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HomeMy WebLinkAbout1997/03/06 - Agenda Packet - Library Board of TrusteesCITY OF RANCHO CUCAMONGA MEMORANDUM DATE: TO: FROM: SUBJECT: March 5, 1997 Ty Quaintance, Lead Building Maintenance Worker Vivian Garcia, Administrative Secretary LIBRARY BOARD MEETING The Library Board Meeting scheduled for Thursday, March 6 at 7:00 p.m. has been canceled due to lack of quorum. I will not be using the Council Chambers or the De Anza conference room. \vg Board of Library Trustees Agenda 1 Regular Meeting, March 6, 1997 A. CALL TO ORDER RANCHO CUCAMONGA CIVIC CENTER COUNCIL CHAMBERS 10500 CIVIC CENTER DRIVE RANCHO CUCAMONGA, CALIFORNIA 91730 REGULAR MEETiNG - 7:00 P.M. NOTICE IS HEREBY GIVEN THAT THE REGULAR MEETING SCHEDULED FOR 7:00 P.M. OF THE BOARD OF LIBRARY TRUSTEES HAS BEEN CANCELED DUE TO LACK OF QUORUM. Vivian Garcia Administrative Secretary March 6, 1997 DECLARATION OF POSTING OF AGENDA ¥I¥IAN GARCIA states and declares as follows: I presently am, and at all times mentioned herein have been, the Administrative Secretary of the Library of Rancho Cucamonga. Acting in that capacity, on ~~,~O~, at ~JoC~L/~·, I posted a true and correct copy of the meeting .g.nda dat.d ~i~C~, /~97 at lo5oo civic Center Drive, Rancho Cucamonga. I declare under penalty of perjury that the foregoing true and correct and that this declaration was executed on ~c~tS, ~?? , st Rancho Cucamonga. is DEBORAH KAYE CLARK, LIBRARY MANAGER City of Rancho Cucamonga BY: Vivian Garci~, Administrative Secretary City of Rancho Cucamonga LIBRARY BOARD OF TRUSTEES AGENDA CITY OF RANCHO CUCAMONGA REGULAR MEETING First Thursday 7:00 p.m. March 6, 1997 Civic Cemer Council Chambers 10500 Civic Center Drive Rancho Cucamonga, California 91730 City Councilmembers William J. Alexander, Mayor Rex Gutierrez, Mayor Pro Tern Paul Biane, Councilmember James V. Curatalo, Councilmember Diane Williams, Councilmember Boardmembers Robert Howdyshell, President Laura J. Muna-Landa, President Pro Tem Rebecca Davies, Boardmember Gina Gregory, Boardmember Edward E. Swistock, Boardmember ,~~ PAGE Board of Library Trustees Agenda 1 Regular Meeting, March 6, 1997 A. CALL TO ORDER 1. Roll Call: Howdyshell __., Davies , Gregory Muna-Landa , and Swistock B. CONSENT CALENDAR The following Consent Calendar items are expected to be routine and non-controversial. They will be acted upon by the Board at one time without discussion. Any item may be removed by a Boardmember or member of the audience for discussion. 1. Approval of Minutes: February 6, 1997. 1 C. LIBRARY DIRECTOR'S STAFF REPORTS The following items do not legally require any public testimony, although the President may open the meeting for public input. 1. Library Status Report: oral report presented by staff. 2. Budget report: presented by Deborah Clark, Library Manager. 7 D. BOARD BUSINESS The following items have been requested by the Board of Library Trustees for discussion. They are not public hearing items, although the President may open the meeting for public input. 