD 84-1 Day Creek
86-3901 4600 Interest Earnings
263,990
401,607
305,555
202,661
305,560
190,614
190,610
120,000
310,610
86-3901 8520 Other revenue
0
0
0
0
0
0
86-3992 9001 Transfers In
0
0
0
0
0
0
0
0
0
0
0
0
Subtotal
263,990
401,607
305,555
102,661
305,560
190,614
190,610
120,000
310,610
AD PO 85 Heritage
88-3901 4600 Interest Eamings
88-3901 7900 Bad Proceeds
88-3992 9001 Transfers In
14,423
0
0
11,221
0
0
16,065
0
0
4,384
0
0
16,070
0
0
0
0
0
0
0
0
0 0
0 0
0 0
ubtotal------- -------------14,423
11,221
16,065
4,384
16,070
--0 ---
0 --
0 7
•
CITY OF RWW CUCAMONGA
RUIGEI
ESTIMATED REVENUE
POPULATION ESTIMATES
0
Act. 104,727
Act. 110,954 Est. 125,000
0
TOTAL CAPITAL PROJECT FIANOS 7,437,672 5,541,254 4,219,464 380,229 4,193,310 1,305,696 110,610 370,000 810.610
ACTUAL
AMENDED
AMENDED
ACTUAL
ACTUAL
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
FUND / ACCT.
DESCRIPTIONS
REVENUE
REVENUE
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVENUE
TWO YEAR
DECEMBER 31,
REVENUE
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PROJECTION
AD PO 85 Red Hill
89-3901 4600
Interest Eaming,
25,506
37,050
24,528
5,299
24,530
0
0
0
0
89-3901 7900
Said Proceed
0
0
0
0
0
0
0
0
0
rx+
H 89-3992 9001
Transfers In
29,153
268,800
0
0
0
0
0
0
0
H
Subtotal
54,659
305,850
24,528
5,299
24,530
0
0
0
0
AO 86-2 R/C Drainage District
95-3901 4600
Interest Earnings
8,632
45,055
190,103
9,353
190,100
0
0
0
0
953901 7900
Bad Proceeds
0
0
2,500,000
0
2,500,000
0
0
0
0
95-3901 8520
Other RevsvR
0
0
0
0
0
0
0
0
0
95-3992 9001
Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
8,632
45,055
2,690,103
2,690,100
0
0
0
9,353
0
TOTAL CAPITAL PROJECT FIANOS 7,437,672 5,541,254 4,219,464 380,229 4,193,310 1,305,696 110,610 370,000 810.610
!
0 19,658
51,830
0
!
54,422
54,420
0
!
PORILATICN ESTIMATES
0 639,000
0
Act. 104,727
0
0
Act. 111,954
Est, 125,000
0
Subtotal
0 658,658
0
ACTUAL
New
54,420
mel0ED
FlNO / AOCT.
ACTUAL
ACTUAL
ESTIMATED
REME RECD
ESTIMATED
ESTIMATED
ESTIMATED ESTIMATED
DESCRIPTIONS
REVENUE
REYM
REYBAIE
AT
REVEIAIE
67-3992 9001 Transfers In
0 15,331
412,110
0
411,110
409,210
409,210
0
REYM
REYM F"M
IND YEAR
16,097
0
16,000
16,902
DMM9ER 31,
0
16,900
Sub -total
REVOK
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91 1991-92
PROJECTION
428,207
AGENCY RN06
rr„m*mt
Central Park Redemption
38-3901 4600 Interest Earnings
0
0
5,369
0
5,400
5,638
5,640 0
5,640
8521 Delivery Casts
0
(186,308)
0
0
0
0
0 0
8522 Lease Payment
0
188,890
0
0
0
0
0 0
0
39-3992 9001 Transfers In
0
0
1,289,810
0
1,289,810
1,277,900
1,277,900 0
0
1,271,900
x
c Subtotal
0
_
2,582
1,295,179
0
1,295,210
1,203,538
1,283,540 0
1,283,510
Central Park Reserve
39-3901 4600 Interest Earnings
0 19,658
51,830
0
18,000
54,422
54,420
0
54,420
39-3992 9001 Transfers In
0 639,000
0
0
0
0
0
0
0
Subtotal
0 658,658
0
18,000
54,420
0
51,830
54,422
$4,420
Redemption Surd - North East Park
67-3992 9001 Transfers In
0 15,331
412,110
0
411,110
409,210
409,210
0
409,210
67-3901 4600 Interest Income
0 (15,113)
16,097
0
16,000
16,902
16,900
0
16,900
Sub -total
0 218
428,110
426,112
0
0
426,110
428,207
426,110
0
1020
Property Tax - C/Y Seared
0
0
0
107,937
0
0
0
0 0
ACTUAL
AMENDED
Property Tax - P/Y Semred
AMENDED
0
0
ACTUAL ACTUAL
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED ESTIMATED
4600
RND / ACCT. DESCItIPTICNS
REVENUE REVM
REYENIIE
AT
REVENUE
REVENUE
REVBAIE FOEUE
TND YEAR
0 0
76-3901
4601
OECm 31,
0
0
0
REVENUE
0
1987-88 1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91 1991-92
PROJECTICN
Reserve Ftrd - North East Park
0
0
0
0
0
0 0
76-3992
68-3992 9001 Transfers in
0 287,500
0
0
0
0
0 0
0
68-3901 4600 Interest Inome
0 2,380
22,956
0
22,950
24,104
24,100 0
0
Sib -total
0 289,880
22,956
0
22,950
24,104
24,100 0
0
Del ivery Cost Rrd - North East Park
69-3992 9001 Transfers in 0 30,631 0 0 0 0 0 0 0
69-3901 4600 Interest Incare 0 (30,453) 0 0 0 0 0 0 0
Sub -total 0 178 0 0 0 0 0 0 0
AD 88-2 Ethe daMighlard CFD Redemption Fund
76-3901
1020
Property Tax - C/Y Seared
0
0
0
107,937
107,900
0
0
0 0
76-3901
1040
Property Tax - P/Y Semred
0
0
0
0
0
0
0
0 0
76-3901
4600
Interest Earnings
0
0
0
0
0
0
0
0 0
76-3901
4601
Interest - Early Redemption
0
0
0
0
0
0
0
0 0
76-3901
7905
Principal - Early Redemptim
0
0
0
0
0
0
0
0 0
76-3992
9001
Transfers In
0
0
0
0
0
0
0
0 0
0
0
0
107,937
107,900
0
0
0 0
Subtotal
0
0
0 0 0
POPULATION ESTIMATES Pct. 104,727 Act. 114,951 Est. 125,000
ACTUAL New New
ACTUAL ACTUAL ESTIMATED REVM RECD ESTIMATED ESTIMATED ESTIMATED ESTIMATED
FIND / ACCT. DESCRIPTIOMS REVEMIE REVBAIE REM AT REVIVE 8EVB41E REMM AEVEWE TWO YEAR
DECEPW 31, REYM
1981-88 1988 - 1989 1989-90 1989 198940 1990-91 1990-91 1991-92 PRDJECTICN
AD 88-1 Reserve
77-3901 4600 Interest Earnings
0
0
0
0
0
0
0
0
0
7901 Resew Requirements
0
0
0
0
0
0
0
0
0
77-3992 9001 Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
0
0
4600
Interest Earnings
10,617
14,879
8,477
3,799
7,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
7905
Principal - Early Redemption
0
AO 86-2 Excess Irnestnent Earnings
0
0
0
0
0
0
0
81-3992 9001
Transfers in
79-3901 4600 Exoess Investment Earnings
0
0
0
0
0
0
0
0
0
79-3992 9001 Transfers in
0
0
0
0
0
0
0
0
0
Subtotal
0
0
0
0
0
0
0
0
0
AD 84-2 R9JWim
81-3901 1D20
hvpwty Tax - C/Y Seared
199,507
174,627
197,184
72,626
197,000
194,789
185,340
186,740
372,080
1040
Property Tax - P/Y Seared
93,670
6,055
12,713
5,506
7,000
13,349
5,000
5,500
10,500
1060
Penalty 6 Interest
25,694
816
1,715
884
1,000
1,750
0
0
0
4600
Interest Earnings
10,617
14,879
8,477
3,799
7,000
8,901
0
0
0
4601
Interest - Early RedWicn
0
6,005
0
0
0
0
0
0
0
7905
Principal - Early Redemption
0
64,602
0
0
0
0
0
0
0
81-3992 9001
Transfers in
2,239
2,225
0
0
0
0
0
0
0
Subtotal
331,727
269,209
220,089
82,815
212,000
218,789
190,340
192,240
382,580
•
FIND / ACCT
AD 84-2 Reserve
PORILATIM ESTIMATES
DESCRIPTIMS
82-3901 4600 Interest Earnings
7901 Reserve Reguirments
82-3992 9001 Transfers In
Subtotal 19,474 88,616 14,620 6,862 14,620 15,350 15,350 15,500 30,850
AD 86-2 Investment Earn
85-3901 4600 Interest Earnings 641 7,614 0 0 0 0 0 0 0
85-3992 9001 Transfers In 0 0 0 0 0 0 0 0 0
Subtotal 641 7,614 0 0 0 0 0 0 0
AD 84-1 Redemption
87-3901 1060 Penalty 6 Interest
87-3901 1020 Property Tax - C/Y Seared
1040
Act. 104,727
•
Interest Earnings
Act. 114,954
Est. 125,000
•
Principal - Early Redemption
7906
ACTUAL
mew
Pre/Pay-Special Taxes
MBIpED
Loan from RDA
ACTUAL ACTUAL
ESTIMATED
AEVFIIIE RECD
ESTIMATED
ESTIMATED
ESTIMATED ESTIMATED
62,268
REVENUE REVENUE
REY UE
AT
FOENUE
REVEMIE
EVEMIE REVENUE
T1O YEAR
25,496
200,493
RIMER 31,
280,500
294,517
294,520
REVEIM
1987-88 1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91 1991-92
PROJECTION
19,474 23,616
14,620
6,862
14,620
15,350
15,350 15,500
30,850
0 0
0
0
0
0
0 0
0
0 65,000
0
0
0
0
0 0
0
Subtotal 19,474 88,616 14,620 6,862 14,620 15,350 15,350 15,500 30,850
AD 86-2 Investment Earn
85-3901 4600 Interest Earnings 641 7,614 0 0 0 0 0 0 0
85-3992 9001 Transfers In 0 0 0 0 0 0 0 0 0
Subtotal 641 7,614 0 0 0 0 0 0 0
AD 84-1 Redemption
87-3901 1060 Penalty 6 Interest
87-3901 1020 Property Tax - C/Y Seared
1040
Property Tax - P/Y Seared
4600
Interest Earnings
4601
Interest - Early Radmption
1905
Principal - Early Redemption
7906
Cmtributed Capital - RDA
7907
Pre/Pay-Special Taxes
8521
Loan from RDA
87-3992 9001
Transfers In
Subtotal
8,580
7,743
0
1,635
1,640
0
0
0
0
1,191,840
1,054,527
1,037,799
636,343
1,037,800
934,019
934,020
840,000
1,714,020
33,851
29,121
62,268
7,822
62,270
56,041
56,040
40,000
96,040
275,279
25,496
200,493
72,413
280,500
294,517
294,520
175,000
469,520
26,238
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1,984,000
(208,721)
1,198,000
(986,827)
1,198,000
1,198,000
1,198,000
1,198,000
2,396,000
0
5,100
0
0
0
0
0
0
0
0
0
0
0
0
0
0
D
0
0
2,076,798
0
986,827
0
0
0
0
0
3,519,188
2,990,061
2,578,560
118,213
-T580,210
2,182,511
2,182,580
2,253,000
1,735,580
• 0
CITY DF RANCHO OXAM7ri'd
WIRT
FSTIMATED REVENUE
POPULATION ESTIMATES Act. 104,727
Act.11t,954 Est. 125,000
9
4D PO 85 Reserve
91-3901 4600 Interest Earnings
7901 Reserve Reguirenents
91-3992 9001 Transfers In
Subtotal
25,617
47,416
35,316
13,219
35,320
ACTUAL
AMB W
34,000
WIDED
0
0
0
0
ACTUAL
ACTUAL
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
0
RND / ACCT.
DESCRIPTIN
REVENUE
REVENUE
REVENAIE
AT
REVENUE
REVEMIE
REvm
REVENUE
TWO YEAR
36,380
-34 000
25,617
-35 316
DECEMBER 31,
REME
1981-88
1988 - 1909
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PRWECTION
AD PO 85 Aaderption
90-3901 1020
Property Tax - C/Y Serured
931,829
968,094
1,045,247
456,865
1,045,250
1,047,521
1,041,520
1,132,400
2,179,920
1040
Property Tax - P/Y Secured
33,212
20,049
34,035
17,557
34,040
35,736
35,740
36,000
71,740
N 4600
Interest Earnings
1,116
0
7,542
0
7,540
7,731
7,730
3,000
10,730
N
4601
Interest - Early Redemption
0
0
0
0
0
0
0
0
0
7905
Principal - Early Rederption
0
0
0
0
0
0
0
0
0
1060
Penalty 6 Interest
6,779
4,322
5,508
3,534
3,540
5,183
0
0
0
90-3992 9001
Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
973,566
992,465
1,092,332
117,956
1,090,310
--F090,990
1,096,171
1,171,100
2,262,390
4D PO 85 Reserve
91-3901 4600 Interest Earnings
7901 Reserve Reguirenents
91-3992 9001 Transfers In
Subtotal
25,617
47,416
35,316
13,219
35,320
36,376
36,380
34,000
70,380
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
---ii-,F17
77,416
-13 219
35,320
.36 376
36,380
-34 000
25,617
-35 316
70,380
N
x
•
739,000
767,273
i
767,270
764,576
790,190
800,000
1,590,190
•
CITY OF RWN U"AA
50,863
13,679
50,860
51,881
51,880
50.000
101,880
63,396
84,657
FAUOOEI
28,925
46,040
45,875
45,880
50,000
95,880
1.678
134
0
ESTIMATED REVENUE
0
0
0
0
0
57,045
1,641
0
3,229
POPULATION ESTIMATES
0
0
Act. 104,727
0
0
Act. 110,954
0
Est. 125,000
0
0
0
0
0
ACTUAL
AABw
0
A14NDED
0
0
0
ACTUAL
ACTUAL
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
0
FUND / ACCT. DE9CRIPTIONS
REVENUE
FEVBAIE
REVENUE
AT
REVENUE
REVENUE
REVENUE
REVUE
TWO YEAR
1,787,950
DECEMBER 31,
REVENUE
- -----
1987-88
1988 - 1989
1989-90
1989
1989-90
-----
1990-91
1990-91
1991-92
PROJECTICN
--
-
AD Ad -I Reserve
'-
92-3901 4600 Interest Earnings
68,725
116,414
70,099
0
70,100
73,604
' 73,600
80,000
153,600
12 3192 9001 Transfers In
0
807,509
0
0
0
0
0
0
0
Subtotal
68,125
0
923,923
10,099
10,100
13,604
73,600
80,000
153,600
AD 82 -IR Redeptim
93-3901 1020 Property Tax - C/Y Secured
1040 Property Tax - P/Y Secured
4600 Interest Earnings
4601 Interest - Early RW"ticn
7905 Principal - Early Redetgticn
9780 Sale of tend
93-3992 9001 Transfers In
93-3901 1060 Penalty 6 Interest
----------------
Subtotal
767,086
739,000
767,273
344,235
767,270
764,576
790,190
800,000
1,590,190
421
25,751
50,863
13,679
50,860
51,881
51,880
50.000
101,880
63,396
84,657
46,038
28,925
46,040
45,875
45,880
50,000
95,880
1.678
134
0
262
0
0
0
0
0
57,045
1,641
0
3,229
0
0
0
0
0
0
0
0
0
0
0
0
0
0
5,711
0
0
0
0
0
0
0
0
48
3,003
0
6,311
6,310
0
0
0
0
895,385
851,186
861,111
106,611
870,480
862,332
887,950
900,000
1,787,950
•
Property Tax - C/Y Secured
200,283
189,357
0
106,251
211,520
212,948
208,170
210,000
0
CITY OF RAWHO COMTura
Property Tar - P/Y Seared
0
9,420
12,691
18,686
12,690
12,777
12,780
12,000
M+UDr,EI
4600
Interest Earnings
41,116
9,691
43,112
5,431
43,710
45,024
45,020
8,000
ESTIMATED REVW
4601
Interest - Early Redemption
1,766
1,262
1,488
285
1,490
1,563
1,560
1,600
3,160
POPULATION ESTIMATES
Principal - Early Redemption
20,830
Act. 104,727
33,895
4,854
Act. 114,954
34,572
Est. 125,000
35,000
69,570
1060
Penalty& Interest
0-
1,209
ACTUAL
AM9w
3,190
AMENDED
0
0
0
7902
ACTUAL
ACTUAL
ESTIMATED
REVENUE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
0
FUND / ACCT.
DESCRIPTIONS
REVEMIE
REYBUE
REVENUE
AT
FBOUE
REVE741E
REME
REVENUE
IND YEAR
0
Subtotal
219,956
231,111
DECEMBER 31,
138,699
306,500
306,884
302,100
REVENUE
568,700
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PROJECTION
AD 82 -IR Rasmrve
91 ;901 4600
Interest farnirgs
67,519
81,769
50,689
24,428
50,690
51,703
51,700
50,000
101,700
1901
Reserve Requirewts
0
0
0
0
0
0
0
0
0
94-3992 9001
Transfers In
0
0
0
0
0
0
0
0
0
A
24,428
Subtotal
61,519
82,769
50,689
50,690
51,703
51,700
50,000
101,700
AD 86-2 Redemption
96-3901 1020
Property Tax - C/Y Secured
200,283
189,357
211,522
106,251
211,520
212,948
208,170
210,000
418,170
1040
Property Tar - P/Y Seared
0
9,420
12,691
18,686
12,690
12,777
12,780
12,000
24,780
4600
Interest Earnings
41,116
9,691
43,112
5,431
43,710
45,024
45,020
8,000
53,020
4601
Interest - Early Redemption
1,766
1,262
1,488
285
1,490
1,563
1,560
1,600
3,160
7905
Principal - Early Redemption
20,830
20,172
33,895
4,854
33,900
34,572
34,570
35,000
69,570
1060
Penalty& Interest
0-
1,209
0
3,192
3,190
0
0
0
0
7902
Redemption Requirement
0
0
0
0
0
0
0
0
0
96-3992 9001
Transfers In
15,301
0
0
0
0
0
0
0
0
Subtotal
219,956
231,111
303,308
138,699
306,500
306,884
302,100
266,600
568,700
0
CITY OF RAJ N CUCAMYA
I>unGET
ESTIMATED REVW
POPULATION ESTIMATES
0
Act. 104,727
ACTUAL
Act. 114,954 Est. 125,000
TOTAL AGENCY FUNDS : 6,184,414 7,447,971 7,032,165 1,985,612 7,111,260 6,937,519 6,924,160 4,967,740 11,867,800
ACTUAL
ACTUAL
ESTIMATED
REMK RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
RIND / ACCT.
DWIPTIONS
REVENUE
REVENUE
REVW
AT
REVM
REvm
IBM
RE♦43A1E
IND YEAR
DMMER 3I,
REVEMUE
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PROJECTION
AD 86-2 Res"
97-3901 d600
Interest Earnings
2,015
9,088
4,806
8,842
8,800
4,957
5,000
5,000
10,000
7901
Reserve Requirements
0
0
0
0
0
0
0
0
0
97-3992 9001
Transfers In
10
0
0
0
0
0
0
0
0
8,800
Subtotal
2,016
9,088
4,806
8,842
4,957
5,000
5,000
10,000
TOTAL AGENCY FUNDS : 6,184,414 7,447,971 7,032,165 1,985,612 7,111,260 6,937,519 6,924,160 4,967,740 11,867,800
0
CITY OF RANCHO CtUCA74JNCd
BUDGET
n•m,
FIND / ACCT
SPECIAL AST RWOS
r�nxmanrwxra�xra
POPULATION ESTIMATES
ACTUAL ACTUAL
DE9CRIPTICNS REVENUE REVENUE
x
Landscape M3int 11 Gaxral
x
H
ACTUAL AMENDED
40-3901 1020
Property Tax - C/Y Secured
1040
Property Tax - P/Y Seared
4600
Interest Eamirgs
40-3992 9001
Transfers In
40-3901 1050
Penalty 6 Interest
Subtotal
Landscape Maint 12 Victoria
Act. 1D4,727
ESTIMATED
REVENUE
1987-88 1988 - 1989 1989-90
Act. 114,954
Est.125,ODO
ACTUAL AMENDED
AMENDED
REVENUE REC'D ESTIMATED ESTIMATED
ESTIMATED ESTIMATED
AT REVENUE REVENUE
REVENUE REVENUE TWD YEAR
MCEDDER 31,
REVENUE
1989 1989-90 1990-91
1990-91 1991-92 PRDUEC110N
149,814
167,210
220,875
85,942
220,880
255,875
314,560
333,430
647,990
8,287
6,658
8,362
3,368
8,360
8,529
8,530
8,500
17,030
27,997
27,055
15,461
10,605
15,460
17,911
17,910
18,900
36,810
272
0
0
0
0
0
0
0
0
1,551
1,230
1,385
681
680
1,412
0
0
0
187,921
202,153
246,083
100,596
245,390
283,727
341,000
360,830
701,830
41-3901 1020
Property Tax - C/Y Seared
471,282
585,722
665,730
352,723
565,730
735,487
773,690
820,000
1,593,690
1040
Property Tax - P/Y Secured
7,080
2,641
6,190
5,195
6,190
6,314
6,310
6,000
12,310
4600
Interest Earnings
14,423
59,059
26,294
29,416
30,000
31,259
20,000
21,000
41,000
1060
Penalty 6 Interest
1,534
440
1,337
1,294
1,300
1,363
0
0
0
41-3992 9001
Transfers In
461,305 "
37,458
0
0
0
0
0
0
0
Subtotal
955,624
685,320
699,551
388,628
703,220
114,422
800,000
847,000
1,647,000
0 0 0
CITY DE RKM OXAM
Bli[GFi
ESTIMATED REVOR
POPULATION ESTIMATES
Act. 104,727
Act. 114,954
Est. 125,000
ACTUAL
AABw
New
ACTUAL
ACTUAL
ESTIMATED
BEVEIAIE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
RIND /
ACCT.
DE9CRIPTIQS
BEVEM
wVw
REVM
AT
REYw
RDW
REVw
REVW
M YEAR
DETDW 31,
WYM
1987-88
1988 - 1989
1989-90
1989
1919-90
1990-91
1990-91
1991-92
PROJECTION
Landscape
Ibint 13 HYSSOP
42-3901
1020
Property Tax - C/Y Secured
2,070
2,451
2,173
55,699
56,000
2,216
1,900
2,000
3,900
1040
Property Tax - P/y Secured
130
0
133
564
560
135
100
110
210
H
4600
Interest Earnings
39
304
46
2,314
2,320
48
0
0
0
1060
Penalty 6 Interest
13
0
24
100
100
30
0
0
0
42-3992
9001
Transfers In
18
0
0
0
0
0
0
0
0
Subtotal
2,210
2,755
2,376
58,677
58,980
2,429
2,000
2,110
4,110
Lardsrape
V4int IN Terra Vista
43-3901
1020
Property Tax - C/Y Secured
142,747
228,971
281,215
116,596
281,220
332,090
317,000
336,000
653,000
1040
Property Tax - P/Y Seared
1,309
1,416
1,448
1,615
1,620
1,520
1,000
1,060
2,060
4600
Interest Earnings
30,659
48,132
16,732
17,241
20,000
19,759
12,000
12,700
24,700
1050
Penalty 6 Interest
222
325
246
479
500
251
0
0
0
43-3992
9001
Transfers In
470
0
0
0
0
0
0
0
0
Subtotal
175,407_
278,644
299,641
135,931
303,340
353,620
330,000
349,760
679,760
Landscape Paint 16 Caryn Comm
45-3901 1010
Property Tax - C/Y Seamed
89,989
89,989
183,105
97,044
183,100
201,415
225,000
238,500
CITY OF RANr11O CUCAMYA
1040
Property Tax - P/Y Secured
0
1,172
0
1,952
1,950
0
2,000
BUDGET
4,120
4600
Interest Earnings
3,973
17,885
10,895
7,640
10,900
11,984
ESTIMATED REVENUE
3,180
6,180
1060
Penalty 6 Interest
0
198
208
460
460
POPUUITION ESTIMATES
0
0
Act, 104,727
45-3992 9001
Transfers In
Act. 114,954
0
Est. 125,000
0
0
0
0
0
ACTUAL
MEWED
Subtotal
MENDED
109,244
194,208
107,096
ACTUAL
ACTUAL
ESTIMATED
REVEIR RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
RNO / ACCT. DESCRIPTIOS
REVENUE
REVENUE
REVENUE
AT
REVENUE
REVENUE
REVUE
REVENUE
TWO YEAR
DECEMBER 31,
REVENUE
1987-88
1988 - 1989
1989-90
1989
1989-90
1990-91
1990-91
1991-92
PRO3ECTIDV
lardscape Paint 115 Tot Tot
44-3901 1020 Property Tax - C/Y Seamd
4,941
4,519
4,620
2,305
4,620
4,520
4,300
4,550
8,850
c1040 Property Tax - P/Y Seared
443
0
451
0
450
461
200
210
410
4600 Interest Earnings
1,205
1,646
857
516
860
875
100
110
210
1060 Penalty 6 Interest
90
0
92
0
100
94
0
0
0
44-3992 90DI Transfers In
0
0
0
0
0
0
0
0
0
Subtotal ^�
6,680
6,265
6,020
2,821
6,030
6,050
4,600
4,870
9,470
Landscape Paint 16 Caryn Comm
45-3901 1010
Property Tax - C/Y Seamed
89,989
89,989
183,105
97,044
183,100
201,415
225,000
238,500
463,500
1040
Property Tax - P/Y Secured
0
1,172
0
1,952
1,950
0
2,000
2,120
4,120
4600
Interest Earnings
3,973
17,885
10,895
7,640
10,900
11,984
3,000
3,180
6,180
1060
Penalty 6 Interest
0
198
208
460
460
212
0
0
0
45-3992 9001
Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
93,962-
109,244
194,208
107,096
196,410
213,611
230,000
243,800
473,800
• POPUUATIQ4 ESTIMATES Act. 104,727 1* Act. 114,954 Est. 125,000 •
ACTUAL AM5VOED AM3IDED
ACTUAL ACTUAL ESTIMATED FVEMIE RECT ESTIMATED ESTIMATED ESTIMATED ESTIMATED
FUND / ACCT. OESCRIPTIOMS REYM REVENUE REVEMIE AT REVEME REVEMIE REVM REVm THD YEAR
DECCEHEIEER 31, REvm
1987-88 1988 - 1989 1989-90 1989 1989-90 1990-91 1990-91 1991-92 PRDJECTICR
Land Msint 838 Mdias
46-3901
1020
Property Tax - C/Y Seamed
0
26,726
115,000
106
115,000
140,000
114,000
184,440
358,440
0
1040
Property Tax - P/Y Seared
0
0
0
0
0
0
1,000
1,060
2,060
750
4600
Interest Earnings
0
654
3,947
32
3,950
4,159
5,000
5,300
10,300
0
1060
Penalty 6 Interest
0
0
0
0
0
0
0
0
0
45-3992
9001
Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
0
27,380
118,947
138
118,950
144,159
180,000
190,800
37D,000
Lad Pbint Dst I7
e 47-3901
1020
Property Tax - C/Y Seamed
0
0
0
0
0
0
55,000
58,300
113,300
c
1040
Property Tax - P/Y Seared
0
0
0
0
0
0
0
0
0
1060
Penalty 6 Interest
0
0
0
0
0
0
1,000
1,060
2,060
4600
Interest Earnings
0
0
0
0
0
0
1,000
1,060
2,060
47-3992
9001
Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
0
0
0
0
0
0
57,000
60,420
117,420
Lad Maint Ost I8
48-3901 1020 Property Tax - C/Y Seamed
1040 Property Tax - P/Y Seared
1060 Penalty 6 Interest
4600 Interest Earnings
48-3992 9001 Transfers In
Subtotal
0
0
0
0
0
0
5,700
6,040
11,740
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
750
790
1,540
0
0
0
0
0
0
450
470
920
0
0
0
0
0
0
0
0
0
0
0
0
0
0.
6,900
1,300
14,200
•
CITY OF RWW p1CAMOO
RMET
ESTIMATED REVENUE
POPULATION ESTIMATES
FIND / ACCT. CWIPTIONS
Lighting Dist 11 Arterial
55-3901 1020
Property Tax - C/Y Secured
1040
Property Tax - P/Y Secured
c 4600
Interest Earnings
1060
Penalty 6 Interest
55-3992 9001
Transfers In
3,500
Subtotal
Lighting Dist 112 Residential
56-3901 1020
Property Tax - C/Y Seared
1040
Property Tax - P/Y Seared
4600
Interest Earnings
1060
Penalty 6 Interest
56-3992 9001
Transfers In
Subtotal
9
Act. 104,727
ACTUAL AMBw
ACTUAL ACTUAL ESTIMATED REVM RECD ESTIMATED
IBM REVENUE REVENUE AT WY MIE
OECFw 31,
1987-88 1988 - 1989 1989-90 1989 1989-90
E
Act. 114,954 Est. 125,000
AMENDED
ESTIMATED ESTIMATED ESTIMATED
REVEtNIE REVENUE REVENUE 1M3 YEAR
REVEMUE
1990-91 1990-91 1991-92 PRUIECTICN
66,659
108,399
137,539
58,290
137,540
155,754
153,060
152,240
315,300
2,585
2,011
3,500
1,378
2,730
3,570
3,500
3,710
7,210
3,873
5,838
3,229
3,579
4,000
3,617
3,600
3,810
7,410
534
375
313
296
300
319
0
0
0
129
0
0
0
0
0
0
0
0
73,881
116,623
144,581
63,543
144,570
163,260
160,160
169,760
329,920
67,612
79,374
116,541
42,415
115,990
137,678
116,340
123,320
239,660
4,413
3,263
3,606
2,523
2,600
3,678
3,600
3,810
7,410
6,606
11,657
3,947
4,962
5,500
4,059
3,950
4,190
8,140
827
889
399
572
600
407
0
0
0
0
0
0
0
0
0
0
0
0
79,458
95,183
124,493
50,472
145,822
131,320
124,690
123,890
255,210
Lighting Dist IN Terra Vista
58-3901 1020
Property Tax - C/Y Seamed
41,622
•
62,436
28,279
61,550
77,110
•
CITY Oft CUCAMWA
144,400
1040
Property Tax - P/Y Seared
370
347
377
374
400
BUDGET
400
420
820
4600
Interest Earnings
3,362
7,499
3,122
ESTIMATED REYT3UE
4,000
3,856
3,470
3,680
7,150
1060
Penalty 6 Interest
62
POPUATIM ESTIMATES
62
112
Act. 104,727
65
Act. 114,954
0
Est. 125,000
58-3992 9001
Transfers In
0
0
ACTUAL
AABIOED
0
AM9i0ED
0
0
RAND / ACCT.
ACTUAL
ACTUAL
ESTIMATED REVEMIE RECD
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
81,427
DESCRIPTIONS
REVEi41E
REVDUE
REVEMIE AT
REVm
REVENUE
REVm
REVERIE
TMD YEAR
DECE m 31,
AEVETUE
1987-80
1988 - 1909
1989-90 1989
1989-90
1990-91
1990-91
1991-92
PROJECTION
Lighting Dist 13 Victoria
57-3901 1020 Property Tax - C/Y Secured
74,363
77,661
94,014 34,572
94,000
117,585
87,100
92,320
179,420
1040 Property Tax - P/Y Seared
1,536
509
5,916 865
1,500
6,093
1,300
1,380
2,680
r� 4500 Interest Earnings
2,007
6,643
4,700 3,247
4,500
5,879
4,350
4,610
8,960
1060 Penalty 6 Interest
340
84
782 243
250
821
0
0
0
57-3992 9001 Transfers in
0
0
0 0
0
0
0
0
0
Subtotal:
105,412 38,947
130,378
78,246
84,897
100,250
92,750
98,310
191,060
Lighting Dist IN Terra Vista
58-3901 1020
Property Tax - C/Y Seamed
41,622
50,377
62,436
28,279
61,550
77,110
70,100
74,300
144,400
1040
Property Tax - P/Y Seared
370
347
377
374
400
396
400
420
820
4600
Interest Earnings
3,362
7,499
3,122
3,660
4,000
3,856
3,470
3,680
7,150
1060
Penalty 6 Interest
62
83
62
112
110
65
0
0
0
58-3992 9001
Transfers In
0
0
0
0
0
0
0
0
0
Subtotal `�
45,416
58,306
65,997
32,425
65,060
81,427
73,970
78,400
152,370
• POPULATION ESTIMATES Act. 104,727 • Act. 114,954 Est. 125,000 .
ACTUAL AM9w New
ACTUAL ACTUAL ESTIMATED REVENUE RECD ESTIMATED ESTIMATED ESTIMATED ESTIMATED
PTMO / ACCT. DETDIPTIM REVENUE Wma REVENUE AT REVENUE REVENUE REVENUE REVEUE TWO YEAR
DECE?BER 31, REVEUE
1981-88 1988 - 1989 1989-90 1989 1989-90 199041 1990-91 1991-92 PROJECTION
Lighting Dist 85 Caryn Cmm
8,101
14,200
3,577
14,200
15,825
12,700
13,460
26,160
0
59-3901 1010 Pro"Tax- C/YSewred
16,149
16,149
32,865
17,217
32,870
41,545
23,420
24,820
48,240
1040 Property Tax - P/Y Sawred
0
211
145
352
350
149
150
160
310
4600 Interest Earnings
602
2,534
1,742
1,676
1,740
2,783
1,600
1,700
3,300
1060 Penalty 6 Interest
0
36
36
82
100
43
0
0
0
59-3991 9001 Transfers In
0
0
0
0
0
0
0
0
0
SLbtotal
16,751
_ 18,930
34,788
19,327
35,060
44,520
25,170
26,680
51,850
c
H
H
H
Lighting Dist 06 Mistrial Area
60-3901 1020 Property Tax - C/Y Seared
1040 Property Tax - P/Y Seared
4600 Interest Earnings
1060 Penalty 6 Interest
60-3992 9001 Transfers In
& total
0
8,101
14,200
3,577
14,200
15,825
12,700
13,460
26,160
0
0
852
0
0
949
950
1,000
1,950
22
364
26
374
880
33
30
30
60
0
0
0
0
0
0
0
0
0
0
0
7
0
0
0
0
0
0
22 8,465 15,085 3,951 15,080 16,807 13,680 14,490 28,170
TOTAL SPECIAL ASSESSMENT RfM : 1,715,638 1,694,365 2,057,182 1,002,551 2,118,020 2,360,232 2,384,120
• POPULATION ESTIMATES
Interest Earnings
105,011
Act. 101,727
45,088
37,777
Act. 114,951
47,343
Est. 125,000
.
70,000
8523
Assessment Oistrict Reimbursement
2,541
ACTUAL
NIEMM
0
New
253
250
250
ACTUAL
ACTUAL
ESTIMATED
MIM REC'D
ESTIMATED
ESTIMATED
ESTIMATED
ESTIMATED
255,761
RIND / ACCT. DE9CRIPTIONS
AEYEMIE
REVBUE
REma
AT
REma
AEYBIA:
AEVEMIE
WY MILE
m YEAR
4,155
0
0
0
DECEMBER 31,
573,136
281,803
REVBK
311,710
1987-80
1988 - 1989
1989-90
1989
1909-90
1990-91
1990-91
1991-92
PROJECTION
PROPRIETARY FLNOS
f
k% m Assessment
33-3901 4600 Interest Earnings
25,717
17,319
105,591
13,942
15,000
110,870
0
0
0
8520 Uses Fees
299,796
114,162
2,046,594
889,961
1,250,000
2,328,273
920,590
960,150
1,880,740
33-3992 9001 Transfers In
12,491
277,848
65,219
25,036
60,000
86,597
242,833
218,430
521,263
Subtotal 338,007 739,359 ---i 217-101 928,912 -F325 0-00 -'-j-525 710 -563 4-23 71,238 580 2,101,003
Intergo+ertmrental Service
72-3901 4600
Interest Earnings
105,011
151,365
45,088
37,777
75,000
47,343
50,000
20,000
70,000
8523
Assessment Oistrict Reimbursement
2,541
122
248
0
200
253
250
250
500
9002
Users Fees
402,598
483,262
232,510
42
232,510
255,761
1,540,950
567,350
2,108,300
72-3992 9001
Transfers In
62,950
3,769
3,957
0
4,000
4,155
0
0
0
573,136
281,803
37,819
311,710
1,591,200
587,600
2,178,800
307,512
638,518
Subtotal
i
•
107,182
!
CITY OF RMw arAm rNil
60,000
70,221
65,000
9ml
130,000
73-3992 9001 Transfers In
0
ESTIMATED AEVBIA:
0
0
0
MRA.ATION ESTIMATES
Act. 101,727
Act. 111,951
Est. 125,000
Subtotal
92,293
ACTUAL AIBIOEO
NEIRD
29,616
ACTUAL ACTUAL ESTIMATES
WME REC'D ESTIMATED ESTIMATED
E5TIVATED ESTIMATED
RWO / ACCT. OESCRIPTUfS
REVEMIE REVEMA: REVIM
AT REVEMIE REVM
REVENIE IBM Tip YEAR
1,185,059
2,566,081
omim 31,
REVEIUE
2,903,173
1987-88 1986 - 1989 1989-90
1989 1989-90 1990-91
1990-91 1991-92 PAWIETION
Bmf it Contingent
73-3901 1600 Interest Earrings
92,293
107,182
66,871
29,616
60,000
70,221
65,000
65,000
130,000
73-3992 9001 Transfers In
0
0
0
0
0
0
0
0
0
Subtotal
92,293
107,182
66,817
29,616
60,000
70,221
65,000
65,000
130,000
TOTAL WRIETARY RAIDS :
1,003,136
1,185,059
2,566,081
996,137
1,696,710
2,903,173
2,819,623
1,891,180
1,710,803
•I
Fiscal Year 1990-91
Assessment District Programs
•
•
•
Fiscal. Year 1990/91
ASSESSMENT DISTRICT PROGRAMS
1) AD 88-02 Industrial Assessment District Drainage System:
a) Sixth -Seventh Street; Storm Drain and Railroad crossing
between Center Avenue and Haven Avenue.
Complete R/R Processing and Construction
b) Jersey Boulevard; Storm Drain from Vincent Avenue
eastward
Construction
• 0 0
. Prolene �, fype )9"1)
• •
Projeds
Assessmani—
FAU
17,
_ lea 1_ _•_-_.. -:. S. -L-
����
0
11
Fiscal Year 1990-91
Beautification Projects
12) Milliken Avenue Median Improvements
4th Street to 6th Street
• Complete Construction
Fiscal Year 1990/91
BEAUTIFICATION PROJECTS
I. A.
CONTIN1lFD OR ON- O1N PrznttEM
1)
Haven Avenue Median Improvements
Phase III - South of Lemon to north of Wilson
Complete Construction Administration
2)
Haven Avenue Gateway Entry Monument at 4th Street
East side
Complete Construction Administration
3)
Archibald Parkway Beautification Study
Southern City limit to northern City limit
Complete Study
4)
Milliken Avenue Parkway and Median Beautification Study
Southern City limit to northern City limit
Complete Study
5)
Milliken Avenue Gateway Entry Monument at 4th Street
East side
Complete Construction
6)
Baseline Road Parkway Beautification Improvements
West City limits to west of Carnelian St.
.
Complete Construction Administration
7)
Carnelian Street East Side Parkway Beautification Improvements
Vineyard Avenue to Baseline Road
Complete Construction Administration
8)
6th Street Median Beautification Study
Haven Avenue to Old Rochester
Complete Study
9)
Rochester Avenue East Side Parkway Beautification Im movemer-;
East side Foothill Boulevard to Baseline Road
Complete Construction
10)
Monte Vista Median Improvements
East of Eastwood
Complete Design and Construction
11)
Baseline Road Parkway and Median Beautification Study
Haven Avenue to eastern City limits
Complete Study
12) Milliken Avenue Median Improvements
4th Street to 6th Street
• Complete Construction
13)
Terra Vista Parkway and Baseline Road Median Retrofits and Island
•
Modifications
Baseline Road from Haven Avenue to Deer Creek Channel
Construction
14)
Baseline Road Landscape Maintenance District kl Projects
Baseline Southside (Ramona to Cambridge)
Baseline southside (east and west of Center)
Baseline southside (500' east of Center to Haven)
Complete Design and Construction
15)
Sapphire Street Trail Improvement
Jennet to Hillside
C.M. not recommended
16)
Community Event Banner Poles
Archibald north of Foothill and Baseline west of Haven
Complete Construction
u. tt M
No projects submitted
0
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• Projects BQe (90/91) •
10
Account -_
Number
_
__ ___-__- _ _ _-_-____________
Pro'en Title
Drain�e - -___ DrainagetUDislricis
Etiwanda Beaut. S slams Gen. CilBEAUTIFICATION
Assessment
Capiial Improvemem Projecls_ CominuederOn-eo Pro adBT
88-03
21-1617-8791
1
Haven Ave. Mediad rovemems Phase III
1 000-
Sotah of Leman to Nonh of Wilson
-ve
-- ---- -
- - - -- - - - ...-
8T BB -O6 211617-8718 2 Ha Gerawa EM Monument at Fourth SI.
_ —
a.n EaAverl. Side
BT 8807
21.1617-8135
3
Archibald Parkway Beaulilicalion Study
1,000
• Southern ChY Clint to Northern City Lunt
-
BT 88-10
21-1617-8718
1
Milliken Ave. Parkwayand Median Beautilicalion Study2000
--- -- --
-- - -
- -- --
-- _ ---
• Southern Cil Clint to Northern CB Limy
BT 8811
21.1617-8719
5
Milliken Ave. Gateway Entry Monument ® Fourth St.
_-_
a. East Side
121,000
BT 8813
21-1617.8793
6
Base Line Road Pakwwcaon In ovements
1,000
- W CitLimits 10
-
BT 88.20 21-1617-8016 7 Carnelian street Easl Sider Parkway Beaultlloalbn Im 1000
- Vineyard Ave. to Baseline Rd.
BT 88-21
21-1617.8718
8
61h St. Median Beaulilicalion Stu - Haven to Old Rochester
I1000
BT 8822
-
21.41617.8935
_
9
—
Rochester East Side Parkway Beaulaicalion Im ovement
285000
- east side Foothill BMd to Baselkte Road
—---_-"--
BT Be 23
21-1617-8932
10 Monte Vista Medan Improvements, East of Eastwood
38,000
BT 86-27
21-1617.6813
11
Baseline Road Parkway and Median Beautification Study
2000 -------_--
-
--- - - - - - _
-"- -
- Haven Ave. to Eastern City Units ---
-
BT 88-30
21-1617-8811
12
Milliken Ave. Median I ovemenls - Ilh St. to 61h St.
211.000
-- 133000
-- "-- -
BT 9836 13-1130.8956 13 Terra Vista Parkway and Baseline Rd.Median Retrofits 8 Island
----_-
Modifications B
_
1. Baseline Rd. hour Haven Ave. to Deer Creek
-
Consi. of Portion of Baseline Med. - see ST 90-37
2. Baseline Rd. It= Deer Creek to Simuce Ave.
3. Baseline Rd. Irom Spruce Ave. to Milliken Ave.
--
1. Terra Vista Pkwv Irom Church SI. to Spruce Ave.
S. Terra Vista PkwV hom uca Ave. to Belpine PI.
0 Projects A, (90t91) 0
Pro act ID
--gT 09-14
40 4130-8767
-T4-
Pro act Title
Baseline LMD lit Protects JCJ
Total
Total Gas Tzur
104 ±5W
00
Gen Fund
Of
'ap ReseN,
TDA Art. a Measure I
SB 140
TDA An. 3
Fed
203
1. klasel S/ lRamona to Cambridgei
-Baseline S/S least arid w at Contort
I Baseline sirs
t
PL 8801
1.4333-6028
-1-
Aire Sir"I Trad ImFwrovemenj
C.M. not f000mmended
—
• Jormat to H*sWe
7=T
—r:venl
PL 89-01 25-4285-39466 6 Communis Event Berner Poles
—
Archibald No Foothill & Baseline Wlo —Haven
B. Now Pr S,
/lore
11.
11.
Capital Imoroventeni Projects Developer JA)
N"
Tolais
999,500
2000.95.000
D W"w NO lis based mi 4 "vopmffq appo al.
---L-! L IWI!s_ on c,
Adilgional focavons wim be added as,,.w navaiopramis we approved
With COVIddiDnS IGQuklng B"Uhlicahm walk.
(B)
Landrpe MamL DW. 04
AC
A_
Landscape Maint DSI. al
.. Projects LOP, (90/91) .
_
Proecl ID
ST 8411
--_-_ccoun
Number
10/130-8767
11
-
ro Drainage
Pecl Title_ � Etiwanda Beam. S seems - Gen. Cil
Sasohne LMD 11 Pro'eclsC
-
FA U
Assesemem ---
Disuicls CDBG
RDA
1045W
_. --
---
--
___
1. Basslne s/s IRamona to Cambr�ej
2_ Baseline s/s IeaslAnd
3. Baseline sea ISW e/0 Center to Haven
--
PL 8801
1-1333-6028
15
Sapphire Slreal Trail Improvement
-
- JonnM to HAside
-
PL 8901 25-1285-3960 16 Commmily Evem Gamer Poles
Archibald n/o FoolhM 6 Baseline w/o Haven
B. New Proisms
None
--
II.
Capdal Improvemem Projecls - Devwl r A
None
—
Tolals: 665 000
237 500
I A
Dsyslo popcl Iw is basod on axrent
AdduiorW kratlon6 Will M added Y now dowelopments we AMWed
with condilions mWoring Beauskcaeon work.
B
LWscs Maint Dw. M
C
Landscape ►Hint Dw. 01
A
Al
Fiscal Year 1990-91
Drainage Projects
• Fiscal Year 1990/91
DRAINAGE PROJECTS
I. A. CON TED OR ON-QQTN . PROJECTS
1) Area VI Church -Hermosa Storm Drain
Phase 1 - From Church Basin along Church Street to Hermosa
Avenue
Complete Design, SBCFD Processing and
Construction
2) Area II Cucamonga S.P.R.R. Storm Drain
Phase 1(b) - east of Camelian to 1300' east of Cucamonga Creek
Channel
Complete Design, SPRR and SBCFD Processing
and begin Construction
3) Area Cucamonga S.P.R.R. Storm Drain
Phase 2 - 1400' east of Cucamonga Creek Channel to Hellman
Avenue
Complete Design and SPRR and SBCFD
Processing
4) Area XIII Baseline Storm Drain
East of Day Creek Channel to future Day Creek Boulevard
Complete Design
. 5) Area II Amethyst Storm Drain
East of and west of Amethyst on 19th Street
Complete Construction Administration
6) 19th Street Storm Drain
West of Amethyst to east of Hellman
Complete Caltrans Processing and Construction
7) Area VI Lemon Avenue Storm Drain
Phase 1 - Lower Alta Lorna Channel to Amethyst
Complete Design
8) Area II Amethyst Storm Drain
Phase 1- East of Amethyst north of 19th Street to Highland Avenue
Complete Construction
9) Area II Carnelian Avenue Storm Drain
Phase 1- Vivero to north of Baseline Road
Complete Design
10) Area V Hillside Road Storm Drain
Phase 2 - Upper Alta Loma Channel to Archibald Avenue
Complete Construction Administration
11) Area III Bear Gulch Storm Drain
West of Baker south of S.P.R.R. to north of Foothill
Design and Acquire Right -of -Way
. 12) Area IV Archibald Storm Drain
Phase 1 - Deer Creek Channel to north of 4th Street
Complete Design
13) Area IV Archibald Storm Drain
Phase 2 - 4th Street east of Archibald
Complete Design
14) Area IV Archibald Storm Drain
Phase 3 - North of 4th Street to North of 6th Street
Complete Design
15) Area VI Highland Avenue Storm Drain
Lower Alta Loma Channel to Archibald
Complete Design
16) Area IX Haven Storm Drain
Phase 1 - Deer Creek to north of Church Street
Complete Design, Complete SBCFD Processing
and Construction
I. B. NEW PROJECTS
1) Area II Cucamonga S.P.R.R. Storm Drain
• Phase 1(a) - Cucamonga Creek Channel to east of Carnelian St.
