035 of 2010 - Library budget for Fiscal Year 2010-2011 0 10-1
B 10-2
SALT LAKE CITY ORDINANCE
No. 35 of 2010
(Adopting the budget for the Library Fund
of Salt Lake City, Utah for fiscal year 2010-2011)
An ordinance adopting the budget for the library fund of Salt Lake City, Utah for
fiscal year 2010-2011.
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 the tentative budget for the
Library Fund, for fiscal year 2010-2011. The tentative budget was accompanied by a
budget message as required by law.
The tentative budget, including the tentative budget for the Library Fund, was
adopted by the City Council in Resolution No. 26 of 2010, on May 11 , 2010.
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 now prepared a budget for the Library Fund, in proper
form.
NOW, THEREFORE, be it ordained by the City Council of Salt Lake City:
SECTION 1. PURPOSE. The purpose of this ordinance is to adopt the budget
for the Library Fund, for fiscal year 2010-2011. All conditions precedent to the adoption
of the budget for the Library Fund 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 for the
Library Fund of the City for the fiscal year beginning July 1, 2010 and ending June 30,
2011, in accordance with the requirements of Sections 10-6-105, 10-6-118 and 59-2-923
of the Utah Code. The budget for the Library Fund is subject to the approval of the
Mayor and reconsideration of the City Council pursuant to Section 10-3-1214 of the Utah
Code.
SECTION 3. FILING OF BUDGET. The City Budget Officer is hereby
authorized and directed to certify and file copies of the budget with the State Auditor as
required by Section 10-6-118 of the Utah Code.
SECTION 4. 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 5. EFFECTIVE DATE. This Ordinance shall become effective on
July 1, 2010.
2
Passed by the City Council of Salt Lake City,Utah, this 15 day of
June , 2010.
/or/Z.__
CHA RSON
ATTEST:
CIT CO ER
Transmitted to the Mayor on June 25, 2010 •
Mayor's Action: Approved. Vetoed.
//AP ;
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ATTEST:
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Salt Lake City Attorneys Othice
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Bill No. 35 of 2010.
Published: 7-6-10
HB ATTY-#12677-v1-Adopting_the_Budget_for_the_Library_Fund_FY10-11.DOC
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SALT LAKE CITY PUBLIC LIBRARY SYSTEM
OPERATING AND CAPITAL BUDGET
FISCAL YEAR 2010-11
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t , ,1 \1 1'i 1" "� The City Library
The City Library
THE SALT LAKE CITY PUBLIC LIBRARY SYSTEM
April 2010
City Council Members, Mayor Becker and Residents of Salt Lake City:
Let me begin by thanking you for your patronage and support of the Salt Lake City Public
Library. This year, The City Library has exceeded all previous records for use of books and
materials, attendance at events and programs, and hours utilizing public computers. We
believe the high demand is in part due to the effects of the economic downturn, which makes
library services even more valuable to the community. While revenue forecasts for 2010-11
will be conservative, we expect use of the library to continue to be "off the charts."
The City Library proudly received the highest commendation by Library Journal this past year,
one of only 84 libraries to receive a five-star rating. It was also the top-rated city service with
a score of 7.33 out of 8. We are delighted by these accolades, but are often most touched by
the stories of how The City Library has changed people's lives. The library receives letters and
e-mails every day complimenting the services, humanity, and compassion of the staff and the
beautiful surroundings in which people find themselves inspired to discover and learn.
In the coming year, the library continues to advance its mission, particularly in the area of
"building community." We start by providing people with tools for engagement, whether that
be learning to read, write, or use technology. Then, we encourage participation through
exchange and dialogue at community meetings, programs, or on the library's Twitter or
Facebook pages.
This will be a year of innovation for the library as the planning continues for the design of new
branch libraries in the Glendale and Marmalade neighborhoods.
We thank the Mayor and City Council for their ongoing support of The City Library, "the place
where democracy happens."
Sincerely, Sincerely,
Hugh Gillilan Beth Elder
Library Board President Library Director
Main Library Anderson-Foothill Chapman Day-Riverside Sprague Corinne&Jack Sweet
210 East 400 South 1135 South 2100 East 577 South 900 West 1575 West 1000 North 2131 South 1100 East 455"F"Street
Salt Lake City Salt Lake City Salt Lake City Salt Lake City Salt Lake City Salt Lake City
Utah 84111 Utah 84108 Utah 84104 Utah 84116 Utah 84106 Utah 84103
T:801-524-8200 T:801-524-8200 T:801-524-8200 T:801-524-8200 T:801-524-8200 1:801-524-8200
Hearing impaired:801-364-4669 F:801-322-8181 F:801-322-8180 F:801-322-8182 F:801-322-8183 F:801-322-8184
F:801-322-8194
Table of
Contents
Letter From Library Board President Al
Mission and Ethics Statements 2
Library Organization 3
Budget Development Timeline 4
Executive Summary 5
Strategic Plan 2009-12 7
Income and Revenues 9
Summary of General Property Tax Request 9
Revenue Sources Operating Fund and Capital Fund
Summary of Operating Budget Expenditures 12
Buildings and Grounds
Materials
Personnel
Services
Capital Budget Expenditures 23
Timeline Glendale and Marmalade
Branch Construction (Draft) 25
Building Descriptions 26
Mission
Statement
The City 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, build community, and enhance the
quality of life.
Ethics
Statement We believe that free and open access to information, ideas and diverse perspectives forms
the foundation of a democratic society.
We promote intellectual freedom and strive to empower our community by facilitating the
information needs of individuals.
•
We respect our patrons' privacy and honor the trust placed in us.
We engage every patron as an individual with compassion and respect for their uniqueness.
We use our access to library resources judiciously and with honorable intent.
We hold ourselves accountable for the quality of information and service we provide.
We effectively communicate our methods and decision making, in the pursuit of
transparency.
We build excellence by supporting our colleagues training, skill-building, education,
personal and professional development.
We continually grow by learning new methods, skills and technologies in order to adapt
to the needs of a changing community.
