023 of 2007 - adopting budget for the Library Fund for fiscal year 2007-2008 0 07-1
B 07-2
SALT LAKE CITY ORDINANCE
No. 23 of 2007
(Adopting the budget for the Library Fund
of Salt Lake City,Utah for fiscal year 2007-2008)
AN ORDINANCE ADOPTING THE BUDGET FOR THE LIBRARY FUND OF
SALT LAKE CITY,UTAH FOR FISCAL YEAR 2007-2008.
PREAMBLE
Pursuant to the provisions of Section 10-6-111 of the Utah Code Annotated, 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 the budget for the
Library Fund, for fiscal year 2007-2008. The tentative budget was accompanied by a
budget message as required by law.
The tentative budget, including the budget for the Library Fund, was adopted by
the City Council in Resolution No. 28 of 2007, on May 1, 2007.
Section 10-6-118 of the Utah Code Annotated requires that before the 22nd 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 Annotated, 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 now prepared a budget for the Library Fund, in proper
form.
NOW, THEREFORE, be it ordained by the City Council of Salt Lake City:
Passed by the City Council of Salt Lake City, Utah, this 12th day of
June , 2007.
(/.1-
CHA ERSON
ATTEST:
•
PU Y ITY RE ORDER
Transmitted to the Maayor on June 18, 2007 .
Mayor's Action: Approved. Vetoed.
MAYOR
ATTEST:
APPROVED AS TO FORM
• Salt Lake City Attorney's Office
Date y-Z3 -07
CHIEF DEPUT CI Y CORDER
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Bill No. 23 of 200 .
Published: July 1, 2007
3
The City Library
The Salt Lake City Public Library System
OPERATING
AND
CAPITAL
BUDGET
FISCAL YEAR
2007-2008
BOARD DRAFT
FOR REVIEW ONLY
APRIL 19, 2007
•
The City Library
SALT LAKE CITY PUBLIC LIBRARY SYSTEM
EXECUTIVE SUMMARY
Very moderate growth was seen in property tax revenues for 2006-07, and the City Library
assumes that a small increase in growth will be seen again in the coming year. However,
balancing the budget remains a difficult challenge as use of services, facilities and collections
continue to increase, and fixed costs, such as health insurance premiums, continue to increase at
much greater levels. For 2007-08, the Library will not ask for an increase to the tax rate.
However, plans for a new Glendale Branch Library will very likely result in a tax increase
request in the next budget year.
Priorities for 2007-08 include:
• Selecting a new Library Director.
• Adding hours for a professional position to manage the expansion of digital
content and services through the Library's website. Otherwise, we will maintain
current staffing levels and support health insurance increases and modest wage
adjustments.
• Maintaining service levels at all locations.
• Seeking additional partnerships and cooperative projects to continue excellent
programs and events with reduced funding.
• Developing plans for the construction of a new branch in the Glendale
neighborhood.
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Page 1
INTRODUCTION TO PLANS
AND PRIORITIES
MISSION STATEMENT
The Salt Lake City Public Library is a Dynamic Civic Resource
That Promotes Free and Open Access to Information, Materials and Services
To All Members of the Community to
Advance Knowledge
Foster Creativity
Encourage the Exchange of Ideas
Strengthen Community
and
Enhance the Quality of Life
The Salt Lake City Public Library was named Library Journal's LIBRARY OF THE YEAR for
2006—one of the most prized accolades for a public library in the United States.
The proposed budget contains a modest assumption of 3.02% growth in revenues attributed to
very modest growth in property taxes, higher interest rates, and small increases for fines,
collections, and tenant leases. No increase to the tax rate is requested for the current year.
The Library continues to be challenged by minimal natural growth in property taxes and
consistent inflation in costs for human resources, such as health insurance premiums and
retirement costs. This year, health insurance premiums were increased by 6.51% — an
improvement over the double digit increases of the past year, but still a frustrating fixed cost
increase under the present slow growth conditions.
With a consistent effort to control costs and save any unexpended revenues over the past few
years, the Library has built a strong capital fund to help support the construction of a new
Glendale Branch. Property was purchased in April 2007, and plans will be developed for the
future design and construction of the facility during 2007-08.
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INCOME AND REVENUES
THE PRESENT
The revenue picture for 2007-08 is somewhat encouraging for the City Library. The certified tax
rate for 2006-07 reflected 1.25% in new growth. The final 2006 tax settlement resulted in
property taxes exceeding original estimates by$318,877 or 2.89%. With interest income holding
at 5%+ and fine revenues projected to increase as a result of the Library contracting with Unique
Management (UMI) collections system to assist in collecting overdue accounts, the Library will
be able to shift funds in some budget areas to balance the budget for this year.