Reimbursement to Developer for Construction
II. A. DEVELOPER CONTM TED OR ON-GOING PROJECTS
1) Area I Almond Interceptor Channel
East of Turquoise to northerly extent north of Almond
2) Area XIV Etiwanda Storm Drain
Phase 3 - West of East Avenue to Etiwanda Avenue along Route 30
40
• Prujeas•y" (911/91) 0
Account
Precl ID Num
r ' le
Eff Fund
o r
Tot I Gas a>t Resen Fed TDA An. 8 Measure I SB 110 TDA An, 3
DRAINAGE
C-Caphal Impromment Pro eas
A. ComMued a s
---- — __
DR 98-01
23-/637-8761
1 Area VI Chrch44wn osa S.D.
1115000
Ph 1 • Church Bash dong Church Sc to Hemrosa Ave.
DR 66-03
23 -1637 -BBQ
2 MW W Cucalmras S.P.R.R. S.D.
310 000 - - ---
b 13W 4,Ao Cuc. Creak Charnel
----
DR 88-01
23-3637-8860
9 Area W SA.R.R. S.D.
1 00D
Ph 2 - 1100' eb Cue. Geek Clhenlel to HeWrnan
DR 68-09
23 -4637 -SMI
1 Area X111 BassOm S.D.
• eb Da Creek ChamwW b haute Creak OW.
2000 X
DR 88-11
22-1637-8719
5 Aro" II Amelh S.D. - ero a w/o Amemyst on 19th C
Funded w/ Strew
OR 68-1
-1637-8715
1191h $1. S.D. - w/o AxWhM to aft Hellman C
Funded w/ Suave --- ---
OR 88-1/
23-1637-8863
7 Area VI Lemon Ave. S.D. Ph 1 - Lowa Aka Loma Ch. to Amwh
2OOD
DR 88-16
2346374865
B lAfea 11 Amolhvsl S.D.
5. -
Ph 1 • eb Ame1hysi aft Igh to Habland---
-----
DR 88-19
23.1637-8859
9 Area 11 Cameban Ave. S.D. Phase 1 • Vlvero to No Bas9Wna
2000 X
OR 86-20
234617-8862
10 Area V H#MWO Rd. S.D.
1000 ---
Absto Archibald
--
OR 8906
13-50300
11 Mea III Boar GWch S.D. - w/o Bahr e/0 SPRR to No FoothB
DR 89-07
234677-8917
12 Mea IV Archbald S.D.
Ph 1 G IIA r
112,000
DR 8946
23-1637-8948
13 Area IV Archbald S.D.
Ph 2 • wh SI. eb Archbald
DR 89-18
23-1637-8948
11 Area IV Archibald S.D.
-- - ---
Ph 3 - No Ilh SIrom b No 61h Sum
DR 6911
23-1637-8949
IS Ama VI Highlarml Ave. S.D.
2,000
- Lower Aha Loma Channel to Archbald
--
OR 89.12
23.1637-8950
16 lArea IX Haven S.D.
lFundqd w/ Strew
Ph. I - Deer Creek to No Church Si. ICI
I I —-
• Projews b ype (9091)
_
Proecl I
Accoum
N
Drainaoa __
ro I f nd Beau .
Dreinye AsseaCQW-R7DA
S slams Cart Gil fAU DislDRAINADEI.
C hal Im ovomenl Pro s
A. Continued or Pr sDR
M-01
23-4637-9761
11415000Ph 1 - BssbQ Chuch S1. 10 Hemmsa Ave.
DR 98-03
23-4637.9947
2 At" Y S.P.R.R. S.D.
310000
- o 1 "Cuc. Cn1ak Chanel
-- --
DR 88-04
23-3637-9960
3 Mw Y S..R.R. S.D.
Ph 2 - MW eb Creak Chalnei 10 Hagman
1,000
DR 88-M
3-4617- /
4 XII
- Wo pay Crank chm" to kape D Creek Bbd.
2,000 -- --
DR 89-11
22-4637.9749
6 Man 9 AmeM S.D. - e/a 9 w/o Amethyst on 11ld1 C
DR 88-12
22-4637-8745
6 Mw II ISM S1. S D- - w/o Ameehya 10 at, Holman JCJ—
DR 88-14
23-4637-6863
7 Man VI Lemon Ave. S.D. Ph 1 LowerAla Lorna Ch. to Amethysi
2000
DR 88-16
23-4617-8865
6 Area II AmWhWw S.D.
5000
Ph 1 - at Amethyst No 191h to Hiahlantl
- —
DR 88-19
23-4637-9859
9 Area II Carnelian Ave. S.D. Phase 1 - VberoMrWfoFomodMiiU
200,0
DR 88-20
23-4637-8862
/0 Was V HlYelde Rd. S.D.
1,000 -
PA AM Glomal o Md
- -
DR 80-06
/3-50300
11 Mw 9I Bow Gulch S.D. - w/o Baker sb SP150DR
99-07
23.4637-8917
12 Mea IV Arctd*W S.D.
2Ph
4 h S
DR B9.OB
23-4637-9943
13 Mw IV Mchbdd S.D.
2000
Ph 2 - 491 St. po Archbald
DR 89-18
23-4637-8a43
/4 Wea IV Archibald S.D.
2000
• No 41h to No Sth Strep
DR 89-11
23-4637-8949
15 Area VI Highland Ave. S.D.
2000
- Lower Ma Lama Channel to Archibald
DR 89-12
23-4637-8950
16 Mea IX Haven S.D.
Ph. 1 - Deer Creek to No Church SI. C
• P.ejeas a (8091) •
Frn
• Projects •ype (90Ig1)
rCMG
Ila IL
0
01
Fiscal Year 1990/91
• MASTER PLAN PROJECTS
I. A. CONTINUED Q&QN-G0rNG PROJECTS
1) Master Plan of Drainage
Cucamonga/Deer Day Creek Areas
Complete Study
2) City Wide Drainage Facilities Inventory
Complete Computer Digitizing of Inventory
3) City Wide Tree Inventory and Management Program
Complete Management Program
4) City Wide Street Facilities Inventory and Management Program
Complete Inventory and Management Program
5) City Wide Traffic Control Device Inventory and Management Program
Complete Management Program
6) Transportation and Traffic Long Range Studies, Models and Management
Programs and Fee Nexus Study
Complete Fee Study
I U ':til �l
0 No Projects Submitted
0
• ,. Projects & (90/91)
Gen Fund
_ Account
Pr eel 1 mFad
r ac i le
Total
or __—_ _ -
T Resery TDA An. B Measure I SO 110 TDA An. 3 203
MASTER PLAN
I.
ilal Im owmem Pro s
A.
Continued or On Projects'—
MP 89-03 23.1637-9795
1
Maslw Plan o1 - Cucamoma/DeerMav Creek Areae
97000
MP 9&01 23-1637-9152
2
lCily WWa Dradrimpe Facilities Inventory
2000
_
MP 841-05 21.1617-9779
3
CY snt program
2.000
-
MP 911,06 9-1637-9779
1
Chy Wide St. Fad41w lnvwftrV and Managemera Pr am
10000
10000
MP 9&07
S
City WWs Tralk CWMmW Deviom inwwdory and Mami Pr am
17000
17,000
MP WOO 12-1637-6821
6
TransPoilelion At Traffic Long Range Studies
15.000
15.000
Mubb arld mammasmours A Fee Nexus Mudy
Tolals:
133000
27000 15000
• Projeus A (90191) •
-
IMMI
INS
SUN
IMMI
0
7�
Fiscal Year 1990-91
Railroad Projects
Fiscal Year 1990/91
. RAILROAD PROJECTS
I. A. CONTINUED OR ON-GOING PROJECTS
1) Milliken Avenue at A.T.&S.F. R.R. Grade Separation and Street
Improvement
7th Street to Jersey boulevard
Complete Design, Complete RR and PUC
Processing and Begin Construction
2) Hellman Avenue at S.P. R.R. Crossing and Street Improvements
Complete Design and Complete RR and PUC
Processing
3) Haven Avenue at A.T.&S.F. R.R. Crossing Improvement
Complete Design and Complete RR and PUC
Processing
4) Foothill Boulevard at S.P. R.R. Grade Separation Improvement
Complete Design and Continue Caltrans, RR
and PUC Processing
MWMMMMM►1 ' :�
No Projects Submitted
•
0
Fiscal Year 1990-91.
Street Projects
• Fiscal Year 1990/91
STREET PROJECTS
I. A. CONTIM TED OR ON-GOING PROTECTS
1) 19th Street; Street and Storm Drain Improvement
Carnelian to west of Amethyst
Complete Caltrans Processing and Construction
2) 19th Street; Street Improvement
Archibald to west of Haven Avenue
Construction
3)
Amethyst Avenue; Street and Storm Drain Improvement
At 19th Street
Complete Construction Administration
4)
Baseline Road; Street Improvements
Phase 1 - Etiwanda to 1-15
Complete Construction
5)
Baseline Road; Street Improvements
Phase 2 - Victoria Park Lane to Edwanda Avenue
Complete Construction
6)
Baseline Road; Street Improvements
•
Phase 3 - East of Day Creek Channel to west of Victoria Park Lane
Complete Design and Acquire Right -of -Way
7)
Baseline Road and Milliken Avenue Reimbursement
Central Park Frontage
Reimburse Developer
8)
Arrow Route; Street Improvements
Phase 2 - Southside Archibald to Hermosa
Complete Construction Administration
9)
Arrow Roux; Street, Storm Drain and Signal Improve;mrt
Grove to Baker ,
Complete Design
10)
Cucamonga Creek Bridge Widening
At Arrow Roux
Complete Design, Complete Caltrans and SBCFD
Processing and Construction
11)
Church Street Street Improvement
Archibald to Haven
Complete Design and Acquire Right -of -Way
12)
Foothill Boulevard at I-15 Interchange Improvements
•
Complete Design, Complete Caltrans Project
Processing Begin
and Construction
•
13)
19th Street, Highland Avenue and Haven Avenue; Street and Storm Drain
Improvements
Phase 2 - Haven and Highland Improvements
Complete Design and Complete Caltrans
Processing
14)
Sierra Madre avenue and Placida Court; Street Improvements
Arrow Route to Via Carrillo
Complete Construction Administration
15)
Amethyst Avenue; Street Improvements
North of 19th Street (at Fie Station) to north of Highland Avenue
Complete Construction
16)
Wilson Avenue; Street Improvement
Amethyst to Archibald
Complete Design
17)
Archibald Avenue; Street Improvement
South of Banyan to Hillside
Complete Design
18)
Arnow route; Street Improvement
East of Hermosa to Haven
Complete Construction
•
19)
Banyan; Street Improvements
Eastwood to Hellman
Complete Design and Construction
20)
Foothill Implementation Program - Phase 1
Complete Caltrans Project Report Processing
21)
Foothill Boulevard Implementation
Phase 1 (east) - S.P. R.R. to Lion
Design, Acquire Right-of-Way and Begin Caltrans
Project Permit Processing
Phase 1 (west) - Grove to S.P. R.R.
Design, Acquire Right-of-Way and Begin Caltrans
Project Permit Processing
22)
Highland Avenue; Street Improvements
Hermosa to Mayberry
Complete Construction
23)
Salina/Viamar; Street Improvements
Calaveras to Sierra Madre
Complete Design and Construction
24)
Sierra Madre; Street Improvements
Arrow Route to 9th Street
Complete Design and Construction
25) Banyan Street Bridge
At Deer Creek west of Milliken
Reimburse Developer
I. B. NEW PROMCTS
1) Rochester Avenue Street Improvement
Victoria Park Lane to Lark Drive (north of future High School)
Design
•M: u:l►r1 : % ciffolellrlu1 PUZ(ON14-1011111
1) Hillside Road; Street Rehabilitation and Improvement
Hermosa to Mayberry
Complete Construction Administration
2) Haven Avenue Rehabilitation and Widening
4th Street to south of Foothill Boulevard
Complete Design, Complete Caltrans Processing
and Begin Construction
3) Camelian Avenue and Vineyard Avenue Rehabilitation and Widening San
Bernardino Road to Baseline Road
Complete Design
. 4) Haven Avenue; Street, Signal and Storm Drain Improvements
Phase 1 - South of Foothill Boulevard to north of Church Street
Complete Design, Complete Caltrans and SBCFD
Processing and Begin Staged Construction
II. B. CAPITAL MA NANCF - N. PRMCTR
1) Bicycle/PedestrianProgram
Handicap Access Ramps - Northwest quadrant of City north of
Baseline and west of Archibald)
Design and Construction ,
2) Bicycle/Pedestrian Program
Sidewalks adjacent to Ion Tapia Park
Design and Construction
3) City Wide Sidewalk/Curb and Gutter - 1911 Chapter 27 Improvement
Program
Design and Construction
4) City Wide Local Street Rehab. and Maintenance Program (Fy 1990/91)
Design and Construction
5) Haven Avenue; Street, Signal and Storm Drain Improvements
Phase 2 - North of Church Street to north of Baseline Road
Design and Begin Staged Construction
III. A. DEVELOPER CONTTNLrED OR ON-GOING PROJECTS
1) Wilson Street Bridge
Deer Creek west of Milliken
2) Highland Avenue Bridge
Deer Creek west of Milliken
3) 24th Street; Street and Culvert Improvements
San Sevaine Creek
4) Wardman-Bullock road; Street and Culvert Improvements
San Sevaine Creek
11
•
• Projecu b(pp/Ol) 0
Aeoounl
Gen Fund
Pioiw I
--
T
or .-...--_-_ _ ..
Pe m TDA AM S Measure I
._ _ " --
FW
SB Ib TDA An 3
STNEEf
ICIPhal Imimoveamm Pro' f
-A:CMnkkred a CMjWM rfoMs
----- -
_-- _
ST 6592
22-1637-&715
1 1Nn Crrw4an b wro Amsihvm
935 ODD
--
---- - ----
120 000
Si 6&03
22- ?-&744
ArdtbM b w/o Haven
475000
ST 6506
7- 71Immomm
Ift
_66000
-
--
ST 66-06
22-Mi37.&73o
t8mmelrA
Phw b HS
10000
1 500
ST 6&-07
22-I677-8731
Pk. ln. b EOwaMe
10000
1500
ST eSDe
22-1637-07
Rd., S1.
phe 3 • eb ek CreC& b W/OVkkrla Park Lam
165000
x
-
ST 8506
22-1637-B&11
7 BaeeBM Rd. 8110 Mdlken Avg. Rgkgmuso," - Park FWdam
30000
--- ----
ST S&12
22-4637-8736
& lAffow {88.: SI. kM. SIS PAaw 2 - MddnaW b Hemma
2000
— 300 ---_-- ----
ST 8&13
22-4637-8736
8 Arrow RN.' SI. S.D. 8wwwoven WON -Grow 10 Baker
2000
ST 68-11
22-4& -
21-4637.8776
MR C400k Ukidw
361 000
----- ----
ST 6&17
22.4637-8763
11 CMreh S1.& Si. - Ardkb&W to Haven
71 000
ST 88-23
/3.50200
13.51
12 Foolhul BIW. {ne. 681416 W "Off"s
3187000
--- ___
ST 8&26
12-1637-&633
13 101h SI. Ave & Hawn Ave. • Si. A S.D. bwowmay -
--
Phl
Phu -Hewn
6
s 000
S 27
ST 8&31
12.1637•&806
16 AmoMthwo Avo.m S1. km. - No 1Nn Srabn b N0
10000
10000
ST W33
12.4637-&808
16 w&m ve.0 Sl. M& Aaeul p ArehlbeN
2
2000
-
ST 8&31
12-4637-8901
b Hiftift
000
2000
ST M37
22.1637-8868
18 Mow T1b: S1. knorovwnm - elo Haaraea l0 Hawn
5000
750
ST 8&02
12-1637-
1 Ban m:
19 000
- -
••
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Ell
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Fiscal Year 1990-91.
Traffic Projects
Fiscal Year 1990/91
TRAFFIC PROJECTS
I. A.
CONTrNriFD OR ON-CntNr nnnj]ECT',
1)
Signal - 19th Street at Beryl
Complete Caltrans Processing and Construction
2)
Signal - 19th Street at Hellman
Complete Caltrans Processing and Construction
3)
Signal - Baseline at Etiwanda
Complete Construction
4)
Signal - Baseline at Victoria Park Lane
Complete Construction
5)
Signal and Intersection Improvements
Foothill at Rochester
Complete Caltrans Processing and Construction
6)
Signal - Baseline at Ramona
Complete Construction Administration
7)
Signal - Baseline at Valencia
Complete Construction Administration
. 8)
Signal - 19th at Hermosa
Complete Design
and Complete Caltrans
Processing
9)
Upgrade Signal - Arrow at Archibald
Complete Construction Administration
10)
Signal - Arrow at Hermosa
Complete Construction Administration
11)
Signal - Haven at Victoria Street
Complete Construction Administrat',on
12)
Upgrade Signal - Foothill at I-15
Complete Design, Complete Caltrans Project
Processing and Begin Construction
13)
Signal - Foothill at Ramona
Complete Design
14)
Signal Coordination - Haven Avenue
Complete Coordination
15)
Signal - Archibald at Lemon
Complete Construction Administration
16)
Signal - Haven at 7th Street
Complete Construction Administration
17)
Signal Coordination - Archibald
Complete Coordination
18)
Signal - Archibald at San Bernardino Road
Complete Design and Construction
19)
Signal - Archibald at 8th Street
Complete SFRR Processing and Construction
20)
Upgrade Signal - Arrow at Vineyard
Construction
21)
Upgrade Signal - Foothill at Vineyard
Design and Begin Caltrans Project Permit Process
22)
Signal - Foothill at Baker
Design and Begin Caltrans Project Permit Process
23)
Upgrade Signal - Foothill at San Bernardino Road
Design and Begin Caltrans Project Permit Process
24)
Upgrade Signal - Foothill at Grove
Design and Begin Caltrans Project Permit Process
25)
Intersection Improvements and Upgrade Signal - Foothill at Haven
Complete Design, Complete Caltrans Processing
and Construction
26)
Signal - Hellman at San Bernardino Road
Complete Design and Construction
27)
Signal - Highland at Lemon
Includes San Mateo connector Street south of Highland
Complete Design, Complete Caltrans Processing
and Construction
28)
Signal - Spruce at Terra Vista Parkway
Construction
29)
Signal - 19th at Sapphire
Construction
30)
Signal Coordination - Vineyard/Camelian
Complete Design and Coordination
31)
Signal Coordination - Foothill Boulevard
Complete Design and Coordination
32)
Signal Relocation - Foothill at Red Hill Country Club Drive
Design and Begin Caltrans Project Permit Process
I. B. NEW PROJECTS
1) Signal - Hellman at Church
Design and Construction
2) Signal - Hermosa at Church
Design
3) Uniform Traffic Control Fiscal Year 90191
Major and Collector Streets
Study, Design and Construction
4) Traffic Signal Timing and Interconnection Program
Study, Design and Construction
III. A. DEVELOPER O TED OR ON-GOING PROTECTS
1) Signal - Foothill at Milliken
2) Signal - Foothill at Spruce
3) Signal - Foothill at Aspen
4) Signal - Spruce at Town Center
5) Signal - Haven at Town Center
40
1
Projects Lots 49"l) a
11
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Reimbursements/CCWD
064637
•
•
REGULAR PAYROLL
0
BUDGET PROJECTION WORKSHEET
10/22/90 CITY OF RANCHO CUCAMONGA
3,814
17,270
(ACTUALS TO 12/31/89)
67,897
67,897
79,679
6 4637
1200
DEPT COUNCIL
0
1,492
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST CITY APPROVED
155
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91 NOR 1990/91
0
REIMBURSMENTS/CCND --- ENGINEERING ADMIN
6 4637
1100
REGULAR PAYROLL
0
56,576
63,562
3,814
17,270
67,316
67,897
67,897
79,679
6 4637
1200
OVERTIME PAYROLL
0
1,492
0
0
155
0
0
0
0
6 1637
1900
FRINGE BENEFITS
0
20,277
22,247
0
22,247
22,247
23,764
23,764
27,888
6 0537
3900
MAINT 6 OPERATIONS
0
0
45,900
45,900
6 4537
3931
VEHICLE MAINT
0
0
20,552
20,552
DEPARTMENT TOTAL
0
78,345
85,809
3,814
39,682
89,623
91,661
158,113
174,019
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: CCWD
Maintenance
Position
Classification
Emp.
Position
Quota Aoorooriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Public Works Maint. Manager
101
9000
0'/0
0'/o
01%
0
0
Parks/Landscape Maint Spvsr
102
307
0%
0'/o
01/
0
0
Street/Storm Drn Maint Supt
103
8112
0'/0
0'/0
0'/0
0
0
Fleet Maint Supervisor
104
6353
0'/0
0'/0
O1%
0
0
Management Analyst 1
105
7957
0'/0
0'/0
O.
0
0
Secretary
106
220
0'/0
0'/0
0/0
0
0
Management Aide
107
3438
01/0
00
01%
0
0
Office Specialist II
162
8251
0'/0
0'/0
0'/0
0
0
Mai nt. Sup r.Streets
108
6875
0'/0
0'/0
0'/0
0
0
Maint.Supr.Parks: East
109
2494
0%
0'/0
ly/0
0
0
Mai nt.Supr.Parks: Cont.
110
2681
0y/0
0'/0
0y/0
0
0
Mai nt.Supr.Parks: Tree
111
4625
0y/0
0,/0
0%
0
0
Mai nt.Supr.Streets
112
5889
01/0
01/0
0y/0
0
0
Maint. Supr.Parks: West
157
8425
0y/0
0'/0
0y/0
0
0
Equipment Operator (Sweeper)
148
5025
01/0
0'/0
0%
0
0
Equipment Operator (Sweeper)
150
5200
0y/0
0y/0
0y/0
0
0
Equipment Operator (Sweeper)
151
6928
0%
0.
0y/0
0
0
Equipment Operator (Sweeper)
149
6992
0y/0
0%
0%
0
0
Equipment Operator (Sweeper)
152
7925
0y/
00
0/0
0
0
Lead Maint.Worker: St.
191
150
0y/0
44%
440/6
12,920
15,159
Lead Mechanic: IGS
192
159
07/0
0%
0y/0
0
0
Lead Maint. Worker: Red Hill
114
163
0y/0
a,/0
0y/0
0
0
Lead Maint. Worker: City Wide
115
1100
0y/0
0%
00/0
0
0
Lead Maint.Worker: St.
116
2319
0y/0
0'y0
0y/0
0
0
Lead Maint. Worker: Pks East
121
2714
01%
0y/0
01/6
0
0
Lead Maint. Worker: Pks. East
123
3185
0%
0y/0
0'/0
0
0
Lead Maint. Worker: Pks. West
158
5051
0y/0
01/0
0%
0
0
Lead Maint. Worker:St.
160
5561
0y/0
OY0
0y/0
0
0
Lead Maint. Worker:St.
161
6782
0y/0
42%
420/6
10,891
12,902
Lead Maint.Worker :Trees
113
7121
01/0
0y/0
0y/0
0
0
Lead Maint.Worker: Pks . West
163
8032
0y/0
(F/0
0y/0
0
0
Lead Maint.Worker: Heritage"
119
2313
0y/0
01/0
0y/0
0
0
Lead Maint. Worker: Parks/Trail'
159
5569
01/0
17/0
0y/
0
0
Sr.Maint.Worker: St.
120
1138
01/0
0y/0
0y/0
0
0
Sr. Maint. Worker: Irr. C.W.
117
1600
01%
0y/0
Oy/0
0
0
Sr. Maint. Worker: Irr. West
122
2819
01/
0y/0
01/0
0
0
Sr.Maint.Worker: Civic Center
189
5623
0y/0
0y/0
0y/0
0
0
Sr.Maint.Worker: St.
118
5857
0y/0
ff/0
0y/0
0
0
Maint.Worker: Pks. East
126
132
0%
0y/
O%
0
0
Maint.Worker: Trails/City Wide
127
507
0y/
0'/0
0%
0
0
Maint.Worker: Pks. Irr. West
177
565
0y/0
0y/0
0y/0
0
0
Maint.Worker: St.
140
644
0'/0
0%
0%
0
0
Maint.Worker :St.
124
813
0y/0
01%
01/
0
0
Maint.Worker :St.
137
619
100%
46%
460/
10,013
12,105
Maint.Worker: Pks. Red Hill
174
832
0%
01%
0y/0
0
0
Maint.Worker: St.
131
873
0y/0
(y/0
0y/0
0
0
Maint.Worker: Pks. West
141
1048
0%
0y/0
0y)
0
0
Maint.Worker Pks: East
134
1088
0y/0
0.
0y/0
0
0
Maint.Worker:St.
1 173
1291
0y/0 I
0y/0
0%.
0
0
•
•
•
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: CCWD
Maintenance
Position
Classification
Enp.
Position
Quota AoDrooriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Maint.Worker Pks: West
132
1310
0'/0
0'/0
0'/0
0
0
Maint.Worker: Trees
136
1844
0'/0
a,/0
17%
0
0
Maint. Worker:St.
1971915
0'/0
0'/0
0'/0
0
0
Maint.Worker :St.
129
2143
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: East
138
2740
O/0
0'/0
0'/0
0
0
Maint.Worker: Fac. Citywide
139
3203
0'/0
OP/
0'/0
0
0
Maint.Worker Pks: Heritage
135
4262
0'/0
0'/0
0'/0
0
0
Maint.Worker :St.
145
4962
0'/0
0'/0
0'/0
0
0
Maint.Worker: St.
169
5055
IN.
480/6
480/0
9,942
11,434
Maint.Worker: St.
166
5091
1000/6
480/6
480/
9,832
13,409
Maint.Worker: Pks. Irr. Crew
175
5561
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. East
146
5563
0'/0
0'/0
0'/0
0
0
Maint. Worker: St.
196
5824
0'/0
0'/0
O%
0
0
Maint.Worker: Trees
167
5863
0'/0
1%
0'/
0
0
Maint.Worker :St.
142
6009
01/0
0'/0
00/0
0
0
Maint.Worker: Pks. West
222
6045
00/0
a%
0'/0
0
0
Maint.Worker :St.
133
6181
0'/0
01/0
0'/0
0
0
Maint.Worker: St.
1256740
0'/0
0'/0
00%
0
0
Maint.Worker: Pks. Red Hill
170
6744
01/0
a%
O/0
0
0
Maint.Worker: Pks. West
171
6773
0'/0
0/0
1%
0
0
Maint.Worker: Pks. West
143
7397
17/0
Gy*
01%
0
0
Maint.Worker: Pks. West
184
7638
0'/0
0%
01/6
0
0
Maint.Worker: Pks. Red Hill
128
8151
O/0
00
0'/0
0
0
Maint.Worker :St.
130
8677
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. Fac. Crew
183
8681
00/
O/
03/
0
0
Maint.Worker: Pks. East
144
Vacant
0'/0
Q/0
M/0
0
0
Maint.Worker: Pks. East
147
Vacant
CP/0
OY0
0'/0
0
0
Maint.Worker: St.
165
Vacant
1000/6
48%
480/6
10,454
10,875
Seasonal M. Tech: City Wide
153
Vacant
03/0
O/0
0'/0
0
2,047
Seasonal M. Tech: City Wide
154
Vacant
01/
O/0
0'/0
0
0
Seasonal M. Tech: City Wide
155
Vacant
0'/0
O1/
a%
0
0
Seasonal M. Tech: City Wide
156
Vacant
01/6
O/0
03/0
0
0
Seasonal M. Tech: Citywide
199
Vacant
0'/0
O/0
01/
0
0
Seasonal M. Tech: Citywide
200
Vacant
03/0
O/0
a%
0
0
Mechanic
179
3036
03/0
O/0
03/0
0
0
Mechanic
180
5883
O/0
O/0
O/0
0
0
Mechanics Assistant
181
Vacant
O/0
Oy0
O/0
0
0
Inventory Spec Equip Mtrls
182
5994
O/0
01%
01/0
0
0
Signal & Lighting Tech
201
Vacant
O/0
O/0
01/0
0
0
Supervisor Parks City Wide
186
Proposed
O/0
N/R
0
N/R
Supervisor Streets
187
Proposed
01%
O/0
0
0
Office Assistant
202
Proposed
O/0
N/R
0
N/R
Equipment Operator (Sweeper)
204
Proposed
O/0
01/0
0
0
Equipment Operator
206
Proposed
-
01%
N/R
0
N/R
Equipment Operator
207
Proposed
-
O/0
01/0
0
0
Lead Maint.Worker: St.
190
Proposed
-
01/0
N/R
0
N/R
Lead Maint Worker:St.
235
Proposed
-
O/0
-
0
Lead Maint. Worker: Trail C.W.
224
Proposed
-
N/R
N/R
Lead Worker: Pks. Irr. C.W.
225
Proposed
-
N/R
-
N/R
Lead Worker: Pks .GF LMD Cont.
226
Proposed
-
N/R
N/R
Lead Worker: Pks. LMD Contract
227
Proposed
-
N/R
N/R
Lead Mechanic
228
Proposed
O/0
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: CCWD
Maintenance
•
•
Position
Classification
Emp.
Position
Quota Aonrooriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Sr. Maint. Worker: Pks. Beryl
188
Proposed
01%
N/R
0
N/R
Sr. Maint. Worker: Pks. West
198
Proposed
01%
0
0
Sr. Maint. Worker: Pks. Mow
229
Proposed
N/R
N/R
Sr. Maint. Worker: Pks. Fac. West
164
Proposed
a%
N/R
0
N/R
Sr. Maint. Worker: Pks. Fac. East
172
Proposed
13%
N/R
0
N/R
Sr. Maint. Worker: Pks. Irr. East
176
Proposed
0'/0
N/R
0
N/R
Sr. Maint. Worker: Pks.Low Crew
178
Proposed
011%
N/R
0
N/R
Sr. Maint. Worker: St.
185
Proposed
-
N/R
N/R
Maint. Worker :Pks. West
193
Proposed
01/0
01/0
0
0
Maint. Worker : Pks. West
194
Proposed
01//
01/0
0
0
Maint. Worker : Pks. Civic
195
Proposed
01/0
N/R
0
N/R
Maint. Worker : St.
231
Proposed
-
N/R
N/R
Maint. Worker : Pks. East
208
Proposed
0'/0
0'/0
0
0
Maint. Worker : Pks. East
209
Proposed
01/0
0y/0
0
0
Maint. Worker : Pks. West
210
Proposed
-
01/0
01/0
0
0
Maint. Worker : Sts.
219
Proposed
01/0
N/R
0
N/R
Maint. Worker : Pks. Mow
212
Proposed
01/0
N/R
0
N/R
Maint. Worker St.
216
Proposed
01/0
N/R
0
N/R
Maint. Worker: Pks. Beryl
214
Proposed
01/0
N/R
0
N/R
Maint. Worker : Pks. Fac. East
215
Proposed
01/0
N/R
0
N/R
Maint. Worker : Pks. Fac. West
218
Proposed
01/0
0'/0
0
0
Maint. Worker Pks. Trail LMD
217
Proposed
-
01/0
01/0
0
0
Maint. Worker : Pks. Irr. East
213
Proposed
01/0
N/R
0
N/R
Maint. Worker : Pks. Low Crew
211
Proposed
01/0
N/R
0
N/R
Maint. Worker Pks. Low Crew
237
Proposed
-
-
N/R
-
N/R
Maint. Worker Pks. Heritage
232
Proposed
N/R
N/R
Maint. Worker Pks.Heritage
233
Proposed
N/R
N/R
Maint. Worker : Pks. Trail LMD
236
Proposed
N/R
-
N/R
Maint. Worker St.
205
Proposed
N/R
N/R
Mechanic
220
Proposed
01/0
0%
0
0
Mechanics Asst.
221
Proposed
01/0
01h
0
0
Subtotal
64,052
75,884
Merit Contingency:
3,203
3,794
Subtotal:
67,255
79,679
Fringe Benefits
23,539
27,888
Subtotal:
90,794
107,566
Part-time
0
2,047
Subtotal:
90,794
109,613
Merit Contingency:
0
102
TOTAL:
90,794
109,715
'Proposed New Position
"Proposed reclassification of Existing
Position from Sr. M.W. to Lead M.W.
N/R 89 Not
Recommended
FY 89/90
N/R 90 Not
Recommended
FY 90/91
' COST CEMER DEARKSHEET 199097 •
Revised
Reimbursements/CalTrans
074647
0
BUDGET PROJECTION WORM EET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
REIMBURSEMENTS/CALTRAMS --- MAINTENANCE
7 4661 1100 REGULAR PAYROLL
7 4667 1900 FRINGE BENEFITS
7 6667 3900 MAINTENANCE 6 OPERATIONS
7 6647 3931 VEHICLE MAINT. 6 OPERATIONS
7 4667 3932 EQUIP MAINT / OPER
DEPARTMENT TOTAL
r
rn
0 •
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
0 2,823
6,668
200
1,856
0 1,785
1,636
0
1,636
0 0
0
0
0
0 0
0
0
0
0 4,608
6,302
280
3,480
6,988
5,398
53,111
58,890
1,634
1,889
16,706
20,612
68,052
68,052
0
0
28,325
28,325
0
0
10,065
10,065
6,582 7,207 178,575 185,926
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: Caltrans
Maintenance
is
0
Position
Classification
Emp.
Position
Quota Approoriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Public Works Maint. Manager
101
9000
0'/0
0'/0
0'/0
0
0
Parks/Landscape Maint Spvsr
102
307
M/o
0'/0
0'/0
0
0
Street/Storm Drn Maint Supt
103
8112
0'/0
0'/0
0'/a
0
0
Fleet Maint Supervisor
104
6353
0'/0
0'/0
0'/0
0
0
Management Analyst 1
105
7957
01/o
0'/0
0'/0
0
0
Secretary
106
220
0'/0
0'/
0'/0
0
0
Management Aide
107
3438
0'/0
0'/0
0'/0
0
0
Office Specialist II
162
8251
01/0
0'/o
01/o
0
0
Mai nt. Sup r.Streets
108
6875
V.
8'/o
0.
2,087
2,400
Maint. Supr.Parks: East
109
2494
01/0
01%
01%
0
0
Mai nt. Supr.Parks: Cont.
110
2681
0'/0
0'/6
01/o
0
0
Mai nt.Supr.Parks: Tree
111
4625
0%
0'/0
0'/0
0
0
Mai nt.Supr.Streets
112
5889
0'/0
0'/0
0'/0
0
0
Maint. Supr.Parks: West
157
8425
0'/0
0'/0
0'/0
0
0
Equipment Operator (Sweeper)
148
5025
01/0
0%
01/0
0
0
Equipment Operator (Sweeper)
150
5200
0'/0
01%
0'/0
0
0
Equipment Operator (Sweeper)
151
819
121%
121%
12%
3,005
3,004
Equipment Operator (Sweeper)
149
6992
0'/0
0'/0
12%
0
3,385
Equipment Operator (Sweeper)
152
7925
0'/0
0'h
0'/0
0
0
Lead Maint.Worker: St.
191
150
(F/,
0'k
120%
0
4,134
Lead Mechanic: IGS
192
159
0'/0
0'k
0'/0
0
0
Lead Maint. Worker: Red Hill
114
163
01/0
01k
01/0
0
0
Lead Maint. Worker: City Wide
115
1100
0'/0
014
0'/0
0
0
Lead Maint.Worker: St.
116
2319
01/0
0'k
0'/0
0
0
Lead Maint. Worker: Pks East
121
2714
01/o
0'k
0'/0
0
0
Lead Maint. Worker: Pks. East
123
3185
01/0
01k
0'/0
0
0
Lead Maint. Worker: Pks. West
158
5051
0%
0%
0'/a
0
0
Lead Maint. Worker:St.
160
5561
0'/0
0%
0%
0
0
Lead Maint. Worker:St.
161
6782
0'/0
0'/0
125/6
0
3,686
Lead Maint.Worker :Trees
113
7121
0'/0
0'/0
0'/0
0
0
Lead Maint.Worker: Pks . West
163
8032
0'/0
0'/o
01
0
0
Lead Maint.Worker: Heritage"
119
2313
01%
0'/0
0'/0
0
0
Lead Maint. Worker: Parks/Trail'
159
5569
0'/0
0%
01%
0
0
Sr.Maint.Worker: St.
120
1138
01/0
0'/0
12'/e
0
3,221
Sr. Maint. Worker: Irr. C.W.
117
1600
01/0
0%
0'/0
0
0
Sr. Maint. Worker: Irr. West
122
2819
M/0
0'k
0'/0
0
0
Sr.Maint.Worker: Civic Center
189
5823
0%
01k
0%
0
0
Sr. Maint.Worker: St.
118
5857
1%
(7/0
121/0
0
3,221
Maint.Worker: Pks. East
126
132
1?%
0%
0'/0
0
0
Maint.Worker: Trails/City Wide
127
507
01/0
0'/0
0'/0
0
0
Maint.Worker: Pks. Irr. West
177
832
0'/0
0'/0
0%
0
0
Maint.Worker: St.
140
644
0'/0
M/0
120/
0
3,050
Maint.Worker :St.
124
5824
0'/0
0'/0
0'/0
0
0
Maint.Worker :St.
137
2143
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. Red Hill
174
565
0'/0
O%
120%
0
3,004
Maint.Worker: St.
131
873
0'/0
01/0
a%
0
0
Maint.Worker: Pks. West
141
1048
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: East
134
1088
0%
01/0
01/0
0
0
Maint.Worker:St.
173
1915
01/0
01/0
a%
0
0
Maint.Worker Pks: West
132
6045
01/0
01/0
01/0
0
0
Maint.Worker: Trees
136
1844
01/0
01/0
0%
0
0
Maint. Worker:St.
197
vacant
01k
11/0
01/0
0
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: Caltrans
Maintenance
•
Position
Classification
Enp.
Position
Quota ADDrODriations
Current
Dept.
Mgr.Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Maint.Worker :St.
129
813
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: East
138
2740
0'/0
0'/0
0'/0
0
0
Maint.Worker: Fac. Citywide
139
3203
01/
01/
01/0
0
0
Maint.Worker Pks: Heritage
135
4262
0'/0
a,/0
0'/,
0
0
Maint.Worker :St.
145
4962
01%
1Y/0
0'/0
0
0
Maint.Worker: St.
169
5055
0'/0
0'/0
120/
0
2,858
Maint.Worker: St.
166
6928
1Y/0
0'�
120/6
0
3,352
Maint.Worker: Pks. Irr. Crew
175
5388
0I/,
0'/0
0'/0
0
0
Maint.Worker: Pks. East
146
5563
0'/0
0'/0
0'/<
0
0
Maint. Worker: St.
196
5091
0'/0
0'/
(r/0
0
0
Maint.Worker: Trees
167
5863
0'/0
00
0'/0
0
0
Maint.Worker :St.
142
6009
01/0
a,/0
0'/0
0
0
Maint.Worker: Pks. West
222
1310
0'/0
0'/0
01%
0
0
Maint.Worker :St.
133
8677
01/0
(P/0
120/0
0
2,830
Maint.Worker: St.
125
vacant
0'/0
0'h
0'/
0
0
Maint.Worker: Pks. Red Hilt
170
vacant
0'/0
0'/
0'/
0
0
Maint.Worker: Pks. West
171
6773
0'/0
17/0
01/0
0
0
Maint.Worker: Pks. West
143
7397
01/0
01/0
01/0
0
0
Maint.Worker: Pks. West
184
7638
01/0
01/0
01/0
0
0
Maint.Worker: Pks. Red Hill
128
8151
01/0
01/0
01/0
0
0
Maint.Worker :St.
130
6181
01/0
01/
01/0
0
0
Maint.Worker: Pks. Fac. Crew
183
8681
01/0
01/0
01/0
0
0
Maint.Worker: Pks. East
144
6740
01/0
01/0
01/0
0
0
Maint.Worker: Pks. East
147
514
01%
01/0
01/0
0
0
Maint.Worker: St.
165
2845
01/0
01/
011/0
0
0
Seasonal M. Tech: City Wide
153
2071
01/0
01/0
01/0
0
0
Seasonal M. Tech: City Wide
154
4610
01/0
(P/0
01/0
0
0
Seasonal M. Tech: City Wide
155
5076
tP/0
a%
01/0
0
0
Seasonal M. Tech: City Wide
156
5562
01/0
01/0
01/0
0
0
Seasonal M. Tech: Citywide
199
6660
01/0
01/0
01/0
0
0
Seasonal M. Tech: Citywide
200
Vacant
01/0
01/0
01/0
0
0
Mechanic
179
3036
01/0
ON
00
0
0
Mechanic
180
5883
01/0
Ov/0
01/0
0
0
Mechanics Assistant
181
1305
0Y/0
a%
01/0
0
0
Inventory Spec Equip Mtrls
182
5994
01/0
01/0
01/0
0
0
Signal & Lighting Tech
201
2562
01/
0/,
01/
0
0
Supervisor Parks City Wide
186
Proposed
-
0/
N/R
0
N/R
Supervisor Streets
187
Proposed
-
01/0
401/0
0
10,613
Office Assistant
202
Proposed
-
070
N/R
0
N/R
Equipment Operator (Sweeper)
204
Proposed
-
01/0
01/0
0
0
Equipment Operator
206
Proposed
-
01/0
N/R
0
N/R
Equipment Operator
207
Proposed
-
I
OY/0
0
0
Lead Maint.Worker: St.
190
Proposed
0/0
N/R
0
N/R
Lead Maint Worker:St.
235
Proposed
300/0
7,326
Lead Maint. Worker: Trail C.W.
224
Proposed
N/R
-
N/R
Lead Worker: Pks. Irr. C.W.
225
Proposed
N/R
-
N/R
Lead Worker: Pks .GF LMD Cont.
226
Proposed
N/R
N/R
Lead Worker: Pks. LMD Contract
227
Proposed
-
N/R
-
N/R
Lead Mechanic
228
Proposed
-
-
01/
-
0
Sr. Maint. Worker: Pks. Beryl
188
Proposed
-
01/0
N/R
0
N/R
Sr. Maint. Worker: Pks. West
198
Proposed
-
01/0
-
0
0
Sr. Maint. Worker: Pks. Mow
229
Pro osed
N/R
-
N/R
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: Caltrans
Maintenance
•
•
Position
Classification
Emp.
Position Quota A ro riations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Sr. Maint. Worker: Pks. Fac. West
164
Proposed
0'/o
N/R
0
N/R
Sr. Maint. Worker: Pks. Fac. East
172
Proposed
0'/o
N/R
0
N/R
Sr. Maint. Worker: Pks. Irr. East
176
Proposed
0'/o
N/R
0
N/R
Sr. Maint. Worker: Pks.Low Crew
178
Proposed
(1'/o
N/R
0
N/R
Sr. Maint. Worker: St.
185
Proposed
-
N/R
N/R
Maint. Worker :Pks. West
193
Proposed
-
0'k
0'/0
0
0
Maint. Worker : Pks. West
194
Proposed
-
0'/0
0'/6
0
0
Maint. Worker Pks. Civic
195
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker St.
231
Proposed
N/R
N/R
Maint. Worker Pks. East
208
Proposed
-
0'/0
0'/6
0
0
Maint. Worker Pks. East
209
Proposed
0'/0
0'/,
0
0
Maint. Worker : Pks. West
210
Proposed
0'/o
0%
0
0
Maint. Worker Sts.
219
Proposed
0'/,
N/R
0
N/R
Maint. Worker : Pks. Mow
212
Proposed
(/o
N/R
0
N/R
Maint. Worker : St.
216
Proposed
D'/,
N/R
0
N/R
Maint. Worker: Pks. Beryl
214
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker : Pks. Fac. East
215
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker : Pks. Fac. West
218
Proposed
-
01/o
Or/,
0
0
Maint. Worker Pks. Trail LIVID
217
Proposed
-
0'/o
Or/,
0
0
Maint. Worker Pks. Irr. East
213
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker : Pks. Low Crew
211
Proposed
0'/o
N/R
0
N/R
Maint. Worker : Pks. Low Crew
237
Proposed
-
N/R
-
N/R
Maint. Worker Pks. Heritage
232
Proposed
-
-
N/R
-
N/R
Maint. Worker Pks.Heritage
233
Proposed
-
-
N/R
-
N/R
Maint. Worker : Pks. Trail LIVID
236
Proposed
-
-
N/R
-
N/R
Maint. Worker St.
205
Proposed
-
-
N/R
N/R
Mechanic
220
Proposed
0'/o
OYe
0
0
Mechanics Asst.
221
Proposed
01/
01/o
0
0
Subtotal
5,092
56,086
Merit Contingency:
255
2,804
Subtotal:
5,347
58,890
Fringe Benefits
1,871
20,612
Subtotal:
7,218
79,502
Part-time
0
0
Subtotal:
7,218
79,502
Merit Contingency:
0
TOTAL:
7,218
0
79,502
'Proposed New Position
"Proposed reclassification of Existing
Position from Sr. M.W. to Lead M.W.
N/R 89 Not
Recommended
FY 89/90
N/R 90 Not
Recommended
FY 90/91
COST CENTER DETAIWRKSHEET 1990191
0
DepartmenUDivislon: Program:
Enaineerina CALTRANS AGREEMENT
Account Number:
FUND7
Department
Proposed
City Mgr.
Proposed
Revised
Obiect No.
I Description of Items 8 Individual Dollar Amounts
Bud et
1100
Re ular Payroll'
4831
4831
58690
120D
Overtime Payroll
0
0
0
1300
Pert -time Payroll
0
0
0
1900
Benefits 8 35%'
1691
1691
20612
—Fringe
3900
Maintenance and Operations*
68052
• 3931
Vehicle Maintenance'
28325
3932
Equipment Maintenance and Operations'
10045
'These numbers Contin ant upon approval of Caltrans Maintenance Agreement. Currently Caltrans
is reimbursing the city a maximum of $6,300. per year.
TOTAL:
185924
Reimbursements/Co. San Bdno.
0&4647
a
BUDGET PROJECTION MOR65HEET
(ACTUALS TO 12/31/89)
ACCOUNT
REIMBURSEMENTS/CITY OF SB ---MAINTENANCE
0 is
10/22/90 CITY OF RANCHO CUCAMONGA
0 4611 1100 REGULAR PAYROLL
8 4667 1900 FRINGE BENEFITS
0 4647 3931 VEHICLE PAINT.& OPERATIONS
0 6647 6028 CONTRACT SERVICES
DEPARTMENT TOTAL
un
.J
DEPT COUNCIL
87-80 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL 1990/91 MGR 1990/91
0 8,849
3,298
0 2,211
1,151
0 0
970
0 47,625
55,900
0 58,686 61,322
198
1,712
3,496
0
1,154
1,154
0
0
970
0
7,681
55,900
198 10,546 61,520
5,667
2,076
2,559
1,976
727
896
0
1,200
1,200
0
60,000
60,000
7,623 66,003 64,655
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Flood Control
Maintenance
Position
Classification
Emp.
Position
Quota Aoorooriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Public Works Maint. Manager
101
9000
0'/0
0'/o
0%
0
0
Parks/Landscape Maint Spvsr
102
307
0'/0
0'/0
0'/0
0
0
Street/Storm Drn Maint Supt
103
8112
0'/0
0'/
0'/0
0
0
Fleet Maint Supervisor
104
6353
0'/0
0/0
0'/0
0
0
Management Analyst 1
105
7957
01/o
0'/0
0'/0
0
0
Secretary
106
220
0'/0
W.
0'/0
0
0
Management Aide
107
3438
0'/0
0/0
0'/0
0
0
Office Specialist II
162
8251
0'/0
0/0
0'/0
0
0
Mai nt.Supr.Streets
108
6875
0'/0
0'/0
0'/0
0
0
Mai nt. Supr.Parks: East
109
2494
0'/
0'/0
0'/0
0
0
Mai nt.Supr.Parks: Cont.
110
2681
120/6
141/6
70/
1,959
2,414
Mai nt.Supr.Parks: Tree
111
4625
0'/0
0'/0
01/0
0
0
Mai nt.Supr.Streets
112
5889
0'/0
0'/0
01/0
0
0
Maint.Supr.Parks: West
157
8425
0'/0
0'/0
0%
0
0
Equipment Operator (Sweeper)
148
5025
0'/0
0'/
0'/
0
0
Equipment Operator (Sweeper)
150
5200
0'/0
0'/0
0'/0
0
0
Equipment Operator (Sweeper)
151
6928
Q/0
00
01/0
0
0
Equipment Operator (Sweeper)
149
6992
0'/0
a%
0'/0
0
0
Equipment Operator (Sweeper)
152
7925
0'/0
0'/0
0'/0
0
0
Lead Maint.Worker: St.
