034 of 2012 - Adopting the City Budget, excluding the Library Fund for Fiscal Year 2012-2013 0 12-1
B 12-1
SALT LAKE CITY ORDINANCE
No. 34 of 2012
(Adopting the City budget, excluding the
budget for the Library Fund which is separately
adopted, and the employment staffing document
of Salt Lake City, Utah for fiscal year 2012-2013)
An ordinance adopting the city budget, excluding the budget for the Library Fund
which is separately adopted, and the employment staffing document of Salt Lake City for
fiscal year 2012-2013.
PREAMBLE
Pursuant to the provisions of Section 10-6-111 of the Utah Code, the City Budget
Officer prepared and filed with the City Council a tentative budget in proper form for all
funds for which budgets are required by said law, including tentative budgets for the
general fund, the library fund, special revenue funds, debt service funds and the capital
improvements funds for fiscal year 2012-2013. The tentative budget was accompanied by
a budget message as required by law.
That tentative budget was adopted by the City Council, in Resolution No. 21 of
2012, on May 1, 2012.
Section 10-6-118 of the Utah Code requires that before the 22"d day of June of
each fiscal year, or August 17, in case of a property tax increase under Sections 59-2-919
through 59-2-923 of the Utah Code, the governing body shall, by resolution or ordinance,
adopt a budget for the ensuing fiscal year for each fund for which a budget is required.
The City budget officer has prepared a budget, in proper form, for all funds for
which budgets arc required by law. Section 2.52.020 of the Salt Lake City Code states in
part that employment staffing documents shall be adopted as an element of the C ity's
budget, or otherwise, as the City Council may require. Three copies of such documents
have been filed for use and examination of'the public in the Office of the City Recorder.
NOW, THEREFORE, be it ordained by the City Council of Salt Lake City:
SECTION 1. PURPOSE. The purpose of this ordinance is to adopt a budget,
except the budget for the Library Fund wh►ch is separately adopted, for fiscal year 2012-
2013, and to adopt the employment staffing documents. All conditions precedent to the
adoption of the budget, which includes the employment staffing documents, have been
accomplished.
SECTION 2. ADOPTION OF BUDGET. The budget attached hereto and made a
part of this Ordinance, shall be, and the same hereby is adopted as the budget of the City,
excluding the budget for the Library Fund which is separately adopted, for the fiscal year
beginning July 1, 2012 and ending June 30, 2013, in accordance with the requirements of
Sections 10-6-105, 10-6-118 and 59-2-923 of the Utah Code, subject to the conditions set
forth herein. The budget is subject to the approval of the Mayor and reconsideration of
the City Council pursuant to Section 10-3b-204 of the Utah Code.
SECTION 3. EMPLOYMENT STAFFING. The employment staffing
documents, three copies of which are filed for use and examination in the Office of the
City Recorder, are hereby adopted as an element of the budget, pursuant to Section
2.52.020 of the Salt Lake City Code.
2
SECTION 4. FILING OF BUDGET. The City Budget Officer is hereby
authorized and directed to certify and file copies of said budget with the State Auditor as
required by Section 10-6-118 of the Utah Code.
SECTION 5. PUBLIC INSPECTION. The City Budget Officer is hereby
authorized and directed to certify and file copies of the budget in the office of said Budget
Officer and in the Office of the City Recorder, which budget shall be available for public
inspection during regular business hours as required by Section 10-6-119 of the Utah
Code.
SECTION 6. EFFECTIVE DATE. This Ordinance shall be deemed effective on
July 1, 2012.
Passed by the City Council of Salt Lake City, Utah, this 19th day of
dune , 2012.
CITY� VAVkei/A -
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2kPORA�� 1
ATTEST:
A� DEP TY CITY RE ORDER
3
Transmitted to the Mayor on July 3, 2012
Mayor's Action: Approved. Vetoed.
MAYOR
ATTEST:
APPROVED AS TO FORA
• Salt Lake City Attorney's Office
Date 6 - ctor �-
CORD ?" "� By -� li`/4"-/1
= CIT ,I-
(SEAL) AA r
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Bill No. 34 of 2012.
Published: July 12, 2012 •
HB_ATTY-#23I35-vl-FYI2-13_Adopting Ciry_Budget_Excluding_Library_Fund
4
f,n3 f0'adopt:c' ,.