1. . Library Telethon Update: oral report by Deborah Clark, Library Manager Executive Committee Meeting: Deborah Clark, Library Manager Board Assignments: Activities needing coordination the days of the Telethon. Presented by Deborah Clark, Library Manager ,~ PAGE Board of Library Trustees Agenda 2 Regular Meeting,. March 6, 1997 E. IDENTIFICATION OF ITEMS FOR NEXT MEETING 1. Literacy Update 2. Budget Presentation 3. Plan of Service proposal 4. Basic Service Package 5. Telethon Debriefing This is the time for the Board of Library Trustees to identify the items they wish to discuss at the next meeting. These items will not be discussed at this meeting, only identified for the next meeting. F. COMMUNICATIONS FROM THE PUBLIC This is the time and place for the general public to address the Board of Library Trustees. State law prohibits the Board from addressing any issue not previously included on the Agenda. G. ADJOURNMENT I, Vivian Garcia, Library Administrative Secretary of the City of Rancho Cucamonga, hereby certify that a true, accurate copy of the foregoing agenda was posted on Monday, March 3, 6:00 p.m., 1997, seventy-two (72) hours prior to the meeting per Government Code 54953 at 10500 Civic Center Drive. CITY OF RANCHO CUCAIVIONGA STAFF REPORT DATE:' TO: FROM: SUBJECT: March 6, 1997 President and Members of the Library Board of Trustees Jack Lam, AICP, City Manager Deborah Kaye Clark, Library Manager APPROVAL OF MINUTES RECOMMENDATION Approval of the Minutes for February 6, 1997. BACKGROUND Minutes for the regular meeting of the Library Board, February 6, 1997 taken and compiled by Library Administrative Secretary Vivian Garcia. ectfully submitted, DKC:vg CITY OF RANCHO CUCAMONGA LIBRARY BOARD OF TRUSTEES Reeular Meeting A. CALL TO ORDER The regular meeting of the Library Board of Trustees was held on Thursday, February 6, 1997, in the Council Chambers of the Civic Center, located at 10500 Civic Center Drive, Rancho Cucamonga, California. The meeting was called to order at 7:01 p.m. and the pledge of allegiance was led by President Howdyshell. Present were Boardmembers Davies, Muna-Landa and Swistock. Also present were: Diane Williams, Councilmember, Paul Williams, President of the Friends of the Library, Deborah Clark, Library Manager, Robert Karatsu, Principal Librarian, Renee Tobin, Children's Services Supervisor and Vivian Garcia, Administrative Secretary. B. CONSENT CALENDAR Boardmember Davies asked Item B1 to be pulled. B2. Approval of CD Rom Rental policy and Establishment of Fee. MOTION: Moved by Boardmember Swistock to accept the consent calendar, seconded by President Howdyshell. Motion carried 4-0- I (with Gregory absent). Boardmember Davies asked for the wording of the minutes of January 16 to be changed on Page 3 under D3 from "Rancho Cucamonga Council" to "National PTA"; and to add the following wording after National to "22 PTA affiliated schools in the city". B1. Approval of minutes: January 16, 1997 MOTION: Moved by President Howdyshell to accept the minutes as amended, seconded by Boardmember Davies. Motion carried 4-0-1 (with Gregory absent). C. LIBRARY DIRECTOR'S STAFF REPORTS C 1. Library status report: oral report presented by Library Staff. Library Board Minutes February 6, 1997 Page 2 Deborah Clark, Library Manager, stated that construction is still taking place on both floors of the Library. The Literacy area is proceeding along well. There will be a grand opening ceremony on March 15. The budget cycle has begun. Staff will be updating the Plan of Service and adding a component for budget purposes that combines the concept of basic service along with cost analysis. This package will be forwarded to you in March. Deborah Clark, Library Manager, stated that staff interviewed this week for the Library Monitor position. Robert Karatsu, Principal Librarian, stated January was a record breaking month. The reference questions were higher in January than any other month. The fines, fees and media rentals also