191
150
0'/0
M/0
0'/0
0
0
Lead Mechanic: IGS
192
159
Q/0
0/0
0'/0
0
0
Lead Maint. Worker: Red Hill
114
163
0'/
0'/
0'/0
0
0
Lead Maint. Worker: City Wide
115
1100
0'/0
0/0
0'/0
0
0
Lead Maint.Worker: St.
116
2319
0'/0
0/0
0'/0
0
0
Lead Maint. Worker: Pks East
121
2714
0'/0
00
0'/0
0
0
Lead Maint. Worker: Pks. East
123
3185
0'/0
0'/
OP/0
0
0
Lead Maint. Worker: Pks. West
158
5051
0%
0'/
0'/
0
0
Lead Maint. Worker:St.
160
5561
(/
0'/0
01/6
0
0
Lead Maint. Worker:St.
161
6782
0'/0
17/0
0'/0
0
0
Lead Maint.Worker :Trees
113
7121
00
0'/0
0'/0
0
0
Lead Maint.Worker: Pks . West
163
8032
0'/0
0'/0
U/0
0
0
Lead Maint.Worker: Heritage"
119
2313
1%
(/
0'/0
0
0
Lead Maint. Worker: Parks/frail'
159
5569
0'/0
0/
0'/0
0
0
Sr.Maint.Worker: St.
120
1138
U/0
0/6
0%
0
0
Sr. Maint. Worker: Irr. C.W.
117
1600
0'/0
0'/0
0'/0
0
0
Sr. Maint. Worker: Irr. West
122
2819
0'/0
0'/0
0'/0
0
0
Sr.Maint.Worker: Civic Center
189
5823
0'/0
0'/
0'/
0
0
Sr.Maint.Worker: St.
118
5857
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. East
126
132
01/0
0'/0
0'/0
0
0
Maint.Worker: Trails/City Wide
127
507
0'/
0'/
0'/
0
0
Maint.Worker: Pks. Irr. West
177
565
0'/0
0'/0
0'/
0
0
Maint.Worker: St.
140
644
0'/0
0'/0
0'/0
0
0
Maint.Worker :St.
124
813
0'/0
0'/0
0'/0
0
0
Maint.Worker :St.
137
819
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. Red Hill
174
832
0'/
0'/0
0'/0
0
0
Maint.Worker: St.
131
873
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. West
141
1048
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: East
134
1088
0'/0
0/0
0'/0
0
0
Maint.Worker:St.
173
1291
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: West
132
1310
0'/0
0'/0
0'/0
0
0
Maint.Worker: Trees
136
1844
0'/
0'/0
0'/0
0
0
Maint. Worker:St.
1971915
0'/0
0'/0
0'/0
0
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: Flood Control
Maintenance
•
Position
Classification
Emp.
Position
Quota ADDrODriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position k
A
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Maint.Worker :St.
129
2143
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: East
138
2740
0'/0
0'/0
Q/
0
0
Maint.Worker: Fac. Citywide
139
3203
01/0
01/
01/0
0
0
Maint.Worker Pks: Heritage
135
4262
0'/0
0'/6
0y.
0
0
Maint.Worker :St.
145
4962
0'/0
0'/0
01/a
0
0
Maint.Worker: St.
169
5055
01/o
0/
0'/
0
0
Maint.Worker: St.
166
5091
0'/0
0'/,
0'/0
0
0
Maint.Worker: Pks. Irr. Crew
175
5561
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. East
146
5563
0'/0
0'/
06
0
0
Maint. Worker: St.
196
5824
01/
01/0
0'/0
0
0
Maint.Worker: Trees
167
5863
0'/0
0'/
0'/0
0
0
Maint.Worker :St.
142
6009
0'/0
01%
0'/
0
0
Maint.Worker: Pks. West
222
6045
01/0
17/a
01/o
0
0
Maint.Worker :St.
133
6181
01/o
01%
0'/0
0
0
Maint.Worker: St.
1256740
01/0
01/0
01/0
0
0
Maint.Worker: Pks. Red Hill
1706744
0'/0
0'/0
0'/
0
0
Maint.Worker: Pks. West
171
6773
0'/0
0'/0
01%
0
0
Maint.Worker: Pks. West
143
7397
01/0
0'/0
a,/0
0
0
Maint.Worker: Pks. West
184
7638
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. Red Hill
128
8151
0y/0
01/0
0'/0
0
0
Maint.Worker :St.
130
8677
0y/0
0'/0
01/0
0
0
Maint.Worker: Pks. Fac. Crew
183
8681
01/0
a%
01/
0
0
Maint.Worker: Pks. East
144
Vacant
01/0
01/0
01/0
0
0
Maint.Worker: Pks. East
147
Vacant
0%
01/0
01/0
0
0
Maint.Worker: St.
165
Vacant
01/0
01/0
01/0
0
0
Seasonal M. Tech: City Wide
153
Vacant
01/0
0.
01/0
0
0
Seasonal M. Tech: City Wide
154
Vacant
0%
01/0
01/0
0
0
Seasonal M. Tech: City Wide
155
Vacant
Oy/0
01/0
01/0
0
0
Seasonal M. Tech: City Wide
156
Vacant
01/0
01/0
01/0
0
0
Seasonal M. Tech: Citywide
199
Vacant
01/0
01/0
01/0
0
0
Seasonal M. Tech: Citywide
200
Vacant
OY/0
01/0
0Y/0
0
0
Mechanic
179
3036
01/0
D'/
01/0
0
0
Mechanic
180
5883
0y/0
01/0
01/0
0
0
Mechanics Assistant
181
Vacant
01/0
a%
01/0
0
0
Inventory Spec Equip Mtrls
182
5994
01/0
01/0
011/0
0
0
Signal & Lighting Tech
201
Vacant
01/0
01/0
01/0
0
0
Supervisor Parks City Wide
186
Proposed
0.
N/R
0
N/R
Supervisor Streets
187
Proposed
01/0
01/0
0
0
Office Assistant
202
Proposed
01/0
N/R
0
N/R
Equipment Operator (Sweeper)
204
Proposed
-
OP/0
01/
0
0
Equipment Operator
206
Proposed
01/0
N/R
0
N/R
Equipment Operator
207
Proposed
01/0
01/0
0
0
Lead Maint.Worker: St.
190
Proposed
-
0'/0
N/R
0
N/R
Lead Maint Worker:St.
235
Proposed
-
01/0
-
0
Lead Maint. Worker: Trail C.W.
224
Proposed
-
N/R
-
N/R
Lead Worker: Pks. Irr. C.W.
225
Proposed
-
N/R
-
N/R
Lead Worker: Pks .GF LIVID Cont.
226
Proposed
N/R
3,368
N/R
Lead Worker: Pks. LIVID Contract
227
Proposed
-
N/R
-
N/R
Lead Mechanic
228
Proposed
-
-
0Y/0
-
0
Sr. Maint. Worker: Pks. Beryl
188
Proposed
-
01/0
N/R
0
N/R
Sr. Maint. Worker: Pks. West
198
Proposed
-
(/0
-
0
0
Sr. Maint. Worker: Pks. Mow
229
Proposed
N/R
N/R
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: Flood Control
Maintenance
CJ
Position
Classification
Emp.
Position
Quota Ai orooriationsl
CurrentDept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Sr. Maint. Worker: Pks. Fac. West
164
Proposed
(N.
N/R
0
N/R
Sr. Maint. Worker: Pks. Fac. East
172
Proposed
(K
N/R
0
N/R
Sr. Maint. Worker: Pks. Irr. East
176
Proposed
IY/o
N/R
0
N/R
Sr. Maint. Worker: Pks.Low Crew
178
Proposed
01/<
N/R
0
N/R
Sr. Maint. Worker: St.
185
Proposed
-
N/R
N/R
Maint. Worker :Pks. West
193
Proposed
0'/0
0'/0
0
0
Maint. Worker : Pks. West
194
Proposed
-
0'/<
0'/0
0
0
Maint. Worker Pks. Civic
195
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker St.
231
Proposed
-
N/R
N/R
Maint. Worker Pks. East
208
Proposed
-
01/,
0'k
0
0
Maint. Worker Pks. East
209
Proposed
0'/0
01%
0
0
Maint. Worker : Pks. West
210
Proposed
-
OYo
01%
0
0
Maint. Worker Sts.
219
Proposed
-
OY0
N/R
0
N/R
Maint. Worker : Pks. Mow
212
Proposed
-
01/o
N/R
0
N/R
Maint. Worker St.
216
Proposed
-
0/o
N/R
0
N/R
Maint. Worker: Pks. Beryl
214
Proposed
-
0/o
N/R
0
N/R
Maint. Worker : Pks. Fac. East
215
Proposed
-
01/
N/R
0
N/R
Maint. Worker : Pks. Fac. West
218
Proposed
-
OYo
01/0
0
0
Maint. Worker Pks. Trail LIVID
217
Proposed
01/0
01/0
0
0
Maint. Worker : Pks. Irr. East
213
Proposed
01/0
N/R
0
N/R
Maint. Worker Pks. Low Crew
211
Proposed
OYo
N/R
0
N/R
Maint. Worker : Pks. Low Crew
237
Proposed
N/R
-
N/R
Maint. Worker Pks. Heritage
232
Proposed
-
N/R
N/R
Maint. Worker Pks.Heritage
233
Proposed
-
N/R
N/R
Maint. Worker Pks. Trail LIVID
236
Proposed
-
N/R
N/R
Maint. Worker St.
205
Proposed
-
N/R
N/R
Mechanic
220
Proposed
-
0/0
0'/0
0
0
Mechanics Asst.
221
Proposed
-
0%
01/0
0
0
Subtotal
5,327
2,414
Merit Contingency:
293
145
Subtotal:
5,620
2,559
Fringe Benefits
1,967
896
Subtotal:
7,587
3,454
Part-time
0
0
Subtotal:
7,587
3,454
Merit Contingency:
0
0
TOTAL:
7,587
3,454
'Proposed New Position
"Proposed reclassification of Existing
Position from Sr. M.W. to Lead M.W.
N/R 89 Not
Recommended
FY 89/90
N/R 90 Not
Recommended
FY 90/91
0 FLDC1 0
Page 1
•• • ••08-4647
Account Number: Department
Proposed
Proposed
„ • :
�Part-tlme Payroll—
Page 1
Gas Tax 2107 & 2106
094637
rn
OUD ECTIOI WORKSHEET 10/22/90 CITY OF F�CUCANONGA
(ACTUA TO 12/31/89)
DEPT COUNCIL
87-08 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACCOUNT ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MR 1990/91
OAS TAX 2107.2107.5 ---ENGINEERING ADRIN
9 4637
1100
REGULAR PAYROLL
368,253
267,707
73,703
4,422
26,370
78,125
349,335
300,089
335,603
9 4637
1200
OVERTIME PAYROLL
25,044
3,762
0
0
202
0
0
66,500
66,500
9 4637
1900
FRINGE BENEFITS
149,461
70,298
25,796
0
2S,796
25,796
122,267
105,031
117,461
9 4637
3960
GENERAL LIABILITY
10,131
3,050
3,248
0
3,248
3,248
0
0
0
9 4637
6020
CONTACT SERVICES
103,539
196,836
249,000
0
99,163
249,000
0
265,000
265,000
9 4637
7011
CAPITAL EXP -EQUIP
0
24,000
0
24,000
238,150
197,222
197,222
9 4637
7045
CAPITAL EXPEND.VEHICLE
0
0
18,000
0
26,456
18,000
150,150
163,457
163,457
9 4637
8022
ELECTRIC UTILITIES
0
60,417
82,000
0
27,250
82,800
0
87,000
87,000
9 4637
8113
TURNER 8TH TO 26TH
0
0
0
0
0
0
0
0
0
9 4637
8701
VICTORIA INPRTS ETIWANDA
5,385
281,776
0
0
0
0
0
0
0
9 4637
8702
ETINANDA 1 STREET REHAB.
7,104
7,291
0
0
0
0
0
0
0
9 4637
8703
ETINANDA 2 STREET REHAB.
6,353
214,516
0
0
75,035
81,000
0
0
0
9 4637
8704
VIA CARILLO IMPROV.
0
0
0
0
0
0
0
0
0
9 4637
8761
1911 ACT CHAPTER 27
0
0
0
0
0
0
0
0
0
9 4637
8779
CITY WIDE INVENTORY
0
0
85,000
(12,855)
0
85,000
10,000
10,000
10,000
9 4637
8780
TRANS STUDIES 6 FAC 1
0
58,496
2,000
0
7,312
2,000
17,000
17,000
17,000
9 4637
8781
RISC SLURRY SEAL
0
0
0
0
0
0
0
0
0
9 4637
8813
HILLSIDE IRP-HERMSA
0
0
2,500
15,321
2,061
142,700
1,000
1,000
1,000
9 4637
8815
9TH ST REHAB -VINEYARD
0
131,030
0
(1,816)
0
(1,016)
0
0
0
9 4637
8816
CITY NIDE SLURRY 88/89
0
259
2,000
(1,101)
2,000
899
0
0
0
9 4637
8817
CITY NIDE SIDEWALK 80/89
0
0
0
0
0
0
0
0
0
9 4637
8818
HAVEN AVE REHAB -FOURTH
0
0
2,000
0
719
2,000
0
0
0
9 4637
0819
FOURTH ST REHAB-X.C.L.
0
0
0
0
0
0
0
0
0
9 4637
8820
CARMEL IAN/VI NEYARO REHAB.
0
19,295
0
0
6,084
0
0
0
0
9 4637
8860
NO TOWN STRETS IV
0
40,541
0
0
0
0
0
0
0
9 4637
8901
CITY WIDE LOCAL REHAB 89-90
0
0
150,000
451
137,754
142,600
0
0
0
9 4637
9001
CITY NIDE SIOENAL/CURB-1911 C
0
0
2,000
0
0
2,000
0
0
0
9 4637
9001
CITY NIDE SIDEWAL/CURB-1911 CHPY
27
0
0
0
10,000
10,000
10,000
9 1637
9D02
CITY NIDE ST REHAB/90-91
0
0
0
0
0
0
0
0
.-------------------------------------------------------------------------_-----------------------------------------------------------------
DEPARTMENT TOTAL
675,270
1,369,415
720,047
28,422
440,349
967,352
897,902
1,222,299
1,270,243
91
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: Gas Tax
Maintenance
Position
Classification
Emp.
Position
Quota AoDroDriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Public Works Maint. Manager
101
9000
0'/
0'/0
0'/0
0
0
Parks/Landscape Maint Spvsr
102
307
1%
0/0
0'/0
0
0
Street/Storm Drn Maint Supt
103
8112
01%
0'/
0'/
0
0
Fleet Maint Supervisor
104
6353
0'/0
0'/0
17/0
0
0
Management Analyst 1
105
7957
0'/
0'/0
0'/0
0
0
Secretary
106
220
01/
0'/0
0'/0
0
0
Management Aide
107
3438
0'/
0'/0
0%
0
0
Office Specialist II
162
8251
0'/0
00
0'/0
0
0
Mai nt.Supr.Streets
108
6875
0'/0
0'/0
0'/0
0
0
Mai nt. Supr.Parks: East
109
2494
00/
01%
0'/0
0
0
Mai nt.Supr.Parks: Cont.
110
2681
0'/
0'/0
0'/0
0
0
Mai nt.Supr.Parks: Tree
111
4625
0'/0
0'/,
0%
0
0
Mai nt.Supr.Streets
112
5889
0'/
0'/0
0'/0
0
0
Maint.Supr.Parks: West
157
8425
0'/0
0'/0
0'/0
0
0
Equipment Operator (Sweeper)
148
5025
100°/,
100'/0
1000/6
24,060
26,844
Equipment Operator (Sweeper)
150
5200
1000/6
1000%
100'/0
27,960
31,176
Equipment Operator (Sweeper)
151
6928
01/o
0'/0
0'/0
0
0
Equipment Operator (Sweeper)
149
6992
1000/6
100%
88'/0
24,060
24,827
Equipment Operator (Sweeper)
152
7925
1000/6
1000%
0'/0
0
0
Lead Maint.Worker: St.
191
150
a%
42'/0
300/
13,569
10,336
Lead Mechanic: IGS
192
159
0'/0
(M.
0'/,
0
0
Lead Maint. Worker: Red Hill
114
163
0'/
0'/o
01%
0
0
Lead Maint. Worker: City Wide
115
1100
a%
0'/0
0'/0
0
0
Lead Maint.Worker: St.
116
2319
0'/0
0'/0
0'/0
0
0
Lead Maint. Worker: Pks East
121
2714
0%
0'/0
0'/
0
0
Lead Maint. Worker: Pks. East
123
3185
01/0
0'/0
0'/0
0
0
Lead Maint. Worker: Pks. West
158
5051
0'/0
0'/
00/0
0
0
Lead Maint. Worker:St.
160
5561
0'/0
0%
CP/0
0
0
Lead Maint. Worker:St.
161
6782
720/6
41%
290/6
10,632
8,909
Lead Maint.Worker :Trees
113
7121
0%
a,/0
0'/0
0
0
Lead Maint.Worker: Pks . West
163
8032
01/0
0'/
0'/
0
0
Lead Maint.Worker: Heritage"
119
2313
0'/0
0'/0
01/0
0
0
Lead Maint. Worker: Parks/Trail'
159
5569
01/0
0'/
U/0
0
0
Sr.Maint.Worker: St.
120
1138
01%
840/6
30%
10,619
8,053
Sr. Maint. Worker: Irr. C.W.
117
1600
0'/
0'/0
0'/0
0
0
Sr. Maint. Worker: Irr. West
122
2819
00
0'/0
0'/0
0
0
Sr.Maint.Worker: Civic Center
189
5823
0/e
0'/0
0'/
0
0
Sr. Maint.Worker: St.
118
5857
01/0
820/
290/
9,865
7,785
Maint.Worker: Pks. East
126
132
0'/0
a,/0
0'/
0
0
Maint.Worker: Trails/City Wide
127
507
0'/
00/
a,%
0
0
Maint.Worker: Pks. Irr. West
177
565
0'/
a,/
0'/
0
0
Maint.Worker: St.
140
644
900/
470/0
350/
10,231
8,896
Maint.Worker :St.
124
813
900/6
900/
0'/0
0
0
Maint.Worker :St.
137
819
01/6
440/6
32%
9,578
8,421
Maint.Worker: Pks. Red Hill
174
832
0.
0'/0
0'/0
0
0
Maint.Worker: St.
131
873
0%
0'/
0'/
0
0
Maint.Worker: Pks. West
141
1048
00/0
0'/0
0'/0
0
0
Maint.Worker Pks: East
134
1088
0/0
0,
0/0
0
0
Maint.Worker:St.
173
1291
0'/0
0/0
0'/
0
0
Maint.Worker Pks: West
132
1310
0'/0
0'/0
0'/0
0
0
Maint.Worker: Trees
136
1844
0'/0
0%
0'/0
0
0
Maint. Worker:St.
1971915
00/0
0'/
IY/0
0
0
Y,
Ei
J�
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: Gas Tax
Maintenance
•
•
Position
Classification
Emp.
Position
Quota Anorooriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Maint.Worker :St.
129
2143
0'/0
0'14
0'/0
0
0
Maint.Worker Pks: East
138
2740
01/0
0114
01/o
0
0
Maint.Worker: Fac. Citywide
139
3203
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: Heritage
135
4262
(F/0
0'/0
01/0
0
0
Maint.Worker :St.
145
4962
(P/0
01%
0'/0
0
0
Maint.Worker: St.
169
5055
900%
47%
351/6
9,735
8,337
Maint.Worker: St.
166
5091
901/*
47%
35%
9,627
9,778
Maint.Worker: Pks. Irr. Crew
175
5561
01%
0'/0
01/0
0
0
Maint.Worker: Pks. East
146
5563
0'/0
0'�
0'/0
0
0
Maint. Worker: St.
196
5824
01/0
0114
0'/0
0
0
Maint.Worker: Trees
167
5863
0'/0
01%
0'/0
0
0
Maint.Worker :St.
142
6009
01/0
a%
0'/0
0
0
Maint.Worker: Pks. West
222
6045
01/0
0114
01%
0
0
Maint.Worker :St.
133
6181
900/0
0114
780/*
18,641
18,392
Maint.Worker: St.
125
6740
0'/0
42014
17%
0
0
Maint.Worker: Pks. Red Hill
170
6744
01/0
0'/0
0'/0
0
0
Maint.Worker: Pks. West
171
6773
0'/0
0'/0
0'/0
0
0
Maint.Worker: Pks. West
143
7397
(F/0
0'�
0'/0
0
0
Maint.Worker: Pks. West
184
7638
01/0
0'/0
0'/0
0
0
Maint.Worker: Pks. Red Hill
128
8151
IN
Q/0
0'/0
0
0
Maint.Worker :St.
130
8677
0'/0
0'14
0'/0
0
0
Maint.Worker: Pks. Fac. Crew
183
8681
0'/0
0114
0'14
0
0
Maint.Worker: Pks. East
144
Vacant
0'/0
0114
01/0
0
0
Maint.Worker: Pks. East
147
Vacant
01/0
0114
01/0
0
0
Maint.Worker: St.
165
Vacant
01/0
47%
47%
10,237
10,648
Seasonal M. Tech: City Wide
153
Vacant
01/0
0114
01/0
0
2,004
Seasonal M. Tech: City Wide
154
Vacant
01/0
01/0
01/0
0
0
Seasonal M. Tech: City Wide
155
Vacant
01/0
01/0
01/0
0
0
Seasonal M. Tech: City Wide
156
Vacant
0'/0
01/0
01/0
0
0
Seasonal M. Tech: Citywide
199
Vacant
1%
0114
0'/0
0
0
Seasonal M. Tech: Citywide
200
Vacant
01/0
01/0
01/0
0
0
Mechanic
179
3036
01/0
0114
01/0
0
0
Mechanic
180
5883
01/0
0114
(P/0
0
0
Mechanics Assistant
181
Vacant
01/0
01/0
01/0
0
0
Inventory Spec Equip Mtrls
182
5994
01/0
0114
01/0
0
0
Signal & Lighting Tech
201
Vacant
01/0
0114
1000/6
27,636
33,432
Supervisor Parks City Wide
186
Proposed
014
N/R
0
N/R
Supervisor Streets
187
Proposed
501/0
601/0
25,032
15,919
Office Assistant
202
Proposed
a%
N/R
0
N/R
Equipment Operator (Sweeper)
204
Proposed
-
50'/0
1009/6
21,768
26,844
Equipment Operator
206
Proposed
301/0
N/R
0
N/R
Equipment Operator
207
Proposed
3011/0
100%
21,768
26,844
Lead Maint.Worker: St.
190
Proposed
0'/0
N/R
0
N/R
Lead Maint Worker:St.
235
Proposed
-
-
701/0
24,060
17,094
Lead Maint. Worker: Trail C.W.
224
Proposed
-
-
N/R
-
N/R
Lead Worker: Pks. Irr. C.W.
225
Proposed
-
-
N/R
-
N/R
Lead Worker: Pks .GF LMD Cont.
226
Proposed
-
-
N/R
-
N/R
Lead Worker: Pks. LMD Contract
227
Proposed
-
N/R
N/R
Lead Mechanic
228
Proposed
-
01/0
-
0
Sr. Maint. Worker: Pks. Beryl
188
Proposed
-
01/0
N/R
0
N/R
Sr. Maint. Worker: Pks. West
198
Proposed
-
01/0
0
0
Sr. Maint. Worker: Pks. Mow
229
Pro osed
N/R
N/R
i
W
d
1C
IK
PROGRAM POSITION/SALARY SCHEDULE 1990/91
. DEPARTMENT: Gas Tax
Maintenances
is
Position
Classification
Emp.
I
Position Quota Ai Cropriations
Current
Dept.
Mgr.Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Sr. Maint. Worker: Pks. Fac. West
164
Proposed
01/,
N/R
0
N/R
Sr. Maint. Worker: Pks. Fac. East
172
Proposed
01/
N/R
0
N/R
Sr. Maint. Worker: Pks. Irr. East
176
Proposed
01/
N/R
0
N/R
Sr. Maint. Worker: Pks.Low Crew
178
Proposed
0'/o
N/R
0
N/R
Sr. Maint. Worker: St.
185
Proposed
-
N/R
N/R
Maint. Worker :Pks. West
193
Proposed
0'/6
0'/,
0
0
Maint. Worker Pks. West
194
Proposed
-
0'/6
0'/,
0
0
Maint. Worker Pks. Civic
195
Proposed
(F/,
N/R
0
N/R
Maint. Worker St.
231
Proposed
-
N/R
N/R
Maint. Worker Pks. East
208
Proposed
01/
(y/
0
0
Maint. Worker : Pks. East
209
Proposed
0/o
0y,
0
0
Maint. Worker Pks. West
210
Proposed
Oy,
pyo
0
0
Maint. Worker Sts.
219
Proposed
Oyo
N/R
0
N/R
Maint. Worker : Pks. Mow
212
Proposed
py,
N/R
0
N/R
Maint. Worker St.
216
Proposed
Oyo
N/R
0
N/R
Maint. Worker: Pks. Beryl
214
Proposed
01/o
N/R
0
N/R
Maint. Worker : Pks. Fac. East
215
Proposed
O o
N/R
0
N/R
Maint. Worker : Pks. Fac. West
218
Proposed
O o
01/e
0
0
Maint. Worker : Pks. Trail LIVID
217
Proposed
06
0/,
0
0
Maint. Worker : Pks. Irr. East
213
Proposed
-
0%
N/R
0
N/R
Maint. Worker : Pks. Low Crew
211
Proposed
-
Oyo
N/R
0
N/R
Maint. Worker Pks. Low Crew
237
Proposed
-
-
N/R
N/R
Maint. Worker Pks. Heritage
232
Proposed
-
N/R
-
N/R
Maint. Worker Pks.Heritage
233
Proposed
N/R
N/R
Maint. Worker Pks. Trail LIVID
236
Proposed
-
-
N/R
-
N/R
Maint. Worker St.
205
Proposed
-
N/R
20,484
N/R
Mechanic
220
Proposed
-
Oyo
OP/o
0
0
Mechanics Asst.
221
Proposed
-
Oyo
O o
0
0
Subtotal
329,562
302,534
Merit Contingency:
16,478
15,127
Subtotal:
346,040
317,661
Fringe Benefits
121,114
111,181
Subtotal:
467,154
428,842
Part-time
0
2,004
Subtotal:
467,154
430,846
Merit Contingency:
0
100
TOTAL:
467,154
430,946
'Proposed New Position
"Proposed reclassification of Existing
Position from Sr. M.W. to Lead M.W.
N/R 89 Not
Recommended
FY 89/90
N/R 90 Not
Recommended
FY 90/91
PROGRAM POSITION/SALARY SCHEDULE 1990/91
• DEPARTMENT: FUND 9
Enaineerina ; TAX 2106
0
0
Position
Classification
Position
Emp. 89/90
Quota AoDrooriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0
0
0
Office Specialist II
11
5679
0
0
0
0
0
Office Specialist II
12
8682
0
0
0
0
0
Secretary
9
new
-
0
0
0
0
Senior Civil Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0.2
0
10632
Jr. Engineer'
54
new
0
0
0.2
0
6456
Traffic Engineer
3
6800
0
0
0
0
0
Associate Engineer
18
3211
0
0
0
0
0
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0
0
0
0
0
Assistant Engineer
49
8149
0
0
0
0
0
Assistant Engineer
50
6682
0
0
0
0
0
Engineering Aide
45
152
0
0
0
0
0
Engineering Tech.'
55
new
0
0
0
0
Senior Civil Engineer
5
5822
0
0
0
0
0
Associate Engineer
20
2140
0
0
0
0
0
Associate Engineer
21
5275
0
0
0
0
0
Associate Engineer
22
5700
0
0
0
0
0
Assistant Engineer
29
2641
0
0
0
0
0
Assistant Engineer
51
4687
0
0
0
0
0
Jr. Engineer
32
2020
0
0
0
0
0
Engineering Tech.
36
561
0
0
0
0
0
Engineering Aide
46
5800
0
0
0
0
0
Engineering Aide
52
128
0
0
0
0
0
Assistant Engineer
56
new
-
0
0
0
0
Public Works Engineer
6
6350
0
0
0
0
0
Spr Public Works Insp '
30
4900
0
0
0
0
0
Public Works Insp.11"
37
115
0
0
0
0
0
Public Works Insp.11"
38
1075
0
0
0
0
0
Public Works Insp.
43
2727
0
0
0
0
0
Jr. Engineer
33
480
0
0
0
0
0
Pblc Wrks Insp.11'
64
New
N/R
N/R
0
0
Subtotal
0
17,088
Merit Contingency:
0
854
Subtotal:
0
17,942
Fringe Benefits
0
6,280
Subtotal:
-
0
24,222
Part-time
0
0
TOTAL
0
24,222
t Proposed reclassification of
an Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
Pro osed New Position
N/R Not
Recommended
• COST CENTER DETAORKSHEET 199051 0
Department/Division:
Enqlneerinq
Program:
I Gas Tax 2106
Account Number:
Fund 09
Department
Proposed
City Mgr.
ProDosed
Obiect No.
Descri tion of Items & Individual Dollar Amounts
Bud et
1100 Regular Payroll*
349336
335603
1200Overtime Payroll
0
66500
1900 Frin a Benefits & 35%
122268
117461
3900 Maintenance & Operations
3960 General Liability 1% of Operations
0
0
6028 Contract Services
Caltrans signal maintenance contract
63000
63000
Signal maintenance contract
105000
105000
Striping Contract
87000
87000
Roadway Oiling
10000
10000
Subtotal
265000
265000
7044 Capital Expenditures - Equipment
238150
197222
7045 Ca ital Ex enditures - Vehicles
150150
163457
8022 Electric Utilities - Signals
87000
87000
8779 —City Wide Inventory
10000
8780 Trans Studies & Fac
17000
8813 Hillside Imp - Hermosa
1000
8902 City Wide Sidewalk/Curb
10000
Includes Enoineeting & Maintenace Personnel
Note: Fund 09 budget assumes that Caltrans does not approve
the revised maintenance reimbursement agreement.
TOTAL
1211904
1270243
CAPITAL VVIPROVEMEN'T PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering Gas Tax 2106
• Project Title, Description, and Location:
City Wide Street Facilities Management Inventory and Program
Indicate
whether: O New
O Replacement
Q Addition
Project
Justification:
Study
will create a program
for the maintenance of all City
street facilities.
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
• I d'
Q Yes
n [tate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs Amount Suggested Financing
Design Cost $0 Gas Tax 2106
Construction Cost S 0
Administration Cost S 0
Complete Study
Total Cost
Funds available and/or
already expended
$ 95,000
S 95,000
S 85,000
Amount required first year
Amount required subsequent years
Balance Required I S 10,000 I TOTAL
Priority No.
MP 88-06
Amount
S. 10,000
S 10,000
S0
$ 10,000
CAPITAL LVIPROVENfEVT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering Gas Tax 2106
Project Title, Description, and Location:
City Wide Traffic Control Device Inventory and Management Program
Indicate whether: O New O Replacement Q Addition
Project Justification:
Inventory of all City traffic control devices and maintenance management program.
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
• Indicate fiscal year project should be: Started 87/88
Estimated Project Costs Amount Suggesu
Design Cost $ 0 Gas Tax 2106
Construction Cost $ 5,000
Administration Cost S 2,000
Complete Study I $ 10,000
Total Cost 1 $ 17;000
Funds available and/orI $ 0
already expended
0 Yes
Completed 90/91
Amount required first year
Amount required subsequent years
Priority No.
MP 88.07
Amount
$ 17,000
S 17,000
S0
Balance Required I S 17,000 1 TOTAL I S 17,000
•
U
C. PITAL LWROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Gas Tax 2106
ST 88-19
Project Title, Description, and Location:
Hillside Road Street Rehabilitation
and Improvement - Hermosa to Mayberry
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Improve and Widen roadway to
minimum width and condition.
Has this project been scheduled in
a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 87/88 Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
Gas Tax 2106
S 1,000
Construction Cost
S 128,700
Administration Cost
S 15,000
Total Cost
S 143,700
Funds available and/or
S 142,700
Amount required first year
S 1,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 1,000
S 1,000
I CAPITAL IMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
ty No.
Division: Engineering
Gas Tax 2106
F90-30
'
1 Project Title, Description, and Location:
City Wide Sidewalk, Curb & Gutter -
1911 Chapter 27 Improvement Program.
Indicate whether: Q New
O Replacement O Addition
Project Justification:
Improve roadway to City standard,
including curb, gutter, sidewalks, and street lights.
Has this project been scheduled in a prior C.I.P.? @) No O Yes
Other projects or factors directly related to this project:
' Indicate fiscal year project should be:
Started 90/91 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 1,000
Gas Tax 2106
5'10.000
Construction Cost
$ 8,000
Administration Cost
S 1,000
Total Cost
$ 10,000
Funds available and/or
S 0
Amount required first year
$ 10,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
$ 10,000
S 10,000
0
o
REGULAR PAYROLL
3,011
0
BUDGET PROJECTION WORKSHEET
10/22/90 CITY OF RANCHO CUCAMONGA
64,416
250,086
6,695
(ACTUALS TO 12-31-89)
7,041
11 4637
1200
OVERTIME PAYROLL
230
11,050
DEPT
COUNCIL
1,074
48,500
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST
CITY APPROVED
11 4637
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91
MGR 1990/91
82,576
GAS TAX 2106 ---ENGINEERING ADMIN
11 1637
1100
REGULAR PAYROLL
3,011
231,570
235,930
14,156
64,416
250,086
6,695
6,695
7,041
11 4637
1200
OVERTIME PAYROLL
230
11,050
48,500
0
1,074
48,500
0
0
0
11 4637
1900
FRINGE BENEFITS
0
73,220
82,576
0
82,576
02,576
2,343
2,343
2,464
11 4637
3931
VEHICLE MAINT. 6 OPERATIONS
112,880
0
0
243
0
243
0
0
0
11 4637
3950
GENERAL LIABILITY
4,778
9,117
0
0
0
0
0
0
0
11 4637
6028
CONTACT SERVICES
332,931
21,916
0
15,665
0
15,565
0
0
0
11 4637
7045
CAPITAL EXPEND.VEHICLE
21,302
9,320
0
11,983
0
11,983
0
0
0
11 4637
8022
ELECTRIC UTILITIES
40,465
3,549
0
1,451
0
1,451
0
0
0
11 4637
8101
ARCHIBALD-LEMON
0
0
0
0
0
0
0
0
0
11 4637
8102
RAMONA AVE. WIDENING
0
0
0
0
0
0
0
0
0
11 4637
8104
RES.STREET RECONSTRUCTION
245,782
11,267
0
1,752
0
1,752
0
0
0
11 4637
8105
0
0
0
0
0
0
0
0
0
11 1631
8107
LEMON AVE. RECONSTRUCTION
0
0
0
0
0
0
0
0
0
11 1637
8108
HERMOSA/TURNER IMPROVEMENTS
0
0
0
0
0
0
0
0
0
0
11 4637
8110
HIGHLAND AVE.RECONSTRUCTION
0
0
0
0
0
0
0
0
0
11 4637
8111
PAVEMENT MANAGEMENT SYSTEMS
0
0
0
0
0
0
0
0
0
11 4637
8112
HILLSIDE RECONSTRUCTION
3,919
0
0
0
0
0
0
0
0
11 1637
8113
TURNER AVENUE
0
0
0
6,857
0
5,857
0
0
0
11 4637
8114
NORTH TONNE PHASE IV
204
0
0
0
0
0
0
0
0
11 4637
8617
BASELINE ROAD WIDENING
8,033
0
0
0
0
0
0
0
0
DEPARTMENT TOTAL
781,535
311,011
367,006
52,107
118,067
419,113
9,038
9,038
9,505
11 4991
9000
TRANSFER OUT
58,221
198,570
0
0
0
0
0
0
0
DEPARTMENT TOTAL
58,221
198,570
0
0
0
0
0
0
0
FUND TOTAL
839,756
559,587
367,006
52,107
148,057
419,113
9,038
9,038
9,505
•
•
•
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 11
Enaineerina Gas Tax 2107.5
Position
Classification
Position
Emp. 89/90
Quota Appropriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0
0
0
0
Office Specialist II
11
5679
0
0
0
0
0
Office Specialist II
12
8682
0
0
0
0
0
Secretary
53
new
-
0
0
0
0
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0
0
0
Jr. Engineer'
54
new
0
0
0
0
0
Traffic Engineer
3
6800
0
0
0
0
0
Associate Engineer
18
3211
0
0
0
0
0
Associate Engineer
19
5137
0
0.12
0.12
6316
6706
Assistant Engineer
28
6312
0
0
0
0
0
Assistant Engineer
49
8149
0
0
0
0
0
Assistant Engineer
50
6682
0
0
0
0
0
Engineering Aide
45
152
0
0
0
0
0
Engineering Tech.'
55
new
0
0
0
0
Senior Engineer
5
5822
0
0
0
0
0
Associate Engineer
20
2140
0
0
0
0
0
Associate Engineer
21
5275
0
0
0
0
0
Associate Engineer
22
5700
0
0
0
0
0
Assistant Engineer
29
2641
0
0
0
0
0
Assistant Engineer
51
4687
0
0
0
0
0
Jr. Engineer
32
2020
0
0
0
0
0
Engineering Tech.
36
561
0
0
0
0
0
Engineering Aide
46
5800
0
0
0
0
0
Engineering Aide
52
128
0
0
0
0
0
Assistant Engineer
56
new
0
0
0
0
Public Works Engineer
6
6350
0
0
0
0
0
Spr Public Works Insp '
30
4900
0
0
0
0
0
Public Works Insp.11"
37
115
0
0
0
0
0
Public Works Insp.11"
38
1075
0
0
0
0
0
Public Works Insp.
43
2727
0
0
0
0
0
Jr. Engineer
33
480
0
0
0
0
0
Pblc Wrks Insp.11'
64
New
-
0
N/R
0
0
Subtotal
6,316
6,706
Merit Contingency:
316
335
Subtotal:
6,632
7,041
Fringe Benefits
2,321
2,464
Subtotal:
8,953
9,505
Part-time
0
0
TOTAL
8,953
9,505
t Proposed reclassification of
an Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
Pro osed New Position
N/R Not
Recommended
' COST CENTER DETMORKSHEET 199051 •
Department/Division:
EnctineerinaGas
Program:
Tax 2107.5
Account Number:
Fund 11
Department
Pro used
City Mgr.
Pro osed
Obiect No. I Description of Items & Individual Dollar Amounts
Budget
1100 Re ular Pa roll
7041
7041
1200 Overtime Payroll
1900 Fringe Benefits & 35%
2464
2464
3900 Maintenance & Operations
3960 Generat Liability 1% of Operations
0
0
6028 Contract Services
7044 Capital Expenditures
TOTAL
9505
9505
Gas Sales Tax/ArUcle 8
12.4837
m
•
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
81-88 FY 88-89 FY CUR FY
ACCOUNT ACTUAL ACTUAL BUDGET
TDA/ARTICLE 8 ---ENGINEERING ADMIN
12
4637
1100
REGULAR PAYROLL
46,578
54,029
0
12
4637
1900
FRINGE BENEFITS
19,122
18,334
0
12
4637
3960
GENERAL LIABILITY
8,185
11,380
0
12
4637
8000
PROGRAM BUDGET -5832
0
0
0
12
4637
8034
PEDESTRIAN/BICYCLE SIDWALNS
0
0
0
0
0
0
0
0
0
0
12
4637
8052
84/85 CORRECTION
0
0
0
12
4637
8068
ARCHIBALD RECONSTRUCTION
1,600
0
0
12
4637
8075
S.B. RD. ARCHIBALD TO
0
0
0
12
4637
8076
LEMON AVE. HERMOSA TO
0
0
0
0
0
0
a
0
0
0
12
4637
8077
EAST AVE. -HIGHLAND TO
0
0
0
12
4637
8078
HERMOSA AVE. -REALIGN/
0
0
0
0
0
0
0
0
0
0
12
4637
8079
TRAFFIC SIGNALS -3 LOC
20,701
0
0
12
4637
8178
AMETHYST AVE. SIDEWALKS
0
0
0
12
4637
8179
ARCHIBALD AVE. SIDEWALKS
0
0
0
12
4637
8180
VINEYARD/BSLNE TO HAVEN
0
0
0
12
4637
8201
RRX/ROCHESTER AVE.$ 8TH
6,951
0
0
12
4637
8601
PROF.SERVICES ARCHIBALD
29
0
0
12
4637
8603
ARCHIBALD/8TH ST ATSF
3,943
0
0
12
4637
0604
CITY YARD ACQUISITION
0
0
0
12
4637
8605
ARCH. AVE.SIOEWALKS, PH.11
242
39,957
0
12
4637
8606
AMETHYST AVE. RECONSTRUCTION
19,107
14,425
5,000
12
4637
8622
TURNER -66 SIGNAL
0
0
0
12
4637
8627
BANYAN ST. EXTENSION
2,756
0
0
12
4637
8630
TRAFFIC SIGNAL MODIFICATION
0
0
0
12
4637
8634
CITY WIDE TRAFFIC MODEL
10,033
0
0
12
4637
8705
FOOTHILL 0 ROCHESTER
0
7,516
100,000
12
4637
8706
CARNELIAN 6 VINEYARD
141,510
22,757
0
12
4637
8707
HIGHLAND 0 ETIWANDA
3,130
126,746
0
12
4637
8708
HIGHLAND 0 MILLIKEN
3,120
25,815
5,000
0
CITY OF RANCHO CUCAMONGA
DEPT
CUR FY ACTUAL TO DEPT EST REQUEST
ADJUST 12/31/89 ACTUAL 1990/91
COUNCIL
CITY APPROVED
MGR 1990/91
0
34,164
0
121,580
97,787
104,428
0
0
0
42,553
34,225
36,550
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
a
0
0
0
0
0
0
0
0
0
0
a
0
0
0
0
0
0
0
0
0
0
0
0
0
a
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(1,925)
0
(1,925)
0
0
0
11,925
28,729
14,700
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
100,000
0
0
0
0
0
0
0
0
0
0
0
2,500
0
0
0
25,746
33,001
138,000
0
0
0
0
0 0
BUDGET PROJECTION WORKSHEET 10/22/90
CITY OF RANCHO CUCAMONGA
(ACTUALS
TO 12-31-89)
DEPT
COUNCIL
07-88 FY
88-89 FY
CUR FY
CUR FY
ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
---------------------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT
ACTUAL
ACTUAL
BUDGET
ADJUST
12/31/89
ACTUAL
1990/91
NOR
1990/91
12
8637
0709
BASELINE 6 SPRUCE
249,698
17,939
0
0
0
0
0
0
0
12
4637
8710
HAVEN 6 CIVIC CENTER
53,547
0
0
0
0
0
0
0
0
12
4637
8712
BASELINE 0 VICTORIA
0
0
0
0
0
0
0
0
0
12
4637
8713
ARCHIBALD SIGNAL COORO
0
0
0
0
0
2,000
2,000
2,000
2,000
12
4637
8714
HAVEN 0 6TH
3,000
0
0
0
0
0
0
0
0
12
4637
8715
HAVEN 0 JERSEY
3,000
0
0
0
0
0
0
0
0
12
4637
8772
BASELINE SIGNAL COOAD
0
0
0
0
0
0
0
0
0
12
4637
8773
HAVEN 0 4TH
96,055
17,762
0
0
0
0
0
0
0
12
1637
8774
TURNER -FOOTHILL SIGNAL
82,000
0
0
0
0
0
0
0
0
12
4637
8782
BASELINE 0 ETINANDA
0
0
0
0
0
0
0
0
0
12
4637
8783
GROVE 0 8TH
0
109,000
0
0
0
0
0
0
0
12
4637
8821
TRANSPORTATION STUDY
0
16,463
10,000
0
15,757
80,000
15,000
15,000
15,000
12
4637
8823
UPGRADE SIGNAL -19TH
0
0
21000
2,500
94,462
7,500
0
0
0
12
4637
8824
SIGNAL-ARCHIBALD 0 HIGHLAND
0
81,530
0
0
0
0
0
0
0
12
4637
8825
SIGNAL -BASELINE 0 ROCHESTER
0
400
0
0
2,356
0
0
0
0
12
4637
8826
SIGNAL -BASELINE 0 RAMONA
0
3,501
3,000
62,983
17,950
122,200
1,000
1,000
1,000
0
12
4637
8821
SIGNAL -BASELINE 0 VAL
0
3,382
3,000
65,299
20,376
122,100
1,000
1,000
1,000
12
1631
8828
SIGNAL -19TH 0 HERMOSA
0
408
0
0
2,356
0
3,000
3,000
3,000
12
4637
8829
SIGNAL -ARROW 0 ARCHIBALD
0
45
2,000
109,555
1,831
121,000
1,000
1,000
1,000
12
4637
8830
SIGNAL -ARROW 0 HERMOSA
0
400
0
0
2,356
0
0
0
0
12
4637
8831
SIGNAL -ARROW 0 HAVEN
0
0
5,000
76,500
11000
130,500
0
0
0
12
4537
8032
SIGNAL -HAVEN 0 VICTORIA
0
3,382
2,000
65,540
21,872
122,000
1,000
1,000
1,000
12
4637
8833
SIGNAL -FOOTHILL 0 RAMONA
0
0
95,000
(35,649)
0
2,000
2,000
2,000
2,000
12
4637
8834
SIGNAL -GROVE 0 SAN BERNARDINO
0
0
0
0
0
0
0
0
0
12
4637
8835
SIGNAL COORDINATION
0
0
2,000
0
0
2,000
2,000
2,000
2,000
12
4637
8836
UNIFORM TRAFFIC CONTROL PROG.
0
11,000
0
0
0
0
0
0
0
12
4637
8872
T.S.ARCHIBALD/LEMON
0
2,880
0
0
320
0
0
0
0
12
4637
8073
T.S. HAVEN/SEVEN
0
3,060
0
0
340
0
0
0
0
12
4637
8903
19TH ST HIGHLAND/HAVEN
0
0
250,000
0
176,050
178,040
5,000
5,000
5,000
12
4637
8904
VICTORIA ST/EAST TO E/O EHS
0
0
105,000
0
55,885
129,000
0
0
0
12
4637
8905
AMETHYST AVE/19TH TO N/0 HIGH
0
0
171,800
0
0
224,200
10,000
10,000
10,000
12
4637
8906
WILSON AVE/AMETH-ARCH
0
0
76,500
0
0
16,500
2,000
2,000
2,000
0
BUDGET PROJECTION WORKSHEET 10/22/90 CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-89)
ACCOUNT
12 4637 8907 ARCH AVE/S/0 GAMY TO HILLSIDE
12 4637 8909 BANYAN/EASTWOOD TO HELLMAN
12 4637 8910 HIGHLAND AVE/HERMOSA-MAYBERRY
12 4637 8911 SIGNAL-ARCHIBALD 0 LEMON
12 4637 8912 SIGNAL -HAVEN 0 7TH
12 1637 8913 SIGNAL-ARCHIBALD 0 SAN 8X00 R
12 4637 8914 SIGNAL-ARCHIBALD 0 STH
12 4637 8915 UPGRADE SIGNAL -ARROW 0 VINEYA
12 4637 8916 SIGNAL-HELLMAN 0 SAN BNDO RD
12 1637 8911 SIGNAL -HIGHLAND 0 LEMON
12 4637 8918 SIGNAL -SPRUCE 0 TERRA VISTA P
12 1637 8919 SIGNAL -19TH 0 SAPPHIRE
12 4637 8920 TRUCK ROUTE SIGNAGE -CITY WIDE
12 4637 8921 SIGNAL COORD-VINEYARD/CARNELI
12 4637 9006 UNIF TRAF CONT PROD
12 4637 XXXX SIGNAL -HIGHLAND 0 ROCHESTER
12 1637 9003 TRAFFIC SIGNAL CNTRL FY 90/91
12 1637 XXXX SIGNAL -ARROW 0 ROCHESTER
12 4631 9004 SIGNAL-HELLMAN 0 CHURCH
12 4637 9005 SIGNAL-HERMOSA 0 CHRUCH
12 4637 XXXX SIGNAL -CARNELIAN 0 VIVERO
12 1631 XXXX SIGNAL-MILLIKEN 0 4TH
12 1637 XXXX UNIFORM TRAFFIC CONTROL 91-92
12 4637 XXXX UNIFORM TRAFFIC CONTROL 90-91
DEPARTMENT TOTAL
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY
CUR FY
ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
ACTUAL
-------------------------------------------------------------------------------------------------
ACTUAL
BUDGET
ADJUST
12/31/89
ACTUAL
1990/91
NGR
1990/91
0
0
146,000
0
0
32,300
2,000
2,000
2,000
0
0
5,000
0
0
1,300
19,000
19,000
19,000
0
0
25,000
0
0
343,800
5,000
5,000
5,000
0
0
98,000
0
211
117,750
1,000
1,000
1,000
0
0
103,000
0
212
117,750
1,000
1,000
1,000
0
0
5,000
0
0
5,000
- 108,000
108,000
108,000
0
0
102,000
0
2,205
4,900
105,000
105,000
105,000
0
0
60,000
0
2,340
5,200
88,000
88,000
88,000
0
0
0
3,500
0
0
5,000
103,000
103,000
103,000
0
0
12,000
0
0
12,000
262,000
252,000
262,000
0
0
100,000
0
2,205
4,800
105,000
105,000
105,000
0
0
25,500
0
0
35,000
1,000
1,000
11000
0
0
39,000
0
4,541
2,000
0
0
0
0
0
28,000
0
0
28,000
2,000
2,000
2,000
0
0
11,000
0
0
11,000
0
0
0
0
0
0
0
0
0
0
0
0
25,000
25,000
25,000
0
0
0
0
0
0
105,000
105,000
105,000
0
0
0
0
0
0
4,000
4,000
4,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
12,000
12,000
12,000
. 774,377
592,927
1,680,300
383,574
521,319
2,299,915
1,157,133
1,125,012
1,133,978
•
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 12
Enoineerino TDA Article 8
Position
Classification
Position
Emp. 89/90
Quota ADDroDriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0.04
0.04
0
780
0
Office Specialist II
11
5679
0.08
0.04
0.04
845
946
Office Specialist II
12
8682
0.04
0.04
0.04
796
911 J
Secretary
9
new
-
0.08
0.04
1724
906 J
Senior Engineer
63
3882
0
0
0
0
0✓
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0
0
0
Jr. Engineer*
54
new
0
0
0
0
0
Traffic Engineer
3
6800
0.05
0.05
0.05
3056
3411
Associate Engineer
18
3211
0.1
0.1
0.1
5263
5588
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0.1
0.1
0.15
4532
7218
Assistant Engineer
49
8149
0.1
0.1
0.1
3532
3750
Assistant Engineer
50
6682
0.4
0.4
0.4
14126
15000 J
Engineering Aide
45
152
02
0.2
0.3
4421
8341 a
Engineering Tech.*
55
new
-
0.3
0.3
9400
9216
Senior Engineer
5
5822
0.09
0.09
0.05
5502
3327
Associate Engineer
20
2140
0.1
0.1
0.05
4312
2406 J
Associate Engineer
21
5275
0.1
0.1
0.05
5263
2794
Associate Engineer
22
5700
0.1
0.1
0.05
5008
_J
2739
Assistant Engineer
29
2641
0.1
0.1
0.05
3902
2177 J
Assistant Engineer
51
4687
0.1
0.1
0.05
3713
1970
Jr. Engineer
32
2020
0.1
0.1
0.05
3676
1614 e
Engineering Tech.