This will be year three of a three-year commitment from the Salt Lake City Redevelopment
Agency(RDA) to give back lost revenues from redevelopment projects. These funds, or rebate,
have been included in the capital budget so they are not relied upon for ongoing operating
expenses.
THE FUTURE
Legislation several years ago limited windfall revenues when property tax growth was good and
also protects revenues when property tax growth is less than projected. The result is property tax
revenue estimates based on the prior year's budget. We are hopeful some new growth will be
realized when the 2007 certified tax rate is set in June 2007. The Library's budget for property
tax revenues reflects 1.75%in new growth.
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SALT LAKE CITY PUBLIC LIBRARY
SUMMARY OF GENERAL PROPERTY TAX REQUEST
2007-2008 BUDGET
2005-06 2006-07 2007-08
ACTUAL BUDGET BUDGET
Operating $11,821,954 $12,114,000 $12,320,805
Capital 80,000 25,000 25,000
TOTAL GENERAL PROPERTY TAX $11,901,954 $12,139,000 $12,345,805
REVENUE SOURCES OPERATING FUND AND CAPITAL FUND
2007-2008 BUDGET
2005-06 2006-07 2007-08
ACTUAL BUDGET BUDGET
OPERATING REVENUE
General Property Tax $11,821,954 $12,114,000 $12,320,805
Copier/Printer and Sundry Revenue 85,307 60,000 70,000
Fines and Collections 418,983 377,000 425,000
Interest 209,584 125,000 250,000
Grants 7,300 25,000 25,000
Donations 194,395 110,000 100,000
Leases 34,245 60,000 70,000
Events/Conferences 44,730 40,000 40,000
TOTAL OPERATING REVENUE $12,816,498 $12,911,000 $13,300,805
CAPITAL REVENUE
General Property Tax $ 80,000 $ 25,000 $ 25,000
RDA Rebate 116,856 100,000 100,000
Interest 37,437 30,000 75,000
Prior Year Capital Fund Balance - 2,638,000 0 00M
Donations and Grants 9,000 50,000 50,000
Miscellaneous/Sundry Revenue 40,176 -
TOTAL CAPITAL REVENUE $ 283,469 $ 2,843,000 $ o 0004041
TOTAL BUDGET $13,099,967 $15,754,000 §Ktioicta
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GENERAL PROPERTY TAX
Property tax revenues for 2006-07 included very moderate new growth. The City Library
is expecting that the revenue picture for 2007-08 will continue to improve and is projecting new
growth of approximately 1.75%.
COPIER/PRINTER AND SUNDRY REVENUE
Revenues included in this budget center are computer printing, copy machines, and
filming. Cost recovery software for printing has provided an additional revenue source equal to
revenues received from copy machines. The Main Library and Chapman Branch continue to be
desired locations for film crews.
FINES AND COLLECTIONS
Fine revenues are projected to increase due to the Library contracting in 2007 with
Unique Management (UMI) collections system to assist in collecting overdue materials and
accounts. The ability for patrons to pay fines and charges online with credit cards should also
result in an increase in fine and collection revenues.
INTEREST
The increase in interest rates over the last two years has been encouraging. The Library
is currently earning about 5.25%on funds invested in the Public Treasurer's Investment Fund.
GRANTS
The City Library continues its efforts to raise private funds to supplement tax and fee
revenues. This year, efforts will be made to apply for grants with a particular emphasis upon
strengthening the Library's capacity to cooperate with other agencies on literacy services.
DONATIONS
The City Library has been successful in raising funds for special programs and projects
with the continued support of the Friends of the Library and private foundations and individuals.
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The Library has been included as a beneficiary in several estates over the past two years.
Although these funds cannot yet be budgeted, we are grateful to patrons who have thought of the
Library.
LEASES
The City Library receives rent from the shops on Library Square. All spaces on Library
Square are currently occupied.
EVENTS/CONFERENCES
Frequent use of library facilities, both during and after library hours, has resulted in
revenue from rental fees.