GENERAL FUND KEY CHANGES
COUNCIL ADOPTED
I-Y ZU12 I-Y 1,i Mayor 5 CHANGES TO
Adopted Full-Time Recommended Recommended CHANGES TO MRB BUDGET ADOPTED ADOPTED BUDGET
ISSUE Budget Equivalent Changes Budget MRB FTEs SS FTEs
Revenues
Taxes
Property Taxes
Real Property-cu►rent_year collections-Newarowth 49,513,106 49,513,106 207,054 49,720,160
New growth-per State Tax Commission _ 615,744 615,744
3udgment Lev 644,688 -244,688 400,000 559,818 959,818
Prior Year Collections for Interest and Sinking fund - 277,354 -277,354
Real Property-prior year collections _ - 1,864,500 _ - 1,864,500 1,864,500
Personal Property 5,900,000 5,900,000 _ 5,900,000
Motor vehide fees 4,050,000 4,050,000 4,050,000
Sales Taxes
Local Option General 41,722,655 4,772,400 46,495,055 _ 4.6,495,055
Municipal Energy Taxes 3,900,000 400,000 4,300,000 4,300,000
Franchise taxes 28,434,888 -50,000 28,384,888 28,384,888
Payments in lieu of taxation(PILOT) 925,889 98,292 1,024,181 1,024,181
Licenses and Permits
Regulatory licenses and Innkeepers 9,477,077 -498,264 8,978,813 8,978,813
Decrease associated with Landlord/Tenant legislation -300,000 -300,000 300,000
Airport and Public Facility Parking Tax 1,880,000 -180,000 1,700,000 1,700,000
Clarification of$1/vehicle per day for Airport Parking Tax,on and off airport 1,540,000 1,540,000 1,540,000
Building permits 6,540,000 33,019 6,573,019 6,573,019
CED--$300 fee per 30 days after temp.certificate of occupancy 18,000 18,000 18,000
Fire Suppression System Inspection 154,981 154,981 154,981
Intergovernmental Agency Revenue
Other local sources 5,426,994 _ 62,889 5,489,883 5,489,883
Attorney-SLC Library contract 25,000 25,000 25,000
Attorney-RDA work 52,000 52,000 52,000
Finance-Accounting System Service to the Library 47,500 47,500 47,500
Charges and Fees for Services
Cemetery fees 611,776 -6,233 605,543 _ 605,543
Public safety fees 2,014,000 320,500 2,334,500 2,334,500
City/County Legislative Compromise 350,000 _ _ 350,000 350,000
Street and public Improvement fees 125,121 _ 26,595 151,716 151,716
Sports,youth and other recreation fees 203,232 -4,232 199,000 199,000
PS-Increase the fee rates forpavillions/reservations _ 7,000 7,000 7,000
PS-Increase the fee rates for recreation field reservations,rentals 62,800 62,800 62,800
PS-Modelport fee 6,400 6,400 6,400
Rental and concession fees 814,723 405,842 1,220,565 1,220,565
Parking
Parking meters 1,651,000 1,651,000 1,651,000
Annualization of meter rate increase,effective 1/1/12 250,000 250,000 _ 250,000
Increase in parking meter usage 300,000 _ 300,000 _- 300,000
Rate increase.50 per hour 500,000 500,000 500,000
Enforcement from 6-8 pm 320,000 320,000 320,000
Enforcement from 8-10 pm ..m.r,.m......,_--.AMU 160,000 160,000 (160,000) 0
Eliminate Free Holiday Parking _ _ 250,000 250,000
Decrease in bagging/residential permits -16,000 -16,000 -1u,uuu
Fines and Forfeitures
Parking Tickets 4,100,000 500,000 4,600,000 4,600,000
Increase in tix r per em_ployee($250,000) 250,000 250,000 250,000
Reduction in revenue associated with 2 hour parking expansion _ _ -150,000 -150.uuO -150,000
Fines and Forfeitures 6,888,815 -246,928 6,641,887 6,641,887
final for adopter 6/28/2012
GENERAL FUND KEY CHANGES
COUNCIL ADOPTED
FY ZU12 FY 1.3 Mayor's CHANGES TO CHANGES TO ADOPTED
Adopted Full-Time Recommended Recommended MRB BUDGET ADOPTED BUDGET
ISSUE Budget Equivalent Changes Budget MRB FTEs SS FTEs
Interest Income(net of allocation)
Interest income-adjustment 780,000 70,000 850,000 850,000
Administrative Fees Charged to Enterprise and Internal Service Funds
Airport police reimbursement 120,000 120,000 120,000
Airport fire reimbursement 4,420,000 175,000 4,595,000 4,595,000
Reimbursement labor and utilities 5,367,993 2,515 5,370,508 5,370,508
CED-Increase In Engineering charges to CIP 40,000 40,000 40,000
Miscellaneous Revenue
Sundry and other miscellaneous revenue _ 3,020,641 -77,180 2,943,461 2,943,461
Collection Fees _ _ 475,785 475,785 475,785
CED--RDA revenue for planning projects 75,000 75,000 - 75,000
Finance-Pcard,Epayable,and Travel Card Rebate--Bank of America 22,000 22,000 22,000
Interfund Transfers
Transfer from 911 1,884,411 56,303 1,940,714 68,546 2,009,260
Transfer from Water _ 37,500 37,500 37,500
Transfer from misc.grants 130,000 -130,000 0 0
Transfer from SL Trust _15,904 60,000 75,904 75,904
Revenue from Refuse--Glass Recycling _ _ 110,000 110,000 110,000
PS--Glass recycle sites -65,000 -65,000 -65,000
Transfer from Stormwater Fund-Street Sweeper Positions 175,371 175,371 _ _ 175,371
Storm Water-covering greater portion of street sweeping program 209,034 _ 209,034 209,034
PS-Increase the subsidy from Public Utilities for street sweeping 199,200 199,200 199,200
Total On-going Revenue 193,741,653 9,088,161 202,829,814 1,541,162 204,370,976
One Time Revenue
Fines for parking in bus/handicap .4�, ; -_ _ _ _
Appropriation from Fund Balance 40,000 -40,000 _
One time Revenue--PSB Permitting _ _ 400,000 _ -400,000 _