36
561
0.1
0.1
0.05
2567
1536
Engineering Aide
46
5800
0.1
0.1
0.05
2567
1505
Engineering Aide
52
128
0.1
0.1
0.05
2210
1390 �1
Assistant Engineer
56
new
-
0.1
0.05
3532
1875
Public Works Engineer
6
6350
0.07
0.07
0.06
4050
3798
Spr Public Works Insp '
30
4900
0.12
0.12
0.11
5384
5346
Public Works Insp.11'•
37
115
0.1
0.1
0.09
3864
3408 J
Public Warks Insp.11•'
38
1075
0.1
0.1
0.09
3864
3766 J'
Public Works Insp.
43
2727
0.02
0.02
0.01
682
392 r
Jr. Engineer
33
480
0.09
0.09
0.11
3116
4125
Pblc Wrks Insp.11' •'
64
New
-
0.1
NIR
3011
0
Subtotal
114,698
99,455
Merit Contingency:
5,735
4,973
Subtotal:
120,433
104,428
Fringe Benefits
42,152
36,550
Subtotal:
162,585
140,978
Part-time
0
0
TOTAL
162,585
140,978
t Proposed reclassification of
an Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
Pro osed New Position
N/R Not
Recommended
• COST CENTER DETMORKSHEET 199091
Department/Division:
Enalneerina
Program:
I TDA Articlel 8
Account Number:
Fund 12
Department
Pro osed
City Mgr.
Pro osed
Obect No. I Description of Items & Individual Dollar Amounts
Budget
1100 Re ular Payroll
121580
104428
1200 Overtime Payroll
1900 Fringe Benefits 8 35%
42553
36550
3900 Maintenance & Operations
3960 General Liability 1% of Operations
0
0
6028 Contract Services
7044 Capital Expenditures
TOTAL
164133
140978
CAPITAL MPROVENIENT PROJECT REQUEST
Department. Community Development
Fund:
Division: Engineering
TDA Article 8
Priority No.
TR 88-39
Project Title. Description, and Location:
Signal Coordination - Archibald Ave.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Needed to help alleviate congestion on
Archibald Avenue.
Has this project been scheduled in a prior
C.I.P.? O No Q Yes
Other projects or factors directly related
to this project:
Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
TDA Article 8
S 2,000
Construction Cost
$ 0
Administration Cost
$
2,000
Total Cost
S
2,000
Funds available and/or
$0
Amount required first year
$ 2,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
r S 2,000
S 2.000
E
C
CAPITAL IMPROVEMENT PROJECT REQUEST
nity Development
Fund:
ering
PEJEE,nru
Article 8
Priority Yo.TDA
MP 88-08ct
Tite, Description, and Location:
portation & Taffic Long Range
Studies, Models and Management Programs
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Projects future traffic scenarios for
long range traffic management planning and includes
an update of
the City's Thoroughfare and Bridge
Fee (System Development)
Has this project been scheduled in a prior C.I.P.? O No QQ yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be:
Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
TDA Article 8
S 15,000
Construction Cost
S 0
Administration Cost
$ 0
Complete Study
S 15,000
Total Cost
S 15,000
Funds available and/or
S 0
Amount required first year
S 15,000
already expended
Amount required subsequent years
5 0
Balance Requ?redS
TOTAL
15,000
S 15,000
CAPITAL IMPROVENfENT PROJECT REQUEST
Department: Community Development Fund:
• Division: Engineering TDA Article 8
Project Title, Description, and Location:
Signal - Baseline @ Ramona
Indicate whether: Q New Q Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Priority No.
TR 88-14
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs Amount Suggested Financing Amount
Design Cost S 0 TDA Article 8 S 1,000
Construction Cost S 115,000
Administration Cost S 8,200
Total Cost 1 S 123,200
Funds available and/orI S 122,200
already expended
Amount required first year
Amount required subsequent years
ttt
S0
Balance Required I $ 1,000 1 TOTAL I S 1,000
CAPITAL 11YIPROVENIENT PROJECT REQLEST
Department: Community Development Fund:
Division: Engineering TDA Article 8
Project Title. Description, and Location:
Signal - Baseline @ Valencia
Indicate whether: O New O Replacement
Project Justification:
Needed to alleviate conflict at intersection.
0 Addition
Priority No.
TR 88-15
Has this project been scheduled in
a prior C.I.P.?
O No
Q Yes
other projects or factors directly related to this
project:
Indicate fiscal year project should be: Started 88/89
Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
TDA
Article 8
$ 1,000
Construction Cost
S 115,000
Administration Cost
S 8,100
Total Cost I S 123,100
Funds available and/orI S 122,100
already expended
Amount required first year
Amount required subsequent years
S 1,000
Balance Required I S 1,000 1 TOTAL I S 1.000
CAPITAL LvIPROVENIEVT PROJECT REQUEST
Department: Community Development Fund:
• Division: Engineering TDA Article 8
Project Title, Description, and Location:
Signal - 19th @ Hermosa
Indicate whether: O New O Replacement
Project Justification:
Needed to alleviate conflict at intersection.
* Addition
Priority No.
TR 88-16
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: ST 88-03
Indicate fiscal year project should be: Started 88/89 Completed 89/90
Estimated Project Costs Amount Suggested Financing Amount
Design Cost $ 5,000 TDA Article 8 S 3,000
Construction Cost S 128,000
Administration Cost S 4,000
Total Cost I S 137,000
Funds available and/or I S 2,000
already expended
Amount required first year
Amount required subsequent years
S 3,000
S 132.000
Balance Required I S 135,000 1
TOTAL I S 135,000
CAPITAL LLIPROVENIENT PROJECT REQUEST
Department: Community Development Fund: FPrTR
rity No.
Division: Engineering TDA Article 8 - 88-18
Project Title, Description, and Location:
Upgrade Signal - Arrow Rte. @ Archibald
Indicate whether: O New O Replacement Q Addition
Project Justification:
Replace outdated controller and detection devices and provide left tum at all approaches.
Has this project been scheduled in a prior C.I.P.? O No
. Other projects or factors directly related to this project: ST 88-12
Indicate fiscal year project should be: Started 88/89
Estimated Project Costs Amount Suggeste
Design Cost S 0 TDA Article 8
Construction Cost S 115,000
Administration Cost S 7,000
Total Cost 1 $ 122,000
Funds available and/orI S 121,000
already expended
QQ Yes
Completed 90/91
Amount required first year
Amount required subsequent years
Amount
S 1,000
S 1,000
MI
Balance Required I S 1,000 I TOTAL 1
5 1,000
E
CAPITAL IMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
TDA Article 8
TR 88-21
Project Title, Description, and Location:
Signal - Haven @ Victoria St.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at
intersection.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
fIndicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
TDA Article 8
S 1,000
Construction Cost
$ 115,000
Administration Cost
S 8,000
Total Cost
$ 123,000
Funds available and/or
S 122,000
Amount required first year
$ 1,000
already expended
Amount required subsequent years
5 0
Balance RequiredS
TOTAL
1,000
S 1,000
CAPITAL MPROVELfEtiT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering TDA Article 8
. Project Title, Description, and Location:
Signal - Foothill @ Ramona
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P.? O NO
Other projects or factors directly related to this project:
of Indicate fiscal year project should be: Started 88/89
Estimated Project Costs Amount Suggeste
Design Cost $ 2,000 TDA Article 8
Construction Cost S 126,000
Administration Cost S 4,000
Total Cost I S 132,000
Q Yes
Completed 90/91
Priority No.
TR 88.23
Amount
S 2,000
Funds available and/orI S 0 I Amount required first year I S 2,000
already expended
Amount required subsequent years
S 130,000
Balance Required I S 132,000 1 TOTAL I S 132,000
L-�
CAPITAL LVIPROVENIE`+T PROJECT REQUEST
Department: Community Development
Fund:
Prioritv No.
Division: Engineering
TDA Article 8
TR 88-30
Project Title, Description, and Location:
Signal Coordination - Haven Ave.
Indicate whether: 0 New
0 Replacement Q Addition
Project Justification:
Needed to improve traffic flow along
Haven.
Has this project been scheduled in a prior C.I.P.? 0 No OQ Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be:
Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
TDA Article 8
S 2,000
Construction Cost
$ 0
Administration Cost
S 2,000
Total Cost
S 2,000
Funds available and/or
S 0
Amount required first year
S 2.000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 2,000
S 2,000
C
CAPIT.-ILL, I`LPROVENIEVT PROJECT REQUEST
Department: Community Development
Fund:
Priority \o.
Division: Engineering
TDA Article 8
Project Title, Description, and Location:
19th St.; Street Improvement - E/O Haven to Highland E/O Deer Creek
Indicate whether: Q New Q Replacement Addition .
Project Justification:
Project required by CalTrans for Rte. 30 transfer. Pavement resurfacing and UTC program.
Has this project been scheduled in a prior C.I.P.? 0 No O Yes
Other projects or factors directly related to this project: TR 89-13
' Indicate fiscal year project should be: Started 88/89 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 5,300
TDA Article 8
S 5,000
Construction Cost
S 235,000
System Development
S 0
Administration Cost
S 42,000
Total Cost
$ 282,300
Funds available and/or
S 3,300
Amount required first year
S 5,000
already expended
`
I
Amount required subsequent years
S 274,000
Balance Required
TOTAL
S 279,000
S 279,000
CAPITAL D PROVEMENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering TDA Article 8
• Project Title, Description, and Location:
Amethyst Ave. Street Improvement - N/O 19th (Fire Station) to N/O Highland
Indicate whether: 0 New 0 Replacement Q Addition
Project Justification:
Improve and widen road way to improve traffic and minimize surface drainage.
Has this project been scheduled in a prior C.I.P.? 0 No
Other projects or factors directly related to this project: DR 88-16
Indicate fiscal year project should be: Started 88/89
Estimated Project Costs Amount Suggestel
Design Cost S 0 TDA Article 8
Construction Cost S 200,000
Administration Cost S 34,200
Total Cost 1 $ 234,200
Funds available and/orI S 224,200
already expended
OQ Yes
Completed 90/91
Amount required first year
Amount required subsequent years
Priority No.
ST 88-31
Amount
S 10,000
$ 10.000
S0
Balance Required I S 10,000 1 TOTAL I S 10.000
11
r�L
0
CAPITAL IMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority \o.
Division: Engineering
TDA Article 8
ST 88-33
Project Title. Description, and Location:
Wilson Ave. Street Improvement -
Amethyst to Archibald
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Roadway widening and improvement to arterial standards.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 3,000
TDA Article 8
S 2,000
Construction Cost
S 103,000
Administration Cost
$ 20,000
Total Cost
S 126,000
Funds available and/or
S 2,000
Amount required first year
S 1,000
already expended
Amount required subsequent years
S 123.000
Balance Required
TOTAL
S 124,000
S 124,000
CAPITAL MPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority "o.
Division: Engineering
TDA Article 8
ST 88-34
Project Title, Description, and Location:
Archibald Street Improvement - S/O Banyan to Hillside
Indicate whether: Q New Q Replacement (g) Addition
Project Justification:
Roadway widening and improvement to arterial standards.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
1
r Indicate fiscal year project should be: Started 88/89 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 10,300
TDA Article 8
S 2,000
Construction Cost
S 276,700
Administration Cost
S 60,000
Right -of -Way
S 25,000
Total Cost
S 372,000
Funds available and/or
S 34,300
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 335.700
Balance Required"337.700
TOTAL
S 337,700
CAPITAL. MPROVEIIENT PROJECT REQUEST
Department: Community Development
Fund:
y 'I o.
Division: Engineering
TDA Article 8
FST9-02
Project Title, Description, and Location:
Banyan Street; Street Improvements -
Eastwood to Hellman
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Widen street north and south.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
I
Indicate fiscal year project should be:
Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 1,300
TDA Article 8
S 19,000
Construction Cost
$ 14,000
Administration Cost
S 5,000
Total Cost
S 20,300
Funds available and/or
S 1,300
Amount required first year
S 19,000
already expended
Amount required subsequent years
S 0
Balance Required7S,19
TOTAL
S 19,000
CAPITAL I`IPROVIVIENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering TDA Article 8 -
• Project Title, Description, and Location:
Highland Ave.: Street Improvements Hermosa to Mayberry.
Indicate whether: O New O Replacement Q Addition
Project Justification:
Replace deficient pavement and upgrade road to collector capacity street.
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
• Indicate fiscal year project should be: Started 89/90
Estimated Project Costs Amount Suggeste
Design Cost S 10,000 TDA Article 8
Construction Cost S 300,000
Administration Cost S 38,800
Total Cost I S 348,800
Funds available and/orI S 343,800
already expended
Q Yes
Completed 90/91
d Financing
Amount required first year
Amount required subsequent years
Priority No,
ST 89-I1
Amount
S 5,000
S 5.000
S0
Balance Required I S 5.000 1 TOTAL I S 5,000
1'
CAPITAL I.NIPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Division: Engineering
TDA Article 8
Prioritv No.
TR 88.32
Project Title, Description, and Location:
Signal • Archibald Ave. @ Lemon
Ave.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at
intersection.
Has this project been scheduled in
a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ o
TDA Article 8
5 1.000
Construction Cost
$ 110,000
Administration Cost
$ 8,750
Total Cost
$ 118,750
Funds available and/or
$ 117,750
Amount required first year
$ 1,000
already expended
Amount required subsequent years
$ 0
Balance Required$
TOTAL
1,000
$ 1,000
CAPITAL. INIPROVE`(E`T PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering TDA Article 8
• Project Title, Description, and Location:
Signal - Haven Ave. Qa 7th St.
Indicate whether: Q New O Replacement
Project Justification:
Needed to alleviate conflict at intersection
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project: ST 88-44
Indicate fiscal year project should be: Started 88/89
Estimated Project Costs Amount Suggeste
Design Cost S 0 TDA Article 8
Construction Cost $ 110,000
Administration Cost S 8,750
Total Cost I S 118,750
Funds available and/orI S 117,750
already expended
Q Addition
Q Yes
Completed 90/91
Amount required first year
Amount required subsequent years
Priority No.
TR 88-40
Amount
S. 1,000
S 1,000
Balance Required I S 1,000 I TOTAL I S 1,000
0
CAPITAL IMPROVEMENT PROJECT REQUEST
•
Department: Community Development
Fund:
Priority No.
Division: Engineering
TDA Article 8
TR 89-01
Project Title, Description, and Location:
Signal - Archibald Ave. Qo San Bernardino
Rd.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at
intersection.
Has this project been scheduled in
a prior C.I.P.? O No QQ Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
5 5,000
TDA Article 8
S 108,000
Construction Cost
$ 100,000
Administration Cost
S 8,000
Total Cost
S 113,000
Funds available and/or
S 5,000
Amount required first year
S 108,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 108,000
S 108,000
•
0
C
CAPITAL IMPROVEMENT PROJECT REQ[. -EST
Department: Community Development
Fund:
Prioritv No.
Division: Engineering
TDA Article 8
TR 89-02
Project Title, Description, and Location:
Signal - Archibald Ave. @ 8th St.
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P ? O No QQ Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 4,900
TDA Article 8
$ 105,000
Construction Cost
$ 100,000
Administration Cost
$ 5,000
Total Cost
$ 109,900
Funds available and/or
S 4,900
Amount required first year
S 105,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
5 105,000
$ 105,000
•
E
CAPITAL. [IMPROVEMENT PROJECT REQUEST
Department: Community Development
Division: Engineering
Fund:
TDA Article 8
Priority No.
TR 89.03
Project Title, Description, and Location:
Upgrade Signal - Arrow Rte. @ Vineyard
Ave.
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Needed to provide protected left turns
on Arrow Route.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related
to this project:
Indicate fiscal year project should be:
Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 5,200
TDA Article 8
S 88.000
Construction Cost
$ 80,000
Administration Cost
$ 8,000
Total Cost
S
93,200
Funds available and/or
$ 5,200
Amount required first year
S 88,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
S 88,000
S 88.000
CAPITAL INIPROVEMENT PROJECT REQUEST
•
Department: Community Development
Fund:
Division: Engineering
TDA Article 8
Priority No.
TR 89-I1
Project Title, Description, and Location:
Signal - Hellman Ave. @ San Bernardino Rd.
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 5,000
TDA Article 8
S 103,000
Construction Cost
$ 95,000
Administration Cost
$ 8,000
Total Cost
S 108,000
Funds available and/or
S 5,000
Amount required first year
S 103,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
5 103.000
S 103,000
0
CAPITAL. L% PROVE`IENT PROJECT REQUEST
Department: Community Development
Fund:
Division: Engineering
TDA Article 8
rity No.
[PrT�
89-13
Project Title, Description, and Location:
Signal - Highland Ave. @ Lemon Ave.
Indicate whether: O New O Replacement Q Addition
Project Justification:
Includes San :Mateo connector street S/O Highland Ave. Needed to alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project: ST 88-25
Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 12,000
TDA Article 8
S 262,000
Construction Cost
$ 251,000
Administration Cost
$ 12,000 .
Total Cost
$ 275,000
Funds available and/or
S 12,000
Amount required first year
S 262,000
already expended
Amount required subsequent years
S 1.000
Balance Required
TOTAL
S 263,000
S 263,000
r
L_
r
CAPITAL 11APROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
TDA Article 8
TR 89-14
Project Title, Description, and Location:
Signal - Spruce @ Terra Vista Parkway
Indicate whether: O New O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
1
Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 4,900
TDA Article 8
S 105.000
Construction Cost
S 100,000
Administration Cost
$ 5,000
Total Cost
S 109,900
Funds available and/or
S 4,900
Amount required first year
$ 105,000
already expended
Amount required subsequent years
S 0
Balance RequiredS
TOTAL
105,000
S 105,000
•
L
CAPITAL. MPRO VEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
TDA Article 8
TR 89.16
Project Title, Description, and Location:
Signal . 19th St. @ Sapphire Ave.
Indicate whether: O New
O Replacement Addition
Project Justification:
Needed to alleviate conflict at
intersection.
Has this project been scheduled in
a prior C.I.P.? O No QQ Yes
Other projects or factors directly related to this project: ST 88-01
I
Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
TDA Article 8
S 1,000
Construction Cost
$ 36,000
Administration Cost
$ 1,000
Total Cost
S 37,000
Funds available and/or
$ 36,000
Amount required First year
S 1,000
already expended
Amount required subsequent years
$ 0
Balance Required
TOTAL
S 1,000
S 1,000
•
CAPITAL MPROVENfENT PROJECT REQUEST
Department. Community Development
Fund:
Division: Engineering
TDA Article 8 -
Priority No.
TR 39.13
Project Title, Description, and Location:
Signal Coordination - Vineyard Ave./Carnelian St.
Indicate whether: O New
Q Replacement Q Addition
Project Justification:
Needed to improve traffic flow along Vineyard Ave.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
1 Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 28,000
TDA Article 8
S 2,000
Construction Cost
$ 0
Administration Cost
S 2,000
Total Cost
S 30,000
unds available and/or
S 28,000
Amount required first year
S 2,000
ready expended
F
Amount required subsequent years
S 0
Balance Required
TOTAL
S 2,000
S 2,000
CAPITAL VvIPROVEMENT PROJECT REQUEST
Department: Community Development Fund: =Trlt9o-o.o
Division: Engineering TDA Article 8
• Project Title, Description, and Location:
Signal - Hellman Avenue @ Church Street
Indicate whether: Q New O Replacement O Addition
Project Justification:
Needed to alleviate conflict at intersection and to improve pedestrian safety in vicinity of Cucamonga
Junior High School.
Has this project been scheduled in a prior C.I.P.? @ No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 9 0/9 1
Estimated Project Costs Amount Suggests
Design Cost S 4,000 TDA Article 8
Construction Cost S 96,000
Administration Cost S 6.000
Total Cost 1 $ 106,000
Funds available and/orI S 0
already expended
O Yes
Completed 91/92
Amount required first year
Amount required subsequent years
Amount
S 105,000
S 105.000
S 1,000
Balance Required 1
5 106,000 1 TOTAL I S 106,000
CAPITAL. LWROVEMENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering TDA Article 8
Project Tide, Description, and Location:
Signal • Hermosa Avenue @ Church Street
Indicate whether: Q New O Replacement O Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P.? (9) No
Other projects or factors directly related to this project
Indicate fiscal year project should be: Started 9 0/9 1
Estimated Project Costs Amount Suggeste
Design Cost S 4,000 TDA Article 8
Construction Cost $ 100,000
Administration Cost S 6,000
Total Cost 1 $ 110,000
Q Yes
Completed 90/91
Priority No..
TR 90.09
Amount
S 4,000
Funds available and/orI S 0 I Amount required first year I S 4,000
already expended
Amount required subsequent years
S 106,000
Balance Required I S 110,000 1 TOTAL I S 110,000
CAPITAL I]WROVENIENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering
TDA Article 8
. Project Title, Description, and Location:
Uniform Traffic Control Program 1990/91 - Major and Collector Streets
Priority No.
TR 90-13
Indicate whether: @) New O Replacement 0 Addition
Project Justification:
Needed to maintain, install and conform traffic control devices to State and Federal Standards.
Has this project been scheduled in a prior C.I.P.? Q No
Other projects or factors directly related to this project:
• Indicate fiscal year project should be: Started 90/91
Estimated Project Costs Amount Suggests
Design Cost S 1.2,000 TDA Article 9
Construction Cost $ 0
Administration Cost $ 0
Total Cost 1 $ 12,000
Funds available and/orI S 0
already expended
Q Yes
Completed 90/91
Amount required first year
Amount required subsequent years
Amount
S 12,000
S 12,000
S0
Balance Required 1 $ 12,000 1 TOTAL I S 12,000
Ll
0
C
CAPITAL 11V[PROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No..
Division: Engineering
TDA Article 8
TR 90-14
Project Title, Description, and Location:
Traffic Signal Timing, interconnection,
and Coordination Program
Indicate whether: O New
O Replacement O Addition
Project Justification:
Needed to improve traffic flow along major signalized streets.
Has this project been scheduled in a prior C.I.P.? @) No O Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90/91 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
TDA Article 8
S 25,000
Construction Cost
$ 0
Administration Cost
$ 0
Complete Study
S 25,000
Total Cost
S 25,000
Funds available and/or
so
Amount required first year
S 25,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 25,000
5 25,000
Recreation Services
134563
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
----------------------------------------------
RECREATION SERVICES ---RECREATION SERVICES
13 4563 1300 PARTTIME PAYROLL
13 4563 3900 MAINTENANCE 6 OPERATIONS
13 4563 3960 GENERAL LIABILITY
13 4563 6028 CONTACT SERVICES
13 4563 7043 CAPITAL E%PEN.-BUILDING
13 4563 7044 CAPITAL EXPEN.-EQUIPMENT
DEPARTMENT TOTAL
F-
O
W
• 01
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
14,186 22,552 23,536
77,583 125,562 135,356
2,289 3,266 3,517
176,194 197,079 225,517
0 0 13,000
9,920 1,332 5,000
280,172 349,891 406,926
0 17,818 23,536 75,834 75,834 79,506
1,000 34,488 136,356 116,175 116,775 116,775
0 3,517 3,517 3,584 3,584 3,584
0 101,130 226,517 241,658 241,658 241,658
0 6,041 13,000 4,000 4,000 4,060
0 0 5,000 3,200 3,200 3,200
1,000 162,994 407,926 445,051 445,051 448,723
Department/Division:
Community Services I
I
Object No. I
COST CENTER DETAIL WORKSHEET
Program: I Account Number: IFiscal Year
Recreation Fund I 13-4563 I 1990/91
I I
Description of Items S Individual Dollar Amounts I Budget
1300 (Part -Time Payroll
(Day Camp
$15,500 I
(Playground
s0
(Family Socials
s0 I
(Play, Camp
$5,880 I
IPlayschool
$19,250 I
ITerrific 2's
$4,416 I
(Aquatics
134,460 I
Subtotal I
$79,506
I
3900 (Operations and Maintenance
I
I
(Printing
I
(Grapevine
$32,050 I
(Printing
$3,500 1
(Recreation Materials
I
ILions
$1,500 1
IRCNC
$1,500 I
1Playschool
$5,720 1
1 Daycamp
$6,000 1
IPlaycamp
$1,000 1
(Trips d Tours
$14,840 1
(Adult Sports
$22,500 1
(Youth Sports
$4,800 1
(Recreation Programs
I
(Seniors
$1,600 1
ITeens
$1,000 1
(Handicapped
$500 I
(Youth
$1,000 1
(Aquatics
$3,100 I
(Volunteers
$1,700 I
(Recreation Special Events
$14,465 I
Subtotal I
$116,115
I
3960 (General Liability
I
I
I
i
$3,584
I
6028 (Contract Services
I
I
Ilnstructors
$184,344 1
(Officials - Adult Sports
$36,000 I
(Officials - Youth Sports
$4,800 I
ISpecial Event Staff
$5,724 I
(Facility Rental
$10,790 I
1
Subtotal I
$241,658
COST CENTER DETAIL WORKSHEET
•-----------------------I----------------------------I--------------------------I------------i
Department/Division: Program: Account Number: Fiscal Year
Community Services Recreation Fund 13-4563 1990/91
----------------------------------------------------------------------------------------------
Object No. I Description of Items b Individual Dollar Amounts I Budget
----------------------------------------------------------------------------------------------�
7043 ICapital Expenditures
Repairs/Improvements $4,000
Subtotal $4,000
7044 ICapitals Expenditures
Banner System $3,200
Subtotal $3,200
TOTAL $448,723
0
TDA ArOcle 3
164637
•
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
---_------------------------------------------
PEDESTRIAN GRANTS/ART.3--- ENGINEERING ADMIN
i
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
07-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
15 4637 3960 GENERAL LIABILITY 700 747 0 0
16 4637 8716 ARCHIBALD SIDEWALKS 3,295 35,070 800 0
16 4637 8717 TRYON SIDEWALKS 2,088 33,667 32,100 (1,507)
16 4637 9007 BICYCLE/PEO PROGRAM(HANDICAP ACCESS)
16 4637 9008 BICYCLE/PED PROGRAM 0 0 0 0
DEPARTMENT TOTAL 6,083 69,484 32,900 (1,507)
0 0 0 0
0 800 0 0
0 30,593 0 0
117,000 117,000 117,000
0 0 100,000 100,000 100,000
0 31,393 217,000 217,000 217,000
r
•
CAPITAL IMPROVEMENT PROJECT REQUEST
.
Department: Community Development
TTDA
Fund:
Priority Vo
Division: Engineering
Article 3
ST 90-29
Project Title, Description, and Location:
Bicycle/Pedestrian Program (Handicap Access Ramps - Northwest quadrant of City N/O Base Line Rd. &
W/O Archibald Ave.)
Indicate whether: Q New O Replacement O Addition,
Project Justification:
Construction of sidewalks and handicap ramps to improve pedestrian safety. Funding dependent upon
award of TDA Article 3 grant.
Has this project been scheduled in a prior C.I.P.? No O Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90/91 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 5,000
TDA Article 3
S 117,000
Construction Cost
$ 107,000
Administration Cost
$ 5,000
Total Cost
$ 117,000
Funds available and/or
Amount required first year
$ 117,000
already expended
Amount required subsequent years
$ 0
Balance Required
TOTAL
r7$117,1000
S 117,000
0
r1
CAPITAL IMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
TDA Article 3
ST 90-36
Project Title, Description, and Location:
Bicycle/Pedestrian Program - Sidewalks adjacent to Don Tapia Park
Indicate whether: Q New O Replacement O Addition
Project Justification:
Construction of sidewalks and handicap ramps to improve pedestrian safety in the vacinity of Don
Tapia Park. Funding dependent upon award of TDA Article 3 grant.
Has this project been scheduled in a prior C.I.P.? Q No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90/91 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 5,000
TDA Article 3
S 100,000
Construction Cost
S 90,000
Administration Cost
S 5,000
Total Cost
$ 100,000
Funds available and/or
$0
Amount required first year
$ 100,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 100,000
S 100,000
Drainage FacJEtiwanda
19-0637
0
0
REGULAR PAYROLL
0
0
BUDGET PROJECTION WORKSHEET
10/22/90 - CITY OF RANCHO CUCAMONGA
3,985
0
8,926
(ACTUALS TO 12-31-89)
19 4637
1900
FRINGE BENEFITS
2,618
1,841
0
DEPT
COUNCIL
0
3,124
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST
CITY APPROVED
GENERAL LIABILITY
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91
MGR 1990/91
0
DRAINAGE FAC/ETINANDA --- ENGINEERING ADMIN
19 4637
1100
REGULAR PAYROLL
0
6,934
0
0
3,985
0
8,926
0 0
19 4637
1900
FRINGE BENEFITS
2,618
1,841
0
0
0
0
3,124
0 0
19 4637
3960
GENERAL LIABILITY
8,617
4,550
0
0
0
0
0
0 0
19 4637
8154
ETINANDA STORM DRAINS
27,827
343,787
0
0
0
0
0
0 0
19 4637
8765
MASTER DRAINAGE PLAN
18,375
1,026
0
0
3,000
0
0
0 0
19 4637
8840
BASELINE S.D-W/O 115
0
0
627,000
0
0
572,600
0
0 0
19 4637
XXXX
AREA XIV ETINANDA S.D.
0
0
0
0
0
0
0 0
DEPARTMENT TOTAL
57,497
358,138
627,000
0
6,985
572,600
12,050
0 0
L.J
•
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 19
Ennineerinn Ftiwanrin r)rninnna
Position
Classification
Position
Emp. 89/90
Quota Appropriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0.01
0.01
0
195
0
Office Specialist II
11
5679
0.01
0.01
0
211
0
Office Specialist II
12
8682
0.01
0.01
0
199
0
Secretary
53
new
0.01
0
216
0
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0
0
0
Jr. Engineer'
54
new
0
0
0
0
0
Traffic Engineer
3
6800
0
0
0
0
0
Associate Engineer
18
3211
0.01
0.01
0
526
0
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0
0
0
0
0
Assistant Engineer
49
8149
0
0
0
0
0
Assistant Engineer
50
6682
0
0
0
0
0
Engineering Aide
45
152
0
0
0
0
0
Engineering Tech.'
55
new
-
0
0
0
0
Senior Engineer
5
5822
0.01
0.01
0
611
0
Associate Engineer
20
2140
0.01
0.01
0
431
0
Associate Engineer
21
5275
0.01
0.01
0
526
0
Associate Engineer
22
5700
0.01
0.01
0
501
0
Assistant Engineer
29
2641
0.01
0.01
0
390
0
Assistant Engineer
51
4687
0.01
0.01
0
371
0
Jr. Engineer
32
2020
0.01
0.01
0
368
0
Engineering Tech.
36
561
0.01
0.01
0
257
0
Engineering Aide
46
5800
0.01
0.01
0
257
0
Engineering Aide
52
128
0.01
0.01
0
221
0
Assistant Engineer
56
new
-
0.01
0
353
0
Public Works Engineer
6
6350
0.01
0.01
0
579
0
Spr Public Works Insp '
30
4900
0.01
0.01
0
449
0
Public Works Insp.11"
37
115
0.01
0.01
0
386
0
Public Works Insp.11"
38
1075
0.01
0.01
0
386
0
Public Works Insp.
43
2727
0.01
0.01
0
341
0
Jr. Engineer
33
480
0.01
0.01
0
346
0
Pblc Wrks Insp.11'
64
New
-
0.01
NIR
301
0
Subtotal
8,421
0
Merit Contingency:
505
0
Subtotal:
8,926
0
Fringe Benefits
3,124
0
Subtotal:
12,050
0
Part-time
0
0
TOTAL
12,050
0
t Proposed reclassification of
an
Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
'Proposed New Position
N/R Not
Recommended
COST CENTER DETAICWORKSHEET 1990191 •
Department/Division: Program: Account Number: Department City Mgr.
En Ineerin Etiwanda Drainage Fund 19 ProDosed Pro osed
M
Descri tion of Items & Individual Dollar Amounts Bud et Re ular Pa roll 8826 0
Overtime Pa roll
Frin a Benefits & 35% 3124 0
Maintenance & Operations
3960 General Llabili 1% of Operations 0 0
6028 Contract Services
7044 Capital Expenditures
TOTAL 12050 0
Park Development
20.4532
r
N
PARK DEVELOPMENT ---COMM SERV ADMIN
20 4532
1100
REGULAR PAYROLL
0
0
BUDGET PROJECTION WORKSHEET
10/22/90 CITY OF RANCHO CUCAMONGA
0
133,479
0
(ACTUALS TO 12-31-89)
147,710
20 4532
1900
FRINGE BENEFITS
0
0
DEPT
COUNCIL
44,074
44,074
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST
CITY APPROVED
20 4532
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91
NGR 1990/91
80,091
PARK DEVELOPMENT ---COMM SERV ADMIN
20 4532
1100
REGULAR PAYROLL
0
0
125,924
7,555
0
133,479
0
136,168
147,710
20 4532
1900
FRINGE BENEFITS
0
0
44,074
0
44,074
44,074
0
47,659
51,699
20 4532
3960
GENERAL LIABILITY
44,876
52,601
80,091
0
80,091
80,091
0
102,736
102,736
20 4532
8001
PARK SITE ACQUISITION
0
0
0
0
0
0
0
0
0
20 4532
8004
HERMOSA PARK DEVELOPMENT
35,741
21
0
0
0
0
0
0
0
20 4532
8005
ARROW PK.DEV.BEAR GULCH PARK
453
704
0
0
0
0
0
0
0
20 4532
8006
LIONS PARK TENNIS COURTS
587
2,619
160,150
33,652
61,582
193,802
0
0
0
20 4532
8007
BERYL PARK TENNIS COURTS
14,657
10,390
232,805
273,436
90,600
506,241
0
0
0
20 4532
8008
CUCAMONGA CREEK/TRAILS
0
0
0
0
0
0
0
0
0
20 4532
8011
CENTRAL PARK ACQUISITION
3,042
248
0
0
0
0
0
0
0
20 4532
8012
RED HILL COMMUNITY PARK
403
(3,384)
0
0
2,633
0
0
0
0
20 4532
8013
CHURCH STREET PARK
453
704
0
0
0
0
0
0
0
20 4532
8014
WINDROWS PARK
453
704
0
0
0
0
0
0
0
20 4532
8015
WEST BERYL PARK
26,563
6,389
2,452,800
0
19,788
2,452,800
0
0
0
20 4532
8016
ALMOND TRAIL -DESIGN
25
0
0
0
0
0
0
0
0
20 4532
8017
VICTORIA GROVES PARK
453
0
0
0
0
0
0
0
0
20 4532
8018
R C VILLA SEWER LINE ACCESS
0
0
0
0
0
0
0
0
0
20 4532
8611
NORTH TOWNE PARK
19,629
52,927
613,200
0
319,738
613,200
0
0
0
20 4532
8632
SPRUCE AVENUE PARK
453
704
0
0
0
0
0
0
0
20 4532
8633
COYOTE CANYON PARK
453
704
0
0
0
0
0
0
0
20 4532
8761
N/E COMMUNITY PARK
5,600
683,925
149,925
0
305,949
749,925
0
0
0
20 4532
8768
HARD COURT RETROFIT
0
0
52,000
0
0
52,000
0
0
0
20 4532
8769
CENTRAL PARK DESIGN/E
24,364
24
622,500
0
64
622,500
0
0
0
20 4532
8770
CREEKSIDE PARK
4,396
250
412,500
0
0
472,500
0
0
0
20 4532
8771
BACKSTOP RELOCATIONS
7,392
0
0
0
0
0
0
0
0
20 4532
8772
LIGHTING MODIFICATION
6,213
0
0
0
0
0
0
0
0
20 4532
8803
PARK REST SIGNS
0
1,813
0
0
0
0
0
0
0
20 4532
8806
REO HILL HERITAGE BALLFIELO
0
930
76,500
0
39,380
76,500
0
0
0
20 4532
8807
RED HILL/HERITAGE SLOPE
0
0
0
0
0
0
0
63,000
63,000
20 4532
8808
NEIGHBORHOOD PARK ACQUISITION
0
99,211
0
0
0
0
0
3,003,000
3,003,000
20 4532
9874
COMMUNITY SERVICES
2,596,602
0
0
0
0
0
•
PROGRAM POSITION/SALARY SCHEDULE 1990/91
Department: Community
Services
Division:
Park Development
Fiscal Year
1990/91
Fund 20
------------------------------------------------------------------------------------
Position Quota
I Appropriations
PositionI
-------------------------------------------------------------�
Classification
jCurrentj
Dept. I
Mgr. I
I Dept.
I Mgr.
I Adopted
Title
Level I
Rcmd. I
Rcmd. jAdoptedl Rcmd.
I Rcmd.
I Budget
---------------------I-------I-------I-------I-------I---------I---------I---------�
Associate Park Plnr
1 100$1
100$j
100$1
100$1 $44,424
1 $44,424
1 $49,824
Assist Park Planner
1 100$1
100%1
100$
100$1 $31,296
1 $31,296
1 $34,958 1
Park Ping/Dev Supt
1 0%1
100$
100$
100$1 $53,964
1 $53,964
1 $55,884
Subtotal
1
1$119,684
1$129,684
1$140,616
Merit Contingency
1
1 $6,484
1 $6,484
1 $7,034 1
Subtotal
1
1$136,168
1$136,168
1$147,710
Fringe Benefits
1
1 $47,659
1 $47,659
1 $51,698 1
Total
1
1$183,827
1$183,827
1$199,408
•
0
0
0
COST CENTER DETAIL WORKSHEET 1990/91
Department/Division: Program: Account
Number:
IFiscal Year
Community
Services Park Development 20-4532
1 1990/91
-------------------------------------------------------------------------------------------�
Object No.
I Description of Items & Individual Dollar Amounts
I Budget
-------------------------------------------------------------------------------------------
1100
IRegular Salary
$147,710
1900
JFringe Benefits
$51,699
8807
ISlope Planting Heritage/Red Hill
$63,000
8808
INeighborhood Park Acquisition
$3,003,000
8906
IN/E Community Park Debit Retirement
$402,235
8908
ICentral Park Debit Retirement
$1,287,900
8923
(Heritage Park Field Renovation
$150,000
8924
IN/E Community Park Conceptual
$97,000
8924
lRed Hill Park Field Renovation
$25,000
6931
JReroofing - Heritage and Red Hill Buildings
$123,000
9009
lWilliam Lyon Reimbursement
$1,003,000
9010
ISports Lighting Controllers
$52,000
1
9011
JGrass Vollyball Courts
$11,000
9012
lEtiwanda High School Installation
$814,000
9013
JCucamonga Elementary Installation
$489,000
9014
18ear Gulch Elementary Installation
$23,500
9015
JVarious School Improvements
$1,014,000
9016
lCommunity Centers Improvements
$230,000
9017
JDon Tibuicio Tapia Park Construction
$577,000
9018
IN/E Community Park Purchase
$798,000
9019
lHeritage Park Equestrian Safety Course
$6,000
9020
INeighborhood Park Design
$83,000
9021
JRancho Cucamonga Neighborhood Center
$20,000
Subtotal 1$10,273,635
9999 115$ Administration $1,541,045
3960 lGeneral Liability $102,736
Total 1$12,116,825
CAPITAL IMPROVEMENT PROJECT P,EOUEST
Department Community Services Fund
•Division Park Development 20-4532
Project Title, Description, and Location:
William Lyon Reimbursement
Priority No.
Indicate whether New: v Replacement: or Addition:
Irrglect Justirlcation:
Reimbursement to the William Lyon Company for dedication of Groves, Kenyon, and
Vintage Parks in lieu of fees collected for park development requirement.
Ass this project been scheduled in a prior C.I.P.?
Other projects or factors directly related to this project:
No
Indicate fiscal year project should be: Started on_ol Completed 90-41
Estimated Project Costs Amount -Suggested Financial mount 1
Payment 11,000,000. I Park Development Fund
Administration 3,000. PDF
---•-• �uuar requsreo riser year
already expended
Amount required subsequent
• ilance Required TOTAL
Lequk-e-sted
.ccommanded by: Division Head For Managers sex
By: (Dapartment Head)
11,000,000.
3,000.
1,003,000.
1,003,000.
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Community Services Fund
.Div isioa Park Development 20-4532 Priority No.
Project Title, Description, and Location:
Sports Lighting Controllers _
Indicate whether New: r Replacement:or Addition:
Project Justification:
Purchase and installation of microprocessor controllers for user access and City
monitoring of sports lighting systems at -various locations.
Sas this project been scheduled in a prior c.I.P.T t.JFes ® No
Other projects or factors directly related to this project:
Indicate fiscal year
project
should be:
Started 90-9— 1
completed
90-91 I
. Estimated Project
Costs
Amount
Suggested
linanein$
Amount
Purchase and Installation .40,000. PDF
Inspection 7,000. PDF
Administration 5,0 1 PDF
runas available
already expended
• :lance Required
40,000.
7,000.
5,000.
requires rivet year
52,000.
required subsequent years _0_
CAPITAL IMPROVEMENT PROJECT REMST �
Department Fund
Division Community Services
.Park Development 1 20-4532 Priority No.
Project Title, Description, and Location:
Grass Volleyball Court Installation
Indicate whether New: v Replacement: or Addition:
(Project Justification:
Installation of Grass Volleyball Courts in existing park facilities.
• das this project been scheduled in a prior C.I.P.? =as ® No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 9090-91 Completed
Estimstad Project Costs Amount Su`testsd financing Amount
Design and Constructionr
•2,500.
PDF
2,500.
Inspection
3,500.
PDF
I
3,500.
I
Administration
5,000.
I
PDF
5,000.
Funds available
already expanded
slant• Required
Requested By:
requires tsrst year
required subsequent years
a use:
11,000.
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Fund
Community Services
Division Park Development 1 20-4532 Priority No.
• Project Title, Description, and Location:
Etiwanda High School'
Indicate whether New: x Replacement: or Addition:
Project Justification:
Renovation of Etiwanda High School to provide lighted ballfields, and soccerfields
as well as restroom facilities per City/School Joint Use Agreement
• 3as this project been scheduled in a prior C.I.P.? �as ® No
Other projects or factors directly reletad to this project:
(Indicate fiscal year project should be: Started 9090-9-- 1I
Completed
IEstimated Project Costs Amount Suggested financing Amount
Construction 800,000. PDF 800,000.
Inspection 7,000. PDF 7,000.
Administration 7,000. PDF 7,000.
---•••••-• �aac requarma rsrsc yaws 814,000.
already expanded -
Amount required subsequent years -0-
Iilance Required TOTAL 814,000..
ccommendad By: Division Nead For hanasar • set
Requested By:
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Community Services Fund
•Division Park Development 20-4532 Priority No.
iProject Title, Description, and Location:
Cucamonoa Elementary
Indicate whether New:. v Replacement: or Addition•
irroiecc juatiiication:
Renovation of Cucamonga Elementary School to provide ballfields, hardcourts, playfield
and parking facilities per City/School Joint Use Agreement.
Oiaa this project been scheduled in a prior C.I.P.? �as =No
Other projects or factors directly related to this project:
Indicata fiscal year project should be: Started 9090-91 Completed
Estimatad Project Costs Amunt Suggested Financing Amunt
Construction
Inspection
Administration
Funds available and/or
already expanded
dance Required
:commended By:
tad By:
475,000. PDF
7,000. PDF
7,000. PDF
tmant
requiraa drat yaar
required subsequent
475,000.
7,000.
7,000.
489,000.
-0-
489,000.
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Community Services Fund
Division Park Development 20-4532
Priority Na.
Project Title. Description, and Location: _.
Bear Gulch'Elementary .
Indicate vhether New: x Replacement: or Addition-
rrvjecc .+uacuicacion:
Installation of exercise stations and backstops per City/School Joint Use Agreement.
• 4as this project been scheduled in a prior C.I.P.? =as = No
Other projects or factors directly related to this pzojeet:
Indicate fiscal year project should be: Started 9090 Completed
Estimated Project Costs Amount Suggested Tisancins Am=;
Design and Construction •15,000. PDF 15,000.
Inspection 3,500. PDF 3,500.
Administration 5,000. PDF 5.000.
Funds available and/or Aaount required first year
already expended 23,500.
Amount required subsequent years
i -
• alance Required
,Kccommendad BY:
a uses
23.500.
CAPITAL IMPROVEiMENT PROJECT REQUEST
Department Fund
Community Services
Divisd"t Park Development 20-4532 Priority No.
• Project Title, Description, and Location:
Various School Improvements'.
(Indicate whether New: x Replacement:. or Addition:
(Project Justification:
Installation of improvements at various school facilities per City/School Joint
Use Agreements.
• las this project been scheduled in a prior C.I.P.? =es ® No
Other projects or factors directly related to this project:
90-91
Indieaca fiscal year project should be: Scarred Completed 91-92
IEstimacad Project Costs Amount Suggested Financing Amount
Design and Construction
41000
,000,000.
PDF
1,000,000.
Inspection
Administration
7,000.
7,000.
PDF
I PDF
7,000.
I
7,000.
Funds available and/or Amount required first year 1,014,000.
already expanded
Amount required subsequent years 503,000.
11 :lance Required TOTAL 1,517,000.
f.ccommended By: Division Hand For Managers se:
Requestod By: (Department Head)
-11-
•
CAPITAL IMPROVE1•1ENT PROJECT RE9UEST
Department Community Services
Fund
Division Park Development
0-4532
20-4532-
Project
Project Title, Description, and Location:
Community Center Improvements-
mprovementsIndicate
Indicatewhether New: y Replacement: or Addition:
Project Juscification:
Improvements at Lions Park Community Center to include the addition
of two lobby areas.'
Has this project been scheduled in a prior C.I.P.? as
© No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started90909_ Completed
Estimated Project Costs
Amount
Suggested Fiaancing
Amount
Design and Construction
225,000.
PDF
225,000.
Administration
5,000.
PDF
51000.
Funds available and/or
Amount required first year
already expended
230,000.