We are a collaborative organization that provides a safe environment where staff ideas
or concerns are encouraged and addressed.
2
LIBRARY
ORGANIZATION
Salt Lake City
LIBRARY Community LIBRARY
EXPERIENCES OPERATIONS
Deborah Ehrman Board of Colleen McLaughlin
Assistant Director Directors Assistant Director
Browsing Library/ Hugh Gillilan, President Circulation
Welcome Desk Mark Alvarez Frances Brummett
Ginny McOmber John Becker Computer Services
Children's Ila Rose Fife Tebbin Salvesen
Matt McLain Ella Olsen
Level 2 Facilities
Helen Rollins Frans Berghoff
Ronni McDonough Heather Simonsen
Level 3 Technical Services
Mar Maloneyevin Werner Becky Butler
Y
Level 4 Events
Mark Ewing Friends of The City Library
Anderson-Foothill Security
Lisa Curt Beth Elder
Chapman Director Tenants
Howard Brown
Day-Riverside Financial and
Patty Steed Administrative Services
Susan Callaway
Sprague
Adriane Juarez Community Affairs/
Sweet Web Content
Alveeda Lauscher Michele Widera
Human Resources
&Volunteers
Debbie Meyer
"Organizations exist to enable ordinary people to do extraordinary things."
-Ted Levitt
3
ram. di
BUDGET
DEVELOPMENT
TIMELINE
JANUARY
Library administration develops goals and targets for Strategic Outcomes and internal
development projects
FEBRUARY
Outcome committees develop outcome plans for upcoming fiscal year to accomplish targets—
including budgetary needs for staff, programming, technology, equipment and training
MARCH
Department managers provide outcome committees with any additional budgetary needs
for staff, programming, technology, equipment, and training
Library Board reviews preliminary proposed budget revenues and expenditures for next fiscal
year, including capital projects
Budget briefing with Mayor and staff
Budget briefing with City Council staff
APRIL
Library receives confirmation of property tax revenues
Board approves proposed library budget for next fiscal year
City Council office and City Administration receive proposed budget for review
MAY
Library's proposed budget on display at all library public services desks and City Recorder's Office
Proposed budget presented to City Council
City Council public hearing on proposed budget
JUNE
County provides tax rate to government entities, including library
City Council approves proposed library budget and property tax rate for next fiscal year
JULY
Library's fiscal year budget effective
AUGUST
Truth-in-taxation hearings for government entities requesting a tax increase
4
EXECUTIVE The library operating budget for 2010-11 is strongly influenced by 2009-10 revenue figures that
SUMMARY were significantly lower than anticipated. Property taxes which comprise 94.9% of revenues
were down $697,048 (5.33%) and other library revenues suffered as well, with a shortfall from
estimates of $70,000 (9.89%). Revenues for 2010-11 will be estimated at $13,414,649,
$364,919 less than the 2009-10 budget.
To evaluate reduction options, a set of guiding premises was developed. The budget will:
• support the library's current hours, 378 hours per week, and minimize the impact to the
exceptional customer service library patrons have come to expect.
• retain the human capital of the organization, by avoiding lay-offs and reducing the personnel
budget by holding vacancies.
• increase the implementation of cost-saving efficiencies in all areas of library operations.
• identify areas for reduction that are most easily reversed should revenues exceed
expectations.
• budget conservatively to avoid a major mid-year (January 2011) correction, if revenues are
less than anticipated.
• continue to think strategically and advance the Strategic Plan.
Several areas of the library's budget will increase due to inflation including health insurance,
retirement, worker's compensation, and loss and liability insurance. These costs, estimated at
$148,000, were added into the budget which required reductions to go deeper. To accomplish
needed reductions, the library will:
• hold vacancies equivalent to $235,000 (currently 7.75 FTE) and defer decisions on
merit increases, a 4.74% reduction in salaries and wages, and overall reduction of 1.28%
in the personnel budget center.
• hold back $300,000 in materials purchasing, a 14.51% reduction in the materials budget
center.
• re-negotiate and reduce contracted services and delay non-critical maintenance, a 4.78%
reduction in the buildings and grounds budget center.
• reduce supplies, travel, professional and technical services, and programming, a 6.07%
reduction in the services budget center
While the budget has been built conservatively, strategic initiatives will continue forward in
ways that maximize and leverage available resources. Examples include expanding the num-
ber of library cardholders and their satisfaction in library services, continued outreach to chil-
dren under the age of five, mobile technology classes, an enhanced Web site with a new plat-
form for community engagement, enhanced partnerships with local businesses and organiza-
tions, and support for staff wellness and green commuting.
The Capital Fund is generally supported by a portion of property taxes and fund balance from
prior years created by excess revenues, this fund supports the City Library Capital Improve-
ments plans. Plans may include renovating or expanding existing facilities or building a new
branch. Funds are also set aside to support Technology enhancements, Vehicle replacement,
Building and Grounds Capital Repairs and Contingency expenditures.
Capital funding will be used to refresh the Day-Riverside interior, implement labor-saving
improvements, create a library presence in under-served communities, enhance the Web site
and make energy-saving investments.
5
AMIN
•
Planning for new libraries in Glendale and Marmalade is well underway. A steering committee
for each branch was established, each comprised of two Library Board members, one City
Library staff member, one City Planning Department member and five community members.
In fiscal year 2010-11, architectural programming involving a large number of community
voices and perspectives will be completed along with site selection and selection of architects.
The architectural design plans are scheduled for completion by July 1, 2011.
The library is not requesting a tax rate increase this year but will request an increase in FY
2011-12 for the construction of the Marmalade Branch and in FY 2012-13 for operating funds
for both Glendale and Marmalade branches.