Transfer from Governmental Immunity 400,000 _ 0 _
Transfer from the Donations Fund--Memory Grove upgrades 150,000 _- -150,000
Transfer from Risk Fund--Police LTD 0 _ 515,000
Transfer from Risk Fund--Health Insurance 300,000 -300,000
Transfer from Risk Fund-Risk Management 100,000 100,000
Transfer from Intermodal Hub Fund _0_ _ 39,350
Transfer from SFAS IMS account 0 200,000
Energy Incentives 23,200 69,000
Total One Time Revenue 1,413,200 33,350 1,446,550 - 1,446,550
General Fund Total Revenue and other sources budget 195,154,853 9,121,511 204,276,364 0 205,817,526
Expenses and Other Uses
City Council:
FY 12 Beginning Balance 2,203,694 24.13
FY 13 base personal services projection less FY12 budget 36,889
Pension Changes _ _ 26,472 _
Insurance rate changes -1,788
Salary changes 14,638 __
Convert seasonal to.75/RPT position _ 0.75 _ - 0.75
Convert APT to FTE _ 0.75 __ _ _ 0.25 29,000 1.00 29,000_
Funds for intern support __ 25,000 25,000
Funds for 6 policy-focued public engagement videos 7,500 7,500
Total City Council 24.88 76,211 2,279,905 1.00 61,500 25.88 2,341,405
f,,11 for rc or_- a/zs zalz
GENERAL FUND KEY CHANGES
COUNCIL ADOPTED
FY .1U12 FY 13 Mayor S CHANGES TO
Adopted Full-Time Recommended Recommended CHANGES TO MRB BUDGET ADOPTED ADOPTED BUDGET
ISSUE Budget Equivalent Changes Budget MRB FTEs 55 FTEs
Mayor:
FY12 Beginning Balance 2,482,441 24.00 _
FY13 base personal services projection less FY12 budget 61,895 _
Pension Changes _ 32,286
Insurance rate dranges -1,604
Salary changes 25,084 _
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -35,659
Publication costs for SLC News 13,000
Mayor's Fellowship Program(beginning in January) 1.00 22,500
Paid Intern Program 12,500
Total Mayor 25.00 130,002 2,612,443 2,612,443
Attorneys Office:
FY12 Beginning Balance 5,271,392 54.00
FY13 base personal services projection less FY12 budget -62,932
Pension Changes _ _ 80,610
Insurance rate changes -1,592
Salary changes 36,844
Transfer of IMS related budget to Non-Departmental1 centralizing GF contribution 53,053
Enhanced in-house Codification 1.50 75,000
Additional Civil Litigation Attorney (full year funding) 1.00 130,000
Additional Civil Litigation Paralegal(80%Gov't Immunity,20%GF) (full year funding) _0.20 11,700
CCAC Benchmark Increase Recommendations(beginning in October) 124,500
Total Attorney Costs 56.70 341,077 5,612,469 0 56.70 5,612,469
Community and Economic Development:
FY12 Beginning Balance 16,662,171 190.80
FY13 base personal services projection less FY12 budget 134,809
Pension Changes 286,033 _
Insurance rate changes -13,488
Salary changes - 147,944
Remove One-Time Funding for Foothill Corridor/Parley's Way/Gateway Plan -75,000
Fuel Increase _ 18,208 _
Transfer of Fleet Maintenance budget to Non-Departmental budget,centralizing GF contribution -54,900
Transfer of INS related budget to Non-Departmental,centralizing GF contribution -186,670 _
one time-Attrition Savings -150,000
Building Services--Outsourcing _ 25,000
Shared Admin Assistant,Engineering and Transportation(beginning January) 1.00 28,000
Office Fadlitator,Economic Development(Beginning October) 1.00 33,750
Reduction in Senior Secretary for Planning _ __ -1.00 -55,000
Addition of RPT position in Administration _ _ 0.75 0
Public Engagement Coordinator(beginning in October) 1.00 56,250 -1.0 -562504 0.00 0
Add'I funding-West Salt Lake Master Plan public process(one-time) 20000 20,000
Economic Development 120,000
Landlord Tenant initative legislative change-restore proposed cut to zoning enforcement -2.00 -110,000 2.00 110,000 _2.00 110,000
CCAC Benchmark Recommendations (beginning in October) 18,000
Total Community and Economic Development 191.55 222,936 16,885,107 1.00 73,750 193.55 16,958,857
Finance:
FY 12 Beginning Balance 4,634,548 49.20 _ _
FY13 base personal services projection less FY12 budget 10,313
Pension Changes _--- 68,738
Insurance rate changes -2,902 _
Salary changes 43,882
Transfer of Fleet Maintenance budget to Non-Departmental budget,centralizing GF contribution -7,966 _
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -51,495
Debt Management Analyst(beginning October) 1.00 69,450
one time--office setup for debt management analyst _ 7,000 _
Senior Finandal Analyst(beginning September) 1.00 82,917
ral fct ac=c:cn
GENERAL FUND KEY CHANGES
COUNCIL ADOPTED
I-Y 2U12 YY 13 Mayor's CHANGES TO
Adopted Full-Time Recommended Recommended CHANGES TO MRB BUDGET ADOPTED ADOPTED BUDGET
ISSUE Budget Equivalent Changes Budget MRB FTEs $$ FTEs
one time--Office setup for sr.analyst 7,000
Cashier Trainer (beginning January) 1.00 42,800
one time--office set up for cashier trainer 7,000 •
one time--software systems change for dvil/parking violations 150,000
Transfer parking/civil function to Finance _ 240,875
Transfer FTEs to Finance 4.00 277,384
Total Finance 56.20 944,996 5,579,544 0.00 0 56.20 5,579,544
Fire:
FY12 Beginning Balance 34,820,086 356.50
FY13 base personal services projection less FY12 budget -11.00 159,253