increased in January. Renee Tobin, Children's Services Supervisor, stated that she, along with Sheila Keeling, attended a training on the Grandparent's and Books Grant. Covered in the workshop were the concepts of recruiting for senior volunteers to read to children in the Library, and providing training to the volunteers on how one reads to groups of children. Staff will begin recruiting volunteers for this program. Once staff has a group, we will do the training and volunteers will begin reading to children before the end of the school year. Renee Tobin, Children's Services Supervisor, stated that staff had their third annual dragon making program for Chinese New Year. Approximately fifty children attended and they made three dragons which are hanging in the entrance to the story room and picture book area. Staff is currently working on the Summer Reading Program. Samples of the artwork will be shared next month. The theme is, "Library Detectives, Inc." and Gator Gumshoe is the alligator detective. The funding has been donated by Wells Fargo Bank. Renee Tobin, Children's Services Supervisor, shared with the Board a form for "Reading Moments" for the Telethon. Staff is looking for anyone who has a favorite book that is in our library's collection that would like to tape one of these to be shown on the Telethon. Nina Cole will have a crew do the taping on the first two Saturdays in March. C2. Budget report: presented by Deborah Clark, Library Manager. Deborah Clark, Library Manager, reviewed the budget sheets with the Board. C3. Proposal for securing staff exit and removing front benches: presented by Deborah Clark, Library Manager. Deborah Clark, Library Manager, stated that staff interviewed and have selected three qualified candidates for the position of Monitor at the Library. Staff is working with the City for funding to 3 Library Board Minutes February 6, 1997 Page 3 have both floors of the Library covered for the intense period of time when there is heavy use. The proposal for securing the staffexit and removing the front benches came from a number of minor security incidents that occurred over the past three months. The staff exit securing was proposed by the Sheriff's Department when the Crime Prevention Department did a walk though with staff. President Howdyshell asked for a more detail description of the Monitor position. Deborah Clark, Library Manager, described the position to the Board. Boardmember Davies stated that she and Diane Williams walked the area requested this afternoon and stated that she also sees it as a real need. She asked if this includes additional lighting? Is there going to be a motion detector ? Is there sufficient lighting? Deborah Clark, Library Manager, asked if she meant the building lighting or the parking lot lighting? Boardmember Davies stated, her concern was directed at the building lighting for the exit of the employees. The fencing is a great idea and necessary. She also stated, that she would like to see staff consider additional lighting and motion detectors. Boardmember Swistock asked if it would be possible to do the fencing, but leave the benches for a month or two to see if they need to be removed. MOTION: Moved by Boardmember Swistock to approve the proposal for securing the staffexit by installing fencing on the west side of the building; the benches at the front of the Library will remain, seconded by Boardmember Davies. Motion can-ied 4-0-1 (with Gregory absent). D. BOARD BUSINESS D1. Library Telethon Update: oral reports