SALT LAKE CITY
PUBLIC LIBRARY
BY THE Salt Lake City Population 181,698
NUMBERS Salt Lake City Residents with a Library Card 99,811
Total Number of Registered Library Card Holders 139,486
Salt Lake City Library Agencies/Main Library, five branches
Hours Open Weekly Systemwide 378
Items in the Collection 959,113
Items Loaned/Year (April 2009-March 2010) 3,779,385
New Library Card Registrations/Year (Apr 2009-Mar 2010) 35,074
Full-Time Equivalent Staff 179.8
Web site Pages Viewed (April 2009-March 2010) 3,609,401
Public Access Computers 201
Library Programs (July 2008-June 2009) 1892
Attendance at Library Programs (July 2008-June 2009) 74,275
Interlibrary Loan Items Provided to other libraries 2,521
The Library Ranked #1 of all City Services in the 2009 Dan Jones Survey
One-third of card holders use their card in any given quarter
The City Library had its highest circulation ever in March 2010
The City Library provides about 400,000 hours of public internet time
annually—that's more than 45 years of linear time
6
STRATEGIC PLAN
2009-12
The City Library has chosen six community outcomes to provide a focus for developing services,
collections and programs. Along with community partners, staff has developed a rich array of
initiatives and experiences to help achieve these goals.
Enjoying Life
• 10 People make time for entertainment to lighten up, enjoy life
and unlock creativity.
The City Library celebrates creativity and inspiration. The facilities are
inviting and fun to explore. Collections include movies to entertain,
• music to inspire, and books and magazines to learn about the newest
".., -- ,v trends. Programs encourage family and friends to come together for
AV- ti x events, children's paper airplane contests, outdoor concerts, Author's
Live events, or tango classes. Experiencing The City Library reminds us
we live in a smart, active and creative city.
Exploring New Ideas ~ —. yr ik,r,
The community openlyexplores ideas and engages in conversation, 4�
pI �
discussion and dialogue, especially about ideas they may ; Tam-
never
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never have encountered before. A -..�.,�---�
— _
Curiosity and engagement are essential to advancing knowledge. , - i‘* _--
Lifelong learning results when natural curiosity comes in contact ;
with a neutral venue where all information can be explored without / �
judgment or bias. The City Library is also the community's urban / :.-fti*.L .L.102 r •
�.
living room, a place where people engage with one another on f riteitik.“91,
any topic, from city planning to medical discoveries to world politics.
• _ ,,., n..
Bridging Divides
010\ The community finds ways to bridge the east/west racial,
cultural and socio-economic divide to strengthen our city
Within any community, actual and figurative divides exist. The City
Library can be a catalyst for bridging the divides that inhibit positive per-
ceptions and collaboration between eastside and westside neighbor-
hoods. Rich cultures exist on each side of the freeway and by offering
the encouragement to explore new neighborhoods, meet each other, and
share personal stories, views and traditions, Salt Lake City residents can
find greater opportunities to advance and celebrate the city's collective
111Limi..aid t J culture.
ommismoh-
•
Ensuring Early Literacy
Every child has an equal chance to succeed. The youngest children _,
have expansive early literacy and early learning opportunities.
The City Library will step up efforts to provide parents and children with
the language and literacy foundation children need to be ready to read
when they enter kindergarten. A love of books and stories doesn't just
add to the richness of one's life, but also builds important reasoning 4"`
skills, encourages community engagement, and promotes the creativity -
necessary for the entire society to tackle important issues.
in Accessing Technology
Everyone in the community has access to computers
and the skills to use them.
Using technology is no longer optional. Without access to technology
and the skills to use it, individuals my be left disconnected from friends,
family, work opportunities, news, information, entertainment and much
- - more. The City Library is already a hub of technology access, providing
computers and internet access for public use. Further efforts will be
made to fy
hose in
he community
access or
" �� level of skills andl tprovide tmode n technologies, information the needed
�` 'NI courses to keep everyone up-to-date.
Creating Local Solutions
Everyone shares a sense of responsibility for the future.
The community works together to address challenges and generate
innovative solutions to create and sustain the best place to live,
and then makes it happen. Our focus will be on sustainability
and City, State and National urban initiatives.
Sustainability requires the attention and hard work of the whole
community. The City Library will lead by example, reducing
the system's carbon footprint with a number of energy-saving
initiatives. As an organization devoted to community building and
empowerment, we can help foster the passion in all Salt Lake City
residents to make our city as clean, healthy and efficient as possible.
8
INCOME AND Financial Picture and 2010-11 Projections
REVENUES The downturn in the economy over the last year was greatly reflected in property tax revenues
for 2009-10.General property tax revenues in the operating fund were below the budgeted
amount.Fee in Lieu and Age-based Revenues were also less than budgeted.The largest
impact was Miscellaneous Collections,which includes Board Letter Refunds,with a negative
balance at final settlement.The overall operating budget property tax line resulted in a total
shortfall of$697,048(5.33%)from the budgeted$13,072,034.The library also experienced
decreases in budgeted revenue from fines and copier revenue,and interest has dropped to
one half of one percent.
Balancing the budget remains a difficult challenge as use of services,facilities,and collections
continues to increase.Additionally,health insurance premiums,retirement costs and worker's
compensation continue to rise significantly.For 2010-11,the library has taken a very conserva-
tive approach to budgeting revenues.Since legislation several years ago limited windfall revenues
when property tax growth was good and also protected revenues when property tax growth is less
than projected,we are anticipating the restoration of 2009-10 levels in general property tax
through the certified tax rate.Also,forecasted funding that is most uncertain will be set aside in
the operating contingency line to minimize the impact of a possible shortfall in 2010-11
property tax revenues.
The capital budget includes funds from property taxes($556,466)to be set aside for the
construction of a new Glendale Branch Library and the planning for a new Marmalade Branch.
Other capital projects will continue to be funded through the capital fund balance and other
revenue sources.Goals set forward in the Strategic Plan may create new opportunities for
funding from individuals,corporations,foundations,and state and federal granting agencies.
All opportunities will be explored along with in-kind donations.
The library is not requesting a tax rate increase this year,but will request a tax rate increase
to fund construction of the Marmalade Branch Library in 2011-12,along with a tax increase
in 2012-13 to operate both the Glendale and Marmalade Libraries.