Amount required subsequent years
4_
&lance Requirsd
TOTAL
230,000.
decommended By: Division Read
For Managers Use:
Requesced By: (Department Need)
•
CAPITAL IMPROVEMENT PROJECT REM EST
Department Fund
Community Services
Division Park Development 20-4532 • Priority No.
Project Title, Description, and Location:
Don Tibuicio Tapia Park t'..
Indicate whether Nev: X Replacement: or Addition:
rroject Justification:
Construction of the three acre Don Tibuicio Tapio Park at the southern terminus of
the previously completed trail project and further development of the confluence
rest area.
fns this project been scheduled in a prior C.I.P.? =as = No
Other projects or factors directly related to this projact:
Indicate fiscal year project should be: Startedgn9_ Completed on -pi
Estimated Project Costs
Amount
Suggested Financing
Amount
Construction
550,000.
RCPDF
Inspection
20,000.
RCPDF
550,000:
Administration
7,000.
RCPDF
20,000.
7,000.
Funds available and/or Amount required first year
already expanded 577,000.
Amount required subsequent years
' dance Roquired TOTAL 577,000.
.ccommsnded By: Divlsioa Hsed For !tanager, s Use:
Requested By: (Department Head)
_'Io—
CAPITAL IMPROVEMENT PROJECT RE9UEST
Department Community Services Fund
Division park Development 20-45
• Project Title, Description, and Location:
N/E Community Park Conceptual
Priority No.
Indicate whether New: x Replacement: or Additions
, wi-4 jusruuarlon:
Development of a Conceptual Design for the 53 acre community park. Design to
include a community center, various lighted sports fields, and other amenities
as identified by a community design task force.
.las this project been scheduled in a prior C.I.P.?
Other projects or factors directly related to this project:
No
Indicate fiscal year project should be: Started 90-91— 90_91 I
Completed 11
Estimated Project costs Amount Suggested rinancin; I Amount
Conceptual Design 90,000. RCPDF
Administration 7,000. 1 RCPDF
Funds available
already expended
:lance Required
:commended By:
quested By:
required first year
required subsequent years
90,000.
7,000.
97,000.
M
97,000.
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Fund
Community Services
Division Park Development 1 20-4532 Priority No. j
• Project Title, Description, and Location:
N/E Community Park Purchase
Indicate whether New: Replacement: or Addition:
Project Justification:
Purchase of the 15.145 acre parcel to complete the acquisition totaling 53.205 acres
for Northeast Community Park. Purchase will complete the final general plan
community park design.
• 9as this project been scheduled in a prior C.I.P.? =as = No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90-91 Completed 90-91
Estimated Project Costs Amount 'Suggested Financing I Amount
Land Acquisition
Administration 1%
Funds available
already expanded
&lance Raquired
ecommended By:
Requested By:
or
795,000.I RCPDF 1795,000.
3,000. RCPDF 3,000.
requaraa rirsc year 798,000.
required subsequent years -0-
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Fund
Community Services
•
Division Park Development 20-4532 lPrLority No.
Project Title, Description, and Location:
Equestrian .Safety Course.
Indicate whether New:. Replacement: or Addition:
Irroject Juatlfication:
Installation of equestrian safety course at Heritage Community Park
•Ass this project been scheduled in a prior C.I.P.? L�JYa1 ® No
Other projects or factors directly related to this project:
Construction
Administration
Funds available
already expanded
0,lance Required
.-cconsiended BY:
5,000. I RCPDF
3,000. RCPDF
Head
requires rirsc year
required subsequent years
5,000.
3,000.
8,000.
-0-
8,000.
Indicate fiscal year
project
should be:
Started 90-9_��90-91
Completed
Estimated Project
Costs
Amount
Suggested
financing
Amount
Construction
Administration
Funds available
already expanded
0,lance Required
.-cconsiended BY:
5,000. I RCPDF
3,000. RCPDF
Head
requires rirsc year
required subsequent years
5,000.
3,000.
8,000.
-0-
8,000.
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Community Services Fund
.Division Park Development 20-4532 Priority No.
Project Title, Description, and Location:
Neighborhood Park Land Acquisition
Indicate whether New: X Replacement: or Addition:
:
Project Justification:
Purchase of land for neighborhood park sites. Areas of target are: Southwest region,
North central region, and Northwest region.
• .faa this project been scheduled in a prior C.I.P.? Yes No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90-91 Completed 91-92
IEstimated Project Costs Amount Suggested Financing Amount
Initial Acquisition 13,000,000
Total Cost Unknown
Administration 3,000
already expended
• ,lance Required
Y:
RCPDF 13,000,000.
RCPDF 3,000.
required first year
• 3,003,000.
required subsequent years 1,503,000.
4,506,000.
CAPITAL IMPROVEMEW PROJECT REQUEST
DepartmentFund
Community Services
•Division Park Development 20-4532 Priority No.
Project Title, Description, and Location: _
Neighborhood Park Design.
Indicate whether New: Replacement: or Additions
laroject Justification:
Development of conceptual and construction drawings for a future neighborhood park
(actual location as yet unknown)
• :Sas this project been scheduled in a prior C.I.P.? �as ® No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90-91 _
Completed
Estimated Project Costs Amount Suggested Financing Amount
DesignI 3, '80,000 . 000 I RCPDF 180,000.
Administration RCPDF 3,000.
runas avaitaoae annior Amount requited first year 83,000.
already expanded -
Amount required subsequent rears 43,000.
• Slane. Required TOTAL 126,000.
ftcconosaded By: Division KsadY For Manager's Use:
Requested By: .(Department Head)
_11_
CAPITAL IMPROVEMENT PROJECT RE9UEST
Department Fund
Community Services
Division Park Development 20-4532 Priority No.
• Project Title, Description, and Location:
Slope Planting Heritage and Red..Mjl-':PaFks _
Indicate whether New: Replacement: or Addition:
Project Justification:
Per the request of the engineering department, funds to repland the 2:1 slopes at
Heritage and Red Hill Community Parks.
*Ass this project been scheduled in a prior C.I.P.?
Other projects or factors directly related to this project:
No
Indicate fiscal year project should be: Started 9090-9— 1 Completed
Estimated Project cents Amount I Suggested Financing Amount
Materials and Installation 60,000. RCPDF 60,000.
Administration 3,000. RCPDF 3,000.
Funds available and/or Amount required first year 63,000.
already expanded -
Amount required subsequent years -0_
lilance Required TOTAL
By:
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Community Services Fund
Division Park Development 20-4532 Priority No.
iProject Title, Description, and Location:
Reroofing Heritage and Red Hill'Buildings
Indicate whether Nov: Replacement: or Addition:
Project Justification:
Per the request of the engineering division, funds to reroof the restroom, maintenance
and equestrian buildings.
• Ass this project been scheduled in a prior C.I.P.? Yes � No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90-91 Completed
Estimated Project Costs Amount Suggested Financing Amount
Construction
Administration
runas avaitaole
already e:pesded
•ilance Required
.,cco�nded 8v:
Requested By:
•120,000I RCPDF
3,000. RCPDF
120,000
3,000.
or Amount required first year
• 123,000.
Amount required subsequent years _0 -
talent
-11-
CAPITAL IMPROVEMENT PROJECT RE9UEST
Department rl�d
Community Services
Division Park Development 20-4532 Priority No.
Project Title, Description, and Location:
N/E Community Park Debit Retirement =`
Indicate whether New: Replacement: or Addition:
irrojecc Jusciticacion:
For retirement of certificates of participation to purchase land for N/E Community Park.
des this project been scheduled in a prior C.I.P.?
Other projects or factors directly related to this project:
No
Indicate fiscal year project should be: Started 89-90 1998
Completed
Estimated Project Coats Asount 'Suggested riaaaela5 Aaount
Debit Retirement 2,875,000. RCPDF
402,235.
Funds available
already enpesded
dance Required
:commended by:
cod By:
raquaraa tirsc year
required subsequent yurs
402,235.
487,710
889,945.
CAPITAL IMPROVEMENT PROJECT REQUEST
Division
partment Fund
Community Services
Park Development 20-4532 Priority No.
• oject Title. Description, and Location:
Central Park Debit Retirement _
Indicate whether New: Replacement: of Additions
Project Justification:
For retirement of certificates of participation for purchase of land for Central Park.
•.las this project been schedulad in a prior c.I.p.t =as No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Scatted 89-90
� Completed 1994
Estimated Project Costs Amount Suggested Financing Amount
Debit Retirement ' 6,390,000. -1 RCPDF
Funds available
already expended
&lance Required
Requested By:
-11-
1,287,900.
required first year 1,287,900.
required subsequent years 1,290,853.
s
75
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Fund
Community Services
Division Park Development 20-4532 Priorit? No.
• Project Title, Description, and Location:
Heritage Park
(Indicate whether New: x Replacement: or Addition:
Irro]ecc Justiilcation:
Per the request of the engineering division, the renovation and upgrade of the
east side little league and soccer fields.
.las this project been scheduled in a prior C.I.P.? �jX Yas = No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Startedgn-91 Completed gn_gt I
Estimated Project Costs Amount Suggested Iinancinf Amount
Construction
Funds available
already expanded
dance Required
quested By:
or
150,000. 1 PDF
�wpr raqusrso rarsc Year
Amount required subsequent
TOTAL
Fat Mssagsr s Uses
31
150,000.
150,000.
-0-
150,000.
CAPITAL IMPROVEMENT PROJECT REQUEST
Department Community Services Fund
Division Park Development 20-4532 Priority No.
Project Title, Description, and Location:
Red Hill Paris -
Indicate whether News Replacement:or Addition:
Project Justification:
Per the request of the engineering division, Baseball field Renovation of the little
league and senior fields (includes completion of little league field fencing).
�dss this project been scheduled in a prior C.I.P.? [=as No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90-91 Completed 90-91
Estimated Project Costs Amount Sugammod Fimaacias Amount
Construction
Funds available
already expended
ilance Raquired
ecommaadad BY:
Requestad By:
or
•25,000. 1 RCPDF
rsquarss :asst yeas
required subsequent
25,000.
25,000.
-0-
CAPITAL IMPROVEMENT PROJECT RE9UEST
Department Fund
Community Services
Divillob Park Development 20-4532• Priority No.
is Project Title, Description, and Location:
Rancho Cucamonga Neighborhood•Center
Indicate whether New: Replacement: or Addition:
Irra,;scc duatlLication:
Per the request of the engineering division, installation of handicap ramps and
handrails.
.ias this project been scheduled in a prior C.I.P.?
Other projects or factors directly related to this project:
No
(Indicate fiscal year project should be: Started 90-9190-91 I
Completed
IEstimated Project Costs Asouat Su`tested.Finaneing Amount
Installation I . 20,000. I RCPDF
20,000.
Funds available and/or Amount required first year
already expended 20,000.
Amount required subsequent years
Llance Required TOTAL 20,000.
�..ctommended By: Divialoa Nead For managers Uses
Requested By: (Department Head)
-11-
Beautification
214647
•
0
REGULAR PAYROLL
60,533
0
BUDGET PROJECTION WORKSHEET
10/22/90 CITY OF RANCHO CUCAMONGA
45,581
0
125,794
(ACTUALS TO 12-31-89)
80,411
21 4647
1900
FRINGE BENEFITS
25,425
29,074
DEPT
COUNCIL
0
0
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST
CITY APPROVED
21 4647
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91
MGR 1990/91
0
BEAUTIFICATION ---MAINTENANCE
21 4647
1100
REGULAR PAYROLL
60,533
89,714
0
0
45,581
0
125,794
74,554
80,411
21 4647
1900
FRINGE BENEFITS
25,425
29,074
0
0
0
0
44,028
25,094
28,144
21 4647
3931
VEHICLE MAINT.6 OPERATIONS
0
0
0
0
0
0
0
0
0
21 4647
3960
GENERAL LIABILITY
40,277
20,431
0
0
0
0
0
0
0
21 4647
8046
CARNELIAN AVE. LANDSCAPE
357
17,091
5,000
(16,124)
84,514
48,500
1,000
1,000
1,000
21 4647
8047
BASELINE BEAUTIFICATION
81,963
13,328
0
0
0
0
0
0
0
21 4647
8135
ARCHIBALD AVE. BEAUTIFICATION
53,592
10,097
0
0
0
2,000
1,000
1,000
11000
21 4647
8136
0
0
0
0
0
0
0
0
0
21 1647
8137
FOOTHILL BLVD. DESIGN ELEMENT
0
0
0
0
0
0
0
0
0
21 4647
8138
HAVEN BEAUTIFICATION/MEDIANS
1,489,735
672,900
0
0
953
0
0
0
0
21 4647
8601
HERMOSA AVE. UNDERGROUND
0
0
0
0
0
0
0
0
0
21 4647
8615
HERMOSA AVE. UNDERGROUND
0
0
0
0
0
0
0
0
0
21 4647
8623
OPAL ST. MALL
0
0
0
0
0
0
0
0
0
21 4647
8624
ETIWANOA CURB
50,800
0
0
0
0
0
0
0
0
21 4647
8118
MILLIKEN 6 6TH ST. ME
0
43,412
3,000
0
107
7,000
3,000
3,000
3,000
21 4647
8119
ENTRY MONUMENTS
43,052
57,890
246,000
(15,000)
2,782
305,500
122,000
122,000
122,000
21 4647
8720
19TH ST./SAPPHIRE-HERMOSA
24,505
2,747
0
0
0
0
0
0
0
21 4647
8721
HERMOSA NORTH OF LEMON
0
0
0
0
0
0
0
0
0
21 4647
8722
ROCHESTER/FOOTHILL TO
0
197
0
0
(30)
0
0
0
0
21 4547
8723
MISC. BRIDAL TRAIL
33,855
114,923
0
(4,541)
633
(4,541)
0
0
0
21 4647
8724
HAVEN PKWY STUDY CITY
22,494
34,582
0
0
9,870
0
0
0
0
21 4647
0725
CHURCH ADJ. TO JR. HIGH
0
0
0
0
0
0
0
0
0
21 4647
8778
CITY-WIDE TREE INVENTORY
0
98,498
10,000
(9,000)
5,000
1,000
2,000
2,000
2,000
21 4647
8786
19TH 0 ARCHIBALD
0
0
0
0
0
0
0
0
0
21 4547
8787
19TH 0 HERMOSA
0
476
0
0
2,190
0
0
0
0
21 4647
8788
19TH 0 WEST LIMIT
0
1,510
0
0
2,170
0
0
0
0
21 4647
8789
19TH BEAUTIFICATION STUDY
0
1,042
0
0
0
0
0
0
0
21 4647
8790
ARCHIBALD PARKWAY IMPROVEMENT
0
2,236
2,000
14,050
2,562
2,000
0
0
0
21 4647
8791
BASELINE-HELLMAN-ARCHIBALD
0
4,934
5,000
0
2,097
1,000
0
0
0
0
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
0 •
10/22/90 CITY OF RANCHO CUCA14ONGA
21 4547 8792 BASELINE-RAMONA-TEAK
21 4647 8793 BASELINE W/O CARNELIAN
21 4647 8794 HAVEN MEDIANS III
21 4647 8795 HAVEN MEDIANS IV
21 4647 8796 NOTE VISTA MEDIANS
21 4647 8814 MILLIKEN MED IMP/4TH
21 4647 8822 88/89 ETINANDA COBBLE
21 4647 8842 VINEYARD/CARNELIAN PKWY STUDY
21 4647 9843 BASELINE PARKWAY 6 MEDIAN
21 4647 8844 BASELINE PARKWAY IMP/ARCH
21 4647 0845 SAPPHIRE TRAIL RETROFIT
21 4647 8871 8EAUT MST PLAN/FEE NEXUS STUD
21 4647 8932 MONTE VISTA MED IMP
21 4647 8933 CARR $T WEST/VINE-BASELINE
21 4647 8934 VINEYARD AVE PKY/SAN ENDO RD
21 4647 8935 ROCHESTER EAST-FOOTHILL/BASE
21 4647 ARROW RT PKY STDY
21 4647 BASELINE ENTRY 0 E
21 4647 K%KX 4TH ST GATEWAY PROJECTS
21 4647 HAVEN PRY IMPROV
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
-------------------------------------------------------------------------------------------------
0 0 0 0 0 0 0 0 0
0 53,266 5,000 13,000 30,047 42,600 1,000 1,000 1,000
0 1,010,339 5,000 137,250 260,101 130,100 1,000 1,000 1,000
0 0 150,000 (165,158) 1,575 7,000 0 0 0
0 431 0 0 850 0 0 0 0
0 9,900 390,000 (26,000) 7,844 137,000 211,000 211,000 211,000
0 0 2,000 33,210 1,320 42,000 0 0 0
0 0 2,000 28,200 1,500 2,800 0 0 0
0 14,043 2,000 0 3,476 5,000 2,000 2,000 2,000
0 0 1,000 10,000 0 1,000 0 0 0
0 2,613 51000 100,844 74,208 126,700 0 0 0
0 0 2,000 40,000 0 37,000 0 0 0
0 0 30,000 0 0 1,000 30,000 38,000 38,000
0 0 20,000 0 0 20,000 0 0 0
0 0 5,000 0 0 5,000 0 0 0
0 0 260,000 0 14,661 74,000 285,000 285,000 285,000
0 0 0 0
0 0 0 0
0 0 0 0
DEPARTMENT TOTAL 1,926,598 2,305,734 1,150,000 140,731 554,092 994,259 836,822 767,648 775,555
•
•
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 21
Enaineerina Beautification
Position
Classification
Position
Emp. 89/90
Quota Appropriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0.04
0.04
0
780
0
Office Specialist II
11
5679
0.11
0.04
0.01
845
236
Office Specialist II
12
8682
0.04
0.04
0.01
796
228 J
Secretary
53
new
-
0.06
0.01
1293
227
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0.8
0.8
0.8
32323
36077
Associate Engineer
15
7413
0
0
0.01
0
532
Jr. Engineer'
54
new
0
0
0.01
0
323
J
Traffic Engineer
3
6800
0.03
0.03
0.01
1834
682
Associate Engineer
18
3211
0.05
0.05
0.01
2632
559
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0.01
0.01
0.01
453
481
Assistant Engineer
Assistant Engineer
49
50
8149
6682
0.01
0.06
0.01
0.06
0.01
0.06
353
2119
375
2250
Engineering Aide
45
152
0.02
0.02
0.02
442
556
Engineering Tech.'
55
new
-
0.02
0.02
627
0
Senior Engineer
5
5822
0.1
0.1
0.05
6113
3327 t/J
Associate Engineer
20
2140
0.11
0.11
0.05
4743
2406 j
Associate Engineer
21
5275
0.11
0.11
0.05
5790
2794
Associate Engineer
22
5700
0.11
0.11
0.05
5508
2739 1j
Assistant Engineer
29
2641
0.11
0.11
0.05
4293
2177 V
Assistant Engineer
51
4687
0.11
0.11
0.05
4084
1970 J
Jr. Engineer
32
2020
0.11
0.11
0.05
4043
1614 d
Engineering Tech.
36
561
0.11
0.11
0.05
2823
1536
Engineering Aide
46
5800
0.11
0.11
0.05
2823
1505
Engineering Aide
52
128
0.11
0.11
0.05
2431
/
1390 v,
Assistant Engineer
56
new
-
0.11
0.05
3885
1875
Public Works Engineer
6
6350
0.07
0.07
0.05
4050
3165
Spr Public Works Insp '
30
4900
0.13
0.13
0.05
5833
2430 J
Public Works Insp.11"
37
115
0.13
0.13
0.05
5023
1894 d
Public Works Insp.11"
38
1075
0.13
0.13
0.05
5023
2092
Public Works Insp.
43
2727
0.02
0.02
0.01
682
392
Jr. Engineer
33
480
0.09
0.09
0.02
3116
750 d
Pblc Wrks Insp.11'
64
New
-
0.13
N/R
3914
0
Subtotal
118,674
76,582
Merit Contingency:
5,934
3,829
Subtotal:
124,608
80,411
Fringe Benefits
43,613
28,144
Subtotal:
168,221
108,555
Part-time
0
0
TOTAL
168,221
108,555
t Proposed reclassification of
an Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
Pro osed New Position
N/R Not
Recommended
• COST CENTER DETAAORKSHEET 1990/91
Department/Division: Program:
En ineerin Beautification
Account Number:
Fund 21
Department
ProDosed
City Mgr.
ProDosed
Obiect No. I Description of Items & Individual Dollar Amounts
Bud et
1100 Re ular Pa roll
125794
80411
1200 Overtime Payroll
1900 Frincia Benefits & 35%
44028
28144
3900 Maintenance & operations
3960 General Liabili 1% of Operations
0
0
6028 Contract Services
7044 Capital Expenditures
TOTAL
169822
1 108555
•
•
CAPITAL, INIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund: -
Priority No.
Division: Engineering
Beautification
BT 88-10
Project Title, Description, and Location:
Milliken Avenue Parkway and Median
Beautification Study - Southern City Limit to Northern
City Limit
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Inventory of existing conditions and
development of design guidelines.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
Beautification
S 2,000
Construction Cost
S 0
Administration Cost
s 0
Complete Study
S 7,000
Total Cost
S 7,000
Funds available and/or
S 5,000
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 2,000
S 2,000
CAPITAL 1IMPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priori[v No..
Division: Engineering
Beautification -
BT 88-21
Project Title, Description, and Location:
6th Street Median Beautification Study
- Haven to old Rochester
Indicate whether: Q New
Q Replacement Q Addition
Project Justification:
Inventory of existing conditions
and development of design guidelines.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 87/88 Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
Beautification
S 1,000
Construction Cost
$ 0
Administration Cost
S 0
Complete Study
$ 3,000
Total Cost
S 3,000
Funds available and/or
S 2,000
Amount required first year
S 1,000
already expended
Amount required subsequent years
S 0
Balance Required$
TOTAL
1,000
S 1,000
•
C�
11
CAPITAL. DAPROVEMENT PROTECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Beautification
BT 88.06
Project Title, Description, and Location:
Haven Avenue Gateway Entry Monument
at Fourth Street - East Side
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
For city identity, monument walls with appropriate landscaping to be installed.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related
to this project:
Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 5,000
Beautification
S 1,000
Construction Cost
$
230,000
Administration Cost
S
11,500
Total Cost
S
246,500
Funds available and/or
S
245,500
Amount required first year
S 1,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 1,000
$ 1,000
CAPITAL, IMPROVE-IENT PROJECT REQUEST
Department: Community Development
Fund:
Priority
Division: Engineering
Beautification
BT 88-i1
Project Tide, Description, and Location:
Milliken Avenue Gateway Entry Monument @ Fourth Street - East Side
Indicate whether: 0 New 0 Replacement Q Addition.
Project Justification:
For City identity, monument walls with appropriate landscaping to be installed.
Has this project been scheduled in a prior C.I.P.? 0 No Q Yes
Other projects or factors directly related to this project: BT 88-30
Indicate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 51000
Beautification
S 121,000
Construction Cost
S 115,000
Administration Cost
S 6,000 '
Total Cost
$ 126,000
Funds available and/or
S 5,000
Amount required first year
S 121,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
5 121,000
S 121,000
•
L� CAPITAL I IPROVEMEtiT PROJECT REQLEST
Department: Community Development
Fund:
Priori[y No.
Division: Engineering
Beautification
BT
8807
Project Title, Description, and Location:
Archibald Parkway Beautification Study
• Southern City Limit to Northern City Limit
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Conduct study of beautification needs
and design elements for Archibald Avenue Parkways.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related
to this project:
Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
Beautification
$ 1,000
Construction Cost
S 0
Administration Cost
$ 0
Complete Study
$ 3,000
Total Cost
S 3,000
Funds available and/or
S 2,000
Amount required first year
$ 1,000
already expended
Amount required subsequent years
$ 0
Balance Required
TOTAL
$ 1,000
r
1 1,000
1
CAPITAL LMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Division: Engineering
_
Beautification
P,;ority •,Io .
Project Title, Description, and Location:
Carnelian Street East Side Parkway
Beautification Improvements - Vineyard Avenue to Base
Line Road
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Beautification of barren parkways,
and relandscaping of existing areas
Has this project been scheduled in a
prior C.I.P.? O No 0 Yes
Other projects or factors directly related to this project: DR 88-19, ST 88-46
/ Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project CostsAmount
Suggested Financing
Amount
Design Cost
so
Beautification
S 1,000
Construction Cost
$ 11,000
Administration Cost
S 38,550
Total Cost
S 49,550
Funds available and/or
S 48,550
Amount required first year
S 1,000
already expended
I
Amount required subsequent years
5 0
Balance Required
TOTAL
S 1,000
0
0
0
CAPITAL VvIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Beautification
MP 88-05
Project Title, Description. and Location:
City Wide Tree Inventory & Management
Program. Project delayed due to lack of funding.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Inventory off all City trees including
size, type, location and condition.
Has this project been scheduled in a prior C.I.P.? O No QQ Yes
Other projects or factors directly related
to this project:
Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
Beautification
$ 2,000
Construction Cost
$ 0
Administration Cost
$ 0
Complete Study
$ 2,000
On-going Updates
$ 0
Total Cost
S 2,000
Funds available and/or
S 0
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 2,000
$ 2.000
CAPITAL INIPROVENIENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering I Beautificarinn
.Project Title, Description, and Location:
i
Baseline Road Parkway Beautification Improvements - West City Limits to Carnelian
Indicate whether: Q New
Q Replacement QQ Addition
Priority No.
BT 88-13
Project Justification:
Parkway wall reconstruction, lighting, and landscaping in accordance with the Landscape Master Plan
for Baseline Road
Has this project been scheduled in a prior C.I.P.? O No Yes
Other projects or factors directly related to this project:
• Indicate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs Amount Suggested Financing Amount
Design Cost S 0 Beautification S. 1,000
Construction Cost $ 5,000
Administration Cost $ 1,000
Total Cost I S 6,000
Funds available and/orI S 5,000 I Amount required first year I S 1,000
already expended
Amount required subsequent years I S 0
Balance Required I S 1,000 1 TOTAL I 5 1,000
•
•I
CAPITAL B PROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Division: Engineering
Beautification
Priority No.
BT 88-03
Project Title, Description, and Location:
Haven Avenue Median Improvements, Phase III - South of Lemon Avenue to North of Wilson Avenue.
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Median Improvements from Lemon Avenue to Wilson Avenue.
Has this project been scheduled in a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
Beautification
S 1,000
Construction Cost
$ 100,000
Administration Cost
S 31,700
Total Cost
$ 131,700
Funds available and/or
S 130,700
Amount required first year
S 1,000
already expended
Amount required subsequent years
S 0
Balance RequiredS
TOTAL
1,000
S 1,000
a
•
CAPITAL LMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Division: Engineering
- Beautification
Priority No.
BT 88-30
Project Title, Description, and Location:
Milliken Median Improvements - 4th Street to Sixth Street
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Beautification of existing barren
medians from 4th to 6th, includes landscaping and irrigation per
Milliken Avenue Beautification
Study.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: BT 88-11
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 8,000
Beautification
$ 211,000
Construction Cost
$ 205,000
Administration Cost
$ 6,000
Total Cost
S 219,000
Funds available and/or
S 8,000
Amount required first year
S 211,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
$ 211,000
S 211,000
CAPITAL IMPROVEMENT PROJECT REQUEST
Department. Community Development Fund:
Division: En meerin Prioritv No.
g g Beautification BT 88.27
• Project Title, Description, and Location:
Baseline Road Parkway and Median Beautification Study - Haven Avenue to Eastern City Limits
Indicate whether: O New Q Replacement 0 Addition
Project Justification:
Inventory of existing conditions and development of design guidelines.
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89
Estimated Project Costs Amount Suggeste
Design Cost $ 0 Beautification
Construction Cost $ 0
Administration Cost S 0
Complete Study I S 2,000
Total Cost 1 $ 2,000
Funds available and/orI $ 0
already expended
Q Yes
Completed 90/91
Amount required first year
Amount required subsequent years
Amount
$ 2,000
S 2,000
Balance Required I S 2,000 1 TOTAL I S 2,000
CAPITAL EvIPROVEAIENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering Beautification
• Project Title, Description, and Location:
Monte vista Median Improvements, East of Eastwood
Indicate whether: O New Q Replacement Q Addition
Project Justification:
Beautification of paved medians, including landscape and irrigation.
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89
Estimated Project Costs Amount Suggeste
Design Cost $ 2,000 Beautification
Construction Cost S 31,000
Administration Cost $ 6,000
Total Cost I S 39,000
Funds available and/orI S 0
already expended
Q Yes
Completed 90/91
Amount required first year
Amount required subsequent years
Priority No.
BT 88-23
Amount
S 38,000
S 38,000
S 1,000
Balance Required 1 $ 39,000 1 TOTAL I S 39,000
CAPITAL I.VIPROVEVIENT PROJECT REQUEST
Department: Community Development Fund: Priority No.
Division: Engineering Beautification
•BT 88-22
Project Title, Description, and Location:
Rochester East Side Parkway Beautification Improvement - Foothill Blvd to Base Line Road
Indicate whether: O New O Replacement 0 Addition
Project Justification:
Beautification of barren parkways; includes landscaping & irrigation with possible wall
improvements. Dependent on annexations to Landscape Maintenance District No. 1
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89
Estimated Project Costs Amount Suggeste
Design Cost S 20,000 Beautification
Construction Cost S 270,000
Administration Cost $ 15,000
Total Cost I S 305,000
Funds available and/orI S 20,000
already expended
Q Yes
Completed 88/89
Amount required first year
Amount required subsequent years
Amount
3 285,000
S 285,000
S0
Balance Required I S 285,000 1 TOTAL I S 285,000
Systems Development
22-0637
I
r
0
0
REGULAR PAYROLL
•
BUDGET PROJECTION WORKSHEET
10/22/90 CITY OF RANCHO CUCAMONGA
0
87,253
(ACTUALS TO 12-31-89)
261,827
275,159
291,599
22 1637
1900
DEPT COUNCIL
58,989
55,153
87-08 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST CITY APPROVED
0
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL
1990/91 MGR 1990/91
103,110
SYSTEMS DEVELOPMENT ---ENGINEERING ADMIN
22 1637
1100
REGULAR PAYROLL
110,728
160,793
0
0
87,253
0
261,827
275,159
291,599
22 1637
1900
FRINGE BENEFITS
58,989
55,153
0
0
0
0
91,610
96,111
103,110
22 1637
3900
MNINT 6 OPERATIONS
0
0
0
0
0
0
0
11,333
11,333
22 1637
3960
GENERAL LIABILITY
56,893
31,065
0
0
0
0
0
0
0
22 1637
7011
C/O: EQUIPMENT
0
0
0
0
0
0
0
9,976
9,976
22 1637
8056
SANTA FE TRACK CONSOLD.
0
0
0
0
0
0
0
0
0
22 1637
8115
ARCHIBALD AVE. WIDENING
21,772
0
0
0
0
0
0
0
0
22 1637
0117
FOOTHILL/HELLMAN TRAFFIC
0
0
0
0
0
0
0
0
0
22 1637
0118
FOOTHILL SIGNAL MODIFICATION
0
0
0
0
0
0
0
0
0
22 1637
8119
FOOTHILL TURNER AVE.
0
0
0
0
0
0
0
0
0
22 1637
8120
GROVE WIDENING -PHASE
906
0
0
0
0
0
0
0
0
22 1637
8121
DROVE WIDENING -PHASE
0
0
0
0
0
0
0
0
0
22 1637
8122
ARROW ROUTE RECONSTRUCTION
19,186
619
0
0
0
0
0
0
0
22 1637
0123
NINTH STREET RECONSTROCTIQN
37,392
0
0
0
0
0
0
0
0
22 1637
8121
REIMB.DEVELOPERS IMPROV.
0
0
0
0
0
0
0
0
0
22 1637
9126
6TH 6 ARCHIBALD TRAFFIC
0
0
0
0
0
0
0
0
0
22 1637
8127
DR 82-08 CHINA ALLEY
0
0
0
0
0
0
0
0
0
22 1637
8128
HERMOSA RECONSTRUCTION NO.
0
0
0
0
0
0
0
0
0
22 1637
0130
INTERSECTION CONFIG.
0
0
0
0
0
0
0
0
0
22 1637
8131
HAVEN/30 STUDY
0
0
0
0
0
0
0
0
0
22 1637
8132
BAKER/ARROW STORM DRAIN
12,367
0
0
0
0
0
0
0
0
22 1637
8133
BAKER/ARROW
1,917,695
(310,158)
0
0
191,258
0
0
0
0
22 1637
8131
STREET REHAB/VARIOUS
26
0
0
0
0
0
D
0
0
22 1637
8607
MILLIKEN AVE GRADE SEPARATION
105,565
66,919
5,000
0
572
5,000
0
0
0
22 1631
8612
COMPUTERIZED STAND SPECF SYS
8,963
3,220
0
0
730
0
0
0
0
22 1631
8611
(225)
0
0
0
0
0
22 1637
8610
ARROW RTE RECNSTRCTION
27,560
12,139
0
0
2,195
0
0
0
0
22 1637
8625
BASELINE ROAD
0
1,211
0
2,500
0
-0
0
22 1637
8629
AERIAL MAPPING
299,197
90,193
0
0
111
0
0
0
0
22 1637
0726
BASELINE 0 VICTORIA
3,000
0
0
0
0
0
22 1637
8727
BASELINE 0 ETINANDA
0
3,000
0
0
0
0
0
0
0
22 1637
8729
19TH 0 AMETHYST
3,325
3,279
0
110,217
112,159
110,217
0
0
0
22 1631
8730
BASELINE WIDEN
52,179
111,861
1,150,000
0
217,055
1,027,700
0,500
8,500
8,500
0
BUDGET PROJECTION WORKSHEET 10/22/90 CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-89)
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY
CUR FY
ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
--
ACCOUNT
-------------------------------------------------------------------------------------------------------------------------------------------
ACTUAL
ACTUAL
BUDGET
ADJUST
12/31/89
ACTUAL
1990/91
MGR
1990/91
22
4637
8731
BASELINE WIDEN ETIN
95,224
13,895
415,000
0
72,256
467,900
8,500
8,500
8,500
22
4637
0732
BASELINE WIDEN VICTORIA
6,062
54,430
40,000
0
1,782
40,000
165,000
165,000
165300
22
4637
8733
BASELNE WIDEN ARCHB
40,111
(14,145)
(14,145)
0
0
0
22
1637
8734
ARCH18ALD REALIGN 19TH
25,835
(10,690)
(10,690)
0
0
0
22
4637
8735
ARROW WIDEN ARCHIBALD
210,902
111,008
1,513,000
(6,936)
1,186,261
901,000
1,700
1,700
1,700
22
1631
8736
ARROW WIDEN BAKER
33,411
65,334
5,000
0
1,364
5,000
2,000
2,000
2,000
22
4637
0730
ARROW BRIDGE WIDEN
4,190
14,027
2,000
23,396
34,883
14,000
59,000
59,000
59,000
22
4637
8739
SANYOR EXTEN ARCH18ALD
22,223
4,917
5,000
0
0
1,000
0
0
0
22
4637
8742
R.R. XING GRANT APPL
12,831
21,706
0
0
9,696
0
0
0
0
22
4637
8743
19TH IMPROV N. LIMITS
47,026
37,739
5,000
324,433
3,909
420,900
0
0
0
22
4637
8711
19TH IMPROVTS HERMOSA
55,656
44,871
362,000
0
14,940
18,100
406,000
406,000
406,000
22
4637
8115
19TH IMPROV. BERYL
19,512
104,920
910,000
(110,217)
29,181
39,000
815,000
815,000
815,000
22
4637
8116
19TH 0 HAVEN INTERSECTION
4,843
359,423
2,000
73,535
95,153
85,000
0
0
0
22
1637
8711
9,039
0
0
0
0
0
22
4637
8118
HILLSIDE IMP MALACHITE
32,590
104,006
0
1,515
1,946
1,515
0
0
0
22
4637
0749
AMETHYST RECON. 19TH
5,200
257
5,000
0
7,662
261,400
1,000
1,000
1,000
22
4637
8750
ARCHIBALD RR XING
16,672
0
0
0
0
0
22
4637
8751
GROVE RRXING 6 INTERSCTION
55,524
89,640
0
0
250
0
0
0
0
22
4637
8752
VINEYARD REHAB FOOTH
(16,854)
0
0
0
0
0
22
4637
8753
CHURCH IMPROV ARCHIBALD
0
36,380
5,000
8,375
16,364
15,000
71,000
71,000
71,000
22
4637
8755
ARCHIBALD WIDEN HIGHL
6,878
160,002
0
12,054
15,185
12,054
0
0
0
22
4637
8756
HILLSIDE RECONST HERM
5,810
4,717
0
0
0
0
0
0
0
22
4637
0159
UPDATE GEN PLAN
733
9,527
0
0
0
0
0
0
0
22
4637
8760
BASELINE UNIFORM TRAFFI
114
0
0
0
0
0
22
4631
BB01
ARCHB/HIGHLAND SIG DESIGN
1,640
0
0
0
0
0
22
4637
8841
BASELINE 0 MILLIKEN
0
45,708
30,000
0
0
30,000
30,000
30,000
30,000
22
4637
8849
HELLMAN R/R XING 0 S PACIF
0
0
190,000
0
0
5,000
2,000
2,000
2,000
22
4637
8850
VINEYARD R/R XING 0 AT 6 SF
0
13,613
5,000
123,333
23,784
5,000
0
0
0
22
4637
8851
HAVEN R/R XING 0 AT&SF
0
9,404
211,000
0
0
5,000
3,000
3,000
3,000
22
4637
8852
19TH ST. S.D. IMP
0
10,375
2,000
0
15,459
2,000
0
0
0
22
4637
0853
VICTORIA IMP -EAST
0
12,899
2,000
0
4,388
2,000
0
0
0
22
4637
8854
AMETHYST IMP-19TH-HIGHL
0
0
2,000
0
0
2,000
0
0
0
22
4637
8855
NILSON IMP/AMETHYST
0
4,381
2,000
0
0
2,000
0
0
0
22
4637
8056
ARCHIBALD IMP/S/O/BANY
0
S,995
2,000
0
939
2,000
0
0
0
22
4637
8858
ARROW RT.IMP/HERMOSA
0
6,802
189,700
0
3,393
111,900
4,250
4,250
4,250
22
4631
8936
HAVEN REHAB -4TH N/0 FOOTH
0
841,300
0
0
26,400
209,000
209,000
209,000
22
4637
8937
CARN/VINE REHAB -BASE
0
40,000
(40,000)
0
5,000
2,000
2,000
2,000
22
4637
0930
SIGNAL -19TH 0 BERYL
0
94,000
0
0
91,000
0
0
0
22
4637
8939
SIGNAL -19TH 0 HELLMAN
0
94,000
0
0
94,000
0
0
0
22
4637
8900
SIGNAL -BASE 0 ETINANDA
0
95,000
(95,000)
0
112,700
1,700
1,700
1,700
22
4637
8941
SIGNAL -BASE 0 VICTORIA PK
0
95,000
(95,000)
0
110,400
1,700
1,700
1,700
22
4637
8942
SIGNAL -INTER -FOOTHILL 0 ROCH
0
0
490,000
(70,435)
0
362,800
595,000
595,000
595,000
22
4637
8943
SIGNAL -BASELINE 0 ROCHESTR
0
0
95,000
0
0
106,250
0
0
0
22
4637
8911
SIGNAL -19TH 0 HERMOSA
0
95,000
0
0
2,000
0
0
0
22
4637
8945
SIGNAL -ARROW 0 HERMOSA
0
88,000
0
0
97,000
850
850
850
22
4637
8946
UPGRADE SIGNAL -FOOTHILL 0 HA
0
50,000
0
0
23,100
0
0
0
22
4637
GROVE 6 SPRR
0
0
0
0
22
4537
EAST AVE 0 SPRR
0
0
0
0
0 0 0
BUDGET PROJECTION WORKSHEET 10/22/90 CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-89)
ACCOUNT
22 4637 ARROW 0 SFRR
22 4637 BAKER 0 SFRR
22 4637 ROCHESTER 0 SFRR
22 4637 HAVEN 0 SPRR
22 4637 BANYAN-E.WOOD/HELLMAN
22 4637 HGHLND-HRNOSA/MYBRY
22 4537 GROVE N/0 8TH/FTHL
22 4637 9022 RCHSTR-VICTORIA P.L.
22 4637 AMETH.H/0 HLSD/ALMO
22 4637 HAVEN-FTHL/CHURCH
22 4637 WILSON-HERMOSA/MYBRY
22 4637 TRUCK RT SIGNAGE
22 4637 SIG: ARROW 0 GROVE
22 4537 SIG: GROVE 0 SAN BNOO
22 4637 9023 BANYAN ST BRIDGE 0 DEERCREEK
22 4637 WILSON ST BRIDGE 0 DEERCREEK
22 4537 CUCAMONGA CREEK BRIDGE
22 4637 SIG: 9TH 0 GROVE
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
-------------------------------------------------------------------------------------------------
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 50,000 50,000 $0,000
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
170,000 170,000 170,000
0 0 0 0
DEPARTMENT TOTAL 3,484,694 1,815,004 7,137,000 234,435 2,214,063 4,643,401 2,960,667 3,000,379 3,026,218
•
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 22
En neerinn gvefams
�.. ...__....
Position
Classification
_ __.-
Position
Emp. 89/90
Quota ADDroDriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# I Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0.13
0.13
0
2537
0 /
Office Specialist II
11
5679
0.24
0.13
0.13
2747
3073
Office Specialist II
12
8682
0.13
0.13
0.13
2588
2961 d
Secretary
53
new
-
0.19
0.13
4095
2945
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0 II
Associate Engineer
15
7413
0
0
0.28
0
14885 d
Jr. Engineer'
54
new
0
0
0.3
0
9684
Traffic Engineer
3
6800
0.06
0.06
0.06
3668
4093
Associate Engineer
18
3211
0.25
0.25
0.25
13158
13971
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0.05
0.05
0.1
2266
4812
Assistant Engineer
49
8149
0.05
0.05
0.05
1766
1875 '
Assistant Engineer
50
6682
0.3
0.3
0.3
10595
11250
Engineering Aide
45
152
0.1
0.1
0.1
2210
2780 d
Engineering Tech.'
55
new
-
0.1
0.15
3133
4608
Senior Engineer
5
5822
0.25
0.25
0.25
15282
16635 J
Associate Engineer
20
2140
0.31
0.31
0.31
13366
14917
Associate Engineer
21
5275
0.31
0.31
0.31
16316
17324
Associate Engineer
22
5700
0.31
0.31
0.31
15524
16982 V
Assistant Engineer
29
2641
0.31
0.31
0.31
12097
13500
Assistant Engineer
51
4687
0.31
0.31
0.31
11510
12,216 f
Jr. Engineer
32
2020
0.31
0.31
0.31
11394
10007
Engineering Tech.
36
561
0.31
0.31
0.31
7957
9523
Engineering Aide
46
5800
0.31
0.31
0.31
7957
9333
Engineering Aide
52
128
0.31
0.31
0.31
6852
8619 ✓
Assistant Engineer
56
new
0.31
0.31
10948
11625
Public Works Engineer
6
6350
0.14
0.14
0.14
8101
8862 V
Spr Public Works Insp '
30
4900
0.33
0.33
0.33
14806
16038 J
Public Works ,Insp.11**
37
115
0.33
0.33
0.33
12751
12498 \fit
Public Works Insp.11"
38
1075
0.33
0.33
0.33
12751
13809 tv�
Public Works Insp.
43
2727
0.07
0.07
0.07
2387
2745 J
Jr. Engineer
33
480
024
0.24
0.24
8309
9000
Pblc Wrks Insp.11'
64
New
0.33
N/R
9936
0
Subtotal
247,007
280,570
Merit Contingency:
12,350
14,029
Subtotal:
259,357
294,599
Fringe Benefits
90,775
103,109
Subtotal:
350,132
397,708
Part-time
0
0
TOTAL
350,132
397,708
t Proposed reclassification of
an
Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
Pro osed New Position
N/R Not
Recommended
0 COST CENTER DETAOORKSHEET 1990/91 91
Department/Division:
Engineerino
Program:
I System Development
Account Number:
Fund22
Department
Pro osed
City Mgr.
Proposed
Obiect No. I Description of Items & Individual Dollar Amounts
Budget
1100 Re ular Payroll
261827
294599
1200 Overtime Payroll
1900 Fringe Benefits & 35%
91639
103110
3900 Maintenance & Operations
Computer Software
0
11333
3960 General Liability 1% of Operations
0
0
6028 Contract Services
7044 Ca ital Ex enditures
MAC SE
0
2871
MAC 2mb RAM upgrade for SE
0
725
Compaq 386 with Color Monitor, 1mb RAM 387 Math Coprocessor,
5.25 & 3.5 Inch Drives
0
6380
Subtotal
0
9976
TOTAL
353466
419018
CAPITAL. VvIPROVE-IENT PROJECT REQL-EST
Department: Community Development Fund:
Division: Engineering
• System 'Development
Project Title, Description, and Location:
Baseline Rd. Street Improvements Phase 1 - Etiwanda to 1.15
Indicate whether: Q New O Replacement
Q Addition
Project Justification:
Construct roadway widening and median improvements to improve traffic flows.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: DR 88-08, TR 88-07
* . Indicate fiscal year project should be: Stared 87/88 Completed 91/92
Estimated Project Costs Amount
Suggested Financing
Design Cost $0 System Development
Construction Cost $ 720,000 SB 140
Administration Cost S 80,000
Total Cost I S 800,000
Funds available and/orI S 790,000
already expended
Amount required first year
Amount required subsequent years
Priority No.
ST 88.06
Amount
S 8,500
S 1,500
S 10,000
S0
Balance Required I S 10,000 1
TOTAL 1 $ 10,000
•
1
I CAPM L. MPROVE`IENT PROJECT REQUEST j
Department: Community Developrri
Division: Engineering
fund:
System Development
N
Priority No.
ST Priority
Project Title, Description, and Location:
Baseline Rd. Street Improvement Phase 2 - Victoria Pk. Ln. to Etiwanda
Indicate whether: O New
Q Replacement Q Addition
Project Justification:
Construct Roadway widening and
median improvements to improve the flow of traffic.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: TR 88-08
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$0
System Development
S 8,500
Construction Cost
S 240,000
SB 140
$ 1,500
Administration Cost
$ 25,000 .
R/W
$ 150,000
Total Cost
3 415,000
Funds available and/or
already expended
3 405,000
Amount required first year
s 10,000
Amount required subsequent years
S 0
I
Balance Required
TOTAL
5 10.000
S 10,000
0
CAPITAL LmPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
ST 88-08
Project Title, Description, and Location:
Baseline Rd. Street & S.D. Improvement
Phase 3 - Rochester to W/O Victoria Pk. Ln.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Construct roadway widening and
median improvements to improve traffic flow.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: DR 88-09, TR 88-13
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 42,000
System Development
$ 165,000
Construction Cost
$ 750,000
SB 140
S 0
Administration Cost
S 97,500
Right -of -Way
S 163,000
Total Cost
S 1,052,500
Funds available and/or
S 40,000
Amount required first year
$ 165,000
already expended
Amount required subsequent years
S 847,500
Balance Required
TOTAL
r$1,0112,500
S 1,012,500
CAPITAL. L`IPROVE`fENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering Priority `f o.
System Development ST ty N
• P12
roject Title, Description, and Location:
Arrow Rte. Street improvement S/S Phase 2 - Archibald to Hermosa
Indicate whether: Q New Q Replacement Q Addition
Project Justification:
Improve street through widening and improvements to bring roadway up to arterial standards.
Has this project been scheduled in a prior C.I.P.? O No 0 Yes
Other projects or factors directly related to this project: TR 88-18, TR 88-19
101 Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs Amount Suggested Financing
Design Cost $0 System Development
Construction Cost S 300,000 SB 140
Administration Cost S 41,000
Right -of -Way 1 $ 373,000
Total Cost I S 916,000
Funds available and/orI S 914,000
already expended
Amount required first year
Amount required subsequent years
Amount
S 1.700
S 300
S 2,000
3d
Balance Required I S 2,000 1 TOTAL I S 2.000
C
CAPITAL 1IMPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System
ST 88.13
Project Title, Description, and Location:
Arrow Rte.; Street Improvement -
Baker to Grove
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Widen and construct improvements to improve capacity.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 7,000
System
S 2,000
Construction Cost
S 655,000
Administration Cost
S 91,700
R/W
S 170,000
Total Cost
S 923,700
Funds available and/or
S 5,000
Amount required first year
S 2,000
already expended
I
Amount required subsequent years
S 916,700
Balance Required
TOTAL
918,700
rs
S 918,700
CAPITAL LNPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
FAU
ST 88-14
Project Title, Description, and Location:
Cucamonga Creek Bridge Widening @ Arrow Rte.