Status, time line and mailout: Deborah Clark, Library Manager Deborah Clark, Library Manager, stated that the lines for credit card access have been installed and staff will be receiving training. She gave thanks to Susan Stark and Joan Kruse who worked very hard to get this project done. Deborah Clark, Library Manager, gave an oral report to the Library Board on the various meetings with the Telethon. Deborah Clark, Library Manager, asked the Board if they would give the authority to the Executive Committee to decided if they want to waive that $50 requirement for the youngsters talent show. 4 Library Board Minutes February 6, 1997 Page 4 MOTION: Moved by President Howdyshell to give the Executive Committee the discretion to make the appropriate decision about the $50 registration fee, seconded by Boardmember Muna-Landa. Motion carried 3-0-1-1 (with Gregory absent). Deborah Clark, Library Manager, stated that the Exectuvie Committee will be meeting tomorrow. The Auction Committee, we have had good response from the people that are making the calls for the auction items. Staff commends Foundation Boardmember Bob Valenti who has been sending the responses back to staff quickly. Robert Karatsu, Principal Librarian, gave an oral report to the Library Board on the Trivia Contest portion of the Telethon. Deborah Clark, Library Manager, asked the Boardmembers for volunteers to review the auditioning acts for the Telethon. D2. Library Survey: oral report presented by Deborah Clark, Library Manager. Deborah Clark, Library Manager, stated that staff has received approximately 300 surveys. Staff will be doing the analysis on the surveys. There will be three work groups. The work groups will be composed of someone in Cimulation, Reference and from Children's. They will include full and part time staff. Staff will compile the results and plot them on the maps, but also try to analyse what the people were asking for in the survey. Staffthen will make recommendations on how requests or concerns the patrons have raised can be addressed. E. IDENTIFICATION OF ITEMS FOR NEXT MEETING E 1. Telethon E2. Budget E3. President Howdyshell requested he would like to have staff check on the number of applications received for the credit card. E4. President Howdyshell requested an update on Literacy. None were received. Library Board Minutes February 6, 1997 Page 5 F. COMMUNICATIONS FROM THE PUBLIC President Howdyshell stated that he would like to thank Diane Williams, from City Council for her support and Paul Williams from the Friends on his support. He also thanked the staff for their professional presentations and the time that it takes to attend meetings and compile reports for the Board; he found the information helpful and very professionally done. He stated his appreciation on behalf of the Trustees. G. ADJOURNMENT MOTION: Moved by Boardmember Swistock to adjourn in memory of Dan Richard's son, seconded by President Howdyshell to adjoum to March 6, 1997 at 7:00 p.m. Motion carried, 4-0-1 (with Gregory absent). The meeting adjourned at 7:56 p.m. Respectfully submitted, Vivian Garcia Administrative Secretary Approved: CITY OF RANCHO CUCAMONGA STAFF REPORT DATE: TO: FROM: SUBJECT: March 6, 1997 President and Members of the Library Board of Trustees Jack Lam, AICP, City Manager Deborah Kaye Clark, Library Manager BUDGET REPORT FOR FEBRUARY RECOMMENDATION No recommendation. For information only. BACKGROUND/ANALYSIS Schedule A, titled Revenue Report for February 1997 attached for your review. Schedule