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SUMMARY OF OPERATING
BUDGET EXPENDITURES
2005-06 2006-07 2007-08
ACTUAL BUDGET BUDGET
BUILDINGS AND GROUNDS
Buildings-Maintenance $ 193,831 $ 190,000 $ 195,000
Equipment-Maintenance 39,650 55,000 55,000
Buildings and Equipment-Contract Services 242,828 315,000 315,000
Building Security 125,444 140,000 120,000
Equipment Purchases 4,488 25,000 25,000
Heating and Fuel 141,688 126,000 155,000
Lights and Power 332,718 320,000 340,000
Motor Equipment-Service and Maintenance 9,029 6,000 6,000
Rent-Property and Equipment 3,002 5,000 5,000
Water 42,482 40,000 42,000
TOTAL BUILDINGS AND GROUNDS $ 1,135,160 $ 1,222,000 $ 1,258,000
MATERIALS
Binding $ 2,684 $ 6,000 $ 6,000
Books and Reference Sources 929,037 1,002,500 998,305
CD-ROMS 2,492 3,000 2,000
Computer Reference Sources 161,960 105,000 155,000
Downloadable Audio - 32,500 32,500
Maps 1,028 1,000 1,000
Periodicals 92,263 132,000 134,000
Sound Recordings 315,271 300,000 300,000
Visual Recordings 327,153 300,000 300,000
TOTAL MATERIALS $ 1,831,888 $ 1,882,000 $ 1,928,805
PERSONNEL
Salaries and Wages $ 6,396,473 $ 6,618,000 $ 6,850,000
Employees' Insurance 660,866 792,000 813,000
Social Security 472,054 490,000 506,000
Retirement 574,710 619,000 640,000
Unemployment Compensation 1,817 6,000 6,000
Other 14,678 16,000 18,000
TOTAL PERSONNEL $ 8,120,598 $ 8,541,000 $ 8,833,000
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2005-06 2006-07 2007-08
ACTUAL BUDGET BUDGET
SERVICES
Cataloging Charges $ 58,794 $ 70,000 $ 80,000
City Administrative Charge 14,943 27,000 20,000
Copier-Printer Supplies 25,881 40,000 30,000
Insurance 196,508 215,000 220,000
Library Supplies 163,524 165,000 175,000
Office Supplies 13,835 19,000 14,000 ,
Payroll Processing Charge 12,230 15,000 15,000
Postage 115,405 125,000 130,000
Professional and Technical 40,360 61,000 61,000
Professional and Technical-Attorney 598 8,000 8,000
Programming 129,631 135,000 140,000
Publicity 47,235 60,000 60,000
Staff Training and Development 21,774 25,000 25,000
Sundry Expense 29,010 25,000 27,000
Telephone 110,233 125,000 125,000
Travel 19,182 21,000 21,000
TOTAL SERVICES $ 999,143 $ 1,136,000 $ 1,151,000
TOTAL OPERATING EXPENDITURES $12,086,789 $12,781,000 $13,170,805
CONTINGENCY - 130,000 130,000
TOTAL $12,086,789 $12,911,000 $13,300,805
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BUILDINGS AND GROUNDS
HIGHLIGHTS
Use of the Main Library and all the branches continues to increase. The demand this places on
both maintenance staff and physical facilities of the City Library System is considerable.
General maintenance and care provides that the overall condition of the facilities continues to be
very good. In order to ensure responsible upkeep in all facilities, additional attention must be
paid to rest rooms, cleaning, painting, and preventative maintenance. There has been a slight
increase in the building maintenance budget line to support the ability to carry out this
responsibility. Our expectations of CBI, the company that provides security in the Main Library,
have been fine-tuned and will continue to reflect adjustments as necessary. Changes in
procedure and efficiency have resulted in a lower cost to the Library without any compromise in
security.
FUTURE PRIORITIES
Priorities for 2007-08 include:
• Continual use of efficiencies to save costs and provide safe, comfortable
buildings.
• Our expectations for CBI in providing security for the Main Library continue to
be defined through procedure to provide the best possible outcome.
■ Planning for future development of the Glendale property.
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SALT LAKE CITY PUBLIC LIBRARY
BUILDINGS AND GROUNDS BUDGET
2006-07 2007-08
BUDGET BUDGET
Buildings—Maintenance $ 190,000 $ 195,000
Equipment—Maintenance 55,000 55,000
Buildings and Equipment—Contract Services 315,000 315,000
Building Security 140,000 120,000
Equipment Purchases 25,000 25,000
Heating and Fuel 126,000 155,000
Lights and Power 320,000 340,000
Motor Equipment—Service and Maintenance 6,000 6,000
Rent—Property and Equipment 5,000 5,000
Water 40,000 42,000
TOTAL BUILDINGS AND GROUNDS $1,222,000 $1,258,000
BUILDINGS—MAINTENANCE
Increased use of all facilities has an impact on building maintenance. The Main Library
is now over four years old and requires some repainting and upkeep due to heavy use and traffic.
A minor increase is recommended to support the continuing need for attention to minor repairs
and maintenance at all locations.
EQUIPMENT—MAINTENANCE
This budget supports ongoing maintenance costs of all equipment (not currently on
maintenance contracts), including computer equipment.
BUILDINGS AND EQUIPMENT—CONTRACT SERVICES
The City Library routinely contracts for a variety of services when outsourcing is a more
efficient and economical solution. This category includes such things as computer service and
maintenance contracts, elevator maintenance, garbage removal, indoor plant maintenance, copier
and alarm service contracts, and window washing. Austerity measures are implemented to
reduce the frequency and scope of some contracts where possible.