Indicate whether: 0 New 0 Replacement Q Addition
Project Justification:
Widen existing bridge to arterial width.
Has this project been scheduled in a prior C.I.P.? 0 No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 16,000
FAU
S 332,000
Construction Cost
S 347,000
Systems Development
S 59,000
Administration Cost
$ 59,000
Total Coat
$ 422,000
Funds available and/or
S 31,000
Amount required first year
S 391,000
already expended
Amount required subsequent years
S 0
Balance RequiredS
TOTAL
391,000
S 391,000
CAPITAL MPROVENIENT PROJECT REQUEST �
Department: Community Development
Division: Engineering
Fund:
System Development
ity No.
LST88.03
Project Title, Description, and Location:
19th St. Street Improvement - Archibald to W/O Haven
Indicate whether: Q New
Q Replacement Q Addition
Project Justification:
Improve street including full widening
and rehabilitation for more efficient flow of traffic.
Has this project been scheduled in
a prior C.I.P.? O No QQ Yes
Other projects or factors directly related to this project: TR 88-16
Indicate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 18,700
System Development
S 406,000
Construction Cost
S 405,000
SB 140
S 69,000
Administration Cost
$ 20,000
Right -of -Way
S 50,000
Total Cost
S 493,700
Funds available and/or
already expended
S 18,700
Amount required first year
$ 475,000
Amount required subsequent years
S 0
Balance Required
TOTAL
S 475,000
S 475,000
0
CAPITAL. MPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Division: Engineering
System Development -
Priority No.
ST 88-02
Project Title, Description, and Location:
19th St. Street Improvement - Camelian to W/O Amethyst
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Improve street including full widening and rehabilitation for more efficient flow of traffic.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: DR 88-12, TR 88-04, TR 8"5
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 39,800
System Development
S 815,000
Construction Cost
$ 846.000
SB 140
$ 120,000
Administration Cost
$ 90,000
Total Cost
S 975,800
Funds available and/or
S 39,800
Amount required first year
S 935,000
already expended
Amount required subsequent years
S 1,000
Balance Required
TOTAL
S 936,000
S 936,000
CAPITAL LVIPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
DR 88-12
' Project Title, Description, and Location:
Area II 19th St. S.D. - W/O Amethyst to
E/O Hellman
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Provide drainage along 19th Street in
coordination with the 19th Street Improvements.
Developer reimbursement per Resolution # 90-047
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related
to this project: ST 88-02
' Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
so
System Development
s 0
Construction Cost
S 0
(See streets for funding)
Administration Cost
$ 0
Total Cost
so
Funds available and/or
S 0
Amount required first year
S 0
already expended
Amount required subsequent years
s 0
Balance Required
TOTAL
S 0
S 0
•
•
CAPITAL. LMPROVEMENT PROJECT REQUEST
Department: Community Development
Division: Engineering
Fund:
System Development
Priority No.
DR 88.11
Project Title, Description, and Location:
Area II Amethyst Ave. S.D. - E/O & W/O Amethyst on 19th St.
Indicate whether: O New O Replacement Q Addition
Project Justification:
Provide drainage for the intersection of Amethyst @ 19th Improvements.
Developer reimbursement per Resolution
#90-047.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to
this project: ST 88.05
Indicate fiscal year project should be: Started 8 7/8 8 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
System Development
$ 0
Construction Cost
$ 0
(See streets for funding)
Administration Cost
so
Total Cost
so
Funds available and/or
$ 0
Amount required first year
S 0
already expended
Amount required subsequent years
5 0
Balance Required
TOTAL
$10
0
r S 0
•
CAPITAL. LWROVENIEtiT PROJECT REQUEST
Department. Community Development
Fund:
Priority No.
Division: Engineering
System Development
ST 88.05
Project Title, Description, and Location:
Amethyst Ave. Street & S.D. Improvement @ 19th
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Improve street and storm drain to improve traffic flow and reduce surface flows.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: DR 88-11, TR 88-03
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 1,000
System Development
$ 11000
Construction Cost
$ 15,000
Administration Cost
$ 5,000
Total Cost
$ 21,000
Funds available and/or
$ 20,000
Amount required first year
$ 1,000
already expended
Amount required subsequent years
S 0
Balance RequiredS
TOTAL
1,000
S 11000
11
CJ
•
CAPITAL, VvIPROVENfENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
ST 88-17
Project Title, Description, and Location:
Church St. Street Improvement - Archibald to Haven
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Improve existing roadway to City
standards.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: DR 88-01
Indicate fiscal year project should be: Started 87/88 Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 18,000
System Development
$ 71,000
Construction Cost
S 808,000
SB 140
$ 0
Administration Cost
$ 81,000
Right -of -Way
S 68,000
Total Cost
S 975,000
Funds available and/or
$ 15,000
Amount required first year
S 71,000
already expended
Amount required subsequent years
$ 889,000
Balance Required
TOTAL
S 960,000
5 960,000
CAPITAL. LVYROVEMENT PROTECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
ST 88-09
Project Title, Description, and Location:
Baseline Rd. @ Milliken Ave. Reimbursement - City Park Frontage
Indicate whether: 0 New 0 Replacement Q Addition
Project Justification:
Ongoing program to reimburse Developers for work on the City Park Frontage.
Has this project been scheduled in a prior C.I.P.? 0 No Q Yes
Other projects or factors directly related to this project:
' Indicate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$0
System Development
S 30,000
Construction Cost
$ 0
Administration Cost
S 0
Reimbursement
$ 30,000
Total Cost
S 30,000
Funds available and/or
S 0
Amount required first year
S 30,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
r S 30,000
S 30,000
•
•
CAPITAL LNIPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No'.
Division: Engineering
System Development
RR 88-07
Project Title, Description, and Location:
Hellman Ave @ Southern Pacific Railroad crossing & Street Improvement
Indicate whether: 0 New 0 Replacement 0 Addition
Project Justification:
Widen Railroad crossing, install rubberized pads, construct ultimate street width, and coordinate with
Master Plan Storm Drain construction.
Has this project been scheduled in a prior C.I.P.? 0 No Q Yes
Other projects or factors directly related to this project: DR 88-03, DR 88.04
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 8,000
System Development
S 2,000
Construction Cost
$ 450,000
SB 140 Reimbursement
S 0
Administration Cost
$ 72,000
Total Cost
S 530,000
Funds available and/or
S 5,000
Amount required first year
$ 2.000
already expended
Amount required subsequent years
S 523.000
Balance Required
TOTAL
S 525.000
S 525.000
•
•
•
CAPITAL MPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
RR 88.14
Project Title, Description, and Location:
Haven Avenue at AT & SF Railroad Crossing Improvement
Indicate whether: Q New
Q Replacement Q Addition.
Project Justification:
Widening and rubberized pads
installation
Has this project been scheduled in a prior C.I.P.? O No QQ Yes
Other projects or factors directly related to this project: ST 88-44
Indicate fiscal year project should be: Started 88/89 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 8,000
System Development
S 3,000
Construction Cost
S 360,000
Administration Cost
S 62,000 '
Total Cost
S 430.000
Funds available and/or
S 5,000
Amount required first year
S 3,000
already expended
Amount required subsequent years
S 422,000
Balance Required
TOTAL
r S 425,000
4 425.000
0
0
•
CAPITAL DAPROVENIEVT PROJECT REQUEST i
Department: Community Development
Division: Engineering
Fund:
System Development
Priority No.
ST 88-37
Project Title, Description, and Location:
Arrow Rte. Street Improvement - E/O Hermosa to Haven
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Street widening and rehabilitation
to arterial standards.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: TR 88-20
Indicate fiscal year project should be: Started 88/89 Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
System Development
S 4,250
Construction Cost
$ 130,000
SB 140
S 750
Administration Cost
S 21,500
Right -of -Way
S 20,000
Total Cost
S 171,500
Funds available and/or
already expended
S 166,500
Amount required first year
$ 5.000
Amount required subsequent years
S 0
Balance Required
TOTAL
$ 5,000
$ 5,000
L J
•
�.yrit wt-vtrmUvt'ylt`l FMUJEC:I REQUEST
Department: Community Developmen[
Fund:
Division: Engineering
. FAU
Priori[v No.
ST SS•34
Project Title, Description, and Location:
Haven Ave. Rehabilitation & Widening - Fourth to Foothill
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Application to Federal Government for funding and design of pavement rehabilitation
and widening.
Has this project been scheduled in
a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project: TR 88.20, TR 88.40, TR 89-09,
RR 88-14
Indicate fiscal year project should be: Started 87/88 Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 188,000
FAU
S 1,392,000
Construction Cost
S 1,533,000
System Development
S 209.000
Administration Cost
S 120,000
SB 140
S 37,000
Total Cost
S 1,841,000
Funds available and/or
S 188,000
Amount required first year
$ 1,638,000
already expended
Amount required subsequent years
S 15,000
Balance Required
TOTAL
S 1,653,000
S 1,653,000
Ll
a
CAPITAL LVIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund: TPriority
No.
Division: Engineering
System Development
ST 88-46
Project Title, Description, and Location:
Carnelian Ave. & Vineyard Ave. Rehabilitation & Widening - Baseline to San Bernardino
Indicate whether: O New
Q Replacement Q Addition
Project Justification:
Widen and rehabilitate roadway.
Has this project been scheduled in a prior C.I.P.? O No O res
Other projects or factors directly related to this project: BT 88-20, BT 89-05, BT 89-07,
DR 88-19
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 7,000
System Development
S 2.000
Construction Cost
$ 490,000
Administration Cost
S 78,400
Right -of -Way
$ 50,000
Total Cost
$ 625,400
Funds available and/or
$ 5,000
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 618,400
Balance Required
TOTAL
S 620,400
S 620,400
•
0
0
CAPITAL LN PROVE.MENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Systems Development
TR 88-04
Project Title, Description, and Location:
Signal - 19th @ Beryl
Indicate whether: 0 New
0 Replacement Q Addition
Project Justification:
Needed to alleviate conflict and delay
at intersection. (Funded with Street).
Has this project been scheduled in a prior
C.I.P.? 0 No Q Yes
Other projects or factors directly related
to this project: ST 88-02
Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
Systems Development
S 0
Construction Cost
S 0
SB 140
S 0
Administration Cost
S 0
Total Cost
so
Funds available and/or
so
Amount required first year
$ 0
already expended
Amount required subsequent years
$ 0
Balance Required
TOTAL
so
S 0
•
CAPITAL. LVIPROVEhIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Systems Development
TR 88-05
I
Project Title, Description, and Location:
Signal - 19th @ Hellman
Indicate whether: Q New
O Replacement 0 Addition
Project Justification:
Needed to alleviate conflict at intersection.
(Funded with Street).
Has this project been scheduled in a prior
C.I.P.? O No Q Yes
Other projects or factors directly related
to this project: ST 88-02
IIndicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
Systems Development
S 0
Construction Cost
$ 0
SB 140
S 0
Administration Cost
$ 0
Total Cost
so
Funds available and/or
$0
Amount required first year
S 0
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
so
S 0
J
0
CAPITAL LVIPROVEMEtiT PROJECT REQUEST
Department: Community Development Fund: Priority No.
Division: Engineering Systems Development TR 88.07
Project Title, Description, and Location:
Signal - Baseline Qa Etiwanda
Indicate whether: 0 New 0 Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in
a prior C.I.P.?
0 No
Q Yes
Other projects or factors directly related to this
project: ST
8"6
Indicate fiscal year project should be: Started 87/88
Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
Systems
Development
S 1,700
Construction Cost
S 100,000
SB 140
S 300
Administration Cost
$ 14,700
Total Cost 1 S 114,700
Funds available and/orI S 112,700 I Amount required first year I S 2,000
ed
already expend
Amount required subsequent years I S 0 1
Balance Required 1
$ 2,000 1 TOTAL I S 2,000
0
CAPITAL, LNIPROVEME T PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Er;ineering
Systems' Development
TR 88-08
Project Title, Description, and Location:
Signal - Baseline @ Victoria Pk. Ln.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at
intersection.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: ST 88-07
Indicate fiscal year project should be: Started 87/88 Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount '
Design Cost
So
Systems Development
S 1,700
Construction Cost
$ 100,000
SB 140
S 300
Administration Cost
S 12,400 ,
Total Cost
S 112,400
Funds available and/or
S 110,400
Amount required First year
S 2,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 2,000
S 2,000
Ll
CAPITAL LMEROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
TR 88-09
Project Title, Description, and Location:
Signal & Intersection Improvements -
Foothill @ Rochester
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Needed to improve traffic flow and
alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be:
Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
System Development
S 595,000
Construction Cost
$ 580,000
Administration Cost
S 15,000
Right -of -Way
$ 362,800
Total Cost
S 957,800
Funds available and/or
S 362,800
Amount required first year
S 595,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
$ 595,000
S 595,000
•
CAPITAL LWROVEMENT PROJECT PEQUEST
Department: Community Development
Division: Engineering
Fund:
Systems Development
Priority No.
TR 88•l9
Project Title, Description, and Location:
Signal - Arrow @ Hermosa
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at
intersection.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: ST 88-12
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$0
Systems Development
S 850
Construction Cost
$ 91,000
SB 140
S 150
Administration Cost
S 7,000
Total Cost
S 98,000
Funds available and/or
already expended
S 97,000
Amount required first year
S 1,000
Amount required subsequent years
S 0
Balance RegWred
TOTAL
S 1,000
S 1,000
•
0
CAPITAL VAPROVE,NIENT PROJECT REQUEST
Department: Community Development
Fund:
TprsTrity No.,
Division: Engineering
System Development
88.47
Project Title, Description, and Location:
Banyan St. Bridge @ Deer Creek W/O Milliken
Indicate whether: O New
O Replacement Q Addition
Project Justification:
To allow traffic flow over Deer Creek. Developer reimbursement.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
System Development
$ 170,000
Construction Cost
S 170,000
Administration Cost
$0
Total Cost
S 170,000
Funds available and/or
Amount required first year
S 170,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 170,000
S 170,000
•
CAPITAL IMPROVEMENT PROJECT REQUEST
Department. Community Development
Fund: TPriority
No.
Division: Engineering
System Development
So 90-08
Project Title, Description, and Location:
Rochester Ave. Street Improvement - Victoria Park Lane to Lark Dr. (N/O High School).
Indicate whether: Q New O Replacement O Addition
Project Justification:
Construct street improvements adjacent to future Rancho Cucamonga High School.
Has this project been scheduled in a prior C.I.P.? @ No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 9 0/9 1 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 50,000
System Development
S.50,000
Construction Cost
S 230,000
Administration Cost
$ 20,000
Total Cost
$ 300,000
Funds available and/or
$0
Amount required first year
$ 50,000
already expended
Amount required subsequent years
S 250,000
Balance Required
TOTAL,
S 300,000
S 300,000
Drainage FacJGeneral City,
23-0637
BUDGET PROJECTION WORKSHEET 10/22/90 • •
(ACTUALS TO 12/31/89) CITY OF RANCHO CUCAMONGA
8788 FY 08-89 FY CUR FY CUR FY ACTUAL TO DEPT EST RDEPT EQUEST CITY APPROVED
ACCOONi OVED
_NCIL
_ ACTUAL ___ ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
_________________________
DRAINAGE FAC./GENERAL---ENGINEERING ADMIN __________________
23 4637 1100 REGULAR PAYROLL
41,075
61,295
23 1637 1900 FRINGE BENEFITS
0
0
21,893
0
77,255
122,511
97,205
23 4637 3931 VEHICLE MAINT. 6 OPERATION0
16,457
0
11 ,179
0
0
0
27,039
42,090
0 0
0
D
0
34,022
23 4637 3960 GENERAL LIABILITY
53,152
66,163
0
0
0
23 1637 8063 MISC. DESIGN 6 PLANNING
0
0
0
0
0
0
0 p
0
0
0
0
0
D
0
23 1637 8069 BERYUHELLNAN STORK -
0
p
23 4637 8100 HERMOSA/IURNER IMPROVEMENTS
716010
0 0
0
0
0
0
0
23 4637 8152 DRAINAGE MASTER PLAN0
0
0
0
0
0
0
0
2 3 4637 8153 FEE REIMBURSEMENTS
0
31,151
0 21000
0
0
0
21,000
2,000
2,000
2,000
23 1637 8I51 Ei1XANDA STORM GRAINS
�-'
119,053
162
0
0
0
0
0
0
23 4637 8155 VICTORIA BASIN STUDY
00
1,022
0
0
0
0
0
0
0 0
0
p
p
0
0
0
23 4637 8626 HELLMAN/MONTE STORM DRAIN
21,241
1,235,119
0
23 4637 8631 BAKER/ARRON STORM DRAIN
0
0
105,000
192
105,000
0
0
23 1637 8761 IURNER/HERMOSA
p p
0
0
0
p
p
p
0
23 4637 8762 AREA VII STORM DRAINS
8,322
758,498
89,371
(161, 016) 920,000
(377,500)
20,358
27,400
1,115,000
1,115,000
1,115,000
23 4637 8763 HELLMAN/CUC CREEK/TRY
31'797
0
29,351
0
0
0
0
0
0
23 4637 8764 HUMBOLDT SENER
0
0
0
10,119
0
0 p
p
0
U
0
0
0
23 4637 8765 HIDDEN FARM CULVERT0
23 4637 8766 MASTER DRAINAGE PLAN
1.800
1,45 5,000
13,600
85,050
0
61,276
101,7715 p
p
4,318
1,639
0
0
0
p
23 4637 8784 BERYL CREEK MASTER DRAIN
0
0
0
0
23 4637 8785 CUCAMONGA DAY,DEER CREEK
0
0 138,000
0
91,190
180,800
0
0
23 4637 8002 HILLSIDE STORM DRAIN 6 ST IMP
0 2,000
p
0
2,000
87,000
87,000
0
81,000
23 1637 8817 AREA 11 -COCA S.D.
0
0
222.685 0
1,305
60,812
1,305
23 4637
21,579 1,085,000
0
21,403
31,700
310,000
310,000
310,000
0818 AREA 11 BERYL AVE,
0
23 1637 0859 AREA 11 CARNELIAN
0
0 0
0
0
0
0
0
23 4637 0860 AREA
12,925 5,000
0
21,033
12,500
2,000
21000
2,000
11 CUCA SPRRSD
23 4637 8861 BASELINE S D W/0 DAY
0
37,100 1,200,000
0
13,122
9,100
1,000
23 637 8062 AREA
0
0 211,500
0
0
2,000
2,000
1,000
2,000 _
1,000
2,000
V HILLSIDE RD
4
23 1637 8063 AREA VI LEMON S.D.
0
11,705 5,000 365,723
8,286 381,800
1,000
0
0 712,000
0
22,007
64,300
2,000
1,000
2,000
11000
23 4631 8861 AREA VI HIGHLAND AVE.
p
2,000
0 0
0
0
0
0
0
0
i
•
•
BUDGET PROJECTION WORKSHEET
10/22/90
CITY OF RANCHO CUCA14ONGA
(ACTUALS TO 12/31/89)
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY
CUR FY ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
ACCOUNT
ACTUAL
ACTUAL
BUDGET
ADJUST 12/31/09
ACTUAL
1990/91
MGR
1990/91
----------------------------------------------------------------------------------------------------------------------------------------------------
23 4537 8855
AREA 11 AMETHYST
S.D.
0
14,687
180,500
0 9,974
184,200
5,000
5,000
5,000
23 4637 8866
AREA 11 PHASE 3
0
0
0
0 0
0
0
0
0
23 4637 8947
AREA IV S.D.DEER
CMCHAN-6TH
0
0
125,000
0 0
85,900
2,000
2,000
2,000
23 4637 8948
AREA IV SO 4TH S6-E/O ARCH
0
0
17,000
0 0
46,100
4,000
4,000
4,000
23 4637 8949
AREA VI HIGHL SD -LONER A
0
0
18,000
0 0
32,000
2,000
2,000
2,000
23 4637 8950
AREA I% HAVEN SO
PHASE 1
0
0
30,000
0 0
30,000
0
0
0
23 4637 9024
Area 11 Cuca S.P.R.R.S.D.
Phase
1
360,000
360,000
360,000
23 4637 xxxx
Area II Cuca S.P.R.R.
S.D.
0
0
23 4637 9990
REFUNDS
68,208
0
0
0 0
0
0
0
0
DEPARTMENT TOTAL
1,230,256
1,845,813
4,693,000
168,128 378,374
1,305,455
2,329,294
2,390,434
2,356,227
23 4991 9000
TRANSFER OUT
35,539
201,255
118,643
0 0
110,643
DEPARTMENT TOTAL
35,539
201,255
178,643
0 0
178,643
0
0
0
FUND TOTAL
1,265,795
2,047,060
4,871,643
160,128 378,374
1,484,098
2,329,294
2,390,434
2,356,227
•
•
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 23
Enaineerino Draina a General Cit
Position
Classification
Position
Emp. 89/90
Quota Appropriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# I Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist 11
9
2134
0.04
0.04
0
780
0
Office Specialist II
11
5679
0.08
0.04
0.04
845
946
Office Specialist II
12
8682
0.04
0.04
0.04
796
911
Secretary
53
new
-
0.08
0.04
1724
906
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0.2
0
10632
Jr. Engineer'
54
new
0
0
0.25
0
8070
Traffic Engineer
3
6800
0.03
0.03
0.03
1834
2047
Associate Engineer
18
3211
0.05
0.05
0.05
2632
2794
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0
0
0
0
0
Assistant Engineer
49
8149
0
0
0
0
0
Assistant Engineer
50
6682
0
0
0
0
0
Engineering Aide
45
152
0
0
0
0
0
Engineering Tech.'
55
new
-
0
0
0
0
Senior Engineer
5
5822
0.09
0.09
0.09
5502
5989
Associate Engineer
20
2140
0.1
0.1
0.1
4312
4812
Associate Engineer
21
5275
0.1
0.1
0.1
5263
5588
Associate Engineer
22
5700
0.1
0.1
0.1
5008
5478
Assistant Engineer
29
2641
0.1
0.1
0.1
3902
4355
Assistant Engineer
51
4687
0.1
0.1
0.1
3713
3941
Jr. Engineer
32
2020
0.1
0.1
0.1
3676
3228
Engineering Tech.
36
561
0.1
0.1
0.1
2567
3072
Engineering Aide
46
5800
0.1
0.1
0.1
2567
3011
Engineering Aide
52
128
0.1
0.1
0.1
2210
2780
Assistant Engineer
56
new
-
0.1
0.1
3532
3750
Public Works Engineer
6
6350
0.05
0.05
0.05
2893
3165
Spr Public Works Insp '
30
4900
0.11
0.11
0.11
4935
5346
Public Works Insp.11"
37
115
0.1
0.1
0.1
3864
3787
Public Works Insp.11"
38
1075
0.1
0.1
0.1
3864
4184
Public Works Insp.
43
2727
0.02
0.02
0.02
682
784
Jr. Engineer
33
480
0.08
0.08
0.08
2770
3000
Pblc Wrks Insp.11'
64
New
-
0.1
N/R
3011
0
Subtotal
72,882
92,576
Merit Contingency:
3,644
4,629
Subtotal:
76,526
97,205
Fringe Benefits
26,784
34,022
Subtotal:
103,310
131,227
Part-time
0
0
TOTAL
103,310
131,227
t Proposed reclassification of
an Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
Pro osed New Position
INIR
Not
Recommended
• COST CENTER DETIPORKSHEET 199091 0
City Mgr.
I CAPITAL I_�ROVEVffiNT PROJECT REQLEST -�
Department: Community Development
Fund:
Division: Engineering
Drainage -General City
rity No.
TMP
l
88-04
I Project Title, Description, and Location:
City Wide Drainage Facilities Inventory
Indicate whether: Q New
O Replacement 0 Addition
Project Justification:
Complete Study.
Has this project been scheduled in a prior
C.I.P.? O No Q Yes
Other projects or factors directly related
to this project:
Indicate fiscal year project should be:
Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
Drainage -General City
5.2.000
Construction Cost
S 0
Administration Cost
$ 0
Complete Study
S
26,000
Total Cost
S
26,000
Funds available and/or
S
24,000
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 2,000
S 2,000
L..J.
CAPITAL 1IMPROVENIENT PROJECT REQUEST
Department: Community Development Fund:
Engineering Priority No.
Division: En
g g 'Drainage- General City - DR 88-01
Project Title, Description, and Location:
Area VI Church -Hermosa S.D. Phase 1 - Church Basin along Church St. to Hermosa Ave
Indicate
whether: Q New
O Replacement
Q Addition,
Project
Justification:
Storm
drain construction to
reduce surface flows along Church
and Hermosa Avenue.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: ST 88-17
Indicate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs Amount Suggested Financing Amount
Design Cost S 42,400 Drainage- General City $ 1,445,000
Construction Cost S 1,300,000
Administration Cost S 130,000
Total Cost I S 1,472,400
Funds available and/orI S 27,400
already expended
Balance Required I S 1,445,000
Amount required first year
Amount required subsequent years
TOTAL
S 1,445,000
S 0 I
S 1,445,000
•
J
r �
U
CAPITAL I.VPROVE;MNT PROJECT REQUEST
Department: Community Development
Fund: -
Priority No.
Division: Engineering
Drainage - General City
MP 88-03
Project Title, Description, and Location:
Master Plan of Drainage - Cucamonga/Deer/Day Creek Areas
Indicate whether: 0 New
0 Replacement 0 Addition
Project Justification:
Complete Study.
Has this project been scheduled in
a prior C.I.P ? 0 No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
Drainage - General City
$ 87,000
Construction Cost
$ 0
Administration Cost
$ 0
Study
S 357,000
Total Cost
S 357,000
Funds available and/or
S 270,000
Amount required first year
$ 87,000
already expended
I
Amount required subsequent years
$ 0
Balance Required
TOTAL
$ 87,000
$ 87,000
LJ
CAPITAL LWROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Drainage - General City
DR 88-03
Project Title, Description, and Location:
Area II Cucamonga S.P.R.R. S.D. Phase I(b) - E/O Camelian to 1300' E/O Cuc. Creek Channel
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Needed to upgrade this drainage
system for 100 year storm protection. Affects Hellman
Avenue Storm
Drain.
Has this project been scheduled in
a prior C.I.P.? O No OO Yes
Other projects or factors directly related to this project: RR 88-07
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 8,300
Drainage - General City
S 310,000
Construction Cost
S 560,000
Administration Cost
$ 82,000
Right -of -Way
S 23,400
Total Cost
S 673,700
Funds available and/or
S 31,700
Amount required first year
S 310.000
already expended
Amount required subsequent years
S 332,000
Balance Required
TOTAL
S 642,000
S 642.000
E
CAPITAL. 1IMPROVENENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Drainage '- General City -
DR 88-19
Project Title, Description, and Location:
Area II Carnelian Ave. S.D. Phase
1 - Vivero to N/O Baseline
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Provide for drainage and reduction of flows on Carnelian.
Has this project been scheduled in
a prior C.I.P.? O No OO Yes
Other projects or factors directly related to this project: ST 88-46
Indicate fiscal year project should be: Started 88/89 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 2,000
Drainage - General City
S 2,000
Construction Cost
S 1,200,000
Administration Cost
S 100,000
Total Cost
S 1,302,000
Funds available and/or
S 0
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 1,300.000
Balance Required
TOTAL
S 1,302,000
S 1,302,000
0
C�
CAPITAL IINTROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Drainage - General City
DR 88.04
Project Title, Description, and Location:
Area II Cucamonga S.P.R.R. S.D. Phase 2 - 1400' E/O Cuc. Creek Channel to Hellman Ave.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Improve this drainage system to
provide 100 year storm protection. Affects Hellman Avenue Storm
Drain.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 10,400
Drainage - General City
S 1,000
Construction Cost
S 2,075,000
Administration Cost
S 200,000
Right -of -Way
S 0
Total Cost
S 2,285,400
Funds available and/or
S 9,400
Amount required first year
$ 1,000
already expended
Amount required subsequent years
$ 2,275,000
Balance Required
TOTAL
rS 2,276,000
S 2.276,000
171
a
CAPITAL I!`IPRO VENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
'Drainage - General City
DR 88-09
Project Title, Description, and Location:
Baseline S.D. - E/O Day Creek Channel
to future Day Creek Blvd.
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Provide drainage along Baseline Rd in coordination with Baseline Road, Phase III Street Improvements.
Has this project been scheduled in a prior C.I.P.? O No QQ Yes
Other projects or factors directly related to this project: ST 88-08
'
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 2,000
Drainage - General City
S 2,000
Construction Cost
S 225,000
SB 140 Reimbursement
S 0
Administration Cost
S 40,500
Total Cost
S 267,500
Funds available and/or
$ 0
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 265,500
Balance RequitedS
TOTAL
267,500
S 267,500
a
CAPITAL IINIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Drainage - General City
DR 88.20
I
Project Title, Description, and Location:
Area V Hillside Rd. S.D. Phase 2
- Upper Alta Loma Channel to Archibald
Indicate whether: Q New
Q Replacement Q Addition
Project Justification:
Provide drainage protection along
Hillside and protection for Archibald Avenue.
Has this project been scheduled in
a prior C.I.P.? O No QQ Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 8 8/8 9 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 1,000
Drainage - General City
S 1,000
Construction Cost
S 25,000
Administration Cost
$ 5,000
Total Cost
S 31,000
Funds available and/or
S 30,000
Amount required first year
S 1.000
already expended
Amount required subsequent years
S 0
Balance Requiredr—S
TOTAL
1,000
S 1,000
•
0
CAPITAL MPROVEMENT PROJECT REQUEST
Department-. Community Development
Fund:
Priority No.
Division: Engineering
Drainage- General City
DR 88-14
Project Title, Description, and Location:
Area VI Lemon Ave. S.D. Phase 1
- Lower Alta Loma Channel to Amethyst
Indicate whether: Q New
O Replacement O Addition
Project Justification:
Increase :' : flood protection of
this storm drain system and provide protection for Archibald Avenue
and Amethyst Street.
Has this project been scheduled in
a prior C.I.P? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 66,300
Drainage- General City
S 2,000
Construction Cost
S 1,300,000
Administration Cost
$ 130,000
Total Cost
$ 1,496,300
Funds available and/or
$ 64,300
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 1,430,000
Balance Required
TOTAL
S 1,432,000
S 1,432,000
L.
CAPITAL LvIPROVENENT PROJECT REQUEST
Department: Community Development Fund: Priori[y No.
Division: Engineering Drainage - General City DR 88.16
Project Title, Description, and Location:
Area II Amethyst S.D. Phase 1 - E/O Amethyst N/0 19th to Highland
Indicate whether: 0 New 0 Replacement Q Addition.
FPro,ide
Justification:
for increased drainage protection along Amethyst.
Has this project been scheduled in a prior C.I.P.? 0 No OO Yes
Other projects or factors directly related to this project: ST 88-31
Indicate fiscal year project should be: Started 88/89 Completed 91/92
Estimated Project Costs Amount Suggested Financing Amount
Design Cost S 5,000 Drainage - General City S 5,000
Construction Cost S 160,000
Administration Cost S 54,400
Right -of -Way S 0
Total Cost I S 219,400
Funds available and/orI S 214,400 I Amount required First year I 5 5,000
already expended
Amount required subsequent years I S 0
Balance Required I $ 5,000 1 TOTAL I 5 5.000 1
•
•
•
CAPITAL LVIPROVENIEYT PROJECT REQLT-ST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Drainage - General City
DR 89-07
Project Title, Description, and Location:
Area IV Archibald Storm Drain Phase
1 - Deer Creek Channel to n/o 4th Street.
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Storm Drain construction to reduce
flooding along Archibald Ave.
Has this project been scheduled in a prior C.I.P:t O No QQ Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be:
Started 89/90 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 37,900
Drainage - General City
S 2,000
Construction Cost
S 325,000
Administration Cost
S 40,000
Total Cost
$ 402,900
Funds available and/or
S 85,900
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 315,000
Balance Required
TOTAL
S 317,000
S 317,000
C�
CAPITAL LMIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Drainage '- General City
DR 89-18
Project Title, Description, and Location:
Area IV Archibald Storm Drain Phase 3 - N/O 4th Street to N/O 6th Street
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Storm Drain to reduce flooding along 4th Street.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 89/90 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 40,000
Drainage - General City
S 2,000
Construction Cost
S 325,000
Administration Cost
$ 50,000
R/W
S 100.000
Total Cost
$ 515,000
Funds available and/or
so
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 513,000
Balance RequiredS
TOTAL
515,000
S 515,000
CAPITAL llNIPROVEMENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering Drainage - General City
• i Project Title, Description, and Location:
Area IV Archibald Storm Drain Phase 2 - 4th Street E/O Archibald Ave.
Indicate whether: O New O Replacement Q Addition
Project Justification:
Storm Drain construction to reduce flooding along 4th Street .
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
• Indicate fiscal year project should be: Started 89/90
Estimated Project Costs Amount
r 1
u
Q Yes
Completed 91/92
Design Cost $ 48,100 Drainage - General City
Construction Cost S 250,000
Administration Cost I S 55,000
Right -of -Way
$ 8,000
Total Cost 1 S 361,100
Funds available and/orI S 46,100
already expended
Balance Required I S 315,000
Amount required first year
Amount required subsequent years
TOTAL
Priority No.
DR 89-08
Amount
S 2.000
t ttt
S 313,000
S 315,000
•
•
0
CAPITAL I1WROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Drainage - General, City
DR 89-11
Project Title, Description, and Location:
Area VI Highland Avenue Storm Drain - Lower Alta Loma Channel to Archibald Avenue.
Indicate whether: Q New
O Replacement Q Addition,
Project Justification:
Reduce the potential of flooding
of fronting and downstream developments and remove
major storm
flows from the street surface by
directing storm flows to the Alta Loma Channel.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 89/90 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 34,000
Drainage - General City
.$ 2,000
Construction Cost
S 310,000
Administration Cost
S 52,700
Right -of -Way
S 5,000
Total Cost
S 401,700
Funds available and/or
S 32,000
Amount required first year
S 2.000
already expended
Amount required subsequent years
$ 367,700
Balance RequiredS
TOTAL
369,700
S 369,700
CAPITAL LVIPROVENENT PROJECT REQUEST
Department: Community Development Fund: Priority No.
Division: Engineering Drainage - General City DR 90.01
• Project Title, Description, and Location:
Area II Cucamonga S.P.R.R. Storm Drain Phase 1(a) - Cucamonga Creek Channel to E/O Carnelian
Indicate whether: Q New O Replacement O Addition
Project Justification:
Needed to ugrade this drainage system for 100 year storm protection. Affects Hellman Avenue Storm
Drain.
Construction Cost $ 0
Administration Cost $ 0
Developer Reimbursement 1 $ 710,000
Total Cost I S 710,000
Funds available and/orI S 0
already expended
Amount required first year
Amount required subsequent years
Amount
S 360,000
S 360,000
S 350,000
Balance Required I S 710,000 1 TOTAL I S 710,000
Has this project been scheduled in
a prior C.I.P ?
0 No
Q Yes
iIndicate
Other projects or factors directly related to this project:
fiscal year project should be: Started 90/91
Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Design Cost
So
Drainage - General City
Construction Cost $ 0
Administration Cost $ 0
Developer Reimbursement 1 $ 710,000
Total Cost I S 710,000
Funds available and/orI S 0
already expended
Amount required first year
Amount required subsequent years
Amount
S 360,000
S 360,000
S 350,000
Balance Required I S 710,000 1 TOTAL I S 710,000
Federal Aid Urban
244637
J
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
10/22/90
ACCOUNT
---------------------------------------------
FEDERAL AID URBAN ---ENGINEERING ADMIN
21 1637 1100 REGULAR PAYROLL
26 1637 1900 FRINGE BENEFITS
26 6637 3931 VEHICLE MAINT. 6 OPERATION
21 1637 8000 PROGRAM BUDGET
21 1637 8013 ARCHIBALD/FOURTH SIGN
24 1637 8068 ARCHIBALD RECONSTRUCTION
21 6637 8200 ARCHIBALD AVE.
26 6637 8775 ARROW/CUCAMONGA CREEK
21 1637 8838 HAVEN AVE REHAB.
26 1637 8839 FOURTH ST. REHAB.-M.C.L.
DEPARTMENT TOTAL
•
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
07-08 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
0
0
0
10,913
0
36,728
32,809
31,511
0
0
12,155
11,683
12,079
0
0
O
0
0
0
0
6
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
20,732
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
216,700
0
0
12,000
332,000
332,000
332,000
0
0
362,700
0
0
161,600
1,392,000
1,392,000
1,392,000
0
0
0
0
0
0
0
0
0
20,732
0
579,100
0
10,963
173,600
1,770,883
1,768,292
1,770,590
•
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 24
FAU
En ineerin
Position
Classification
Position
Emp. 89/90
Quota A ro riations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
it Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0.02
0.02
0
390
0
Office Specialist II
11
5679
0.03
0.02
0.02
423
473
Office Specialist II
12
8682
0.02
0.02
0.02
398
456
Secretary
53
new
-
0.03
0.02
647
453
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0
0
0
Jr. Engineer`
54
new
0
0
0
0
0
Traffic Engineer
3
6800
0.01
0.01
0.01
611
682
Associate Engineer
18
3211
0.01
0.01
0.01
526
559
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0.01
0.01
0.01
453
481
Assistant Engineer
49
8149
0.01
0.01
0.01
353
375
Assistant Engineer
50
6682
0.06
0.06
0.06
2119
2250
d
Engineering Aide
45
152
0.02
0.02
0.02
442
556
Engineering Tech.'
55
new
-
0.02
0.02
627
0
Senior Engineer
5
5822
0.04
0.04
0.04
2445
2662 dJ
Associate Engineer
20
2140
0.04
0.04
0.04
1725
1925 J/
Associate Engineer
21
5275
0.04
0.04
0.04
2105
2235 l
Associate Engineer
22
5700
0.04
0.04
0.04
2003
2191
Assistant Engineer
29
2641
0.04
0.04
0.04
1561
1742 .l
Assistant Engineer
51
4687
0.04
0.04
0.04
1485
1576 j
Jr. Engineer
32
1145
0.04
0.04
0.04
1470
1291
Engineering Tech.
36
561
0.04
0.04
0.04
1027
1229 Jy
d
Engineering Aide
46
5800
0.04
0.04
0.04
1027
1204
Engineering Aide
52
128
0.04
0.04
0.04
884
1112
Assistant Engineer
56
new
-
0.04
0.04
1413
1500 }
J
Public Works Engineer
6
6350
0.02
0.02
0.02
1157
1266
Spr Public Works Insp '
30
4900
0.04
0.04
0.04
1795
1944
d
Public Works Insp.11"
37
Vacant
0.04
0.04
0.04
1546
1515
Public Works Insp.11"
38
1075
0.04
0.04
0.04
1546
1674
Public Works Insp.
43
2727
0.01
0.01
0.01
341
392
Jr. Engineer
33
480
0.03
0.03
0.03
1039
1125
Pblc Wrks Insp.11'
64
New
-
0.04
N/R
1204
0
Subtotal
32,762
32,868
Merit Contingency:
1,638
1,643
Subtotal:
34,400
34,511
Fringe Benefits
12,040
12,079
Subtotal:
46,440
46,590
Part-time
-
0
0
TOTAL
46,440
46,590
t Proposed reclassification of
an
Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
'Proposed New Position
INIR Not
Recommended
• COST CENTER DETAIORKSHEEf 1990/91
Number:
CAPITAL IINIPROVENIENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering FAU
• Project Title, Description, and Location:
Cucamonga Creek Bridge Widening @ Arrow Rte.
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Widen existing bridge to arterial width.
Priority No.
ST 88.14
Total Cost I S 422,000
Funds available and/orI S 31,000 I Amount required first year I S 391,000
already expended
1 Balance Required S 391,000
Amount required subsequent years
TOTAL
S0
S 391,000
Has this project been scheduled in
a prior C.I.P.?
O No
Q Yes
Other projects or factors directly related to this
project:
Indicate fiscal year project should be: Started 87/88
Completed 91/92
Project Costs
Amount
Suggested Financing
Amount
FEstimated
Design
S 16,000
FAU
S 332,000
Cost
S 347,000
Systems
Development
S 59,000
Administration Cost
S 59,000
Total Cost I S 422,000
Funds available and/orI S 31,000 I Amount required first year I S 391,000
already expended
1 Balance Required S 391,000
Amount required subsequent years
TOTAL
S0
S 391,000
CAPITAL MPROVE`IEtiT PROJECT REQUEST
Department: Community Development Fund: Prwnty No.
Division: Engineering FAU ST 88.33
. Project Title, Description, and Location:
Haven .Ave. Rehabilitation & Widening - Fourth to Foothill
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Application to Federal Government for funding and design of pavement rehabilitation and widening.
Total Cost 1 S 1,841,000
Funds available and/orI S 188,000
already expended
Amount required first year
Amount required subsequent years
S 1,638,000
$ 15,000
Balance Required I S 1,653,000 1 TOTAL I S 1,653.000
Has this project been scheduled in
a prior C.I.P.?
O No
QQ Yes
Other projects or factors directly related to this
project: TR
88.20, TR 88.40, TR 89-09,
RR 88-14
Indicate fiscal year project should be: Started 87/88
Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 188,000
FAU
$ 1,392,000
Construction Cost
S 1,533,000
System
Development
S 209,000
Administration Cost
S 120,000.
SB 140
S 37,000
Total Cost 1 S 1,841,000
Funds available and/orI S 188,000
already expended
Amount required first year
Amount required subsequent years
S 1,638,000
$ 15,000
Balance Required I S 1,653,000 1 TOTAL I S 1,653.000
Capital Reserve
254285
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
CAPITAL RESERVE ---GENERAL OVERHEAD
25 4285 3900 MAINTENANCE 6 OPERATIONS
25 4285 7043 CAPITAL EXPEND. -BUILDING
25 4285 7044 CAPITAL EXPEND. -EQUIPMENT
25 4285 8004 LION ST. IMPROVEMENTS
25 4285 8011 CENTRAL PARK PAYMENT
25 4285 8613 CORP.YARD ACQUISITION
25 4285 8804 LION ST. IMPROVEMENTS
25 4285 8960 COMMUNITY EVENT BANNER POLES
DEPARTMENT TOTAL
N
O
0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
6,848 2,015 30,000
1,370,405
2,904,449 0
4,299
0 0
1,043
0 0
700,860
185,616 0
542
0 0
194
62,258 0
2,084,211 3,154,338 30,000
0 0
30,000
0
0
0
0 1,464,982
0
0
0
0
0 0
0
0
0
0
0 0
0
0
0
0
0 0
0
0
0
0
0 0
0
0
0
0
0 0
0
0
0
0
12,000
2,000
2,000
2,000
0 1,464,962
42,000
2,000
2,000
2,000
CAPITAL IIvIPROVE:�NT PROJECT REQUEST
Department: Community Development Fund: Priority No.
Division: Engineering Capital Reserve - Fund 25 PL 89-01
• Project Title, Description, and Location:
Community Event Banner Poles
Indicate whether: O New O Replacement Q Addition
Project Justification:
Purchase and install Community Event Banner Poles at Archibald Ave. north of Foothill Blvd. and
Baseline west of Haven Ave.
Has this project been scheduled in a prior C.I.P.? O No
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 89/90
Estimated Project Costs Amount
QQ Yes
Completed 90/91
Design Cost $0 Capital Reserve - Fund 25
Construction Cost S 12,000
Administration Cost $ 2,000
Total Cost I S 14,000
Funds available and/orI S 12,000 I Amount required first year
already expended
Amount required subsequent years
0
Balance Required S 2,000 TOTAL
Amount
$ 2,000
$ 2,000
H911
S 2,000
CAPITAL LVIPROVEMHNT PROJECT REQUEST
Department: Community Development Fund: Priority No.
Division: Engineering 01-4333-6028 PL 88-01
. Project Title. Description. and Location:
t Sapphire Street Trail Improvement
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Improvement of trails from Jennet to Hillside. City Manager not recommended.
Has this project been scheduled in a prior C.I.P.? O No 0 Yes
Other projects or factors directly related to this project:
• Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs Amount Suggested Financing Amount
Design Cost so 01-4333-6028 $ 0
Construction Cost $ 0
Administration Cost $ 0
Total Cost 1 $0
Funds available and/orI S 0 I Amount required first year I S 0
already expended
Amount required subsequent years S 0
Balance Required 1 $ 0 1 TOTAL I S 0
Block GraMs/CDBG
28-4333
0 0 0
BUDGET PROJECTION WORKSHEET 10/22/90 CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-89)
ACCOUNT
87-88 FY 88-89 FY CUR FY
ACTUAL ACTUAL BUDGET
DEPT COUNCIL
CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
COMMUNITY DEV. BLOCK GRANT ---PLANNING
28 4333 1100 REGULAR SALARIES 3 9
28 4333 1900 FRINGE BENEFITS 13 0
28 4333 3960 GENERAL LIABILITY 0 0 0 0 0 0 0 0 0
28 4333 8113 TURNER AVE. BIN TO 26 0 0 0 0 0 0 0 0 0
28 4333 8177 TURNER AVE.WIDENING 0 0 0 0 0 0 0 0 0
28 4333 8178 NORTH TOWNE STREETS DESIGN 0 0 0 0 0 0 0 0 0
28 4333 8180 NORTH TOWNE PARK ACQUISITION 0 0 0 0 0 0 0 0 0
28 4333 8181 NORTH TOWNE PARK 0 0 0 0 300,000 0 0 0 0
28 4333 8182 NORTH TONNE STREET 3,474 0 0 0 0 0 0 0 0
N 28 4333 9193 HANDICAP SIGNS 0 0 0 0 0 0 0 0 0
N 28 4333 8185 ADMINISTRATION 59,769 74,446 72,500 (26,203) 3,723 46,397 86,600 86,600 86;806 y 2, boa
28 4333 8187 FAIR HOUSING 9,811 8,486 0 0 0 0 0 0 0
28 4333 8189 HOUSING REHABILITATION 61,094 35,523 70,000 (54,358) 0 5,642 80,000 80,000 80,000
28 4333 8190 TURNER AVE.EAST/CONSTRUCTION 190,676 0 0 0 0 0 0 0 0
28 4333 8191 FERON BLVD. 0 0 0 0 3,127 0 0 0 0
28 4333 8193 SENIOR SHARED HOUSING 4,080 5,419 6,300 0 1,111 6,300 6,300 6,300 6,300
28 4333 8194 FERON BLVD. 0 637 0 89,363 69,407 85,800 0 0 0
28 4333 8704 VIA CARILLO IMPROVMENTS 9,844 241,558 0 32,681 3,863 32,681 0 0 0
28 4333 8162 AREA V11/STORM DRAINS 4,907 0 0 0 0 0 0 0 0
28 4333 8811 SIERRA MAORE/PLACIDA 0 12,238 0 40,495 158,121 270,900 1,000 0 0
28 4333 8812 AVENIDA VEJAR 0 81,758 0 49,720 141,449 12,500 0 0 0
28 4333 8951 SIERRA MADRE-S/O ARROW -DESIGN 0 0 250,000 (25,848) 135 2,700 179,000 0 0
28 4333 8952 SALINA-VINMAR DESIGN 0 0 14,000 0 2,931 3,100 174,000 0 0
28 4333 8955 HISTORIC PRESERVATION REHAB 0 0 20,100 20,100 0 40,200 20,100 20,100 20,100
28 4333 9025 0 0 0 0 0 0 240,000 240,000 240,000
DEPARTMENT TOTAL 343,655 460,074 433,000 115,958 593,932 506,220 787,000 433,000 484,26 0
4g,
11
U
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 28
E ' CID
ng inearin
Position
Classification
Position
Emp. 89/90
Quota Aooroonations
Dept.
Mgr.Dept.
Mgr.
Title & Position #
# Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0.02
0.02
390
0
Office Specialist II
11
5679
0.04
0.02
0.02
423
473
Office Specialist II
12
8682
0.02
0.02
0.02
398
456><
Secretary
53
new
0.04
0.02
862
453
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0
0
0
Jr. Engineer'
54
new
0
0
0
0
0
Traffic Engineer
3
6800
0.01
0.01
0.01
611
682
Associate Engineer
18
3211
0.02
0.02
0.01
1053
559
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0
0
0
0
0
Assistant Engineer
49
8149
0
0
0
0
0
Assistant Engineer
50
6682
0
0
0
0
0
Engineering Aide
45
152
0
0
0
0
0
Engineering Tech.'