Operating $12,579,569 $13,072,034 $12,774,649
Capital — 556,466 556,466
Total General Property Tax $12,579,569 $ 13,628,500 $13,331,115
2008-09 Operating Unreserved Fund Balance $2,348,314
2008-09 Capital Unreserved Fund Balance $3,340,088
*Revised November 2009
9
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•
Revenue Sources Operating Fund and Capital Fund • 2010-11 Budget
1114L11;
• 2009 t 2010-11:
udge udget
OPERATING REVENUE
General Property Tax $12,579,569 $13,072,034 $12,774,649
Copier/Printer and Sundry Revenue 42,141 60,000 45,000
Fines and Collections 380,499 385,000 340,000
Interest 106,269 27,534 20,000
Grants 4,974 25,000 50,000
Donations 71,464 100,000 75,000 ;.
Leases 49,351 60,000 60,000
Events/Conferences 62,248 50,000 50,000
Total Operating Revenue $13,296,515 $13,779,568 $13,414,649
CAPITAL REVENUE
General Property Tax s - $ 556,466 $ 556,466
RDA Rebate 28,531 28,500 23,425
Interest 99,317 100,000 25,000
Prior Year Capital Fund Balance 68,029 1,000,000 1,000,000
Branch Building Fund Carryover (est.) - 450,000
Donations and Grants; Sundry Revenue 81,298 50.000 -
Total Capital Revenue $ 277,175 $ 1,734,966 $ 2,054,891
General Property Tax
Traditionally, the library uses the revenue figures from the prior year to establish revenue figures
for the upcoming year. Conservative estimates will be used for 2010-11 revenues:
• General Property Tax revenues-Despite a shortfall in General Property Tax in 2009-10,
it is anticipated the tax rate will be reset to produce the budgeted level of last year.
• Property Tax-Miscellaneous Collections-Due to a 2009-10 unanticipated negative balance
of $157,661, predictions in this area are uncertain. An increased contingency fund has
been established to reserve some funds should this occur again. If revenues are higher
than expected, the Library Board and City Council will be asked to approve the use of
contingency funds for operating purposes.
• Property Tax-Fee In Lieu and Age-based Revenues-Estimates are based on
2009-10 receipts which were down slightly from the prior year.
Copier/Printer and Sundry Revenue
Revenues included in this budget center are computer printing, copy machines, and fees
charged for the use of library locations for professional photography and filming. The Main
Library and Chapman Branch continue to be desired locations for film crews.
10
Fines and Collections
Fine revenues are expected to continue to decline based on current economic conditions. The
library maintains its contract with Unique Management (UMI) collections system for collecting
overdue materials and accounts. Although this has not generated any increased revenues from
fines, it has resulted in more materials being returned. The return of popular materials provides
better patron service, which is the ultimate goal. Indirect cost savings are realized when popu-
lar items do not need to be replaced.
Interest
A continuing decrease in interest rates over this past year has resulted in a loss of anticipated
revenues. As of March 2010, the library earned .5605% on funds invested in the Public
Treasurer's Investment Fund. At this same time last year, interest earnings were at 1.246%.
Grants
Efforts will be made to increase grant and foundation opportunities that are a good match for
current library initiatives. This may require either hiring or contracting with a grant writer.
Donations
The City Library has been successful in raising funds for special programs and projects with
the continued support of the Friends of The City Library and individuals. The library will support
the Friends of The City Library in any enhancements to its fundraising approaches.
Leases
The City Library receives rent from the shops on Library Square, which are currently
fully occupied.
Events/Conferences
Frequent use of library facilities, both during and after library hours, has resulted in revenue
from rental fees. Larger events this past year have continued to provide the projected revenues
in this budget center. The Library will evaluate the fee schedule to ensure that rental fees are
competitive with other rental facilities and evaluate increased advertising of the availability of
library rental spaces for meetings and events.
11
Summary of Operating Budget Expenditures
•
BUILDINGS AND GROUNDS
Buildings-Maintenance $ 198,925 $ 221,100 $ 181,100
City Boiler Operations -- 103,900 108,900
Equipment-Maintenance 27,669 50,000 40,000
Buildings and Equipment-Contract Services 272,108 300,000 282,000
Building Security 119,304 150,000 150,000 •
Equipment Purchases 8,868 25,000 25,000
Heating and Fuel 90,898 100,000 100,000
Lights and Power 344,660 343,000 343,000
Motor Equipment-Service and Maintenance 8,702 9,000 9,000
Rent-Property and Equipment 2,741 3,500 2,300
Water 38,184 38,000 38,000
Total Buildings and Grounds $ 1,112,059 $ 1,343,500 $ 1,279,300
1
MATERIALS
Art Prints $ - $ 1,000 $ 1,000
Binding 2,733 4,000 4,000
Books and Reference Sources 937,988 935,068 735,068
CD-ROMS 2,167 - -
Online Databases 216,707 200,000 180,000
Downloadable Audio 0 31,000 31,000
Maps 27 1,000 1,000
Periodicals 116,776 120,000 108,000
Music and Audio Books 358,006 400,000 360,000
DVDs 302,200 375,000 347,000
Total Materials $ 1,936,604 $ 2,067,068 $ 1,767,068
PERSONNEL
Salaries and Wages $ 6,744,119 $ 7,012,000 $ 6,679,281
Wages-Flex - 75,000 150,000
Employees' Insurance 835,953 974,000 1,042,000
Social Security 496,144l 517,000 513,000
Retirement 604,492 635,000 710,000
Unemployment Compensation 13,778 12,000 12,000
Other 12,141 15,000 15,000
Total Personnel $ 8,706,627 $ 9,240,000 $ 9,121,281
11
SERVICES
Cataloging Charges $ 86,374 $ 80,000 $ 80,000
City Administrative Charge 25,648 20,000 20,000
Copier-Printer Supplies 29,410 25,000 25,000
Insurance 198,166 203,000 208,000
Library Supplies 151,292 175,000 160,000
Office Supplies 6,895 8,000 8,000
Payroll Processing Charge 12,591 13,000 15,000
Postage 24,420 40,000 40,000
Professional and Technical 34,143 133,000 98,000
Professional and Technical-Attorney 12,272 8,000 8,000
Programming 94,350 140,000 126,000
Publicity 38,408 65,000 65,000
Staff Training and Development 27,198 25,000 20,000
Sundry Expense 19,431 20,000 20,000
Telephone 132,618 128,000 128,000
Travel 3,906 21,000 12,000
Board Development - - 4,000
Total Services $ 897,122 $ 1,104,000 $ 1,037,000
TOTAL OPERATING EXPENDITURES $12,652,412 $13,754,568 $13,204,649
CONTINGENCY - 25,000 210,000
TOTAL $12,652,412 $13,779,568 $13,414,649
Accomplishments in 2009-10
AND Once again this year use of library facilities increased,placing an even greater demand on
GROUNDS maintenance and facilities staff.Existing staff worked harder and smarter to keep 295,000
square feet of interiors and outdoor grounds at six locations clean and well maintained.Due to
a 2009-10 mid-year budget shortfall,contracts with several vendors were eliminated or signifi-
cantly reduced and the work was picked up by current staff.In an effort to conserve energy,
the library increased the use of eco-friendly,water-saving cleaning products and reduced elec-
tricity usage at the Main Library by turning off selected lights.Essential,preventive maintenance
projects were completed and all other projects were carefully evaluated to realize as much
savings as possible in the Buildings and Grounds budget.The security budget will remain at
2009-10 levels.