B, titled "Balance Sheet July through February FY 1996/97" will be available at the meeting. Schedule C, titled "Library Expenditures 1996/97" is an accounting of all funds expended so far this fiscal year. Also included are the expended figures for Literacy and Redevelopment Agency library funds. ctfuily submitted, Library Manager DKC:vg REVENUE REPORT FINES MEDIA LIBRARY REF DONA- February 1997 & FEES RENTALS SALES SERV. TIONS February 1 & 2 $669.25 $321.67 $0.00 $0.00 February 3 $516.92 $156.23 February 4 $392.15 $187.97 February 5 $422.05 $213.99 February 6 $309.75 $175.48 February 7 $191.75 $113.50 February 6 & 9 $686.05 $321.47 $0.00 $0.00 February 10 $368.70 $146.90 February 11 $381.57 $149.96 February 12 $350.88 $170.58 February 13 $277.90 $210.76 February 14 $156.25 $113.93 February 15 & 16 $516.32 $300.77 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $4.00 $0.00 $0.00 $0.00 $38.35 ~0.00 $0.00 ~0.00 $0.00 ;1.86 $6.00 ;0.00 $0.00 ;2.78 $2.00 ;2.78 $5.73 ;0.00 $0.00 ;0.00 $2.00 ;0.00 $0.00 $0.00 $40.00 $0.00 $0.00 February 17 - holiday February 18 $534.10 $227.24 $0.00 $13.00 February 19 $439.77 $202.51 $2.78 $2.00 February 20 $428.34 $156.47 $0.00 $0.00 February 21 $264.29 $126.50 $2.78 $0.00 February 22 & 23 $632.70 $301.05 $0.00 $40.00 $0.00 $0.00 $0.00 $0.00 February 24 $367.01 $166.11 $2.78 $0.00 February 25 $436.00 $145.08 $0.00 $6.10 February 26 $394.72 $184.74 $5.56 $7.02 February 27 $327.00 $184.71 $0.00 $1.24 February 28 $232.20 $104.02 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.65 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $o.oo $o.oo $o.oo $0.00 $0.00 $0.00 $1.40 $0.00 $0.00 $o.oo $0.00 $0.00 $0.00 $0.00 Schedule A TELETHON INCOME $100.00 $2OO.OO $525.00 $200.OO $1,675.00 $1,000.00 $2,050.00 $2,000.O0 TOTALS: $9,295.67 $4,381.64 $21.32 $167.44 $2.05 FEBRUARY TOTALS $9,468.87 $5,071.77 $53.77 $237.78 $29.45 % CHANGE -2% -14% -60% -30% -93% TOTAL LIBRARY INCOME $21,618.12 Daily Average Fines $344.28 Daily Average Media $162.28 Daily Average Sales $0.79 Daily Average APS $16.92 Daily Average Reft Fees $6.20 DAILY TOTALS $530.47 GAIN/LOSS ON PRO J: $3,363 PERSONNEL EXPENSES Part time Salaries $17,542 GAIN/LOSS ON PRO J: ($1,736) BALANCE $1,627.22 96/97 Proj: $253.91 $150.51 $0.00 $16.13 $1.43 $421.98 $15,806 $7,750.00 $4,000.O0 8 LIBRARY EXPENDITURES JUL AUG SEP OCT NOV DEC JAN FEB TOTALS SPENT PE FUNDS % % OF 1996/97 CATEGOR REMAININ SPENTYEAR PERSONNEL 67% 1100REGULARSALARIES $381,590 $22,109 $29,078 $29,078 $43,764 $29,176 $29,176 $29,176 $29,176 $240,734 $240,734 $140,856 63% 1200 OVERTIME SALARIES $1,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $1,000 0% 1300 PARTTIME SALARIES $205,480 $10,595 $14,014 $13,359 $23,735 $17,319 $15,855 $15,000 $17,542 $127,419 $127,419 $78,061 62% 1900 FRINGE BENEFITS $145,300 $12,108 $12,108 $12,108 $12,108 $12,108 $12,108 $12,108 $12,108 $96,865 $96,865 $48,435 67% TOTAL PERSONNEL OPERATIONS $733,370 $44,813 $55,201 $54,546 $79,607 $58,603 $57,139 $56,284 $58,826 $465,018 $465,018 $268,352 63% 3100 TRAVEL & MEETINGS $3,500 California Library Conference $2,350 $2,350 CoPwin workshops $0 Karatsu-workshops $162 $162 Meeting Supplies ($184) $24 ($160) Clark-meetings $84 $58 $7 $149 ILS Workshops $20 $10 $30 Telethon Kickoff $0 $2,531 $969 72% 3300 MILEAGE $3,800 Auto Allowance $3,000 $231 $231 $231 $346 $231 $231 $231 $1,731 Reimbumement $800 $0 Garcia ($58) $27 $22 $42 $32 $44 $110 Pages $20 $3 $11 $19 $13 $66 Hood $0 Corwin $0 Tobin $31 $31 $1,938 $1,862 51% $1,731 $1,269 58% $2O7 $593 