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BUILDING SECURITY
Temporary security at branch locations and additional staff training has had the intended
effect on patterns of misbehavior. Security has been reduced at the branches. The security
contract with CBI has been renegotiated to include scheduled presence at only the Main Library
with visits to the branches as needed. The expectations of CBI have been fine-tuned and will
continue to reflect adjustments as necessary. Changes in procedure, coverage, and efficiency
have resulted in a lower cost to the Library.
EQUIPMENT PURCHASES
Minor equipment purchases unrelated to computers come from this budget center. This
level maintains the ability to fund minor equipment requests which are prioritized in April each
year.
UTILITIES
The budget for utilities is always challenging. The City Library continues to monitor
usage and looks for ways to reduce costs. Projections for these increases are based on current
costs and anticipated rate increases.
MOTOR EQUIPMENT—SERVICE AND MAINTENANCE
This account covers operational and maintenance costs related to the City Library's five
delivery and maintenance vehicles.
RENT—PROPERTY AND EQUIPMENT
The amount budgeted during the past year was adequate and will sustain the Library's
needs.
WATER
This increase is based on current costs which are a direct result of rate increases over the
last year.
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MATERIALS
Circulation for the City Library System has surpassed 3.3 million items per year — nearly three
times the national average per capita for libraries our size. Demand for materials in all formats
continues to grow, including rising interest in downloadable formats for music, film, and audible
books — especially books on CD. The materials budget will see a very small increase to account
for the rising cost of materials.
HIGHLIGHTS
In 2006-07, the City Library:
• Further developed the nonfiction DVD collection. Demand for educational
information in the visual format has increased significantly, and the City Library
is responding to this demand.
• Continued purchasing online resources to enrich collections and services for
patrons,both from within the Library as well as from home with remote electronic
access. New databases were added to meet the needs of patrons and the business
community, including Reference USA and Price-it, a reference for antiques and
collectibles. The Library continues to develop options for downloadable audio
and video products.
• Continued to add breadth to the Library's resources and replace and update
materials throughout the collections with focus on medical reference, children's
picture books, paperback fiction, and graphic novels.
FUTURE PRIORITIES
Priorities for 2007-08 include:
• Continual examination of the City Library's priorities, the way resources are used,
and deciding how best to serve the information needs of patrons. The Library will
continue to consider additional databases that are available both internally and
externally. The e-book collection use will be monitored and expanded when
appropriate.
• Expanding the periodicals collection to better meet the needs of patrons by
purchasing additional copies of the most popular titles in response to increasing
demand.
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• Continual review of the Library's collection to keep it current and maintaining the
depth and range of information, formats, and genres that are clearly in patron
demand and that meet the needs of the community. A particular focus in meeting
the reference needs of the community is a priority.
• Placing increased efforts toward acquiring and promoting materials and databases
of benefit to the business community.
EFFORTS TO CONTROL COSTS
• The City Library has streamlined its acquisition process and taken advantage of
online ordering tools so that it is able to buy more materials with fewer staff,
maximize available discounts, and provide new materials to patrons faster.
Specifically, the standing order process has been refined in a way that provides
greater efficiency for timely receipt of dated materials.
• The City Library's centralized selection process continues to pay dividends in
efficiency. It is eliminating unnecessary duplication of titles and achieving better
distribution of titles to branches. The Library is purchasing materials in a more
consistent way which has made the workflow for catalogers and other processors
more efficient.
• By cooperating with the Friends of the Library organization and systematically
reviewing those books that are received as donated gifts, the City Library pulled
5,415 items into its collection that did not need to be purchased. Materials not
added to the Library's collection are sold by the Friends at its semiannual book
sales.
• The practice of transferring materials no longer needed at one location to another
location through the coordination of the central selectors without the expense of
reprocessing and recataloging continues to save money by conserving staff time.
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SALT LAKE CITY PUBLIC LIBRARY
MATERIALS BUDGET
2006-07 2007-08
BUDGET BUDGET
Binding $ 6,000 $ 6,000
Books and Reference Sources 1,002,500 998,305
CD-ROMS 3,000 2,000
Computer Reference Sources 105,000 155,000
Downloadable Audio 32,500 32,500
Maps 1,000 1,000
Periodicals 132,000 134,000
Sound Recordings 300,000 300,000
Visual Recordings 300,000 300,000
TOTAL MATERIALS $1,882,000 $1,928,805
The primary mission of the City Library is to provide access to information and ideas
through materials and services for all members of the community. The Library's ability to fund
the materials budget at adequate levels is a continual challenge under the most optimal
circumstances due to increasing fixed costs, the continually rising cost of materials, and demand
for materials in a growing variety of formats. This budget request increases the materials budget
to $1,928,805, an increase of$46,805 or 2.49%.