Priorities for 2010-11
To support the library's goal of increased sustainability and a reduced carbon footprint,the
Facilities Manager will become LEED certified.The benefit to existing facilities will be immediate
and the knowledge will be invaluable as plans for the new branches move forward.We will seek
out"green"vendors and products,and participate in Rocky Mountain Power's Cool Keepers
program at qualifying branch libraries.
13
009-10 2010-11
BUILDINGS AND GROUNDS
Buildings—Maintenance $ 221,100 $ 181,100
City Boiler Operations 103,900 108,900
Equipment—Maintenance 50,000 40,000
Buildings and Equipment—Contract Services 300,000 282,000
Building Security 150,000 150,000
Equipment Purchases 25,000 25,000
Heating and Fuel 100,000 100,000
Lights and Power 343,000 343,000
Motor Equipment—Service and Maintenance 9,000 9,000
Rent—Property and Equipment 3,500 2,300
Water 38,000 38,000
Total Buildings and Grounds $ 1,343,500 $1,279,300
Buildings—Maintenance
Increased use of all facilities has an impact on buildings maintenance. However, the library
will make every effort to reduce this budget by focusing on preventive, essential maintenance
projects and by carefully evaluating all other projects without compromising quality.
City Boiler Operations
The library anticipates a $5,000 cost increase for city boiler operations.
Equipment—Maintenance
This budget supports ongoing maintenance costs of all equipment (not currently on maintenance
contracts), including computer equipment. Public computers were replaced in 2009-10, which
should result in a savings in this budget.
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 computer service and maintenance contracts,
HVAC maintenance, main elevator maintenance, garbage removal, copier and alarm service
contracts, and window washing. The library has eliminated, reduced or re-negotiated several
contracts, including window washing and plant maintenance, resulting in an $18,000 savings.
Building Security
The security contract with CBI includes a scheduled presence at 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. This budget was increased in 2009-10 in response to
increased use of the library, and will be maintained at the same level in 2010-11.
Equipment Purchases
Minor equipment purchases unrelated to computers come from this budget center.
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Utilities
Utilities include lights and power and heating and fuel. The library's Strategic Plan calls for
a reduction in the library's carbon footprint. With this goal in mind, this budget was reduced in
2009-10. The library will continue efforts to curb energy use by installing more efficient, lower
wattage light bulbs, participating in Rocky Mountain Power's Cool Keepers program, and
monitoring usage.
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 decrease in this budget reflects current needs.
Water
The library will make a concerted effort to reduce water usage by 2%.
Accomplishments in 2009-10
Circulation for The City Library System now exceeds 3.6 million items per year—nearly three
times the national average per capita for libraries of its size. Demand for materials in all formats
continues to grow. Circulation has increased 5% YTD. Hold requests for materials have
increased 14.9% YTD. There is an increased demand in a variety of formats including cd, dvd
and downloadable print and audio. The use of online databases continues to climb and pages
viewed averages nearly 375,000 per month. The materials purchases are guided by the needs
of the community as expressed by the Strategic Plan.
In 2009-10, The City Library:
• Expanded the adult nonfiction collection by adding titles in new areas and replacing and
updating others to support Strategic Plan outcomes.
• Continued to build and evaluate the International Languages Collection and implemented
an expansion of the collections in Chinese and Spanish that are transferred from branch
to branch.
• Expanded CD formats to replace outgoing cassette formats in fiction, non-fiction, and
language collections.
• Initiated the USB format for language learning collections for children and adults.
• Used the system collection maintenance recommendations to keep collections fresh and
up-to-date.
• Enhanced early literacy collections of ABC books, counting books, board books
and easy readers.
Priorities for 2010-11
Due to conservative budgeting in 2010-11, 15% of the materials budget ($300,000) will be
held until January 2011 at which time revenues will be re-evaluated. Strategic evaluation is
underway to identify reductions that will minimize the impact to the public. Paper reference,
periodicals, online databases and replacements that receive less use or are redundant will be
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carefully evaluated by selectors in partnership with staff at all locations. Patterns of use, hold
requests, and collection composition will be closely monitored to ensure that the 2010-11
materials budget is utilized most efficiently to meet increasing demand. Every effort will be
made to streamline the selection and acquisition process to maximize discounts from vendors.
Additionally, all books donated to the Friends of The City Library organization will continue to be
systematically reviewed to enlarge and augment The City Library's collections.
Purchasing priorities include:
• Materials that support the Strategic Plan outcomes, which may increase the percentage
of card holders who use their cards.
• Early literacy materials targeted to families with children under the age of 5, especially board
books, picture books, and early reader collections to support and increase the circulation of
these collections by 20-30%.