26% 3900 MAINTENANCE/OPER $148,270 Cash Receipts ($99) ($60) ($97) ($50) ($306) Printing/Postage $4,000 $0 Printing $2,827 $32 $2,859 Postage $14 $3 $14 $14 $503 $32 $578 Office Supplies $18,000 $0 Cataloging Supplies $2,069 $103 $11 $2,752 $399 $199 $758 $6,291 Farts $37 $37 Photo House $0 8 Ave. graphics $0 Office Depot $667 $667 $754 $667 $2,755 Laminating supplies $194 $6 $200 $86,103 $62,167 88% $3,437 $563 86% $9,918 $8,082 55% Letterhead Miscellaneous Petty Cash Computer supplies Stationary Federal Expmss $14 Board Supplies Special Program Supplies $5,000 Children's Suppries $229 Children's Programs - Friends Software Summer Reading Program (FR) $48 Creation of Affinity Card $250 Literacy Projects Volunteer Supplies Reference On-line Advertising/Promotions $0 National Library Week - Friends Foundation Board recruitment $440 Telethon Kickoff Printing Books/Materials $111,310 Bookstore rush $1,174 $65 Childrens Books $14,041 Adult Books $15,030 Reference Books $156 $993 Reference CD's $360 Cimulating Instructional CD $0 Large Print Books - Friends $1,877 Books on Tape - Friends Video $2,325 $14 CD's (music) $1,000 Literacy Magazines/Publications $6,210 $2,013 Training $500 Bindery $1,000 $1,000 Collection Agency $2,000 3914 MAINTENANCE DEPT $11,830 Encumbrances Janitorial Supplies $4,260 Facility Maintenance supplie $5,630 Sinclair Paint Familian Pipe Supply Mountain View Glass $0 R&R Electric $527 $50 $35 $20 $220 $654 $239 $51 $122 $8 $38 $12 $120 $24 $7 $169 $31 $15 $150 $469 $10 $500 $15 $57 $102 $394 $194 $500 $17 $118 $197 $16 $9 $137 $1,000 $9 $94 $113 $2O5 $371 $44 $7,564 $15,085 $39 $250 $87 $4,885 $474 $40 $500 $261 $219 $143 $1,000 $70 $16 $10 $1,149 $239 $38 $8 $174 $0 $14 $163 $495 $150 $35 $48 $0 $0 $469 $10 $20 $1,031 $0 $654 $44 $2,310 $22,362 $30,808 $1,503 $360 $0 $2,074 $82 $3,861 $3,250 $0 $2,487 $0 $1,000 $0 $4,885 $1,001 $56 $0 $0 $0 $0 $1,207 $1,705 $66,611 $2,487 $0 $1,000 $0 $6,190 $1,001 $56 $0 $3,793 24% ($1,705) ERR $44,699 60% $3,723 40% $500 0% $0 100% $2,000 0% $5,640 62% $3,259 24% $5,574 1% $0 Trash Receptacle Owen Electric Graffiti Removal Supplies $200 Landscape Maint. supplies $1,300 Water/Fire Service $440 $118 $129 $0 $0 $248 $248 ($48) 124% $0 $0 $1,300 0% $0 $0 $440 0% 3956 DUES $2,100 American Library Assoc. $450 $42 $190 $43 MCLS Associate Membershi $150 $150 California Library Assoc. $0 $125 $45 $35 $420 $5 Inland Library system $1,500 $919 $1,974 $126 94% $275 $275 $175 61% $150 $150 $0 100% $630 $630 ($630) ERR $919 $919 $581 61% 3960 GENERAL LIABILITY $4,340 $362 $362 $362 $362 $362 $362 $362 $2,534 $2,534 $1,806 58% 6028 CONTRACT SERVICE $t67,530 Offic Equip/Maintenance $3,500 $3,676 $182 Book Processing & OCLC $20,000 $10,236 $1,500 S.B. County $100,000 $8,333 $8,333 $8,333 $8,333 Technology Maintenance $7,000 $65 Telephone Maintenance $3,000 $2,848 Computer Tech Services $31,030 $24,881 $184 $5,076 $8,333 $8,333 $8,333 $106,980 $60,550 64% $3,858 $3,858 ($358) 110% $16,997 $16,997 $3,003 85% $58,331 $58,331 $41,669 58% $65 $65 $6,935 1% $2,848 $2,848 $152 95% $24,881 $24,881 $6,149 80% 6036 CONTRACT SERVICE $69,300 Encumbrances $20,669 Janitorial Services $16,000 $1,333 $1,333 $1,333 $1,333 $1,333 $1,333 $1,333 Security Service $3,360 $1,703 $378 $475 Elevator Service $6,160 $0 $125 $250 $250 $125 $125 $235 HVAC $14,500 $786 $460 $460 $3,910 $460 $460 $460 Electrical $4,160 $631 $408 $171 $62 Glass replacement $2,000 Locksmith $0 $166 $166 $44 Plumbing $2,000 $138 Pest Control $670 $229 $75 $75 Fire/Life Safety $670 $686 