Pension Changes __ _ _ _ 621,337
Insurance rate changes -48,900
Salary changes _ _ _ _ 422,387
one time-equip new apparatus _ -60,000
one time-Fire Station alerting system _ -50,000 _
Fuel Increase 43,983
Transfer of Fleet Maintenance budget to Non-Departmental budget,centralizing OF contribution -810,000 _
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -127,202
one time--New apparatus equipment 150,000
onetime-narrow banding of radios/alerting system 60,000
Transfer of expenses to reflect creation of 911 Communications Bureau -21.00 -1,457,121
Creation of additional Deputy Chief,using existing FTE 84,500
one time--Vacancy Savings -150,000
Total Fire 324.50 -1,161,763 33,658,323 0.00 0 324.50 33,658,323
Human Resources
FY12 Beginning Balance 1,834,026 21.26
FY13 base personal service s projection less FY12 budget 128,538
Pension Changes 30,224
Insurance rate changes -2,656
Salary changes 19,482
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -18,850
HR Consultant(startinng in October) 1.00 57,932
Total Human Resources 22.26 214,670 2,048,696 0.00 0 22.26 2,048,696
Justice Courts
FY 12 Beginning Balance 4,555,952 46.00
FY13 base personal services projection less FY12 budget 67,825
Pension Changes 61,710
Insurance rate changes _ -5,004
Salary changes 46,450
one time-New Public Seating in Court waiting area _ -13,000
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -82,306
Operational reduction -45,000
Convert 2 two part time positions to 2 RPT __ _ _ 1.50 28,205
one time-New security cameras 3,600 _
TransferParking/civil function to Finance -240,875
FTEs Transfer to Finance -4.00 -277,384
Total Justice Courts 43.50 -455,779 4,100,173 0.00 0 43.50 4,100,173
Police:
FY12 Beginning Balance 56,871,224 585.00
FY13 base personal services projection less FY12 budget 432,647
Pension Changes _ _ 1,686,162 _
Insurance rate changes -57,304
final for adoption 6/28/2012
GENERAL FUND KEY CHANGES
COUNCIL ADOPTED
t-Y LU1L FT 3.3 Mayor S CHANGES TO
Adopted Full-Time Recommended Recommended CHANGES TO MRB BUDGET ADOPTED ADOPTED BUDGET
ISSUE Budget Equivalent Changes Budget MRB FTEs $$ FTEs
Salary changes 665,332
One-Time Security Cameras&Signage along the Jordan River -20,000
Fuel Increase 134,582
Transfer of expenses to reflect creation of 911 Communications Bureau -54.00 -3,724,252
Transfer of Fleet Maintenance budget to Non-Departmental budget,centralizing GF contribution -913,209
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -273,472
Attrition Savings _ -210,000 _
Eliminate graveyard shift in records division -4.00 -168,000
Expiration of COPS grant 10.00 741,566
Emergency Management Increases 13,900
Investigative technology training for detectives 50,000 50,000
CCAC Benchmark Recommendations for Evidence Techs 20,000
Total Police 537.00 -1,672,048 55,199,176 0.00 50,000 537.00 55,249,176
Public Services:
FY11 Beginning Balance 31,540,296_ 229.08
FY12 base personal services projectionlessFY11budget 74,128
Pension Changes _ 272,138
Insurance rate changes -1,399
Salary changes _ 161,211
BA#2 Pay Stations 585,000 _
BA#5 Community Gardens 33,300 _
BA#5 Barnes Bank Operating Costs 65,000 _
Spring Mobile Increase in utilities 211,000
Maintenance contract savings _ _ -20,000
Reduce Pioneer Park programming budget -5,000 _ _ _
Reduce security for various City Buildings -9,300 _
Allocate additional portion of accountant to Fleet budget _ -0.40 -30,800
Allocate additional portion of an accountant to Golf budget -0.25 -22,500 _
Fuel Increase _ 26,617
Transfer of Fleet Maintenance budget to Non-Departmental budget,centralizing GE contribution -1,902,058 _
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -135,746
Additional Community Gardens programming 18,000 _ _
Forestry Tree Spraying 210,000 _
Forestry Tree Service and Stump Removal 100,000
Restore general park appearance maintenance-per Public Services proposal(add Irrigation Tech FTE) _ 1.0 _ 219,000 1.0 _ - 219,00C
Program Night Supervisor-parking enforcement (beginning in October) 1.00 45,000
Open Space Maintenance _ 200,000
Gallivan Center increase 1.00 153,430
Modelport _ _ 7,000
Additional compliance officers to support expanded parking enforcement - 1.00 80,000
Streets and Refuse support staff allocation _ 0.70 40,000
Inflationary increases in operating costs 170,000
PSB Building Maintenance _ 75,000 _
Conversion of Parking Enforcement Officers from seasonal to 3 FTEs 3.00 126,600
Glass recycling sites _ _ -65,000
Increase in unemployment costs 29,696
Traffic Markings budget 40,000
Youth City Artways budget 25,900
CCAC Benchmark Recommendation for Arborists 5,000
Total Public Services 235.13 562,217 32,102,513 1.00 219,000 236.13 32,321,513
911 Communications Bureau
Base Budget Transfer from Police _ 54.00 3,724,252
Base Budget Transfer from Fire 21.00 1,457,121
Pension Changes 84,401
Insurance rate changes -436
Salary changes _ 74,054
Transfer of IMS related budget to Non-Departmental,centralizing GF contribution -32,729