• Popular book and audiovisual collections to meet increased demand from the community.
• Downloadable e-books.
• Selected standing order, periodical and automatic collections that best meet the information
and enjoyment needs of the community.
MATERIALS
Art Prints $ 1,000 $ 1,000
Binding 4,000 4,000
Books and Reference Sources 935,068 735,068
Online Databases 200,000 180,000
Downloadable Audio 31,000 31,000
Maps 1,000 1,000
Periodicals 120,000 108,000
Music and Audio Books 400,000 360,000
DVDs 375,000 347,000
Total Materials $ 2,067,068 $1,767,068
Art Prints
This budget funds replacement of the most popular prints that become damaged with use.
Binding
This budget funds the binding of back issues of magazines. Binding periodicals is vital for
The City Library's ability to organize and protect its in-depth magazine collection.
Books and Reference Sources
Books continue to be in high demand in the community. This budget supports new and
replacement adult books, children's books, and reference sources. A reduction of $200,000
from 2009-10 budgeted levels will be held until January 2011.
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Online Databases
A large number of patrons use library resources from home, work or school via the library's
Web site which includes a large collection of online databases. While online subscriptions can be
expensive, they can serve many simultaneous users, save paper and space, and benefit from
continuous updating. A reduction of $20,000 from 2009-10 budgeted levels will be held until
January 2011.
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 international
language audiobooks. This service is available from home for patrons with Internet access.
New vendors and services will be evaluated in 2010-11.
Maps
Funds an ongoing collection.
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
high. A reduction of$12,000 from 2009-10 budgeted levels will be held until January 2011.
Music and Audio Books
Music and books-on-CD are in high demand. A reduction of $40,000 from 2009-10
budgeted levels will be held until January 2011.
DVDs
DVDs are one of the most popular areas of library use and include both entertainment and
educational topics. A reduction of $28,000 from 2009-10 budgeted levels will be held
until January 2011.
Accomplishments in 2009-10
For the second year in a row, The City Library received top honors from Library Journal, a five
star rating based on per capita number of library visits, circulation, program attendance, and
public Internet use. This is in large part due to the customer-focused philosophy and innovative
spirit of The City Library staff. Despite an unanticipated mid-year budget shortfall, library staff
continued to provide excellent customer service and further Strategic Plan initiatives with a short-
age of staff created by a freeze on all vacancies. In March 2010, the library's circulation topped
340,000—the highest circulation total for one month in the library's history.
A major early literacy initiative was launched this year in collaboration with the Friends of The
City Library. City Library staff visited approximately 30 early childhood centers per month to
promote the library and provide information to parents and teachers of young children. The
Friends of The City Library and staff distributed thousands of books to children at Headstart
centers, day cares, WIC clinics and Salt Lake City public school kindergarten classes.
Sustainability is a focus of the Strategic Plan and staff have reduced paper, conserved
energy, increased "green commutes," and developed public programs around the commu-
nity's environmental interests.
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Initiatives in support of staff included deploying a new Human Resources Information System to
allow staff greater online access to their employment information and benefits.The Library
Employees Organization and Wellness Committee initiated a large variety of events,socials
and a"Wellness Challenge."
Priorities for 2010-11
With a reduced personnel budget and higher circulation anticipated in 2010-11,a number of
approaches will be explored to maintain high levels of service and continue to bring staff focus
to the Strategic Plan.These will include the following:
• Identifying automated solutions for some repetitive materials handling functions.
• Strategically evaluating all future vacancies,making adjustments in job classifications as
needed and identifying creative ways to maintain service levels.
• Providing staff with training opportunities to enhance their skills.
• Researching the most cost-effective benefit options,yet remaining competitive with local
agencies.
• Increasing the use of volunteers.
PERSONNEL
Salaries and Wages $ 7,012,000 $6,679,281
Wages-Flex 75,000 150,000
Employees'Insurance 974,000 1,042,000
Social Security 517,000 513,000
Retirement 635,000 710,000
Unemployment Compensation 12,000 12,000
Other 15,000 15,000
Total Personnel $ 9,240,000 $ 9,121,281
Salaries and Wages
This budget shows a reduction which will be achieved through the continued freeze in
vacancies to sustain a$235,000(currently 7.75 FTE)reduction.Decisions will be
deferred regarding merit increases(typically received in August)until the revenue picture
is clearer in January 2011.
Wages-Flex
Flexible wages will allow for supplementing staffing with substitute or temporary workers.
As staffing levels at all locations have been reduced to the minimum,flex hours have been
increased to provide for the staffing levels necessary to open buildings.This is a cost-effective
means of managing personnel costs.
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Employees'Insurance
City Library employees are covered by Public Employees Health Program.Health care costs
for 2010-11 will increase by 12.2%.The library continues to cover the premium for the
employee,but does not contribute to the coverage for doubles or families.Workers compensation
insurance coverage for April 1,2010 to April 1,2011 will increase by 14.64%.Staff members
continue to attend training sessions and work with Workers Compensation Fund to reduce
future costs where possible.
Social Security
The rate for social security is 7.65%.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/flexible spending).
Retirement
Benefited library employees are covered under the Utah Retirement Public Employees
Noncontributory Retirement System.This year,the retirement rate for local government
increased significantly from 11.66%to 13.37%.The library continues to contribute either
2.65%or 1.40%into a 401(k)plan for 21 employees who switched from the contributory
to noncontributory retirement plan.
Unemployment Compensation
The City Library's unemployment costs are not anticipated to increase from 2009-10 levels.
Other
This budget center supports employee use of public transit by reimbursing employees a portion
of monthly transit pass costs.Funds are also allocated,when available,for flu and hepatitis shots
to help reduce illness among staff members.
Accomplishments in 2009-10
The services budget includes a variety of costs related to supporting library functions.Several
important achievements were made using funding from this area in 2009-10.