BINDING
This budget reflects a minimal amount required to bind back issues of well used
magazines. Binding periodicals is vital for the City Library's ability to organize and protect its
in-depth magazine collection.
BOOKS AND REFERENCE SOURCES
The City Library will be targeting the Salt Lake City business community for enhanced
reference service. The Library is expanding and upgrading its business reference resources and
training staff to use them more effectively. The Library is putting more emphasis on outreach to
the business community to understand its needs and to help individuals and businesses become
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more aware of what resources the Library has and how it can be of assistance. The Library will
also conduct training for the community as needed. Reference staff are developing "pathways"
to help patrons find available resources in various formats for topics and questions that are
frequently pursued — for example, how to start a business — to ensure maximum use of the
resources the Library acquires. Use of traditional print resources continues to grow, and the
Library strives to sustain book collections while also experiencing exponential demand for other
formats. The Library will also be continuing its focus on providing both reference and
circulating materials for the art community in support of the demand that currently exists with
the long-range goal of participating in the community gallery stroll.
CD-ROMS
Demand for this format is felt primarily in children's educational materials.
COMPUTER REFERENCE SOURCES
Many reference resources that were once available both in print and online are now only
available as a computer reference source. Often, the cost of the online version is much more
expensive. The Library is continually evaluating the best delivery method and seeks to extend
availability to home and business users whenever possible.
DOWNLOADABLE AUDIO
Downloadable audio (also known as e-audiobooks) allows library patrons to download
and listen to a variety of popular and classic fiction, nonfiction, young adult, children's, and
foreign language audiobooks. This service is available from home for patrons with computer
and Internet access. It is anticipated that the start-up collection will continue to grow by adding
new, unabridged titles and will branch out into additional vendors.
MAPS
Funds are allocated to keep this ongoing collection current.
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PERIODICALS
Magazines and newspapers remain a timely and popular source of current and historical
information for patrons. Use of the magazine collections throughout the City Library System is
already heavy. Over the past few years, the number of titles being collected was reduced in
response to tight budget years. Due to the high demand and increasing circulation, new titles
will be added in 2007-08 and additional copies of the most popular titles will be purchased.
SOUND RECORDINGS
Circulation in sound recordings continues to rise at all locations, especially in the area of
compact discs and books on CD. Increasing demand in the CD format will require the City
Library to carefully consider the proportion of the materials budget spent on audiovisual formats.
VISUAL RECORDINGS
Demand for materials in the videocassette format is declining to the same degree that the
DVD format becomes more common and popular. However, both formats are very popular and
heavily used. Hold lists for popular items are long; and with such heavy use, standard titles must
be replaced regularly. Patron requests for items not currently owned by the City Library are
evermore in the nonfiction genre of the DVD format. These titles tend to be very popular and
somewhat costly. Growing use by the business community creates demand for more expensive
selections for training and development.
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PERSONNEL
HIGHLIGHTS
The City Library was named LIBRARY OF THE YEAR in 2006 by Library Journal primarily
because of our excellent staff and their dedicated service to the community. While a great staff
is our most valuable asset, personnel remains the most costly budget category for the City
Library System. The Library continually seeks to control personnel costs while seeking fair and
competitive compensation for all employees. Highlights of the year include:
• Focused attention on high-quality training and staff development, sponsoring a
wide variety of programs to improve and expand staff skills.
• Expansion of a Staff Wellness program and activities to encourage good health,
less use of sick leave, fewer work related injuries, and reduced turnover.
FUTURE PRIORITIES
Priorities for 2007-08 include:
• Adding one staff member to manage digital content and web delivery services
such as databases and resources, a great website, downloadable audio and video,
literacy resources, and much more. A significant number of Salt Lake City
residents now use the Library online, and the Library needs to be more responsive
and equipped to respond to its growing clientele of remote users.
• Completing a staff utilization and salary study with the help of outside
consultants.
• Increasing efforts to hire staff with needed language skills for an increasingly
diverse community. The City Library has a history of hiring bilingual staff and
maintaining a presence at ethnic community events. This year, the Library will
involve the community more directly in its attempts to increase the diversity of its
work force.
• Creating an online employee information system so that library staff can have
easy access to their personnel information.
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EFFORTS TO CONTROL COSTS
• The City Library continues to carefully evaluate and control the current number of
employees to ensure high productivity and appropriate staff utilization.
• The City Library effectively manages the costs and savings of replacing long-term
staff as they become retirees.
• The City Library adds more options for health insurance that allow for lower
premiums with higher deductibles.