StructuraFRoof $2,910 $880 Exterior Grounds Maint. $6,870 $413 $491 $413 $413 $479 $479 $479 $47,562 $11,738 80% $20,669 $9,331 $9,331 $6,669 58% $2,556 $2,556 $804 76% $1,110 $1,110 $5,050 18% $6,996 $6,996 $7,504 48% $1,273 $1,273 $2,887 31% $0 $0 $2,000 0% $375 $375 ($375) ERR $138 $138 $1,862 7% $379 $379 $291 57% $686 $686 ($16) 102% $880 $880 $2,030 30% $3,167 $3,167 $3,703 46% 7047 COMPUTER EQUIP. $3,000 Friends donation $3,000 $3,000 $3,000 $0 100% 8019 TELEPHONE 989-8277 (Rotary line) 181-1185 (TI line) 948-9900 980-0871 (EMS & Security) 980-4361 (Elevator) 987~3271 (Irrigation Sprink.) 989-6904 (Public Fax) $15,000 $407 $368 $365 $412 $434 $445 $398 $2,828 $214 $214 $432 $215 $215 $220 $1,510 $441 $484 $481 $501 $456 $449 $2,812 $53 $52 $53 $53 $58 $58 $58 $387 $26 $26 $26 $26 $26 $26 $26 $182 $26 $26 $26 $26 $26 $26 $26 $182 $34 $33 $67 $34 $33 $32 $232 $8,191 $6,809 55% MCI $20 $12 $3 $23 $58 8021 WATER UTILITIES $4,000 Inside Use $189 $189 $379 Landscaping $321 $249 $570 8022 ELECTRIC UTILITIES $60,000 $4,783 $4,227 $4,386 $3,747 $3,400 $2,659 $2,639 $25,841 TOTAL LIBRARY BUDGET $1,206,040 $94,122 $122,047 $82,074 $115,785 $103,373 $102,747 $75,598 $63,064 $758,810 $949 $28,841 $756,810 $3,061 $24,159 $480,230 24% 82% 63% LITERACY EXPENDITURES JUL AUG SEP OCT NOV DEC 1996197 CITY VERSION PERSONNEL 1100 REGULAR SALARIES $21,210 $1,195 $1,594 $1,594 $2,717 $1,675 $1,675 1900 FRINGE BENEFITS $7,850 $654 $654 $654 $654 $654 $654 TOTAL PERSONNEL $29,060 $1,849 $2,248 $2,248 $3,371 $2,329 $2,329 OPERATIONS 3100 TRAVEL & MEETINGS $800 $50 $52 $23 $37 3300 MILEAGE $350 $67 $72 $132 $60 3909 MAINTENANCEIOPER $6,500 Printing/Postage $3,000 Printing $1,223 Postage Office Supplies $2,000 $519 $48 Instructional Materials $1,500 $70 $1,021 ($37) 5910 LIBRARY OVERHEAD $7,670 $7,670 6028 CONTRACT SERVICES $48,846 Literacy Coordinator $43,846 $3,452 $3,452 $3,452 $3,452 $3,452 $3,452 Tutor Training $5,000 $4,250 Telephone Contract $0 8019 TELEPHONE $1,200 TOTAL LITERACY BUDGET $94,426 $13,108 $5,700 $1'1,540 $8,170 $5,948 $5,879 JAN FEB TOTALS SPENT PE FUNDS % % OF CATEGOR REMAININ SPENTYEAR 67% $1,675 $1,675 $13,800 $13,800 $7,410 65% $654 $654 $5,233 $5,233 $2,617 67% $2,329 $2,329 $19,033 $19,033 $10,027 65% $98 $260 $260 $540 33% $332 $332 $19 95% $4,120 $2,380 83% $1,223 $1,777 41% $975 $2,199 $0 $300 $868 $1,054 $7,670 $3,452 $24,164 $4,250 $868 $1,132 43% $1,054 $446 70% $7,670 $0 100% $28,414 $20,432 58% $24,164 $19,682 55% $4,250 $750 85% $85 $85 $85 $1,11 $ 7% $7,142 $2,428 $59,914 $59,914 $34,512 63% REDEVELOPMENT EXPENDITURES FY 1996197 July Materials Books Standing Order for Ref. Rental Books Books on Tape New database CD's $50,000 Sub Total Plans/Designs Literacy remodel/shelving Sub Total $10,000 Furnishings/misc. Study Carrell Video Drop (replacement) Picture Framing Citizen Printer for self/check Recorder - Admin Multi Pro CTV Admin. cabinets PB Racks Counter Rental book display Shelving Childrens Shelving Adult (Estimate) Sub Total $40,000 TOTALS $100,000 Aug Sep Oct Nov $5,326 $743 $953 $6,400 $912 $992 $11,210 $3,000 $13,933 $0 $0 $25,937 $1,655 $15,879 $10,000 $1,041 $412 $1,454 $761 $565 $1,637 $172 $269 $322 $52 $1,041 $412 $4,416 $783 $52 $1,041 $412 $30,353 $2,418 $15,930 Dec $909 $2,020 $2,929 $9,087 $9,087 $12,016 Jan $748 $748 $1,240 $1,240 $1,988 Feb $252 $252 $252 TOTALS SPENT $47,148 $7,770 $9,213 $11,210 $3,000 $15,954 $o $47,148 $10,000 $10,000 FUNDS % % OF REMAINING SPENT YEAR 67% $2,852 94% $0 100% $17,263 $22,737 43% $17,011 $74,159 $25,589 74%