55
new
-
0
0
0
0
Senior Engineer
5
5822
0.05
0.05
0.05
3056
3327
Associate Engineer
20
2140
0.05
0.05
0.05
2156
2406V
Associate Engineer
21
5275
0.05
0.05
0.05
2632
2794,/
Associate Engineer
22
5700
0.05
0.05
0.05
2504
2739
Assistant Engineer
29
2641
0.05
0.05
0.05
1951
2177 e
Assistant Engineer
51
4687
0.05
0.05
0.05
1856
19701
Jr. Engineer
32
2020
0.05
0.05
0.05
1838
1614'
Engineering Tech.
36
561
0.05
0.05
0.05
1283
1536v
Engineering Aide
46
5800
0.05
0.05
0.05
1283
15054
Engineering Aide
52
128
0.05
0.05
0.05
1105
1390'
Assistant Engineer
56
new
0.05
0.05
1766
1875
Public Works Engineer
6
6350
0.03
0.03
0.03
1736
1899✓
Spr Public Works Insp '
30
4900
0.05
0.05
0.05
2243
24304
Public Works Insp.11"
37
115
0.05
0.05
0.05
1932
1894r
Public Works Insp.11"
38
1075
0.05
0.05
0.05
1932
2092 v
Public Works Insp.
43
2727
0.01
0.01
0.01
341
392 J
Jr. Engineer
33
480
0.04
0.04
0.04
1385
1500
Pblc Wrks Insp.11'
64
New
-
0.05
N/R
1505
0
Subtotal
36,241
36,163
Merit Contingency:
1,812
1,808
Subtotal:
38,053
37,971
Fringe Benefits
13,319
13,290
Subtotal:
51,372
51,261
Part-time
-
0
0
TOTAL
51,372
51,261
t Proposed reclassification of
an
Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
*Proposed New Position
N/R Not
Recommended
• COST CENTER DETAIORKSHEET 199091 6
Department/Division:
En ineerin
Program:
CDBG
Account Number:
Fund 28
Department
Pro osed
City Mgr.
ProDosed
Ob ect No. Description of Items & Individual Dollar Amounts
Budget
1100 Regular Payroll
38415
37971
1200 Overtime Payroll
1900 Frincte Benefits & 35%
13445
13290
3900 Maintenance & Operations
3960 General Liability 1% of Operations
0
0
6028 Contract Services
7044 Capital Expenditures
TOTAL
51660
51261
IKM
0
a
Account Number:
28-4333 1990/91
is
I Fair Housinq
I Contract Coordinator
I Other Staff
I Advertisinq, Miscellaneous
I Subtotal
I
8189 IHousinq Rehabilitation - Grants/Loans
1
8193 ISenior Shared Housing
XXXX IS.W. Cucamonga Streets (Actual street named projects
I will be determined durinq COBG Application for •90/91
8955 (Historic Preservation Rehabilitation
29LF2ls.rkl
I
I
I
TOTAL
I
Sudget
___________
COST
CENTER DETAIL WORKSHEET
59,024 I
OePer[ment/Oiv lsien:---_�����
Program: 1
Community
Dev./Plannlnq I
Grants/CDSG I
86,600
___________________________________________________________
Object No.l
-- -0esgr i prion of
Items S Individual Dollar
6.300
----------
6185
I________________________________________________
(Administration:
I
0
a
Account Number:
28-4333 1990/91
is
I Fair Housinq
I Contract Coordinator
I Other Staff
I Advertisinq, Miscellaneous
I Subtotal
I
8189 IHousinq Rehabilitation - Grants/Loans
1
8193 ISenior Shared Housing
XXXX IS.W. Cucamonga Streets (Actual street named projects
I will be determined durinq COBG Application for •90/91
8955 (Historic Preservation Rehabilitation
29LF2ls.rkl
I
I
I
TOTAL
I
Sudget
___________
I
8,975 I
59,024 I
10,000 I
8.601 1
86,600
I
I
80,000
I
6.300
j240.000-
40.000•20.100
I
20. 100
433,000
Measure)
324637
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
MEASURE
ACCOUNT
32 4637 1100 REGULAR SALARIES
32 4637 1900 FRINGE BENEFITS
32 4637 9026 TERRA VISTA 6 BASLINE MEDIAN
32 4637 9027 HAVEN ST. IMPROV PH 1
32 4531 9028 HAVEN ST IMPROV PH 11
32 4637 9029 CITY NIDE ST. REHAB 6 MAINT
32 4637 XXXX
DEPARTMENT TOTALS
i
CITY OF RANCHO CUCAMONGA
DEPT
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91
COUNCIL
CITY APPROVED
MGR 1990/91
51,188 51,188 54,439
17,916 17,916 19,054
95,000 95,000 95,000
807,000 807,000 807,000
10,000 70,000 70,000
715,205 715,205 715,205
0 0 0 0 0 0 1,756,309 1,756,3D9 1,760,698
0
•
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: Fund 32
Pnnineerinn Measure I Arterial
Position
Classification
Position
Emp, 89/90
Quota AoorODriations
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
# I Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Office Specialist II
9
2134
0
0
0
0
0
Office Specialist II
11
5679
0
0
0.02
0
473
J
Office Specialist II
12
8682
0
0
0.02
0
456
Secretary
53
new
-
0
0.02
0
453
Senior Engineer
63
3882
0
0
0
0
0
Landscape Designer
17
6363
0
0
0
0
0
Associate Engineer
15
7413
0
0
0.05
0
2658)
Jr. Engineer'
54
new
0
0
0.08 ✓
0
2582
Traffic Engineer
3
6800
0
0
0.01
0
6821
Associate Engineer
18
3211
0
0
0.02
0
1118 /
Associate Engineer
19
5137
0
0
0
0
0
Assistant Engineer
28
6312
0
0
0
0
0
Assistant Engineer
49
8149
0
0
0
0
0
Assistant Engineer
50
6682
0
0
0.02
0
750
Engineering Aide
45
152
0
0
0.03
0
834 /
Engineering Tech.'
55
new
0
0.16
0
4915 i
Senior Engineer
5
5822
0
0
0.05
0
3327
Associate Engineer
20
2140
0
0
0.06
0
2887 J
Associate Engineer
21
5275
0
0
0.06
0
3353
Associate Engineer
22
5700
0
0
0.06
0
3287 /
Assistant Engineer
29
2641
0
0
0.06
0
2613 /
Assistant Engineer
51
4687
0
0
0.06
0
2364 /
Jr. Engineer
32
2020
0
0
0.06
0
1937 /
Engineering Tech.
36
561
0
0
0.06
0
1843
Engineering Aide
46
5800
0
0
0.06
0
1806 /
Engineering Aide
52
128
0
0
0.06
0
1668
Assistant Engineer
56
new
-
0
0.06
0
2250
Public Works Engineer
6
6350
0
0
0.02
0
1266
Spr Public Works Insp '
30
4900
0
0
0.05
0
2430
Public Works Insp.11"
37
115
0
0
0.05
0
1894 /
Public Works Insp.11"
38
1075
0
0
0.05
0
2092
Public Works Insp.
43
2727
0
0
0.02
0
784./
Jr. Engineer
33
480
0
0
0.03
0
1125
Pblc Wrks Insp.11'
64
New
0
N/R
0
0
Subtotal
0
51,847
Merit Contingency:
0
2,592
Subtotal:
0
54,439
Fringe Benefits
0
19,054
Subtotal:
0
73,493
Part-time
0
0
TOTAL
0
73,493
t Proposed reclassification of
an
Office
Assistant to Senior Office
Assistant
"Positions funded using
Special Funds
Pro osed New Position
N/R Not
Recommended
• •
COST CENTER DETAIL ORKSHEET 1990/91
Account
0
0
•
C?.PITAL VAPROVE'NTEVT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Measure I - Loca7
ST 90-31
Project Title, Description, and Location:
City Wide Local Street Rehabilitation
and Maintenance Program FY 1990/91
Indicate whether: Q New
Q Replacement O Addition
Project Justification:
Improve roadway to City standard,
including curb, gutter, sidewalks, and street lights.
Has this project been scheduled in a prior C.I.P.? No Q Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be:
Started 9 0/9 1 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 62,000
Measure I - Local
$ 715,205
Construction Cost
S 638,205
Administration Cost
S 15,000
Total Cost
S 715,205
Funds available and/or
$ 0
Amount required first year
$ 715,205
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
$ 715,205
S 715.205
CAPITAL INIPROVENIENT PROJECT REQUEST
----TDepartment. Community Development Fund: Priori[v �o.
Division: Engineering L'tD p4
BT 88-36
Project Title, Description, and Location:
Terra Vista Parkway and Median Retrofit
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Reconstruction of curbs at selected drive throughs, retrofit landscaping and irrigation to city
standards and landscape concepts, and modify left turn pockets to imcrease traffic capacity.
Has this project been scheduled in a prior C.I.P.? O No Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estated Project Costs Amount Suggested Financing
FAdmini*st'tration
n Cost S 5,000 LMD N4
rucion Cost S 224,000 Measure I - Arterial
Cost S 10,000
Total Coat 1 $ 239,000
Funds available and/ors 0
already expended
Amount required first year
Amount required subsequent years
Amount
S 144,000
S 95,000
S 239,000
S0
Balance Required I S 239,000 1 TOTAL I S 239,000
•
•
CAPITAL INIPROVEINfENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Measure I Arterial
DR 89-12
Project Title, Description, and Location:
Area IX Haven Storm Drain Phase
1 - Deer Creek to N/O Church Street.
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Completes master drain (100 year
protection) along Haven Avenue from Deer Creek Channel to N/O
Church Street.
Has this project been scheduled in
a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: ST 89-24, TR 89-09
Indicate fiscal year project should be: Started 89/90 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
Measure I Arterial
S 0
Construction Cost
S 0
(See Streets for funding)
Administration Cost
$0
Total Cost
so
Funds available and/or
so
Amount required first year
S 0
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 0
S 0
Total Cost 1 $ 857,600
Funds available and/orI S 50,000
already expended
Amount required first year
Amount required subsequent years
S 807,000
S0
Balance Required I S 807,000 1 TOTAL I S 807,000
CAPITAL 11WROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No..
Division: Engineering
Measure I - Arterial
ST 89-24
.
Project Title, Description, and Location:
Haven Ave. Storm Drain, Traffice Signals, Street Improvements Phase 1 - S/O Foothill Blvd. to N/O Church
Street.
Indicate whether: Q New Q Replacement Q Addition
Project Justification:
Improve capacity of Haven Ave. by widening and construction of missing improvements.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
•
Indicate fiscal year project should be: Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 75,000
Measure I - Arterial
S 807,000
Construction Cost
$ 702,000
Administration Cost
$ 80,000
Total Cost 1 $ 857,600
Funds available and/orI S 50,000
already expended
Amount required first year
Amount required subsequent years
S 807,000
S0
Balance Required I S 807,000 1 TOTAL I S 807,000
El
I CAPITAL IINIPROVEIVENT PROJECT REQUEST
•
Department: Community Development Fund: Priority No.
Division: Engineering Measure I - Arterial ST 90.37
Project Title, Description, and Location:
Haven Ave. Storm Drain, Street. and Traffic Signal Improvements Phase 2 - N/O Church St. to N/O Base
Line Rd.
Indicate whether: 0 New O Replacement O Addition
Project Justification:
Eliminate open flood control Channel and to widen street to ultimate.
Has this project been scheduled in a prior C.I.P.? Q No O Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 90/91 Completed 91/92
Estimated Project Costs Amount Suggested Financing Amount
Design Cost S 70,000 Measure I - Arterial S 70,000
Construction Cost S 1,565,000
Administration Cost $ 100,000
Total Cost S 1,735,000
Funds available and/or S 0 Amount required first year S 70,000
already expended
Amount required subsequent years S 1,665,000
•
Balance Required S 1,735,000 TOTAL S 1,735,000
•
0
i
CAPITAL [IMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Measure I - Arterial
TR 89-09
Project Title, Description, and Location:
Upgrade Signal - Foothill Blvd. @ Haven
Ave.
Indicate whether: Q New
Q Replacement Q Addition,
Project Justification:
Needed to be consistent with street improvements along Foothill Blvd. and Haven Ave. and to
accommodate future signal coordination.
Has this project been scheduled in a prior
C.I.P.? Q No Q Yes
Other projects or factors directly related
to this project: ST 88-44
Indicate fiscal year project should be:
Started 89/90 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
Measure I- Arterial
S 0
Construction Cost
$ 0
Administration Cost
$0 '
(Funded with Street)
Right -of -Way
so
Total Cost
so
Funds available and/or
so
Amount required first year
S 0
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S0
r
S 0
SB 140
35-0637
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
SO 140
ACCOUNT
10/22/90
81-88 FY 88-89 FY CUR FY
ACTUAL ACTUAL BUDGET
35 4637 9030 MILLINER 0 AT 6 SF ST IMP
35 4637 9031 19TH ST -ST IMP CARNLIANTOAMETHYST
35 4637 9032 19TH ST -ST IMP ARCTOHAVEN
35 4637 9033 FTHILL RTE 66/1-15 INTRCHANGE IMP
35 4537 9034 HAVEN REHAB 6 WIDNING
35 4537 9035 BSLINE-ST IMP PH 1
35 4637 9036 BSLINE-ST IMP PH 2
35 4637 9031 ARROW RTE -ST IMP PH 2
35 4637 9038 ARROW RTE -5T IMP E/0 HERMSA
35 4637 9039 SIGNAL-BSLINE 0 ETWANOA
35 4637 9040 SIGNAL-BSLINE 0 VICTRIA PK
35 4637 9041 SIGNAL -ARROW 0 HERMOSA
35 4637 XXXX AREA XIII BSLINE SO
35 4637 XXXX HELLMAN 0 SP RR X-ING IMP
35 4637 XXXX FTHILL OSPUTHERN PAC RR IMP
35 4637 XXXX BSLINE-ST INP
35 4637 XXXX EAST-SPRR TO LION
35 4637 XXXX WEST -GROVE TO SPRR
35 4637 XXXX ROCHESTER -ST IMP
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
686,000 685,000 686,000
120,000 120,000 120,000
69,000 69,000 69,000
297,000 297,000 297,000
37,000 37,000 37,000
1,500 1,500 1,500
1,500 1,500 1,500
300 300 300
750 750 750
300 300 300
300 300 300
150 150 150
0 0 0 0 0 0 1,213,800 1,213,000 1,213,800
E
•
•
CAPITAL IINIPROVE�vfENT PROJECT REQU-EST
Department: Community Development
Fund:
Priority No.
Division: Engineering
RDA
RR 88-03
Project Title, Description, and Location:
Milliken Avenue @ AT & SF Railroad Grade Separation and Street Improvements - 7th St. to Jersey Blvd.
Indicate whether: Q New Q Replacement Q Addition
Project Justification:
(1) A) Construction of new RR mainline & bridged overcrossings (2), B) Construction of new Milliken
Ave. roadway underpass (grade separation) C) Extension of Milliken Ave from 7th St. north to Jersey
Blvd
(II) Construction to follow in subsequent years
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project:
l Indicate fiscal year project should be: Started 86/87 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 50,000
RDA
S 4,200.000
Construction Cost
S 4,243,000
SB 140 Reimbursement
$ 686,000
Administration Cost
S 510.000
Right -of -Way
$ 118,000
Total Cost
S 4,921,000
Funds available and/or
S 35,000
Amount required first year
S 4,886,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S4,886,000
S 4.886,000
CAPITAL INIPROVENIENT PROJECT REQUEST
Department•. Community Development Fund:
Division: Engineering Priority No.
• System Development ST 88-02
Project Title, Description, and Location:
f 19th St. Street Improvement - Carnelian to W/O Amethyst
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Improve street including full widening and rehabilitation for more efficient flow of traffic.
Has this project been scheduled in a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project: DR 88-12, TR 88-04, TR 88-05
Indicate fiscal year project should be: Started 87/88 Completed 91/92
Estimated Project Costs Amount Suggested Financing Amount
Design Cost S 39,800 System Development S 815,000
Construction Cost S 846,000 SB 140 S 120,000
Administration Cost S 90,000
Total Cost 1 S 975,800
Funds available and/orI S 39,800 I Amount required first year I S 935,000
already expended
• I I Amount required subsequent years I S 1,000
Balance Required I S 936,000 1 TOTAL I S 936,000
CAPIT.-\L IMPROVENfE`T PROJECT REQUEST
Department-. Communitv Dei.<lopment Fund: Priority No.
Division: Engineering System Development ST 83-03
Project Title, Description, and Location:
19th St. Street Improvement - Archibald to W/O Haven
Indicate whether: O New Q Replacement Q Addition
Project Justification:
Improve street including full widening and rehabilitation for more efficient flow of traffic.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: TR 88-16
Indicate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs Amount Suggested Financing
Design Cost S 18,700 System Development
Construction Cost S 405,000 SB 140
Administration Cost S 20,000
Right -of -Way
S 50,000
Total Cost I S 493,700
Amount
S 406.000
S 69,000
Funds available and/orI S 18,700 I Amount required first year I S 475,000
already expended
1 Balance Required S 475,000
Amount required subsequent years
TOTAL
S 475.000
•
0
CAPITAL INIPROVELIEVT PROJECT REQUEST
Department: Community Development
Fund:
Priority No..
Division: Engineering
RDA Fund 13
ST 88-23
Project Title, Description, and Location:
Foothill Blvd. Rte. -66/1-15 Interchange Improvements
Indicate whether: O New O Replacement Q Addition.
Project Justification:
Improve signals, median upgrades and street improvements in conjuction with freeway interchange
upgrades.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: TR 88-22
Indicate fiscal year project should be: Started 87/88 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 190,000
RDA Fund 13
S 2,900,000
Construction Cost
S 2,897,000
SB 140
S 297,000
Administration Cost
S 300,000 '
Total Cost
S 3,387,000
Funds available and/or
$ 190,000
Amount required first year
S 3,197,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
r$3,1971,000
4 3,197,000
•
0
•
CAPITAL VVIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
FAO
ST 88-44
Project Title, Description, and Location:
Haven Ave. Rehabilitation & Widening - Fourth to Foothill
Indicate whether: Q New O Replacement
Q Addition
Project Justification:
Application to Federal Government for funding and design
of pavement rehabilitation
and widening.
Has this project been scheduled in a prior C.I.P.? O No
Q Yes
Other projects or factors directly related to this project: TR
88-20, TR 88-40, TR 89-09,
RR 88-14
Indicate fiscal year project should be: Started 87/88
Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 188,000
FAO
S 1,392,000
Construction Cost
S 1,533,000
System
Development
$ 209,000
Administration Cost
S 120,000
SB 140
S 37,000
Total Cost
$ 1,841,000
Funds available and/or
S 188,000
Amount required first year
$ 1,638,000
already expended
Amount
required subsequent years
S 15,000
Balance Required
TOTAL
S 1,653,000
S 1,653,000
CAPITAL LNIPROVEMENT PROJECT REQUEST
Department: Community Development Fund:
Division: Engineering System Development
• Project Title, Description, and Location:
Baseline Rd. Street Improvements Phase I - Etiwanda to I-15
Indicate whether: O New O Replacement Q Addition
Project Justification:
Construct roadway widening and median improvements to improve traffic flows.
Total Cost I S 800,000
Funds available and/orI S 790,000
already expended
Amount required first year
Amount required subsequent years
Priority No.
ST 88-06
Amount
S 8,500
S 1,500
S 10,000
S0
Balance Required I $ 10,000 1
TOTAL f S 10,000
Has this project been scheduled in
a prior C.I.P ?
O No
Q Yes
Other projects or factors directly related to this project: DR
88.08, TR 88-07
•
Indicate fiscal
87/88
year project should be: Started
Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Design Cost
So
System
Development
Construction Cost
S 720,000
SB 140
Administration Cost
S 80,000
Total Cost I S 800,000
Funds available and/orI S 790,000
already expended
Amount required first year
Amount required subsequent years
Priority No.
ST 88-06
Amount
S 8,500
S 1,500
S 10,000
S0
Balance Required I $ 10,000 1
TOTAL f S 10,000
L
0
•
CAPITAL I.NIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Division: Engineering
System Development
Priority No:
ST 88-07
Project Title. Description, and Location:
Baseline Rd. Street Improvement Phase 2 - Victoria Pk. Ln. to Etiwanda
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Construct Roadway widening and median improvements to improve the flow of traffic.
Has this project been scheduled in a prior C.I.P.? O No Yes
Other projects or factors directly related to" this project: TR 88-08
Indicate fiscaleaz
y project should be: Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
System Development
S 8,500
Construction Cost
S 240,000
SB 140
S 1,500
Administration Cost
S 25,000
R/W
S 150,000
Total Cost
S 415,000
Funds available and/or
S 405,000
Amount required first year
S 10,000
already expended
Amount required subsequent years
S 0
Balance Requiced
TOTAL
$ 10,000
S 10,000
•
0
•
CAPITAL INIPROVENIENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
ST 88-t2
i Project Title, Description, and Location:
Arrow Rte. Street improvement S/S Phase 2 - Archibald to Hermosa
Indicate whether: Q New
Q Replacement Q Addition
Project Justification:
Improve street through widening and
improvements to bring roadway up to arterial standards.
Has this project been scheduled in a prior C.I.P.? O No O Yes
Other projects or factors directly related
to this project: TR 88.18, TR 88-19
Indicate fiscal year project should be:
Started 87/88 Completed 91/92
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
System Development
S 1,700
Construction Cost
S
300,000
SB 140
$ 300
Administration Cost
S
41,000
Right -of -Way
S
575,000
Total Cost
$
916,000
Funds available and/or
S
914,000
Amount required first year
S 2,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
$ 2,000
S 2.000
0
CAPITAL 1IMPROVEMENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
System Development
ST 88-37
l Project Title, Description, and Location:
Arrow Rte. Street Improvement - E/O
Hermosa to Haven
Indicate whether: O New
O Replacement Q Addition
Project Justification:
Street widening and rehabilitation
to arterial standards.
Has this project been scheduled in a prior C.I.P ? O No Q Yes
Other projects or factors directly related to this project: TR 88-20
Indicate fiscal year project should be:
Started 88/89 Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 0
System Development
S 4,250
Construction Cost
$ 130,000
SB 140
S 750
Administration Cost
S 21,500
Right -of -Way
S 20,000
Total Cost
$ 171,500
Funds available and/or
$ 166,500
Amount required first year
S 5,000
already expended
Amount required subsequent years
S 0
Balance RequiredS
TOTAL
5,000
S 5,000
CAPITAL DAPROVENIENT PROJECT REQUEST
Department: Community Development Fund: Priority No.
Division: Engineering Systems Development TR 88-07
Project Title, Description, and Location:
Signal - Baseline @ Etiwanda
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Total Cost 1 S 114,700
Funds available and/orI S 112,700 I Amount required first year I S 2,000
already expended
Amount required subsequent years I S 0
Balance Required I S 2,000 1 TOTAL I S 2,000
Has this project been scheduled in
a prior C.I.P.?
O No
Q Yes
Other projects or factors directly related to this project: ST
88-06
•
Indicate fiscal
year project should be: Started 87/88
Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
Systems
Development
$ 1,700
Construction Cost
S 100,000
SB 140
$ 300
Administration Cost
$ 14,700
Total Cost 1 S 114,700
Funds available and/orI S 112,700 I Amount required first year I S 2,000
already expended
Amount required subsequent years I S 0
Balance Required I S 2,000 1 TOTAL I S 2,000
•
•
•
CAPITAL IIWROVENtEIiT PROJECT REQUEST
Department: Community Development Fund: Priority No.
Division: Engineering Systems Development TR 88.08
Project Title, Description, and Location:
Signal . Baseline @ -Victoria Pk. Ln.
Indicate whether: Q New O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in
a prior C.I.P ?
O No
0 res
Other projects or factors directly related to this
project: ST
88-07
Indicate fiscal year project should be: Started 87/88
Completed 89/90
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
$ 0
Systems
Development
$ 1,700
Construction Cost
$ 100,000
SB 140
S 300
Administration Cost
$ 12,400
Total Cost 1 $ 112,400
Funds available and/orI S 110,400 I Amount required First year I $ 2,000
already expended
Balance Required I S 2,000
Amount required subsequent years
TOTAL
S 0 I
5 2,000
i
CAPITAL LWROVEmENT PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
Systems Development
TR S8_19
Project Title, Description, and Location:
Signal - Arrow @ Hermosa
Indicate whether: Q New
O Replacement Q Addition
Project Justification:
Needed to alleviate conflict at intersection.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related to this project: ST 88-12
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
So
Systems Development
S 850
Construction Cost
$ 91,000
SB 140
S 150
Administration Cost
$ 7,000
Total Cost
s 98,000
Funds available and/or
S 97,000
Amount required first year
S 1,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
-$1
1,000
r
S 1,000
Landscape Maint. #1
40.4130
N
w
m
BUDGRECTION WORKSHEET 10/22/90 CITY 04 CUCAMONGA
(ACTUALS TO 12-31-89)
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY
CUR FY
ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
------------------------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT
ACTUAL
ACTUAL
BUDGET
ADJUST
12/31/89
ACTUAL
1990/91
NOR
1990/91
LANDSCAPE DISTRICT
81 GENERAL CITY --- ASMTS
AO
4130
1001 ASSESSMENT ADMINISTRATION
21,536
29,516
36,172
0
0
36,172
0
10,910
40,940
40
4130
3960 OVERHEAD
1,130
1,130
1,280
1,280
40
4130
1100 REGULAR PAYROLL
2,223
0
0
0
0
0
0
0
0
40
4130
1900 FRINGE BENEFITS
2,840
0
0
0
0
0
0
0
0
40
4130
3900 MAINTENANCE 6 OPERATIONS
1,875
2,440
27,000
0
785
27,000
16,800
5,000
5,000
40
4130
3905 CONTINGENCY
0
4,000
0
0
0
0
0
0
0
40
4130
3931 VEHICLE MAINT 6 OPER
0
0
81500
(3,000)
0
5,500
8,500
1,000
1,000
40
4130
3940 CONTINGENCY - TREE REPL.
0
0
5,000
0
0
5,000
5,000
500
500
40
4130
6026 TRAIL MAINTENANCE
0
0
40,308
12,360
12,360
40
4130
6027 CONTRACT SERVICES -VANDALISM
0
0
29,767
6,000
6,000
40
4130
6028 CONTRACT SERVICES-MAINT
24,234
62,881
90,000
0
37,488
90,000
190,455
184,250
184,250
40
4130
6029 TREE MAINT. 6 CONTRACT
0
0
17,000
0
0
17,000
19,708
14,000
14,000
40
4130
7043 CAPITAL EXPEND -BLDG
0
9,289
15,000
0
0
15,000
18,000
106,871
106,811
40
4130
7044 CAPITAL EXPEND -EQUIP
2,100
2,100
227
0
0
40
4130
7045 CAPITAL EXPEND -VEHICLES
0
0
18,300
0
0
40
4130
0021 NATER UTILITIES
17,012
10,437
17,000
0
8,637
17,000
18,500
25,500
25,500
40
4130
8012 ELECTRIC UTILITIES
3,317
5,044
3,000
3,000
2,030
6,000
4,000
5,800
5,800
40
4130
8023 IRRIGATION RESTOR.
0
0
0
0
0
0
0
0
0
40
4130
8024 ASSESSMENT COSTS
0
0
0
0
0
0
0
0
0
40
4130
8767 ENTRY MONUMENTS
89,232
51,850
120,000
0
0
120,000
104,500
104,500
104,500
40
4130
XXXX LOAN REPAYMENT
0
DEPARTMENT TOTAL
162,211
183,457
339,802
2,100
48,940
341,902
482,145
508,001
508,001
40
4130
9000 TRANSFER OUT
0
0
0
0
0
0
0
0
DEPARTMENT TOTAL
162,277
183,451
339,802
2,100
48,940
341,902
482,145
500,001
508,001
•
Cl
Ll
7epartment ivision: Program: Account r:
tesource Services Landscape Dist. 1 Gen. City 40-4130
Fiscal Year
1990/91
Object
Description of Items & Individual Dollar Amounts
Budget
1001
Assessment Administration
$40,940
1002
Overhead
$1,280
3900
Maintenance & Operations
$5,000
3931
Vehicle Maint./Operations
$1,000
3940
Contingency -Tree Replacement
$500
6026
Trail Maintenance *
$12,360
6027
Contract Services - Vandalism/Irrig. Repair
$6,000
6028
Contract Services - Routine Maintenance
$184,250
6029
Tree Maint./Contract Administration *
$14,000
7043
Capital Eq*nditures - Projects
$211,371
8021
Water
$25,500
8022
Electric
$5,800
8023
Irrigation Restoration
$0
8026
Park Maintenance
$0
*Dollars for City Crew Reimbursement to Payroll
TOTAL
$508,001
CAPITAL INIPROVENIENT PROJECT REQUEST
Department: Community Development Fund: Priority No.
• Division: Engineering LIVID #1
BT 39-I4
Project Title, Description, and Location:
Baseline LMD #1 Projects
Indicate whether: Q New O Replacement O Addition
Project Justification:
Replace deficient parkway improvements, landscaping, irrigation, street tree retrofits, and possible
hardscape treatments.
Total Cost I S 104,500
Funds available and/or
already expended
QQ Yes
Completed 90/91
1 Financing
Amount required first year
Amount required subsequent years
Amount
S 104,500
S 104,500
M1]
Balance Required I S 104,500 1 TOTAL I S 104,500
Has this project been scheduled in
a prior
C.I.P.?
O No
Other projects or factors directly related
to this
project:
•
Indicate fiscal year project should be:
Started 89/90
Estimated Project Costs
Amount
SI
Design Cost
$
18,000
LIVID #1
Construction Cost
S
62,500
Administration Cost
$
24,000
Total Cost I S 104,500
Funds available and/or
already expended
QQ Yes
Completed 90/91
1 Financing
Amount required first year
Amount required subsequent years
Amount
S 104,500
S 104,500
M1]
Balance Required I S 104,500 1 TOTAL I S 104,500
Landscape Maint. #2
41-0130
N
F -
BUDGE• ECTION WORKSHEET
(ACTUALS TO 12-31-89)
10/22/90 CITY OF ®O CUCAMONGA
87-88 FY 88-89 FY CUR FY
ACCOUNT ACTUAL ACTUAL BUDGET
LANDSCAPE DISTRICT 82 VICTORIA --- ASMTS
41 4130
1001
ASSESSMENT ADMINISTRATION
9,064
11,200
14,056
41 4130
3960
OVERHEAD
2,498
0 0
3,329
41 4130
1100
REGULAR PAYROLL
8,662
0
0
41 4130
1900
FRINGE BENEFITS
4,797
0
0
41 4130
3900
MAINTENANCE 6 OPERATIONS
11,791
4,417
35,000
41 4130
3905
CONTINGENCY
0
9,000
0
41 4130
3931
VEHICLE MAINT 6 OPER
1,677
49
12,000
41 4130
3940
CONTINGENCY - TREE REPL.
0
0
5,000
41 4130
3941
LOAN REPAYMENT
0
0
50,000
41 4130
5026
TRAIL MAINTENANCE
115,204
346,500
0
41 4130
6027
CONTRACT SERVICES -VANDALISM
20,167
20,167
0
41 4130
6028
CONTRACT SERVICES-MAINT
67,234
194,044
305,000
41 4136
6029
TREE MAINT.-CONTRACT
0
0
15,000
41 4130
7043
CAPITAL EXPEND. -BLDG
0
0
10,000
41 4130
7044
CAPITAL EXPEND. -EQUIP
15,000
14,000
0
41 4130
7045
CAPITAL EXPEND. -VEHICLES
40,000
40,000
0
41 4130
8021
NATER UTILITIES
45,262
77,924
150,000
41 4130
8022
ELECTRIC UTILITIES
2,055
4,847
12,000
41 4130
8023
IRRIGATION RESTOR
0
0
10,000
41 4130
8026
PARK MAINTENANCE
10,937
42,822
142,000
41 4130
8768
VICTORIA PARK LANE
792,645
(1,489)
0
41 4130
8769
WHITE ALDERS
4,873
35,728
0
DEPARTMENT TOTAL
958,997
378,542
763,385
Al 4130 9000 TRANSFER OUT 0 0 0
DEPARTMENT TOTAL 958,991 378,542 763,385
DEPT COUNCIL
CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ADJUST 12/31/99 ACTUAL 1990/91 MGR 1990/91
0 0
14,056
0
17,060
17,060
3,329
2,498
2,498
0 0
0
0
0
0
0 0
0
0
0
0
0 4,238
35,000
45,000
9,700
9,700
0 0
0
0
0
0 0
12,000
15,000
11,250
11,250
0 0
5,000
15,000
500
500
0 0
50,000
0
55,458
55,458
0
0
30,534
38,117
38,117
0
0
116,281
10,000
10,000
0 150,515
305,000
115,204
346,500
346,500
0 0
15,000
51,152
20,167
20,167
0 0
10,000
0
0
0
0
0
39,408
0
0
0
0
106,180
0
0
0 40,906
150,000
130,000
170,000
170,000
0 2,251
12,000
15,000
14,000
14,000
0 0
10,000
70,000
40,000
40,000
0 15,349
142,000
316,665
242,699
242,699
0 0
0
0
0
0
0 0
0
0
0
0
0 213,260
763,385
1,725,424
977,949
977,949
0 0 0 0
0 213,260 763,385 1,725,424 977,949 977,949
0
.-)epartment ivisaon.
iescurce Services
L
1002
3900
3931
3940
6026
6027
6028
6029
7043
8021
8022
8023
8026
3941 II,
Landscape Dist. 2
of Iters & i iv
Overhead
Maintenance & Operations
Vehicle Maint./Operations
Contingency -Tree Replacement
Trail Maintenance
Contract Services - Vandalism /Irrig. Repair
Contract Services - Routine Maintenance
Tree Maint./Contract Administration
Capital Expenditures - Projects
Water
Electric
Irrigation Restoration
Park Maintenance
Loan Repayment
*Dollars for City Crew Reimbursement to Payroll
41-4130
1990/91
$17,060
$2,498
$9,700
$11,250
$500
$38,117
$10,000
$346,500
$20,167
$0
$170,000
$14,000
$40,000
$242,699
$55,458
$977,949
Landscape Maint. OA
42-0130
N
r
w
BUDGET'PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
----------------
LANDSCAPE DISTRICT 03A HYSSOP---ASMTS
82 4130 1001 ASSESSMENT ADMINISTRATION
42 4130 3950 OVERHEAD
42 4130 1100 REGULAR PAYROLL
42 4130 1900 FRINGE BENEFITS
42 4130 3900 MAINTENANCE 6 OPERATIONS
42 4130 3905 CONTINGENCY
42 4130 3931 VEHICLE MAINT 6 OPER
42 4130 3960 CONTINGENCY - TREE REPL.
42 4130 6027 CONTRACT SERVICES -VANDALISM
42 4130 6028 CONTRACT SERVICES-MAINT
42 4130 6029 CONTRACT LANDSCAPE ADMIN
42 4130 7045 CAPITAL EXPEND -VEHICLES
42 4130 8021 NATER UTILITIES
42 4130 8022 ELECTRIC UTILITIES
42 4130 8023 IRRIGATION RESTORATION
DEPARTMENT TOTAL
42 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
CITY OF RAIICHO CUCA14ONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
32
32
32
0
0
32
0
32
32
10
10
0
0
0
0
0
0
0
0
0
0
0
67
0
0
0
0
0
0
0
0
30
IS
135
0
0
135
0
0
0
0
75
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
216
44
44
1,259
1,132
1,450
0
658
1,450
1,450
1,519
1,519
0
0
0
72
0
0
0
0
0
48
0
0
669
Be
300
0
89
300
315
315
315
73
120
ISO
0
71
150
160
160
160
0
0
0
0
0
0
0
0
0
2,130
1,460
2,077
0
810
21077
2,261
2,070
2,070
0 0 0 0 0 0 0
2,130 1,460 2,077 0 016 2,077 2,261 2,070 2,070
L/U1vis1On: FrOgraM:
Services Landscape Dist. 3A
1002 Overhead
3900 Maintenance 6 Operations
3931 Vehicle Maint./Operations
3940 Contingency -Tree Replacement
6026 Trail Maintenance
6027 Contract Services - Vandalism/Irrig. Repair
6028 Contract Services - Routine Maintenance
6029 Tree Maint. Contract Administration
7043 Capital Expenditures - Projects
8021 Plater
8022 Electric
8023 Irrigation Restoration
8026 Park Maintenance
ti
N hoer: Fiscal Ye
42-4130 1 1990/91
$0
$0
$0
$0
$0
$44
$1,519
$0
$0
$315
$160
$0
$0
$2,070
Landscape Maint. #4
43-0130
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS 10 12-31-89) CITY OF RANCHO CUCAMONGA
87-88 FY 00-89 FY CUR FY CUR FY ACTUAL TO DEPT EST RDEPT COUNCIL
EQUEST CITY APPROVED
ACCOUNT ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
_________________________________ ____-___------- __..
LANDSCAPE DISTRICT 13A HYSSOP --- ASMTS
43 4130 1001 ASSESSMENT ADMINISTRATION
4,780
7,440
11,276
0
0
11,276
43 4130 3960 OVERHEAD
11180
0
12,504
12,504
43 4130 1100 REGULAR PAYROLL
2,848
0
0
0
1,180
1,610
1,610
43 4130 1900 FRINGE BENEFITS
1,728
0
0
0
0
0
0
0
0
0
0
0
0
0
43 4130 3900 MAINTENANCE 6 OPERATIONS
7,906
7,686
17,209
0
623
17,209
43 4130 3905 CONTINGENCY
0
5,750
0
0
0
2,500
2,500
0
0
0
0
0
43 4130 3931 VEHICLE MAINT 6 OPER.
43 4130 3940 CONTINGENCY - TREE REPL.
774
74
10,000
(3,400)
0
6,600
10,000
61000
6,000
0
0
5,000
0
0
5,000
15,000
500
500
43 4130 6026 TRAIL MAINTENANCE
0
43 4130 6027 CONTRACT SERVICES -VANDALISM
0
0
0
0
14,201
1,911
1,911
0
15,823
4,300
4,300
43 4130 6028 CONTRACT SERVICES-MAINT
43 4130 6029 TREE MAINT.-CONTRACT
30,191
70,863
113,000
0
41,802
113,000
105,488
56,813
56,013
N
0
0
12,000
0
0
12,000
86,136
2,693
2,693
F
�n 43 4130 7043 CAPITAL EXPEND. -BLDG
0
0
10,000
0
0
43 4130 7044 CAPITAL EXPEND. -EQUIP
0
0
10,000
25,000
0
0
0
70,988
0
0
43 4130 7045 CAPITAL EXPEND. -VEHICLES
0
0
43 4130 8021 MATER UTILITIES
8,874
25,831
52,000
0
22,109
0
52,000
77,600
52,000
0
50,000
0
50,000
43 4130 8022 ELECTRIC UTILITIES
43 4130 8023 IRRIGATION RESTOR
398
2,031
2,500
3,400
2,368
5,900
2,500
5,500
5,500
0
0
0
0
0
0
0
0
0
43 4130 8026 PARK MAINTENANCE
43 4130 8110 ROCHESTER BEAUTIFICATION
15,609
0
46,381
100,000
0
14,717
100,000
287,498
208,660
208,660
43 4130 8956 TERRA VISTA/BSLINE MEDIAN
0
0
0
0
0
0
0
0
144,000
133,000
133,000
DEPARTMENT TOTAL
73,188
167,062
334,465
0
81,619
334,465
906,234
486,021
486,021
43 4130 9000 TRANSFER OUT
0
0
0
0
0
0
0
DEPARTMENT TOTAL
73,188
167,062
334,465
0
81,619
334,465
906,234
486,021
486,021
1002
3900
3931
3940
6026
6027
6028
6029
7043
8021
8022
8023
8026
erogram:
Landscape Dist. 4
of Items & Irdiv
account mmicer :
Terra Vista 43-4130
Maintenance & Operations
Vehicle Maint./Operations
Contingency -Tree Replacement
Trail Maintenance
Contract Services - Vandalism/Irrig. Repair
Contract Services - Routine Maintenance
Tree Maint./Contract Administration
Capital Eqm ditures - Projects
Water
Electric
Irrigation Restoration
Park Maintenance
(*Dollars for City Crew Reimbursement to Payroll
**Capital Fund Appropriated in 1989/90
*
1990/91
$12,504
$1,640
$2,500
$6,000
$500
$1,911
$4,300
$56,813
$2,693
$133,000
$50,000
$5,500
$0
$208,660
$486,021
•
CAPITAL NPROVEMENT PROJECT REQLEST
Department: Community Development
Fund:Tpr'T
rity No.
Division: Engineering
LMD 84
88-36
Project Title, Description, and Location:
Terra Vista Parkway and Median Retrofit
Indicate whether: Q New
Q Replacement Q Addition
Project Justification:
Reconstruction of curbs at selected drive
throughs, retrofit landscaping and irrigation
to city
standards and landscape concepts, and
modify left turn pockets to imcrease traffic capacity.
Has this project been scheduled in a prior C.I.P.? O No Q Yes
Other projects or factors directly related
to this project:
Indicate fiscal year project should be:
Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 5,000
LMD p4
S 133,000
Construction Cost
S
213,000
Measure I - Arterial
S 95,000
Administration Cost
$
10,000
Total Cost
S
228,000
Funds available and/or
S 0
Amount required first year
S 228,000
already expended
I
Amount required subsequent years
S 0
Balance Required
TOTAL
rS 228,000
S 228,000
Landscape Maint. #5
44-4130
N
r
OD
BUD *JECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
-----------------------------------------------
LANDSCAPE DISTRICT 85 TOT LOT --- ASSMTS
44 4130 1001 ASSESSMENT ADMINISTRATION
44 4130 3960 OVERHEAD
44 4130 1100 REGULAR PAYROLL
44 4130 1900 FRINGE BENEFITS
44 4130 3900 MAINTENANCE 6 OPERATIONS
44 4130 3905 CONTINGENCY
44 4130 3931 VEHICLE MAINT 6 OPER
44 4130 3940 CONTINGENCY -TREES
44 4130 3960 GENERAL LIABILITY
44 4130 6026 TREE MAINT 6 CONTACT LNDSCP
44 4130 6020 CONTRACT SERVICES
44 4130 6029 TREE MAINT.-CONTRACT
44 4130 7043 CAPITAL EXPEND -FENCE PAINTING
44 4130 7045 CAPITAL EXPEND -VEHICLES
44 4130 8021 MATER UTILITIES
44 4130 8022 ELECTRIC UTILITIES
44 4130 8023 IRRIGATION RESTOR
44 4130 8025 GENERAL MAINTENANCE
DEPARTMENT TOTAL
44 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
CITY 0 40 CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
176
116
176
0
0
176
0
176
176
23
23
65
65
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
30
15
150
0
0
150
800
167
167
a
0
6
0
6
0
0
0
0
0
0
0
0
0
0
50
25
25
0
0
0
25
50
50
0
35
0
0
0
0
0
0
0
0
0
a
0
0
9
2,320
4,642
3,550
0
1,568
3,550
223
3,751
3,751
0
0
0
0
0
0
3,751
223
223
0
0
0
3,000
0
0
0
0
0
96
0
0
218
157
600
0
98
600
625
200
200
158
96
125
0
18
125
145
80
80
0
0
0
D
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2,902
5,119
4,626
0
1,685
4,624
8,715
4,737
4,737
a 0 0 D 0 0 a
2,902 5,119 4,624 0 1,685 4,626 8,715 4,737 4,737
46
17A
[w"JIM&MINJUD• • • ,�
'iepartrnent ivision: Program: Account Number: Fiscal Year
resource Services Landscape Dist. 5 Tot Lot 44-4130 1990/91
Object No.
Description of Items & Individual Dollar Amounts
Budget
1001
As ssnen cEdnistration
$176
1002
Overhead
$65
3900
Maintenance & Operations
$167
3931
Vehicle Maint./Operations
$25
3940
Contingency -Tree Replacement
$50
6026
Trail Maintenance *
$0
6027
Contract Services - Vandalism/Irrig. Repair
$0
6028
Contract Services - Routine Maintenance
$3,751
6029
Tree Maint./Contract Administration *
$223
7043
Capital Expenditures - Projects
$0
8021
Plater
$200
I
8022
Electric
$80
8023
Irrigation Restoration
$0
8026
Park Maintenance *
$0
TOTAL
$4,737
*Dollars for City Crew Reimbursement to Payroll
Landscape Maint. p6
454130
N
0
0
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
LANDSCAPE DISTRICT 96 CARYN CONN ---ASKS
45 4130 1001 ASSESSMENT ADMINISTRATION
45 4130 3960 OVERHEAD
45 4130 1100 REGULAR PAYROLL
45 4130 1900 FRINGE BENEFITS
45 4130 3900 MAINTENANCE 6 OPERATIONS
45 4130 3905 CONTINGENCY
45 413D 3931 VEHICLE MAINT 6 OPER
45 4130 3940 CONTINOENCY-TREE REPL
45 4130 6026 TRAIL MAINTENANCE
45 4130 6027 CONTRACT SERVICES -VANDALISM
45 4130 6028 CONTRACT SERVICES
45 4130 6029 TREE MAINT.-CONTRACT
45 4130 7043 CAP EXPENDITURE PROJ
45 4130 7044 CAPITAL EXPEND -EQUIP
45 4130 7045 CAPITAL EXPEND -VEHICLES
45 4130 8021 NATER UTILITIES
45 4130 8022 ELECTRIC UTILITIES
45 4130 8023 IRRIGATION RESTOR
45 4130 8025 GENERAL MAINTENANCE
DEPARTMENT TOTAL
45 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
07-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NGR 1990/91
1,896
1,896
3,156
0
0
3,756
0
1,681
4,684
643
643
738
738
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
15
9,000
92,430
91,590
101,430
10,000
3,000
3,000
0
4,000
0
0
0
0
0
0
0
0
0
1,264
0
0
1,264
2,300
1,000
1,000
0
0
5,000
0
0
5,000
5,000
3,000
3,000
0
0
0
13,277
1,077
1,077
0
0
0
49,572
9,000
9,000
0
0
52,400
0
0
52,400
330,490
227,360
221,360
0
0
2,600
0
0
2,600
38,423
19,440
19,440
5,000
5,000
0
0
0
0
0
9
0
0
0
0
0
20,580
0
0
0
0
32,000
0
0
32,000
38,000
15,923
15,923
0
0
3,000
0
0
3,000
4,500
3,000
3,000
0
0
10,000
0
0
10,000
0
0
0
0
0
0
0
0
0
0
0
0
0
1,896
5,911
124,663
92,430
91,590
217,093
512,151
288,222
288,222
0 0 0 0 0 0 0
1,096 5,911 124,663 92,430 91,590 217,093 512,151 288,222 208,222
0
0
�•� MSI D• • •' '�.17�'/M
Department Division: Program: Account Number: Fiscal Year
'.escurce Services landscape Dist. 6 Caryn 45-4130 1990/91
Object No.