final for adoption 6/28/2012
GENERAL FUND KEY CHANGES
COUNCIL ADOPTED
FY 2012 FY 13 M3y0r'S CHANGES TO
Adopted Full-Time Recommended Recommended CHANGES TO MRB BUDGET ADOPTED ADOPTED BUDGET
ISSUE Budget Equivalent Changes Budget MRB FTEs $$ FTEs
Elimination of 3 vacant dispatch positions -3.00 .:J,000
Communications Director position 1.00 120,000
-
Total 911 Dispatch Bureau 73.00 5,306,663 5,306,663 0.00 0 73.00 5,306,663
Non Departmental:
FY11 Beginning Balance 34,279,022 0.00
Special Events Fund 150,000
Community Emergency Winter Housing 78,782 3,939 _
Dignitary Gifts/Receptions 15,000 _
Hispanic Chamber of Commerce 1,500
Legal Defenders 853,234 _
National League of Cities and Towns 11,535
Sales Taxes Rebate 177,000
Sister Cities 10,000
Salt Lake City Arts Council 500,000
Salt Lake Council of Governments 21,746
SL Area Chamber of Commerce 50,000 _
SL Valley Conference of Mayors 225
Sugar House Park Authority 192,440 4,061
Tracy Aviary_ 425,000 -
Housing Authority Transitional Housing 59,000
US Conference of Mayors 12,242 _
Utah Economic Development Corp. 108,000 _
Utah League of Cities and Towns 117,908 5,977 123,886
Northwest Quadrant Study 40,000 -40,000
Gang Prevention 70,000 _ _
Jordan River Commission membership 14,000 _
f;Upital Improvements Projects Fund _ _ _ _ 13,473,847 _ -625,000 _ _ 8611,549
Fleet Replacement Fund 3,200,000 _ 400,000 _
IFAS Account INS Transfer 170,505 -43,582
Street Lighting Fund 124,506
Information Management Services Fund 5,894,511 _ 1,296,567
Increase two RPT positions to two FTEs for SLCT V 20,136 0.5 20,138
Insurance and Risk Management Fund d 2,140,561 _-21,225
_Animal Services Contract 1,226,563 1,200 _
No More Homeless Pets 20,000 _ (20,000) 0
Sugar House Fire Works-through the Sugar Hoses Park Authority _ - 15,000 15,000
Munidpal Elections 310,000 _ -310,000
Geographic Information System 35,000 _Governmental Immunity Fund 900,000
Rion:COBGMailings-Etgklbb for Community Org communication NM 5r000 14,000 20,000
Retirement Payouts _ 250,000 250,000 _
Tuition aid program 85,000 30,000 _
Utah legislative/local lobby 25,000 _
Local First Utah--change to Local Buisness Marketing_program 15,000 5,000
Weigand Homeless Shelter 60,000 __
Washington D.C.Consultant _ 65,000
Music Licensing Fees 7,000
Sorenson Center w/County 881,000
Legislative Support 20,000
Demographer Contract 30,000 -30,000
Street Lighting Utilities 1,080,904 -540,452
Annual Financial Audit 260,100
Bonding/Note/Other Expense 35,000
Interest Expense 300,000 100,000
Ground Transportation GF Expenses 150,000
Induction Ceremony 20,000 -20,000
Streetlighting Consultant 50,000 -50,000
Placeholder based on actual health plan enrollment levels 450,000 -450,000
final for adoption 6/28/2012
GENERAL FUND KEY CHANGES
COUNCIL ADOPTED
f-Y 2011 1-Y 13 Mayor S CHANGES TO
Adopted Full-Time Recommended Recommended CHANGES TO MRB BUDGET ADOPTED ADOPTED BUDGET
ISSUE Budget Equivalent Changes Budget MRB FTEs $$ FTEs
one time--City Code"Clean-up"project contract funds 55,913 •_.___
Community training/facilitation contract funds __ 30,000 -30,000 _
GF Costs for Streetlighting 130,000
Cultural core transfer _ 250,000
Education re:parking enforcement,availability 1.00,000 100,000
one time--Initiative Costs 40,000 27,000 67,000
SharePoint Document Management system-ongoing annual amount(Initial amount budgeted in BA$6) _ _ _ 30,000 _ 30,000
Contract with University of Utah for demographic project(one-time) _ __ 20,000 20,000
Public Engagement Coordinator(beginning in Oct pending Council discussion)_ 1.0 56,250 1.00 56,250
Centralized Fleet Maintenance(consolidated from other GF departments) 3,686,133
Centralized fleet maintenance increases 629,603
Total Non Departmental 34,279,022 0.00 4,612,331 38,891,353 1.00 1,136,912 1.50 40,028,265
General Fund Total Expenses and Other Uses Budget 195,154,852 1,589.72 8,574,222 204,276,364 3.00 1,541,162 1,568.72 205,817,526
OTHER FUND KEY CHANGES
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Equivalent from FY
Budget Positions 2012 Budget Budget
CIP Fund (FC 83)
Revenue and Other Sources
FY 12 Beginning Balance 19,618,798
Increase in CDBG eligible capital projects 289,224
Increase in transfer from General Fund 868,549
Decrease in State grant revenue (136,175)
Decrease in transfer from General Fund (625,000)
Decrease in appropriation of impact fees (2,300,000)
Total Revenues and Other Sources Budget (1,903,402) 17,715,396
Expenses and Other Uses 19,618,798
FY 12 Beginning Balance
Increase in Debt Service transfer 1,357,691
Increase CDBG capital expenditures 289,224
Decrease in capital expenditures (4,418,866)
Increase in transfer from General Fund 868,549
Total Expenditures and Other Uses Budget (1,903,402) 17,715,396
Budgeted revenues and other sources over
(under) expenditures and other uses 0 0
Airport Fund (FC 54,55)
Revenue and Other Sources
FY 12 Beginning Balance 236,087,100
Increase in operating revenues 1,152,500