• In this budget year, the City Library completes a three-year adjustment needed to .
reduce the past subsidy of health insurance benefits for those employees who
choose to cover their spouse and/or family.
• The City Library continues use of volunteer help where appropriate.
• Staff are encouraged to utilize the flexible spending options to maximize their
pretax dollars, which also lowers matching Social Security costs.
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SALT LAKE CITY PUBLIC LIBRARY
PERSONNEL BUDGET
2006-07 2007-08
BUDGET BUDGET
Salaries and Wages $6,618,000 $6,850,000
Employees' Insurance 792,000 813,000
Social Security 490,000 506,000
Retirement 619,000 640,000
Unemployment Compensation 6,000 6,000
Other 16,000 18,000
TOTAL PERSONNEL $8,541,000 $8,833,000
The City Library has reason to be proud of the caliber of its work force. During another
demanding year, the staff continues to be willing to work hard while being flexible and
committed to the growing mission of the Library.
SALARIES AND WAGES
This budget recognizes the increases necessary to maintain salaries and benefits,
including the performance-based merit system. It includes a 2% across-the-board wage
adjustment in January 2008 to maintain competitive salaries.
EMPLOYEES' INSURANCE
City Library employees are covered by the Utah Local Governments Trust. Health care
costs for 2007-08 increased by 6.51%. The Library desires to contribute an equal amount for
each salaried staff member to support insurance. This year, the amount of money paid on each
salaried employee is equal. Workers Compensation insurance for April 1, 2007, to April 1,
2008, decreased 16.6%.
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SOCIAL SECURITY
The rate for Social Security is 7.65%. However, the City Library experiences a lower
overall rate in Social Security benefits due to increased staff use of pretax dollars for health care
costs (cafeteria plan).
RETIREMENT
Effective July 1, 2007, the City Library's rate will increase to 11.62% (from 11.59%) of
covered wages with the Utah State Retirement System. The Library continues to pay 2.65% or
1.40% into a 401(k) plan for employees who switched from the contributory to noncontributory
retirement plan.
UNEMPLOYMENT COMPENSATION
The City Library continues to pay lower direct costs for unemployment rather than a
percentage of gross wages.
OTHER
This budget center shows an increase as the City Library's transit pass program has been
very successful. As gasoline prices remain high, library staff will continue to take advantage of
this great benefit. Funds are also allocated for flu and hepatitis shots to help reduce illness
among staff members.
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SERVICES
HIGHLIGHTS
Major highlights of 2006-07:
■ The City Library continued to strengthen and enhance its role as a gathering place
for civic dialogue, cultural exploration, community celebration, and life-long
learning. Many organizations and agencies approach the Library for cosponsored
programs which enables the Library to enrich programming opportunities while
containing costs. Of particular note in this area:
• The Library continued to make the most of relationships with the
University of Utah, Utah Symphony and Opera, KUED television, and the
tenants of Library Square, such as KCPW radio, the Salt Lake Film Center
and the Community Writing Center. The Leonardo is now developing as a
regular program partner.
• The Library continued to develop strong relationships with ethnic
communities throughout the valley. In association with the Salt Lake City
Film Center, international films of both popular interest and artistic merit
are being shown in the Main Library auditorium.
• The Dewey lecture series continued to be very successful. Tickets for
most speakers are distributed within a matter of hours of availability.
Calvin Trillin and Mark Danner were two that were especially noteworthy.
Additional programs for adults that were highlights were the Japanese
Baseball exhibition, the Beckett festival, and "George Orwell's 1984 Fact
or Fiction."
• As part of the Summer Reading Program, 100 Monarch butterflies were
raised in the Children's Library at Main during the summer of 2006.
Hundreds of patrons came into the Library each day to view the
metamorphosis. It was a combined opportunity for education, research,
and experience.
• The opportunities for city residents through the Community Exploration
Card, launched in 2005, were expanded to include a Performing Arts
Experience Card. Library users can checkout cards which will allow them
to have free access to a variety of cultural activities in Salt Lake City,
including the Utah Museum of Natural History, Red Butte Gardens, and
the Utah Symphony. These cards are highly sought after and enjoyed by
patrons throughout the city.
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• Teen Services introduced a Gaming program for teens at the library. This
program is similar to demonstrated gaming programs from libraries
around the nation. Teens are using the Library in very different ways, and
it is expected that the draw of gaming will bring new teens to be users of
the City Library System.
• Unique Management (UMI) collections system was implemented and has set the
Library on the path to collecting monies due and recovering materials that have
been out for extended periods of time. Along with the new guidelines for issuing
cards, this process will make more materials available to library users.
• Training classes in the computer lab continue to be very popular.