Description of Items & Individual Dollar Amounts
Budget
1001
Assessment Aduinistration
$4,684
1002
Overhead
$738
3900
Maintenance & Operations
$3,000
3931
Vehicle Maint./Operations
$1,000
3940
Contingency -Tree Replacement
$3,000
6026
Trail Maintenance *
$1,077
6027
Contract Services - Vandalism/Irrig. Repair
$9,000
6028
Contract Services - Routine Maintenance
$227,360
6029
Tree Maint./Contract Administration *
$19,440
7043
Capital Expenditures - Projects
$0
8021
Water
$15,923
8022
Electric
$3,000
8023
Irrigation Restoration
$0
8026
Park Maintenance *
$0
TOTAL
$288,222
*Dollars for City Crew Reimbursement to Payroll
Landscape Maint. #3B
46.4130
N
N
BUDGET ECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
LANDSCAPE DISTRICT 838 MEDIANS --- ASMTS
46 4130 1001 ASSESSMENT ADMINISTRATION
46 4130 3960 OVERHEAD
46 4130 1100 REGULAR PAYROLL
46 4130 1900 FRINGE BENEFITS
46 4130 3900 MAINTENANCE 6 OPERATIONS
46 4130 3905 CONTINGENCY
46 4130 3931 VEHICLE MAINT 6 OPER
46 4130 3940 CONTINGENCY -TREE REPL
46 4130 6027 CONTRACT SERVICES -VANDALISM
46 4130 6028 CONTRACT SERVICES-MAINT
46 0130 6029 TREE MAINT/CONT ADMIN
46 4130 7043 CAPITAL EXPENDITURES
46 4130 7044 CAPITAL EXPEND -EQUIP
46 4130 7045 CAPITAL EXPEND -VEHICLES
46 4130 8021 MATER UTILITIES
46 4130 8022 ELECTRIC UTILITIES
46 4130 6026 PARK MAINT-CIVIC CENTER
DEPARTMENT TOTAL
46 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
CITY OF�O CUCAMONGA
DEPT COUNCIL
81-88 FY 09-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 14GR 1990/91
0 488
624
0
0
624
0
728
728
590
590
255
255
0
0
a
0
a
0
a
0
0
0
0
0
0
0
0
0
0 15
10,000
(1,000)
74
9,000
0
13,214
13,214
0 1,500
0
0
0
0
0
0
0
0 0
0
0
0
0
12,000
5,775
5,775
0 0
1,000
a
0
1,000
5,000
500
500
0
0
0
18,873
5,000
5,000
0 14,400
69,000
0
23,962
69,000
126,005
127,283
127,283
2,000
2,000
4,675
4,675
21,944
0
21,944
4,836
0
0
0
0
0
40
0
0
0
0
a
4,040
0
0
0 904
12,000
0
3383
12,000
14,000
10,000
10,000
0 920
600
1,000
546
1,500
700
700
700
0
0
0
81,460
0
0
0 18,307
117,758
0
28,265
117,750
266,955
168,130
168,130
0 0 0 a 0
0 18,307 111,758 0 28,255
0 0
117,758 256,955 168,130 168,130
r
•ueparanenc/uivision:
tescurce Services
Object No.1 D
0
0
1002
3900
3931
3940
6026
6027
6028
6029
7043
8021
8022
8023
8026
COST CENTER DETAIL WORKS=
Program: Account Number: Fiscal Year
Landscape Dist. 3B Medians 46-4130 1990/91
of Items & Individual Dollar Amounts Budget
Overhead
Maintenance & Operations
Vehicle Maint./Operations
Contingency -Tree Replacement
Trail Maintenance
Contract Services - Vandalism/Irrig. Repair
Contract Services - Routine Maintenance
Tree Maint./Contract Administration
Capital Fkpenditures - Projects
Water
Electric
Irrigation Restoration
Park Maintenance
*Dollars for City Crew Reimbursement to Payroll
g i2e
$255
$13,214
$5,775
$500
* $0
$5,000
$127,283
* $4,675
$0
$10,000
$700
$0
* $0
$168,130
Landscape Maint.#7
474130
BUDGET WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
-------------------------------------------------
NOTE: NEN FUND 1990-91 LANDSCAPE MAINT. DIST 97
47 4130 1001 ASSESSMENT ADMIN
47 4130 1002 OVERHEAD
47 4130 3900 MAINTENANCE 6 OPERATIONS
47 4130 3931 VEHICLE MAINT 6 OPER
47 4130 3940 CONTINGENCY -TREE REPL
47 4130 6026 TRAIL MAINTENANCE
47 4130 6027 CONTRACT SERVICES -VANDALISM
47 4130 6026 CONTRACT SERVICES-MAINT
47 4130 6029 TREE MAINT 6 CONTRCT LNDSP
47 4130 7044 CAPITAL EXPEND -EQUIP
47 4130 7045 CAPITAL EXPEND -VEHICLES
47 4130 8021 NATER UTILITIES
47 4130 8022 ELECTRIC UTILITIES
DEPARTMENT TOTAL
47 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
0 0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NGR 1990/91
0
p p 0 0 0 0 68,039 54,000 58,000
2,880
2,880
432
432
3,000
3,000
3,000
1,500
1,500
1,500
3,000
3,000
3,000
9,751
1,078
1,078
2,565
2,565
2,565
17,100
19,955
19,955
8,854
5,094
5,094
9
0
0
7,560
0
0
14,000
13,796
13,796
700
700
700
p 0 0 0 0 0 88,039
$4,000
54,000
0
p p 0 0 0 0 68,039 54,000 58,000
U
COST CFNr R DEUUL WORKSE=
t ivision: Program:
Services Landscape Dist. 7 Etwda North
1001 Assessment Administration .
1002 Overhead
3900 Maintenance 6 Operations
3931 Vehicle Maint./Operations
3940 Contingency -tree Replacement
6026 Trail Maintenance
6027 Contract Servioes - VandalisirVIrrig. Repair
6028 Contract Services - Routine Maintenance
6029 Tree Maint./Contract Administration
7043 Capital Expenditures - Projects
8021 Rater
8022 Electric
8023 Irrigation Restoration
8026 Park Maintenance
*Dollars for City Crew Reimbursement to Payroll
Der:
NEW
*
1990/91
�i L,VVV
$432
$3,000
$1,500
$3,000
$1,078
$2,565
$19,955
$5,094
$0
$13,796
$700
$0
$0
$54,000
Landscape Maird. #8
484130
N
rn
BUDGE ROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
-------------------------------------------------
NOTE: NEW FUND 1990-91 LANDSCAPE MAINT. DIST 88
48 4130 1001 ASSESSMENT ADMIN
48 4130 1002 OVERHEAD
48 8130 3900 MAINT 6 OPERATIONS
48 4130 3931 VEHICLE MAINT 6 OPER
48 4130 3940 CONTINGENCY -TREE REPL
68 4130 6026 TRAIL MAINTENANCE
48 4130 6027 CONTRACT SERVICES -VANDALISM
48 4130 6028 CONTRACT SERVICES-MAINT
48 4130 6029 TREE MAINT 6 CONTRCT LNDSP
48 4130 7045 CAPITAL EXPEND -VEHICLES
48 4130 8021 MATER UTILITIES
48 4130 8022 ELECTRIC UTILITIES
CITY OF NO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGA 1990/91
DEPARTMENT TOTAL 0 0 0 0 0
48 4130 9000 TRANSFER OUT 0
DEPARTMENT TOTAL 0 0 0 0 0
0
0 5,798 5.935 6,935
0
292
292
0
0
1,193
1,193
25
23
23
500
500
500
0
0
0
510
510
510
3,402
3,402
3,402
1,165
215
215
396
0
0
650
650
650
150
ISO
150
0 6,798
6,935
6,935
0
0 5,798 5.935 6,935
0
E
I-]
-iepartment ivision: Program: Account Number: Fiscal Year
.esource Services Landscape Dist. 8 Etwda South NEW 1 1990/91
Object No.
Description of items & Individual Dollar Amounts
Budget
1001
Assessment Administration
$292
1002
Overhead
$0
3900
Maintenance & Operations
$1,193
3931
Vehicle Maint./Operations
$23
3940
Contingency -Tree Replacement
$500
6026
Trail Maintenance *
$0
6027
Contract Services - Vandal ism/Irrig. Repair
$510
6028
Contract Services - Routine Maintenance
$3,402
6029
Tree Maint./Contract Adninistration *
$215
7043
Capital Expenditures - Projects
$0
8021
Water
$650
8022
Electric
$150
8023
Irrigation Restoration
$0
8026
Park Maintenance *
$0
TDTAL
$6,935
*Dollars for City Crew Reimbursement to Payroll
40
Lighting Dist/General City
54-0245
54 4245 9000 TRANSFER OUT 0 0 0 0 0 0
DEPARTMENT TOTAL 415,386 417,388 0 425,000 188,402 425,000 0 425,000 425,000
1
BUDGET ROJECTION WORKSHEET 10/22/90
CITY OF�O CUCAMONGA
(ACTUALS TO 12-31-89)
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY CUR FY ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
ACCOUNT
--------------------------------------------------------------------------------------------------------_------------------------------------------
ACTUAL
ACTUAL
BUDGET ADJUST 12/31/69
ACTUAL
1990/91
NOR
1990/91
GEN CITY STREET LIGHTS ---CITY FACILITIES
54 4245 6040 GENERAL CITY STREET LIGHTS
415,386
417,388
0 425,000 188,402
425,000
425,000
425,000
DEPARTMENT TOTAL
415,386
417,388
0 425,000 188,402
425,000
0
425,000
425,000
54 4245 9000 TRANSFER OUT 0 0 0 0 0 0
DEPARTMENT TOTAL 415,386 417,388 0 425,000 188,402 425,000 0 425,000 425,000
i
Department -vision: Program: Account r: Fiscal Year
'escurce Services Gen. City Street Lights 54-4245 1990/91
Jb]ect No.
Description of Iteas & Individual Dollar Amounts
Budget
6040
Energy Charges - Non District Street Lights
$425,000
TOTAL
$425,000
Lighting Dist. #1
5511130
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
LIGHTING DIST 81 ARTERIAL --- ASMTS
55 4130 1001 ASSESSMENT ADMINISTRATION
55 4130 3950 OVERHEAD
55 4130 1100 MAINTENANCE 6 OPERATIONS
55 4130 1900 CONTINGENCY
55 4130 3900 VEHICLE MAINT 6 OPER
55 4130 3922 ELECTRIC UTILITIES
55 4130 6028 CONTRACT SERVICES
55 4130 7044 CAPITAL EXPEND. EQUIP
5S 4130 8022 ELECTRIC UTILITIES
55 4130 8171 BASELINE/ALHS TO HIM
DEPARTMENT TOTAL
55 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCA14ONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
31,952 16,720 69,752 0 0
2,751
0 0 0 0 0
476 0 0 0 0
130 0 0 0 0
3,167 200 0 0 0
0 0 0 4,000 1,021
0 0 0 0 0
23,073 49,885 62,000 (17,000) 22,970
0 0 0 13,000 0
58,798 98,805 134,503 0 23,991
69,752
57,760
57,760
57,760
2,751
3,155
3,155
3,155
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
4,000
0
0
0
0
0
0
0
45,000
71,000
71,000
71,000
13,000
0
0
0
134,503 131,915 131,915 131,915
0 0 0 0 0 0 0
58,798 98,805 134,503 0 23,991 134,503 131,915 131,915 131,915
0
0
0
tesource Services ILighting District No. 11 55-4130 1990/91
Lighting Dist. #2
56-4130
•
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
LIGHTING DIST 82 RESIDENTIAL ---ASKS
9
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
55 4130
1001
ASSESSMENT ADMINISTRATION
10,060
14,604
20,268
0
0
20,268
0
19,524
19,524
56 4130
3950
OVERHEAD
0
2,027
2,027
2,327
2,327
56 4130
1100
REGULAR PAYROLL
0
0
0
0
0
0
0
0
0
56 4130
3900
MAINTENANCE 6 OPER
3,140
(48)
0
0
0
0
0
0
0
56 4130
3922
ELECTRIC UTILITIES
3,721
300
0
0
0
0
0
0
0
56 4130
6028
CONTRACT SERVICES
0
0
0
0
1,116
0
0
0
0
56 4130
8022
ELECTRIC UTILITIES
27,012
49,453
60,000
0
19,288
60,000
0
65,000
55,000
DEPARTMENT TOTAL
56 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
43,933 64,309 82,295
0 0 0
43,933 64,309 82,295
0 20,405 82,295 0 86,851 86,851
0 0 0 0
0 20,405 82,295 0 86,851 86,851
0
10 IDepartment/Divisii
Resource Services
1001
1002 'Overhead
8022 jElectric Utilities
•
0
CDSr CE= DETAIL WORKSHEET
Program:
Lighting District No. 2
Rccounc N mDer r iscal ze
56-4130 1990/91
$2,327
$65,851
TOTAL 1 $87,702
Lighting Dist #3
574130
BUDS EITAOJECTION WORKSHEET
(ACTUALS TO 12-31-89)
ACCOUNT
LIGHTING DIST 83 VICTORIA ---ASKS
10/22/90 CITY 01 CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
57 4130
1001
ASSESSMENT ADMINISTRATION
8,532
11,760
13,928
0
0
13,928
57 4130
3960
OVERHEAD
1,393
1,393
57 4130
3900
MAINTENANCE 6 OPER
30
0
0
0
0
0
57 4130
3922
ELECTRIC UTILITIES
2,916
ISO
0
0
0
0
57 4130
6028
CONTRACT SERVICES
0
0
0
0
957
0
57 4130
8022
ELECTRIC UTILITIES
29,527
43,435
48,000
0
18,553
48,000
DEPARTMENT TOTAL
57 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
N
O�
41,005 55,345 63,321
0 0 0
41,005 55,345 63,321
0 19.510 63.321
0 0 0
0 19,510 63,321
0 15,848 15,848
1,742 1,742
0 0 0
0 0 0
0 0 0
0 55,200 55,200
0 72,790 72,790
0
0 72,790 72,790
0
r i
0
•
ODST CaRTR DETAIL WaWMIEET
Lighting Dist. #4
58.4130
BUDG�JECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
-----------------------------------------------
LIGHTING DIST 14 TERRA VISTA ---WITS
56 4130 1001 ASSESSMENT ADMINISTRATION
58 4130 3960 OVERHEAD
58 4130 3900 MAINTENANCE 6 OPER
58 4130 3922 ELECTRIC UTILITIES
58 4130 6028 CONTRACT SERVICES
58 4130 8022 ELECTRIC UTILITIES
DEPARTMENT TOTAL
50 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
CITY OF�O CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
4,780
7,440
11,352
0
0
11,352
1,135
1,135
474
(71)
0
0
0
0
1,409
150
0
0
0
0
0
0
0
0
439
0
13,967
19,829
33,000
0
6,829
33,000
20,630
27,348
45,481
0
7,267
45,487
0 0 0 0 0 0
20,630 27,348 45,487 0 7,267 45,487
0 7,124 7,124
1,402 1,402
0 0 0
0 0 0
0 0 0
0 35,000 35,000
0 43,526 43,526
0
0 43,526 43,525
0
0
•
IDepsrtment ivision: Program: Account Number: Fiscal Year
Resource Services Lighting District No. 4 58-4130 1990/91
Object No.
-Description of Items & Individual Dollar Amounts
Budget
1001
Assessment Administration
$7,124
1002
Overhead
$1,402
8022
Electric Utilities
$35,000
TOTAL
$43,526
Lighting Dist. #5
59-4130
N
rn
00
BUOG*ECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
----------------------------------------------
LIGHTING DIST 15 CARYN COMM ---ASKS
59 4130 1001 ASSESSMENT ADMINISTRATION
59 4130 3960 OVERHEAD
59 4130 3900 MAINTENANCE 6 OPER
59 4130 3922 ELECTRIC UTILITIES
59 4130 3931 VEHICLE MAINT 6 OPER
59 4130 6028 CONTRACT SERVICES
59 4130 8D22 ELECTRIC UTILITIES
DEPARTMENT TOTAL
59 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
CITY OF 0 CUCAMONGA
DEPT COUNCIL
97-88 FY 08-09 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
1,896 1,896 3,756
470
0 0 0
276 100 0
0 0 0
0 0 0
235 3,729 8,000
2,407 5,725 12,226
0 0 0
2,407 5,725 12,226
0 0 3,756
470
0 0 0
0 0 0
0 0 0
0 84 0
0 1,591 8,000
0 1,675 12,226
0 0 0
0 1,675 12,226
0 4,680 4,680
538 538
0 0 0
0 0 0
0 0 0
o D o
0 8,000 8,000
0 13,218 13,218
0
0 13,218 13,218
•
•
C�
is
••E a./YN �►: t ..G:. 7.1324
Department ivision: Program: Account Numiber: Fiscal Year
Resouroe Services Lighting District No. 5 59-4130 1990/92
Object No.
-Description of Items & Individual Dollar Amounts
Budget
1001
Assessment Administration
$4,680
1002
Overhead
$538
8022
Electric Utilities
$8,000
TOPAZ
$13,218
Lighting Dist. #6
60-0130
•
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
-----------------------------------------------
LIGHTING DIST 96 INDUSTRIAL AREA ---ASKS
60 4130 1001 ASSESSMENT ADMINISTRATION
60 4130 3922 ELECTRIC UTILITIES
60 4130 1002 OVERHEAD
60 4130 0022 ELECTRIC UTILITIES
DEPARTMENT TOTAL
60 4130 9000 TRANSFER OUT
DEPARTMENT TOTAL
N
V
O
CITY OF�O CUCAMONGA
DEPT COUNCIL
87-88 FY 98-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
0 2,012
2,272
0 0 2,272
0 5,568
5,568
100
0
0 0
0
0
284
286
317
317
0 16
4,200
0 261 4,200
0 6,500
4,500
0 2,128
6,756
0 261 6,756
0 10,385
10,385
0 0 0 0 0 0 0
0 2,128 6,756 0 261 6,756 0 10,385 10,385
MSr CEMM DETAIL WORKSHEET
.IDepartment/Division: Program: Account Number Fiscal Ye
Resource Services Lighting District No. 6 60-4130 1 1990/91
0.
yr L•�•s
1002 Overhead $317
8022 Electric Utilities $4,500
TOTAL 1 $10,385
Irner-Governmental Svcs.
72-0637
N
V
N
BUDGET PROJECTION WORKSHEET 10/22/90 -
(ACTUALS TO 12-31-89)
ACCOUNT
INTERGOVERNMNT'L SERVICE ---IDS
72 4225 1100 REGULAR PAYROLL
72 4225 1900 FRINGE BENEFITS
72 4225 3900 MAINTENANCE 6 OPERATIONS
72 4225 3930 FUEL
72 4225 3931 VEHICLE 6 EQUIP. MAINTENANCE
72 4225 3942 ACCUMULATED DEPRECIATION
72 4225 3960 GENERAL LIABILITY
72 4225 6027 HAZARDIYS WAST REMOVAL
72 4225 6028 CONTRACT SERVICES
72 4225 7043 CAPITAL EXPENS - BUILDING
72 4225 7044 CAPITAL EXPEND. -EQUIPMENT
72 4225 7045 CAPITAL EXPEND. VEHICLES
DEPARTMENT TOTAL
a.
CITY OF RANCHO CUCAMONGA
NCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST RDEPT EQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NGR 1990/91
------------------------ -
7,680 42,214 155,146 9,309 54,345
164,455 256,357 251,548 283,811
6,957
21,988
54,301
0
54,301
54,301
89,725
88,042
99,334
123,855
0
68,452
14,400
246,400
0
0
0
75,849
14,400
246,400
128,000
263,688
128,000
263,648
128,000
263,648
5,336
7,771
5,734
24,288
4,520
30,022
6,135
6,135
6,135
0
0
0
0
0
0
0
0
1,570
2,406
2,665
0
2,665
2,665
4,178
4,178
4,178
0
0
0
0
0
0
20,000
20,000
20,000
1,566
0
0
0
0
0
0
0
0
0
0
0
0
0
17,200
17,200
17,200
0
77,413
7,849
72,699
0
88,704
0
7,000
15,765
34,951
0
95,704
128,800
544,606
120,200
642,000
120,200
642,000
224,477
223,379
567,350
40,597
242,395
607,947
1,458,649
1,540,951
1,584,506
•
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: IGS
Maintenance
Position
Classification
Emp.
Position
Quota Aporopriations
Current
I
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Public Works Maint. Manager
101
9000
06
0'/0
a%
0
0
Parks/Landscape Maint Spvsr
102
307
0'/0
17/0
0'/0
0
0
Street/Storm Drn Maint Supt
103
8112
0'/o
0yo
01/a
0
0
Fleet Maint Supervisor
104
6353
60'/0
60'/0
100%
42,264
47,880
Management Analyst 1
105
7957
00%
a%
0'/0
0
0
Secretary
106
220
0'/o
01/
0%
0
0
Management Aide
107
3438
01%
0y0
0'/0
0
0
Office Specialist II
162
8251
(K
01/0
a%
0
0
Mai nt.Supr.Streets
108
6875
01/0
01/0
01/0
0
0
Mai nt. Supr.Parks: East
109
2494
01/0
1 y/0
01/0
0
0
Mai nt. Supr.Parks: Cont.
110
2681
U/0
01/0
CO/0
0
0
Mai nt.Supr.Parks: Tree
111
4625
00/
OP/
01%
0
0
Maint.Supr.Streets
112
5889
a,/
Oy0
00%
0
0
Maint.Supr.Parks: West
157
8425
OY0
01/0
a%
0
0
Equipment Operator (Sweeper)
148
5025
(K
01%
0%
0
0
Equipment Operator (Sweeper)
150
5200
01/
0'/
01%
0
0
Equipment Operator (Sweeper)
151
6928
01%
0%
01%
0
0
Equipment Operator (Sweeper)
149
6992
01%
Oy0
0'/0
0
0
Equipment Operator (Sweeper)
152
7925
0'/0
Cy0
0'/0
0
0
Lead Maint.Worker: St.
191
150
OY0
(7/0
01%
0
0
Lead Mechanic: IGS
192
159
80%
100'/
100%
32,472
35,856
Lead Maint. Worker: Red Hill
114
163
0/0
Oy0
01%
0
0
Lead Maint. Worker: City Wide
115
1100
01/0
17Y0
Go/0
0
0
Lead Maint.Worker: St.
116
2319
01/0
01/0
01/0
0
0
Lead Maint. Worker: Pks East
121
2714
01/6
%.
01/0
0
0
Lead Maint. Worker: Pks. East
123
3185
01/0
17y0
01/0
0
0
Lead Maint. Worker: Pks. West
158
5051
01%
ay.
0%
0
0
Lead Maint. Worker:St.
160
5561
01/0
0Y0
M/6
0
0
Lead Maint. Worker:St.
161
6782
U/6
OY0
OY0
0
0
Lead Maint.Worker :Trees
113
7121
01/0
0/0
0'/0
0
0
Lead Maint.Worker: Pks . West
163
8032
01/0
M/0
01/0
0
0
Lead Maint.Worker: Heritage"
119
2313
01/0
01/0
01/0
0
0
Lead Maint. Worker: Parks/Trail'
159
5569
0y0
Cy0
01/0
0
0
Sr.Maint.Worker: St.
120
1138
ff/0
01%
01/0
0
0
Sr. Maint. Worker: Irr. C.W.
117
1600
0'/0
17/0
Oy0
0
0
Sr. Maint. Worker: Irr. West
122
2819
01/0
01/0
06
0
0
Sr.Maint.Worker: Civic Center
189
5823
(r/0
01/0
0y0
0
0
Sr.Maint.Worker: St.
118
5857
OY0
OY0
0/0
0
0
Maint.Worker: Pks. East
126
132
a%
01/0
01/0
0
0
Maint.Worker: Trails/City Wide
127
507
01/0
17/0
01/
0
0
Maint.Worker: Pks. Irr. West
177
565
01/0
01/0
01%
0
0
Maint.Worker: St.
140
644
01/0
01/0
01%
0
0
Maint.Worker :St.
124
813
0%
Q/
01%
0
0
Maint.Worker :St.
137
819
01/0
Oy0
0%
0
0
Maint.Worker: Pks. Red Hill
174
832
00/0
0%
01%
0
0
Maint.Worker: St.
131
873
00/0
01%
OY0
0
0
Maint.Worker: Pks. West
141
1048
03%
OY0
0
0
Maint.Worker Pks: East
134
1088
(K
11%
0
0
Maint.Worker:St.
173
1291
Oy0
In
0
0
Maint.Worker Pks: West
132
1310
a7.
Oy0
0
ja/
0
Maint.Worker: Trees
136
1844
00%
0%
0
0
Maint. Worker:St.
1971915
Oy0
Oy0
0
0
L J
0
11
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: IGS
Maintenance
Position
Classification
Emp.
Position
Quota A oroDriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Maint.Worker :St.
129
2143
0'/0
0'/0
0'/0
0
0
Maint.Worker Pks: East
138
2740
01/0
0'/0
0'/0
0
0
Maint.Worker: Fac. Citywide
139
3203
0'/0
0'/o
01/o
0
0
Maint.Worker Pks: Heritage
135
4262
01/
0'/0
0'/0
0
0
Maint.Worker :St.
145
4962
a,/
0'/0
0'/
0
0
Maint.Worker: St.
169
5055
0'/0
01/0
0'/0
0
0
Maint.Worker: St.
166
5091
0'/0
0'/0
0'/
0
0
Maint.Worker: Pks. Irr. Crew
175
5561
0'/0
0'/0
(P/o
0
0
Maint.Worker: Pks. East
146
5563
0'/0
0'/0
0'/0
0
0
Maint. Worker: St.
196
5824
0'/0
0'/0
01%
0
0
Maint.Worker: Trees
167
5863
0'/0
0'/0
01/0
0
0
Maint.Worker :St.
142
6009
01/
01/0
01/
0
0
Maint.Worker: Pks. West
222
6045
01/0
01/0
01/0
0
0
Maint.Worker :St.
133
6181
01/0
01/0
01/0
0
0
Maint.Worker: St.
125
6740
01/0
01/0
01/0
0
0
Maint.Worker: Pks. Red Hill
1706744
01/0
01/0
01/0
0
0
Maint.Worker: Pks. West
171
6773
01/0
a%
01/0
0
0
Maint.Worker: Pks. West
143
7397
01/0
01/0
01/0
0
0
Maint.Worker: Pks. West
184
7638
01/0
01/0
01/0
0
0
Maint.Worker: Pks. Red Hill
128
8151
01/0
01/0
01/0
0
0
Maint.Worker :St.
130
8677
01/0
01/0
01/0
0
0
Maint.Worker: Pks. Fac. Crew
183
8681
01/0
01/
01/0
0
0
Maint.Worker: Pks. East
144
Vacant
01/0
01/0
a,/0
0
0
Maint.Worker: Pks. East
147
Vacant
01/0
01/0
01/0
0
0
Maint.Worker: St.
165
Vacant
01/
01/0
01/0
0
0
Seasonal M. Tech: City Wide
153
Vacant
01/0
01/0
01/0
0
0
Seasonal M. Tech: City Wide
154
Vacant
01/0
01/
0y/0
0
0
Seasonal M. Tech: City Wide
155
Vacant
01/0
01/0
0'/0
0
0
Seasonal M. Tech: City Wide
156
Vacant
01/0
01/0
01/0
0
0
Seasonal M. Tech: Citywide
199
Vacant
01/
01/
01/
0
0
Seasonal M. Tech: Citywide
200
Vacant
01/0
01/0
01/0
0
0
Mechanic
179
3036
801/0
100°/
100%
30,120
33,600
Mechanic
180
5883
800/0
1000/0
100%
25,296
29,664
Mechanics Assistant
181
Vacant
801/0
100%
1000/6
20,712
22,656
Inventory Spec Equip Mtrls
182
5994
600%
UK
601/0
13,738
16,106
Signal & Lighting Tech
201
Vacant
0'/0
01/0
01/0
0
0
Supervisor Parks City Wide
186
Proposed
01/
N/R
0
N/R
Supervisor Streets
187
Proposed
01/0
01/0
0
0
Office Assistant
202
Proposed
01/
N/R
0
N/R
Equipment Operator (Sweeper)
204
Proposed
-
01/0
01/0
0
0
Equipment Operator
206
Proposed
01/0
N/R
0
N/R
Equipment Operator
207
Proposed
d/
01/
0
0
Lead Maint.Worker: St.
190
Proposed
01/
N/R
0
N/R
Lead Maint Worker:St.
235
Proposed
-
01/
-
0
Lead Maint. Worker: Trail C.W.
224
Proposed
-
N/R
-
N/R
Lead Worker: Pks. Irr. C.W.
225
Proposed
-
N/R
-
N/R
Lead Worker: Pks .GF LMD Cont.
226
Proposed
-
N/R
-
N/R
Lead Worker: Pks. LIVID Contract
227
Proposed
-
N/R
-
N/R
Lead Mechanic
228
Proposed
-
1000%
1000/6
27,936
29,664
Sr. Maint. Worker: Pks. Beryl
188
Proposed
01/0
N/R
0
N/R
Sr. Maint. Worker: Pks. West
198
Proposed
-
01/
-
0
0
Sr. Maint. Worker: Pks. Mow
229
ProDosed
N/R
-
N/R
0
0
PROGRAM POSITION/SALARY SCHEDULE 1990/91
DEPARTMENT: IGS
Mmintannnra
Position
Classification
Emp.
Position
Quota A oropriations
Current
Dept.
Mgr.
Dept.
Mgr.
Title & Position #
#
Level
Rcmd.
Rcmd.
Rcmd.
Rcmd.
Sr. Maint. Worker: Pks. Fac. West
164
Proposed
0%
N/R
0
N/R
Sr. Maint. Worker: Pks. Fac. East
172
Proposed
-
0'/6
N/R
0
N/R
Sr. Maint. Worker: Pks. Irr. East
176
Proposed
-
06
N/R
0
N/R
Sr. Maint. Worker: Pks.Low, Crew
178
Proposed
-
a,/o
N/R
0
N/R
Sr. Maint. Worker: St.
185
Proposed
-
N/R
-
N/R
Maint. Worker :Pks. West
193
Proposed
0'/6
0%
0
0
Maint. Worker Pks. West
194
Proposed
-
0'/0
0'/6
0
0
Maint. Worker Pks. Civic
195
Proposed
0'/o
N/R
0
N/R
Maint. Worker St.
231
Proposed
-
N/R
-
N/R
Maint. Worker : Pks. East
208
Proposed
0'/6
03/0
0
0
Maint. Worker Pks. East
209
Proposed
0'/6
0'/0
0
0
Maint. Worker : Pks. West
210
Proposed
-
0'/0
0'/0
0
0
Maint. Worker Sts.
219
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker : Pks. Mow
212
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker St.
216
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker: Pks. Beryl
214
Proposed
0'/o
N/R
0
N/R
Maint. Worker : Pks. Fac. East
215
Proposed
-
0'/o
N/R
0
N/R
Maint. Worker : Pks. Fac. West
218
Proposed
-
0'/6
0'/6
0
0
Maint. Worker Pks. Trail LIVID
217
Proposed
-
0'/6
0'/6
0
0
Maint. Worker Pks. Irr. East
213
Proposed
-
a,/
N/R
0
N/R
Maint. Worker Pks. Low Crew
211
Proposed
-
0/o
N/R
0
N/R
Maint. Worker Pks. Low Crew
237
Proposed
-
N/R
-
N/R
Maint. Worker Pks. Heritage
232
Proposed
-
N/R
-
N/R
Maint. Worker Pks.Heritage
233
Proposed
N/R
-
N/R
Maint. Worker : Pks. Trail LIVID
236
Proposed
-
N/R
N/R
Maint. Worker St.
205
Proposed
-
N/R
N/R
Mechanic
220
Proposed
-
100'/6
1000%
24,060
29,664
Mechanics Asst.
221
Proposed
-
1000/6
1000/6
20,712
22,656
Subtotal
237,310
267,746
Merit Contingency:
13,052
16,065
Subtotal:
250,362
283,811
Fringe Benefits
87,627
99,334
Subtotal:
337,989
383,145
Part-time
0
0
Subtotal:
337,989
383,145
Merit Contingency:
0
0
TOTAL:
337,989
383,145
'Proposed New Position
"Proposed reclassification of Existing
Position from Sr. M.W. to Lead M.W.
N/R 89 Not
Recommended
FY 89/90
N/R 90 Not
Recommended
FY 90/91
• COST CENTER DARKSHEET 199091 •
DepartmenVDivision: Program:
En ineerin IGS
Account Number: Department
72-4637 Pro osed
City Mgr.
Proposed
Revised
Ob'ect No.
I Description of Items 8 Individual Dollar Amounts
Bud et
1100
Re ular Pe roll
176510
176510
283811
1200
Overtime Payroll
0
0
0
1300
Part-time Payroll
0
0
0
1900
Benefits 8 35%
61779
61779
99334
_Fringe
3900
Maintenance 8 Operations
Materials Lubricants Solvents Uniforms
80000
Specialty Tools
18000
Mechanic's Tools
15000
Wherehouse Stock
15000
128000
3937
Fuel
263648
3931
Vehicle 8 Equipment Maintenance
6135
3960
General Liability
0
0
4178
6027
Hazardous Waste Removal
Solvents and Used Oil Disposal
0
0
20000
7043
Expenditures - Buildinfl
17200
—Capital
7044
Expenditures - Equipment
120200
—Capital
7045
Expenditures - Vehicles
78000
—Capital
Re lecement Vehicles
564000
TOTAL: I
1
1584506
CFD 88-2 Flood Dist.
764130
BUDGET JECTIOW WORKSHEET
(ACTUALS TO 12-31-09)
ACCOUNT
-----------------------------------------
AD 888-2 ETIWANDA/HIGHLAND - DEBT SERVICE
76 4130 1001 ASSESSMENT ADMIN
76 4130 3900 MAINT 6 OPERATIONS
76 4130 7910 PAYMENTS TO TRUSTEE
DEPARTMENT TOTAL
10/22/90
CITY OF NO CUCAMONGA
DEPT COUNCIL
81-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/69 ACTUAL 1990/91 NOR 1990/91
0 0 0 0 0
1,850 1,850 1,850
0 0 0
181,375 181,376 181,376
0 183,226 183,226 103,226
•
C
41
partment/Divisic
-MN./SPDC. DIST.
88-2 LAW MEao P.
78-4130
1990/91
•
CFD 88-2 Law Enforce. Dist.
784130
BUDGET PROJECTION WORKSHEET 10/22/90
(ACTUALS TO 12-31-89)
ACCOUNT
--------------------------------------------------
CRD 08-2 LAM ENFORCE.
78 4130 1001 ASSESSMENT ADMIN
78 4130 3900 MAINT 6 OPERATIONS
78 4130 7910 PAYMENTS TO TRUSTEE
DEPARTMENT TOTAL
N
W
O
524 524
5,252 5,252
0 0
0 0 0 0 0 0 0 5,116 5,776
CITY OF RANCHO CUCAMONGA
DEPT
COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST
CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/09 ACTUAL
1990/91
MGR 1990/91
524 524
5,252 5,252
0 0
0 0 0 0 0 0 0 5,116 5,776
AD 84-2 Alta Loma Channel
80.4637
0
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
10/22/90
ACCOUNT
--------------------------------------------
AO 84-2 ALTA LOMA CHANNEL --- ASMTS
80 8130 1001 ASSESSMENT ADMINISTRATION
DEPARTMENT TOTAL
80 8637 1100 REGULAR PAYROLL
80 4637 1200 OVERTIME PAYROLL
80 4637 1300 PART TIME PAYROLL
80 8637 1900 FRINGE BENEFITS
80 4637 3100 TRAVEL 6 MEETINGS
80 4637 3900 MAINTENANCE 6 OPERATIONS
80 8637 3931 VEHICLE NAINT. 6 OPER
80 4637 3960 GENERAL LIABILITY
80 4637 6028 CONTRACT SERVICES
80 4637 6029 RIGHT OF NAY AC(IUIS
80 4637 7048 CAPITAL EXPEND. EQUIP
80 4637 7085 CAPITAL EXPEND. VEHICLES
DEPARTMENT TOTAL
0
CITY OF RANCHO CUCA14DNGA
DEPT COUNCIL
87-90 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NGR 1990/91
0
0
0
0
0
0
0
0 0
0
6
a
o
0
0
0
0 0
19,805
15,692
0
0
6,937
0
21,890
0 0
0
0
0
0
0
0
0
0
0 0
0
0
0
0
0
0
0
0 0
7,880
7,880
0
0
0
0
7,662
0 0
0
0
0
0
0
0
0
0 0
0
23
0
0
0
0
0
0 0
0
0
0
0
0
0
0
0 0
0
0
0
0
0
0
0
0 0
165,483
229,317
136,400
0
44,372
136,400
0
0 0
0
0
0
0
0
0
0
0 0
0
0
0
0
0
0
0
0 0
0
0
0
0
0
0
0
0 0
193,168
252,912
136,400
0
51,310
136,400
29,552
0 0
• 'department ivision: Program:
�esource Services AD 84-2 Capital Imp.
1001 jAssessment Administration
3900 IMaintenance & Operations
tP
80-4130
:Iriscal Year
1990/91
Budget
$0
$0
$0
AD 842 Redemption Fund
81-0637
0
BUDGET PROJECTION WORKSHEET
(ACTUALS TO 12-31-89)
10/22/90
ACCOUNT
--------------------------------------------
AD 84-2 REDEMPTION FUND ---ASKS
61 4130 1001 ASSESSMENT ADMINISTRATION
DEPARTMENT TOTAL
81 4637 1001 ASSESSMENT ADMIN
81 4637 3900 MAINTENANCE 6 OPERATIONS
81 4637 3931 VEHICLE MAINT. 6 OPER
81 4637 3960 GENERAL LIABILITY
81 4637 6028 CONTRACT SERVICES
81 4637 7910 PAYMENTS TO TRUSTEE
DEPARTMENT TOTAL
0 0
CITY OF RANCHO CUCAMONGA
DEPT COUNCIL
87-88 FY 88-89 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 NOR 1990/91
1,176
1,600
1,600
0
0
1,600
1,600
0
0
1,175
1,600
1,600
0
0
1,600
1,600
0
0
1,600
1,600
895
5,114
3,850
1,000
0
4,850
3,850
3,850
3,850
0
0
0
0
0
0
0
0
0
0
0
a
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
192,650
256,206
194,246
0
57,511
194,246
184,887
184,887
184,887
193,545
261,320
198,096
1,000
57,511
199,096
188,737
190,337
190,337
•
24%
ucYai Ul=llL/L1V1510n: erogram: Account Number: Fiscal Year
�tesource Services AD 84-2 Redemption 1 81-4130 1 1990/91
AD 82-1 6th SL Industrial
834637
N
00
L�
BUDGET PROJECTION WORKSHEET 10/22/90
CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12-31-09)
DEPT
COUNCIL
87-88 FY
08-89 FY
CUR FY
CUR FY ACTUAL TO
DEPT EST
REQUEST
CITY
APPROVED
ACCOUNT
------------------------------------------------------------------------------------------------------------------------------------------------------
ACTUAL
ACTUAL
BUDGET
ADJUST 12/31/89
ACTUAL
1990/91
NOR
1990/91
AD 82-1 GTN STREET INDUSTRIAL ---ASKS
83 6130 1001 ASSESSMENT ADMINISTRATION
0
865
0
0 0
0
0
0
0
DEPARTMENT TOTAL
0
865
0
0 0
0
0
0
0
83 6637 1100 REGULAR PAYROLL
27,393
21,295
0
0 2,371
0
42,649
60,319
60,319
03 6637 1200 OVERTIME PAYROLL
0
0
0
0 0
0
0
0
0
03 6637 1300 PART TIME PAYROLL
0
0
0
0 0
0
0
0
0
83 4637 1900 FRINGE BENEFITS
10,031
(10,831)
0
0 0
0
14,927
21,112
21,112
83 4637 3100 TRAVEL 6 MEETINGS
0
0
0
0 0
0
0
0
0
83 4637 3900 MAINTENANCE d OPERATIONS
0
2,985
0
0 0
0
0
0
0
83 4637 3931 VEHICLE MAINT 6 OPER
0
0
0
0 0
0
0
0
0
83 6631 3960 GENERAL LIABILITY
0
0
0
0 0
0
0
0
0
83 4537 6028 CONTRACT SERVICES
13,252
180,199
342,000
0 61,126
362,000
0
477,000
677,000
83 6637 6029 RIGHT OF MAY ACQUIS
0
0
0
0 0
0
0
0
0
83 4637 7044 CAPITAL EXPEND. -EQUIP
0
0
0
0 0
0
0
0
0
83 4637 7065 CAPITAL EXPEND.-VEH
0
0
0
0 0
0
0
0
0
83 4637 8867 INDUSTRIAL DRAINAGE
0
0
0
0 0
0
0
0
0
DEPARTMENT TOTAL
50,676
199,648
342,000
0 63,697
362,000
57,576
550,431
558,431
0
0
COST CENTER DETAIL WORKSHZ T
Department ivision: Program: Account Number: Fiscal Year
2escurce Services AD 82-1R Capital Imp. 1 83-4130 1990/91
5b3ect Nc•
Description of Iters & Individual Dollar Amounts
Budget
1001
Assessment Administration
$0
3900
Maintenance & Operations
$0
6028
Contract Services
$477,000
TOML
$477,000
•
•
CAPITAL INIPROVE`IE\T PROJECT REQUEST
Department: Community Development
Fund:
Priority No.
Division: Engineering
AD 82-1
AD 83.02
Project Tide, Description, and Location:
Industrial Assesment District Drainage System
Indicate whether: O New O Replacement Q Addition
Project Justification:
Provide additional drainage systems in the Industrial Assesment District
2. 6th - 7th Street Storm Drain and Railroad Crossing between Center Avenue and Haven Avenue.
3. Jersey Blvd. Storm Drain from Vincent Avenue eastward.
Has this project been scheduled in a prior C.I.P ? O No OO Yes
Other projects or factors directly related to this project:
Indicate fiscal year project should be: Started 88/89 Completed 90/91
Estimated Project Costs
Amount
Suggested Financing
Amount
Design Cost
S 20,000
AD 82-1
S 477,000
Construction Cost
S 417.000
Administration Cost
S 40,000
Total Cost
S 477,000
Funds available and/or
S 0
Amount required first year
S 477,000
already expended
Amount required subsequent years
S 0
Balance Required
TOTAL
S 477,000
S 477,000
AD 84.1 Redemption Fund
87-0130 & 87-4637
AD 84-1 REDEMPTION FUND--ASMTS
87 4130 1001 ASSESSMENT ADMINISTRATION
87 4637 3900 MAINTENANCE 6 OPERATIONS
87 4637 6028 CONTRACT SERVICES
87 4537 7910 PAYMENTS TO TRUSTEE
DEPARTMENT TOTAL
I
7,012 9,000 0
2,630 3,356 500
0 0 0
3,397,449 786,403 1,207,094
3,407,091 798,839 1,207,594
0 0 0
0 0 500
0 0 0
0 400,000 1,207,094
0 400,000 1,207,594
0 9,000
9,000
0 500
500
BUDGET PROJECTION NORNSHEET
10/22/90 CITY OF RANCHO CUCA14ONGA
0 1,105,500
11105,500
(ACTUALS TO 12/31/89)
1,115,000
DEPT COUNCIL
87-88 FY 09-69 FY CUR FY CUR FY ACTUAL TO DEPT EST
REQUEST CITY APPROVED
ACCOUNT
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL
1990/91 MGR 1990/91
AD 84-1 REDEMPTION FUND--ASMTS
87 4130 1001 ASSESSMENT ADMINISTRATION
87 4637 3900 MAINTENANCE 6 OPERATIONS
87 4637 6028 CONTRACT SERVICES
87 4537 7910 PAYMENTS TO TRUSTEE
DEPARTMENT TOTAL
I
7,012 9,000 0
2,630 3,356 500
0 0 0
3,397,449 786,403 1,207,094
3,407,091 798,839 1,207,594
0 0 0
0 0 500
0 0 0
0 400,000 1,207,094
0 400,000 1,207,594
0 9,000
9,000
0 500
500
0 0
0
0 1,105,500
11105,500
0 1,115,000
1,115,000
[We --v metay a• O -.1 UF l2
oepartment/Division: Program: Account r: Fiscal Ye.
`esource Services CFD 84-1 Redemption 87-4130 1 1990/91
1001 (Assessment Administration
3900 Maintenance 6 operations
7910 lPayment to Trustee
•
•
$9,000
$500
$1,105,500
TOTAL I $1,115,000
PD -85 Redemption Fund
9D-4130,90-4532, & 904637
N
O
0
•
BUDGET PROJECTION WORKSHEET 10/22/90
CITY OF RANCHO CUCAMONGA
(ACTUALS TO 12/31/89)
DEPT
COUNCIL
87-88 FY
88-89 FY
CUR FY
CUR FY ACTUAL TO DEPT EST
REQUEST
CITY
APPROVED
ACCOUNT
---------------------------------------------------------------------------------------------------------------------------------------------------
ACTUAL
ACTUAL
BUDGET
ADJUST 12/31/89 ACTUAL
1990/91
MGR
1990/91
PD 85 REDEMPTION FUND --- ASMTS
90 4130 1001 ASSESSMENT AD14INISTRATION
85,732
81,596
87,581
0 0 87,584
0
87,584
87,586
DEPARTMENT TOTAL
85,732
87,594
87,584
0 0 87,584
0
87,584
07,584
90 4532 3900 MAINTENANCE 6 OPERATIONS
90 4532 3960 GENERAL LIABILITY
90 4532 7910 PAYMENTS TO TRUSTEE
DEPARTMENT TOTAL
90 4537 1100 REGULAR SALARIES
90 4637 1900 FRINGE BENEFITS
DEPARTMENT TOTAL
FUND TOTAL
942 1,285 0
0 0 0
806,152 807,728 807,721
807,694 809,012 807,727
0 0 0
893,426 896,606 095,311
0 0 0
0 0 0
0 303,733 807,727
0 303,733 807,727
0 303,133 895,311
0 0 0
0 0 0
0 807,665 807,465
0 807,665 807,465
53,895 53,895
18,853 18,863
0 72,758 72,758
0 967,007 967,807
0
I*
•
COST CENTER DETAIL WORKSHEET
Department lvisicn: Program: Acoount Number: Fiscal Year
'.esource Services AD 85PD Redemption 90-4130 1990/91
Object No.
Description of Items & Individual Dollar Amounts
Budget
1001
Assessment Adainistration
$87,584
3900
Maintenance & Operations
$0
7910
Payment to Trustee
$807,465
'OMU
$895,049
AD 82.1 R Redemption Fund
93.4130 & 93-0637
•
BUDGET PROJECTION WORKSHEET 10/22/90 -
(ACTUALS TO 12/31/89)
ACCOUNT
--------------------------------------------
AO 82-1R REDEMPTION FUND ---ASKS
93 1130 1001 ASSESSMENT ADMINISTRATION
93 1130 3900 MAINT 6 OPERATIONS
93 1130 7910 PAYMENT TO TRUSTEE
DEPARTMENT TOTAL
93 1637 3900 MAINTENANCE 6 OPERATIONS
93 1637 7910 PAYMENTS TO TRUSTEE
DEPARTMENT TOTAL
FUND TOTAL
i 0
CITY OF RANCHO CUCAMDROA
DEPT COUNCIL
87-88 FY 88-09 FY CUR FY CUR FY ACTUAL TO DEPT EST REQUEST CITY APPROVED
ACTUAL ACTUAL BUDGET ADJUST 12/31/89 ACTUAL 1990/91 MGR 1990/91
692 0 855 0 0 665 865 865 665
0 0 a 0
0 737,213 737,213 737,273
692 0 865 0 0 865 138,138 738,138 738,138
11,575 1,038 0 5,000 131 5,000
909,061 112,338 131,273 30,000 516,581 767,273
920,635 713,375 737,273 35,000 566,712 772,273 0 0 0
921,328 743,375 738,138 35,000 516,712 773,138 738,138 738,138 738,138
Department ivislon: Program: Account r• F1sca1 Year
'esource Services AD 82-1R Redemption 1 93-4130 1990/91
Object No. Description of items & Individual Dollar Amounts Budget
1001 Assessment Administration $865
3900 IMaintenance & Operations
7910 jPaYMent to Trustee
$0
$737,273
TOTAL 1 $738,138
AD 86.2 Capital Improvements
95.4637
N
A
0
•1
BUDGET PROJECTION WORKSHEET 10/22/90
CITY OF RANCHO CUCA14ONGA
(ACTUALS TO 12/31/89)
DEPT
COUNCIL
87-08 FY
88-89 FY
CUR FY
CUR FY ACTUAL TO DEPT
EST
REQUEST
CITY
APPROVED
ACCOUNT
----------------------------------------------------------------------------------------------------------------------------------------------------
ACTUAL
ACTUAL
BUDGET
ADJUST 12/31/89 ACTUAL
1990/91
MGR
1990/91
AD 86-2 R/C DRAINAGE DISTRICT --- AS14TS
95 6130 1001 ASSESSMENT ADMINISTRATION
0
0
0
0 0
0
DEPARTMENT TOTAL
0
0
0
0 0
0
0
0
0
95 4637 1100 REGULAR PAYROLL
0
0
0
0 11,798
0
95 4637 3900 MAINTENANCE 6 OPERATIONS
0
0
0
0 0
0
221,126
221,126
221,125
95 4637 3960 GENERAL LIABILITY
0
0
0
0 0
0
95 4637 6028 CONTRACT SERVICES
1,562,076
7,190
0
0 0
0
DEPARTMENT TOTAL
1,552,076
7,190
0
0 11,790
0
221,126
221,125
221,126
FUND TOTAL
1,562,016
7,190
0
0 11,798
0
221,126
221,125
221,126
N
A
•
E
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Department/Division: Program: Account r: Fiscal Year
resource Services AD 86-2 Capital Imp. 95 to 1990/91
Object No.
Description of Items & Individual Dollar Amounts
Budget
1001
Assessment Administration
$0
3900
I
Maintenance & Operations
$221,126
TOTAL
$221,126
0
AD 86-2 Redemption Fund
964130 & 96.4637
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IDepartment ivision: Program: Account Number: Fiscal Year
tesource Services AD 86-2 Redemption 96-4130 1990/91
Object No. Description of Items &Individual Dollar Amounts Budget
1001
Assessment Administration
$4,264
3900
Maintenance & Operations
$1,000
7910
Payment to Trustee
$208,166
TOTAL
$213,430