Increase in passenger facility charges projects 14,750,500
Increase grants and reimbursements 7,572,000
Increase in customer facility charges 55,070,000
Total Revenues and Other Sources Budget 78,545,000 314,632,100
Expenses and Other Uses
FY 12 Beginning Balance 266,186,487 555.30
Increase in personal services 2.00 1,124,200
Decrease in operating expenses (882,700)
Decrease in Passenger Incentive Rebate (593,100)
Final FY 2011 Budget-as of 6/15/2010 1
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Decrease in capital equipment ;336,200)
Increase in capital improvements projects 34,829,000
Total Expenditures and Other Uses Budget 557.30 34,141,200 300,327,687
Budgeted revenues and other sources over
(under) expenditures and other uses 14,304,413
Golf Fund - Operations (FC 59)
Revenue and Other Sources
8,431,088
Decreases in green fees and cart fees (64,000)
Increase in merchandise sales 28,500
Decrease in other fees, rentals, and passes (6,831)
CIP fee 0
Total Revenues and Other Sources Budget (42,331) 8,388,757
Expenses and Other Uses
8,843,771 40.40
Increase in personal services 88,858
Increase in retail merchandise 14,400
Increase in misc operating expenses 13,904
Increase in Water, Sewer, Storm Water 29,200
Increase in fuel, maintenance 72,422
Decrease in misc charges & services (6,237)
Decrease in IMS Fees (36,699)
Decrease in major CIP projects - Rose Park Range Expansion (247,782)
Increase in capital outlay - cash purchases (85,000)
Total Expenditures and Other Uses Budget 40.40 (156,934) 8,686,837
Budgeted revenues and other sources over
(under) expenditures and other uses (298,080)
Final FY 2011 Budget-as of 6/15/2010 2
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Golf Fund - CIP Dedicated (FC 59)
Revenue and Other Sources
0
CIP fee 364,000
Total Revenues and Other Sources Budget 364,000 364,000
Expenses and Other Uses
0 0.00
Increase in capital outlay - various projects 230,000
Increase in capital outlay - asset valuation 20,000
Total Expenditures and Other Uses Budget 0.00 250,000 250,000
Budgeted revenues and other sources over
(under) expenditures and other uses 114,000
Intermodal Hub (FC 50)
Revenue and Other Sources
FY 12 Beginning Balance 0
Total Revenues and Other Sources Budget 0 0
Expenses and Other Uses
FY 12 Beginning Balance 0
Increase in transfer to General Fund 39,350
Total Expenditures and Other Uses Budget 39,350 39,350
Budgeted revenues and other sources over
(under) expenditures and other uses (39,350)
Refuse FC 57)
Revenue and Other Sources
FY 12 Beginning Balance 14,969,975
Increase in Refuse collection fees 155,522
Increase in SLVSWMF / Landfill dividend 23,400
Decrease in debt proceeds for purchase of vehicles (4,300,888)
Final FY 2011 Budget-as of 6/15/2010 3
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Equivalent from FY
Budget Positions 2012 Budget Budget
Increase in misc income 159,216
Total Revenues and Other Sources Budget (3,962,750) 11,007,225
Expenses and Other Uses
FY 12 Beginning Balance 15,289,955 38.30
Increase in personal services (0.70) 148,084
Add environmental analyst 1.00 34,116
Add packer drivers 5.00 347,950
Add accountant 1.00 88,176
Increase in operations expense 256,098
Add residential curbside glass recycling program 125,000
Decrease contractual payments to pick-up curbside recycling (1,148,977)
Decrease expense of glass recycling site clean-up (65,540)
Increase use of $5.5M 306,500
Decrease in debt service for equipment purchases (201,063)
Decrease in financed vehicle purchases (4,300,888)
Total Expenditures and Other Uses Budget 44.60 (4,410,544) 10,879,411
Budgeted revenues and other sources over
(under) expenditures and other uses 127,814
Sewer (FC 52)
Revenue and Other Sources
FY 12 Beginning Balance 21,825,000
Increase in Sewer fees 700,000
Increase in revenue bonds 5,000,000
Total Revenues and Other Sources Budget 5,700,000 27,525,000
Final FY 2011 Budget-as of 6/15/2010 4
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Expenses and Other Uses
FY 12 Beginning Balance 50,067,200 104.50
Increase in personal services -- 450,374
Increase in operating and maintenance 55,150
Increase in charges and services 45,449
Decrease in capital outlay (652,100)
Decrease in capital improvements (7,054,534)
Increase in debt services 500,000
Total Expenditures and Other Uses Budget 104.35 (6,655,661) 43,411,539
Budgeted revenues and other sources over
(under) expenditures and other uses (15,886,539)
Storm Water Utility (FC 53)
Revenue and Other Sources
FY 12 Beginning Balance 16,867,000
Decrease in revenue bonds (8,000,000)
Total Revenues and Other Sources Budget (8,000,000) 8,867,000
Expenses and Other Uses
FY 12 Beginning Balance 18,714,284 27.60
decrease in personal services (0.25) 78,678
Decrease in operating and maintenance (300)
Increase in charges and services expenses 345,797
Decrease in capital outlay (43,000)
Decrease in capital improvements (5,599,000)
Decrease in debt services (200,000)