In 2009-10,the professional and technical budget was used strategically to garner the
expertise of consultants to provide assistance on a variety of projects.A consultant was hired to
develop a Web-enabled online community archive and write a planning grant that was submit-
ted to the Institute of Museum and Library Services(successful projects will receive grant awards
in August 2010).
The library's programming supported Strategic Plan outcomes.Hundreds of programs were
originally produced by staff or provided in collaboration with community organizations.
Impromptu experiences with art and culture included recent performances by DanceBrazil
and arias in the Urban Room performed by members of the Utah Opera.The Dewey Lecture
Series continued with Jane and Michael Stern,staff writers John Harris and Chad Nackers from
The Onion,and NPR's Scott Simon.
Staff training remains a high priority.The City Library received a Worker Incumbent Training
Grant from the State of Utah Department of Workforce Service.This grant money was used to
provide library staff with Spanish language training classes.These classes will increase knowl-
edge and assist in providing quality customer service to our diverse population.This year,all staff
were trained in new security policies and procedures.
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Priorities for 2010-11
Loss and liability insurance is anticipated to increase slightly in 2010-11 and reductions will be
made in several categories to address reduced revenues. The supplies budget will be reduced
due to fewer materials to process. Programming will also be reduced as staff work more closely
with community partners. Professional and technical, travel, and training will also be reduced.
Publicity for library programs and events has begun a shift from paper to electronic. Plasma
screens were placed behind all circulation desks to enable publicity of upcoming events and new
titles. The Web site will become the place to find the most up-to-date information on library
happenings, and staff are beginning to use social networking utilities like Twitter and Facebook
to reach new audiences.
SERVICES
Cataloging Charges $ 80,000 $ 80,000
City Administrative Charge 20,000 20,000
Copier-Printer Supplies 25,000 25,000
Insurance 203,000 208,000
Library Supplies 175,000 160,000
Office Supplies 8,000 8,000
Payroll Processing Charge 13,000 15,000
Postage 40,000 40,000
Professional and Technical 133,000 98,000
Professional and Technical-Attorney 8,000 8,000
Programming 140,000 126,000
Publicity 65,000 65,000
Staff Training and Development 25,000 20,000
Sundry Expense 20,000 20,000
Telephone 128,000 128,000
Travel 21,000 12,000
Board Development - 4,000
Total Services $ 1,104,000 $ 1,037,000
Cataloging Charges
The majority of these expenditures are applied to The City Library's contract with Online
Computer Library Center, Inc., (OCLC) which 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 80+ international
languages represented in the library's collection.
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 City attorney.
Copier-Printer Supplies
The cost recovery on printing has reduced the paper and toner costs for the public printers.
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This budget covers the costs of paper for printers and copiers throughout The City Library
System.
Insurance
The City Library practices careful application of risk management principles and regular compet-
itive bidding to ensure the best coverage for the lowest cost. A slight increase is anticipated as
a result of standard increased building values. The current policy includes earthquake and
terrorism coverage.
Library Supplies
This decrease is a result of a lower materials budget. Supplies are purchased in bulk in order
to contain costs and to obtain favorable discounts. The library closely monitors the cost of pack-
aging and processing newer, more popular formats such as DVDs, CDs, and recorded books,
which can be more expensive than traditional library materials.
Office Supplies
Every effort is made to contain costs by purchasing through vendors with State of Utah negotiated
pricing. As a result, the library will be able to maintain this budget center at current levels.
Payroll Processing Charge
The City Library uses an independent vendor to process payroll checks. The library anticipates
an increase in cost this year.
Postage
The implementation of e-mail and automated calling for patron noifications has resulted in a
substantial decrease in postage costs. The current level should be adequate for this budget
year. The City Library mails The City Library News, the library's newsletter, to all Salt Lake City
residents once a year to keep them informed of the library and its services. Over the years,
the Friends of The City Library have supported the postage costs for this mailing.
Professional and Technical
This budget supports funding for the annual financial audit, attorneys' fees, memberships in
professional activities and organizations, and the use of outside consultants for library projects.
A decrease in this budget center will still allow for the use of consultants and specialists to
provide targeted services. Use of experts in areas associated with the Strategic Plan will contin-
ue to fuel new directions and supplement the skills that currently exist in the organization.
Programming
The quality of public programs and the community's enthusiasm continues to be very high.
Nationally known authors attract audiences that fill the Main Library's auditorium. Cultural cele-
brations such as Eid al-Fitr, Chinese New Year, and Norouz draw hundreds of people from
diverse backgrounds. The library will continue to work with established community partners
and seek out new partners in an effort to stretch the programming budget which will see a
decrease this year.
Publicity
This budget covers the cost of printing the Library's quarterly newsletter and also to
produce all other promotional materials.
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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 which will expand in 2010-11.
the Friends of The City Library scholarship program for staff supplements the Library's staff
development efforts.
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 are
monitored closely.
Telephone
It is anticipated that this budget center will not increase.
Travel
The decrease in this budget center will sustain some travel-related expenses for library
administration and staff attendance at state and national conferences,such as ALA,MPLA
and ULA.In addition,all mileage allowances are paid from this budget center at the reim-
bursement rate of 37.5 cents per mile.
Board Development
This new budget line will help to dedicate some funding for costs associated with Library
Board members.These funds cover membership fees in professional organizations(ALA,
MPLA,ULA,etc.)and travel expenses to attend library conferences.
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Accomplishments in 2009-10
With the assistance of an architectural design consultant, the library identified and addressed a
number of overdue capital improvements and repairs. The Sprague Branch Library interiors
were completely repainted. The Sweet Branch received new carpet, a more efficient service
desk, fresh paint, and new meeting room chairs. Worn furniture at several locations was re-
upholstered or replaced. Increased circulation led to a need for additional and improved
storage and shelving at several branches. New stack end signs were installed at all branches,
as were LCD screens that will advertise library programs and announce new services.
Computers in the Children's Library at Main were moved closer to the service desk, and the
space was reorganized to provide better sight lines for librarians.