• Meeting rooms are booked at an unprecedented rate, and many outside
organizations are hosting their events at the City Library to reach a larger and
more diverse audience.
• With the creation of the Literacy Coordinator position, Library participation in
local literacy projects has been expanded. A Literacy Fair was held in October
2006 and will be repeated in the fall of 2007; an adult reader's group was started
in partnership with the Literacy Action Center; and many other relationships have
commenced. The addition of the Community Writing Center as a tenant on the
Library Square Plaza is also empowering literacy goals, as will the relationship
with Horizonte Instruction and Training center, Utah Kids Ready to Read, and
many others.
FUTURE PRIORITIES
Priorities for 2007-08 include:
• Updating scheduling and print-cost recovery system to ensure public services
objectives are met.
• Installing a new server to increase backup protection of the III system.
• Completing a staff utilization and compensation study to ensure the best use of
human resources and reasonable benefits and compensation. Seek long-term
solutions to continual pressures of increasing health insurance costs.
• Adding a Teen Dewey lecture series to the popular Dewey lecture series.
• Developing relationships with local businesses in order to institute a program
series in support of the local business community and their needs and interests.
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iumv- '-.a'g". .A,M/'a.""'wY' b`r 9'f1k61.'fi�Y"'"" °N"b "-- .. .+ .- ••1` % _
EFFORTS TO CONTROL COSTS
■ The City Library continues to seek and create partnerships with additional
community groups to share programming costs while maintaining those that have
been previously established.
• The City Library facilitates ease of fine payments by implementing an online-bill-
pay system, establishing the ability to accept credit cards online and at every
location.
■ The City Library continues to use the services of UMI to facilitate the recovery of
lost items and outstanding fines.
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SALT LAKE CITY PUBLIC LIBRARY
SERVICES BUDGET
2006-07 2007-08
BUDGET BUDGET
Cataloging Charges $ 70,000 $ 80,000
City Administrative Charge 27,000 20,000
Copier-Printer Supplies 40,000 30,000
Insurance 215,000 220,000
Library Supplies 165,000 175,000
Office Supplies 19,000 14,000
Payroll Processing Charge 15,000 15,000
Postage 125,000 130,000
Professional and Technical 61,000 61,000
Professional and Technical-Attorney 8,000 8,000
Programming 135,000 140,000
Publicity 60,000 60,000
Staff Training and Development 25,000 25,000
Sundry Expense 25,000 27,000
Telephone 125,000 125,000
Travel 21,000 21,000
TOTAL SERVICES $1,136,000 $1,151,000
CATALOGING CHARGES
The majority of these expenditures are spent through the City Library's contract with
Online Computer Library Center, Inc., (OCLC) who provides Bibliographic Center for Research
(BCR) pricing plans for cataloging library materials. In addition to OCLC charges, the Library
uses this fund to pay for outsourcing the acquisition and cataloging of many of the 90
international languages represented in the Library's collection. The increase in this budget
center is to purchase the downloading of authority records to continue the forward-looking
project of increasing the accuracy and efficiency of the catalog, which are services purchased
through OCLC.
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CITY ADMINISTRATIVE CHARGE
These charges from Salt Lake City Corporation are administrative fees for the City
Library's related costs for cash management, City Council, and budget/policy review. The
amount in this budget center is now more inline with the actual cost of these services.
COPIER—PRINTER SUPPLIES
The cost recovery on printing has reduced the paper and toner costs for the public
printers, which has reduced the funds needed in this budget center. This budget also covers the
costs of paper for public copiers throughout the City Library System.
INSURANCE
The City Library practices careful application of risk management principles and regular
competitive bidding to ensure the best coverage for the lowest cost. The 4% increase in
insurance premiums for the 2007 renewal was a result of an increase in coverage for the
buildings to reflect current replacement costs. The current policy does include earthquake and
terrorism coverage. With insurance costs becoming more stable, minimal rate increases for 2008
are probable. The increase in this budget center will also cover the additional costs associated
with the new Glendale property.
LIBRARY SUPPLIES
The change in this budget center mirrors the change in funds allocated to purchase
materials. Supplies are purchased in bulk in order to contain costs and to obtain favorable
discounts, but packaging and processing materials in the newer, more popular formats (DVDs,
CDs, and recorded books) cost more.
OFFICE SUPPLIES
Every effort is made to contain costs by purchasing through vendors with state of Utah
negotiated pricing. The decrease in this budget is based on current spending patterns.
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PAYROLL PROCESSING CHARGE
The City Library uses independent vendors to process payroll checks and administer the
Library's Section 125 Cafeteria Plan.
POSTAGE
The implementation of electronic mail notification for patrons with computer access has
helped with postage costs. This increase is projected to cover the postal increases in May 2007.