Total Expenditures and Other Uses Budget 27.35 (5,417,825) 13,296,459
Budgeted revenues and other sources over
(under) expenditures and other uses (4,429,459)
Water Utility (FC 51)
Revenue and Other Sources
FY 12 Beginning Balance 57,650,252
Increase of 4%for water fee rates 4,310,150
Final FY 2011 Budget-as of 6/15/2010 5
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Total Revenues and Other Sources Budget 4,310,150 61,960,402
Expenses and Other Uses
FY 12 Beginning Balance 69,080,633 250.30
Decrease in personal services 0.00 1,107,568
Increase in operating expenses 130,750
Increase in water purchases from the Metropolitan Water District 346,470
Increase in charges and services 650,000
Increase in capital outlay 299,900
Increase in capital improvements (1,404,025)
Total Expenditures and Other Uses Budget 250.30 1,130,663 70,211,296
Budgeted revenues and other sources over
(under) expenditures and other uses (8,250,894)
Fleet Management (FC 61)
Revenue and Other Sources
FY 12 Beginning Balance 17,078,693
Increase in maintenance billings 606,412
Decrease in sales of vehicles (256,000)
Increase in fuel billings 289,225
Increase in proceeds from financing of equipment 200,000
Increase in General Fund transfer to Fleet Replacement 400,000
Increase in other revenue 73,303
Total Revenues and Other Sources Budget 1,312,940 18,391,633
Final FY 2011 Budget-as of 6/15/2010 6
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Expenses and Other Uses
FY 12 Beginning Balance 16,716,891 37.60
Increase in personal services 35,178
Eliminate Business Analyst (83,158)
Increase Financial Reporting Accountant to 1000/0 from 600/0 0.40 30,796
New position -Fuel Coordinator 1.00 48,218
New position -Parts Runner 1.00 46,452
Add Mechanic overtime 65,000
Increase in cost of fuel purchases 215,390
Increase in parts, sublet, oil 294,551
Increase in Other Operating and Maintenance Expenses 116,980
Increase in administrative fees 125,000
Increase in building maint, utilities&other charges and services 93,828
Increase in capital expenditures- lease purchase 200,000
Increase in capital equipment purchases with cash 221,000
Decrease in debt service and transfers out 255,920
Total Expenditures and Other Uses Budget 39.00 1,665,155 18,382,046
Budgeted revenues and other sources over
(under) expenditures and other uses 9,587
Government Immunity (FC 85)
Revenue and Other Sources
FY 12 Beginning Balance 920,000
No change in revenue 0
Total Revenues and Other Sources Budget 0 920,000
Expenses and Other Uses
FY 12 Beginning Balance 1,320,000 2.00
New positon 80% of paralegal 0.80 56,773
Total Expenditures and Other Uses Budget 2.80 56,773 1,376,773
Budgeted revenues and other sources over
(under) expenditures and other uses (456,773)
Information Management Services (FC 65)
Final FY 2011 Budget-as of 6/15/2010 7
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Revenue and Other Sources
FY 12 Beginning Balance 8,766,843
Increase in revenue from general fund due to Consolidation 1,009,472
Increase Base to Base fund transfer non-departmental 1,061,064
Increase in general fund transfer for SLCTV, SharePoint 50,136
Increase in IMS rates 297,559
Increase personal services 257,436
Increase in one time IMS funding 25,000
Increase in usage fees from Enterprise/Internal Service funds 53,441
Decrease in revenue transfers (122,683)
Total Revenues and Other Sources Budget 2,631,425 11,398,268
Expenses and Other Uses
FY 12 Beginning Balance 8,766,843 60.50
Increase in personal services 5.00 752,815
Increase in materials and supplies 28,278
Increase in technical services (non-cap equip, software licenses) 1,225,818
Decrease in administrative service fees (60,000)
Decrease in equipment replacement ( rentals for General Fund) (251,434)
Increase in capital/ Software Expenses 885,812
Increase for ongoing costs related to SharePoint Document management system 30,000
Increase two RPT positions to two FTEs for SLCTV 0.50 20,136
Total Expenditures and Other Uses Budget 66.00 2,631,425 11,398,268
Budgeted revenues and other sources over
(under) expenditures and other uses 0
Final FY 2011 Budget-as of 6/15/2010 8
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Insurance and Risk Mana.ement (FC 87
Revenue and Other Sources
FY 12 Beginning Balance 43,466,570
Increase in premiums 1,000,876
Decrease in property and retiree premium (1,002,370)
Total Revenues and Other Sources Budget (1,494) 43,465,076
Expenses and Other Uses
FY 12 Beginning Balance 43,866,570 6.54
Transfers to general fund 715,000
Increase in longterm disablity 309,416
Retiree insurance decrease (400,000)
Property Premium decrease (602,370)
Premium increase 291,460
Total Expenditures and Other Uses Budget 6.54 313,506 44,180,076
Budgeted revenues and other sources over
(under) expenditures and other uses (715,000)
Curb and Gutter (FC 20
Revenue and Other Sources
FY 12 Beginning Balance 1,028
Increase in special assessment tax 0 10,679