Planning for the future Glendale and Marmalade branch libraries began by establishing com-
munity-based steering committees for both projects. The library issued a RFP for a program-
ming consultant for the Glendale Branch with an option to extend the contract for the
Marmalade project. The library expects to have a project manager in place by the end of
the fiscal year.
Priorities for 2010-11
• Exploration, pilot, and possible installation of automated methods for sorting and circulating
materials and increasing efficiency.
• Refreshed interior at the Day-Riverside Branch.
• Exploration of a mobile library presence for express or outreach services.
• Replacement or re-upholster of worn seating at the Main Library.
• Improvement of the Chapman Library parking lot.
• Evaluation of HVAC systems at the Main Library's Technical Services Department
and Technology Lab.
• Continued development of the library's Web site.
• Implementation of energy-saving investments, including lighting and hybrid vehicle.
With a Project Manager in place, the library will finalize the site for the Glendale Branch Library,
select an architect, and enter into the design phase. Concurrently, the programming phase for
the Marmalade Branch Library will begin and a site will be selected.
CAPITAL
Glendale Branch Building Project $ 278,233 $ 728,233
Marmalade Branch Building Project 278,233 278,233
Capital Improvements 628,500 498,425
Technology Infrastructure 200,000 200,000
Qwest Lease Agreement 50,000 50,000
Capital Repairs 200,000 200,000
Prior Year/Contingency 100,000 100,000
Total Capital $ 1,734,966 $2,054,891
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Glendale and Marmalade Branch Building Project
Capital revenues designated for the construction of the Glendale Branch Library,approved by
City Council on August 11,2009,are estimated at$556,466.Funds will be used to complete
the public process,program development,site evaluation,site selection,land acquisition
(if needed)and to initiate architectural design services.Unspent funds from 2009-10 designat-
ed for the further development of the Marmalade Branch Library programming and design
phase will be carried over for use in 2010-11.
Capital Improvements
With many of the planned capital improvements completed in 2009-10,this fund can
be reduced.
Technology Infrastructure
Computer equipment is heavily used,and funds are needed on an annual basis to upgrade
and expand the computer system.
Qwest Lease Agreement
The City Library entered into a contract with Qwest in March 2008 to purchase Voice-over IP
for all library locations.Bandwidth increased from 1.544 megabits to 30 megabits resulting in
significantly faster computer access at branch locations. Voice-over IP also provided expanded
features to the Library's seven-year-old phone system,including voice mail and easily
customizable messages.The cost of hardware,installation,and entrance facilities for the
Main Library and four branches is included in a five-year lease agreement at 3.73%interest.
Fiscal year 2010-11 will be year three of a five year lease.
Capital Repairs
This fund supports ongoing major capital repairs at all locations as needed.This year will see a
major emphasis on repairs in the Main Library.
Prior Year/Contingency
This fund is maintained to cover carryover projects and emergency or unanticipated expenses.
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TIMELINE FOR GLENDALE AND MARMALADE BRANCH CONSTRUCTION (DRAFT)
Dec Jan Mar Sept 1 Oct Dec Jun Jul Sept Oct June Oct
2009 2010 2010 2010 I 2010 2010 2011 2011 2011 2011 2012 2012
Glendale Library
Marmalade Library
Glendale Library
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Marmalade Library
Glendale Library
Marmalade Library
PHASE 3
Planning, Program Architectural Design, Construction
Development and Plan Review (estimated 12 months)
Site Selection and Permitting
(estimated 10 months) (estimated 9 months)
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Main Library
Anchoring Salt Lake City's civic core. Library Square provides a connec-
„� tion and transition from the Central Business District to the residential
� neighborhoods adjacent to downtown. One of the most heavily used main
libraries in the United States, the Main Library has become a major attrac-
tion for residents and visitors since its opening on February 8, 2003. A
240,000 square-foot concrete and glass structure with exceptional views
of Salt Lake City and surrounding mountains, the Main Library features
book, periodical and media collections of over 500,000 items, reading gal-
PPlit leries, technology center, 315-seat auditorium and adjoining meeting
spaces, small conference rooms, and selected community shops
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designed to enhance The City Library's mission. The adjoining plaza- fea-
tures a reflecting pool, garden, and granite fountain. Underground park-
.44' ing for approximately 600 vehicles provides parking for city and library
y. j employees, as well as library visitors.
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Anderson-Foothill Branch
The pleasing design of the branch has two unique elements as part of its
' - .* , a 1, '4 , ..1' plan. The first is a passive solar energy design that includes earth berming,
- 'r.'. .+• -: , window placement for solar heating, and zone supplemental heating/cool-
4 ing. The second element of this 14,900 square foot community library
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built in 1985, expanded in 1992 and in 2002, is a modular design.
I Chapman Branch
.' Considered to be one of the finest Carnegie Libraries in the West, this
- , - 8,900 square foot library has two levels. Since its opening in 1918, it has
been an important part of city services to Westside residents. The Library
' i''' was completely renovated 1993. A major remodel of the basement level
t ,,;:- - F meeting space in 2002 resulted in a much improved children's area and
expanded service and collection space for adults on the ground level.
Corinne and Jack Sweet Branch
°*4 The Sweet Branch is the sister branch of the Anderson-Foothill Branch
using the same modular design. The branch contains over 8,000 square
feet of service space, including a community program and meeting space.
In 2009, the interior was completely refreshed.
�tf Day-Riverside Branch
This beautiful facility was designed to complement the residential neigh-
., borhood with sensitivity to its site on the Jordan River Parkway. An open
space plan, with a large community meeting room and outside deck area,
will accommodate this growing neighborhood.
Sprague Branch
,- This high-gabled English Tudor style building has served the Sugar House
.,;. R community for three generations. The building was selected by the
-' • , American Library Association in 1935 as the "Most Beautiful Branch
- s •'' Library in America." The two-level facility was renovated in 1989-90. The
' Reading Room on the first floor was remodeled in 1993-94. A new slate
re , roof was installed in the fall of 1996. An expansion project to add a new,
- fir _ larger meeting room and remodel the building was completed in April
z_�arc ''a►'"- 2001, which increased the square footage to 9,700.
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