The City Library also mails The City Library News, the Library's quarterly newsletter, to all Salt
Lake City residents once each year to keep them informed of the Library and its services.
PROFESSIONAL AND TECHNICAL
This budget supports funding for the annual financial audit, attorneys' fees, memberships
in professional activities and organizations, and the occasional use of an outside consultant for
library projects. During this budget year, an outside consultant will be used to perform an
evaluation of the City Library's salary and benefits structure. A portion of this budget is also
related to attorney consultations for employee-related issues when needed.
PROGRAMMING
The quality of public programs and the public's enthusiasm has been very high over the
past year. Nationally known authors attract audiences that fill the Main Library's auditorium.
Cultural celebrations such as Chinese New Year and Diwali Festival draw hundreds of people
from diverse backgrounds. The increase in this budget is a beginning to restore the level of
programming that the City Library has offered for many years before funds were reduced last
year due to shrinking revenues. The Library will continue to partner with community
organizations and seek funding to stretch the programming budget.
PUBLICITY
The current budget level is adequate to maintain publicity and printing for the coming
year.
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•
STAFF TRAINING AND DEVELOPMENT
The City Library continues to build an excellent staff and supports a training program
that encourages staff to expand their expertise and knowledge in support of library goals. This
budget center also supports the extensive volunteer program.
SUNDRY EXPENSE
This account includes such expenses as advertising for job openings and procurement
bids, staff identification badges, and other miscellaneous expenses. Sundry expense items
continue to be monitored in an effort to control costs. However, there has been no increase in
this budget center for many years. The additional funds are necessary to ensure this budget
center is more inline with current actual costs.
TELEPHONE
In 2001, the telephone system was upgraded and expanded. Steps continue to be taken to
make the best use of telephone equipment in an effort to maintain costs, and the City Library
consistently seeks the most competitive rates for service available.
TRAVEL
This account pays the travel-related expenses for library staff and board members to
attend conferences,meetings, and workshops. In addition, all mileage allowances are paid out of
this budget center at the reimbursement rate of 37.5 cents per mile.
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CAPITAL BUDGET EXPENDITURES
HIGHLIGHTS
During 2006-07, the City Library:
• Continued work on final, outstanding projects of the new Main Library such as
covering the concrete of the grand staircase, correcting the lighting in the
children's area, and completing the stone replacement on the plaza.
■ Replaced cooling systems at older branches.
• Acquired property for a new Glendale Branch Library.
■ Replaced and upgraded network servers, upgraded outdated computer equipment,
and implemented a successful online computer scheduling system.
■ Reconfigured computer areas at two branch libraries to increase patron
accessibility and ease of staff assistance and supervision.
FUTURE PRIORITIES
During 2007-08, the City Library will:
■ Continue the development of plans for a branch library on the Glendale property
and further explore the possibility of a branch in the West Capitol Hill area.
• Begin the process to gradually install self-checkout equipment at all branches.
■ Plan for and begin to implement self-service holds pickup at all locations.
• Implement the technology and processes necessary to allow for online fine
payment and online patron registration.
• Replace carpeting at two branch libraries.
• Set aside funds for future capital repairs.
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•
•
SALT LAKE CITY PUBLIC LIBRARY
SUMMARY OF CAPITAL BUDGET EXPENDITURES
2007-08
BUDGET
CAPITAL IMPROVEMENTS PROGRAM
Main Library $ 120,000
Branch Building Fund 2,900,000
TECHNOLOGY ENHANCEMENT
Systems Fund 200,000
VEHICLE REPLACEMENT FUND 10,000
BUILDINGS AND GROUNDS
Capital Repairs, including carpeting at branches 200,000
PRIOR YEAR/CONTINGENCY 200,000
TOTAL CAPITAL EXPENDITURES $3,630,000
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CAPITAL IMPROVEMENTS PROGRAM
The City Library's Capital Improvements program will focus on the development of
plans for a branch library to be built on the Glendale property.
TECHNOLOGY ENHANCEMENT
Computer equipment is heavily used and funds are needed on an annual basis to upgrade
and expand the computer system. The Library will also work toward installation of self-service
checkout stations at all branches. Self-checkout at the Main Library supports the circulation of
nearly 30,000 items a month, an amount comparable to the monthly circulation at Sprague.
VEHICLE REPLACEMENT FUND
Continue ongoing plan of saving for vehicle replacement.
BUILDINGS AND GROUNDS
This fund supports ongoing major capital repairs at all locations as needed, including
carpet replacement in 2007 at both the Day-Riverside and Chapman Branch Libraries.
PRIOR YEAR/CONTINGENCY
This fund is maintained to deal with carry over projects and emergency or unanticipated
expenses.
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