Total Revenues and Other Sources Budget 10,679 11,707
Expenses and Other Uses 1,769,757
FY 12 Beginning Balance
Increase in assessment bonding charges (78,814)
Decrease in transfer to Debt Service Fund (1,027,760)
Total Expenditures and Other Uses Budget (1,106,574) 663,183
Budgeted revenues and other sources over
(under) expenditures and other uses (651,476)
Street Lighting (FC 30
Revenue and Other Sources
FY 12 Beginning Balance 498,015
Final FY 2011 Budget-as of 6/15/2010 9
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
No change in revenue 0
Total Revenues and Other Sources Budget 0 498,015
Expenses and Other Uses
FY 12 Beginning Balance 1,809,373
No change in street lighting expenses 0
Total Expenditures and Other Uses Budget 0 1,809,373
Budgeted revenues and other sources over
(under) expenditures and other uses (1,311,358)
CDBG Operating (FC 71)
Revenue and Other Sources 2,663,167
FY 12 Beginning Balance
Decrease in Federal funds (243,100)
Increase in Housing transfer 1,000,000
Total Revenues and Other Sources Budget 756,900 3,420,067
Expenses and Other Uses
FY 12 Beginning Balance 2,663,167
Decrease in Federal funds (243,100)
Increase in Housing transfer 1,000,000
Total Expenditures and Other Uses Budget 756,900 3,420,067
Budgeted revenues and other sources over
(under) expenditures and other uses 0
Final FY 2011 Budget-as of 6/15/2010 10
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Emer..enc 911 (FC 60
Revenue and Other Sources
FY 12 Beginning Balance 2,351,000
No change in revenue 0
Total Revenues and Other Sources Budget 0 2,351,000
Expenses and Other Uses
FY 12 Beginning Balance 2,524,801
No change in E-911 expenses 0
Total Expenditures and Other Uses Budget 0 2,524,801
Budgeted revenues and other sources over
(under) expenditures and other uses (173,801)
Housing (FC 78)
Revenue and Other Sources
FY 12 Beginning Balance 9,877,616
Increase in federal grant revenue and housing income 1,948,480
Total Revenues and Other Sources Budget 1,948,480 11,826,096
Expenses and Other Uses
FY 12 Beginning Balance 9,877,616
Increase in loan disbursements and related expenses 1,948,480
Total Expenditures and Other Uses Budget 1,948,480 11,826,096
Budgeted revenues and other sources over
(under) expenditures and other uses 0
Misc Grants Operating (FC 72)
Revenue and Other Sources
FY 12 Beginning Balance 8,630,249
Decrease in federal grant revenue and program income (838,764)
Total Revenues and Other Sources Budget (838,764) 7,791,485
Expenses and Other Uses
FY 12 Beginning Balance 8,630,249
Final FY 2011 Budget-as of 6/15/2010 11
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Decrease in approved grant expenditures (838,764)
Total Expenditures and Other Uses Budget (838,764) 7,791,485
Budgeted revenues and other sources over
(under) expenditures and other uses 0
Misc Special Service Districts (FC 46)
Revenue and Other Sources
FY 12 Beginning Balance 897,386
Increase in special assessment taxes 31,569
Total Revenues and Other Sources Budget 31,569 928,955
Expenses and Other Uses
FY 12 Beginning Balance 897,386
Increase in assessment expenditures 186,541
Total Expenditures and Other Uses Budget 186,541 1,083,927
Budgeted revenues and other sources over
(under) expenditures and other uses (154,972)
Final FY 2011 Budget-as of 6/15/2010 12
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Other Special Revenue (FC 73)
Revenue and Other Sources
FY 12 Beginning Balance 0
No change in revenue 0
Total Revenues and Other Sources Budget 0 0
Expenses and Other Uses
FY 12 Beginning Balance 0
Decrease in expenses 0
Total Expenditures and Other Uses Budget 0 0
Budgeted revenues and other sources over
(under) expenditures and other uses
0
Donation Fund (FC 77)
Revenue and Other Sources
FY 12 Beginning Balance 200,000
No change in revenue 0
Total Revenues and Other Sources Budget 0 200,000
Expenses and Other Uses
FY 12 Beginning Balance 200,000
No change in expense 0
Total Expenditures and Other Uses Budget 0 200,000
Budgeted revenues and other sources over
(under) expenditures and other uses 0
Debt Service (FC 81)
Revenue and Other Sources
FY 12 Beginning Balance 28,074,548
Decrease in G. O. property tax (852,954)
Increase in debt service revenue from RDA 1,463
Increase in transfer from General Fund 63,564
Final FY 2011 Budget-as of 6/15/2010 13
FY 2012 Adopted Full Time Changes FY 2013
ISSUE Bud et Equivalent from FY Bud et
g Positions 2012 Budget g
Decrease in transfer from Refuse Fund (390)
Decrease in transfer from Fleet Fund (417)
Increase in transfer from CIP 2,581,520
Decrease in transfer from SID (1,027,760)
Total Revenues and Other Sources Budget 765,026 28,839,574
Expenses and Other Uses
FY 12 Beginning Balance 28,484,685
Increase in debt service payments and related expenses 1,447,739
Total Expenditures and Other Uses Budget 1,447,739 29,932,424
Budgeted revenues and other sources over
(under) expenditures and other uses (1,092,850)
Final FY 2011 Budget-as of 6/15/2010 14