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Council Provided Information - 6/14/2022General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Revenue Prior Year Adopted Budget 327,222,933          40,359,137       367,582,070      Changes to FY2022 Base Revenue Taxes ‐                               Sales Tax ‐                               General Fund (FOF represents 1/2 Percent) 15,493,525                      8,764,489                  24,258,014                Property Tax ‐                               Anticipated Increase (actual New Growth + Judgment Levy) 1,422,445                        1,422,445                  2,114,369                    RDA Tax Increment 1,435,778                        1,435,778                       Increment from Inland port area 959,161                           959,161                      Franchise Taxes (445,001)                          (445,001)                     PILOT 76,181                             76,181                        Licenses and Permits ‐                               Licenses 2,838,309                        2,838,309                   Permits 6,486,478                        6,486,478                   Intergovernmental Revenue 602                                   602                              Charges, Fees and Rentals 272,775                           272,775                      Fines 290,729                           290,729                      Parking Meter Collections (80,000)                            (80,000)                       Interest Income 800,000                           800,000                      Miscellaneous Revenue 581,439                           581,439                      Interfund Reimbursement 2,398,826                        2,398,826                   Transfers (406,260)                          (406,260)                     TOTAL Base Changes 32,124,987                  8,764,489               40,889,476            2,114,369                 ‐                        ‐                           Proposed Changes in Revenue Resulting from Policy and Ordinance Changes ‐                              ‐                               Taxes ‐                              ‐                               Property Tax ‐                               Property Tax Increase  of 4.9% 4,355,131                        4,355,131                   Property Tax Stabilization 2,000,000                        2,000,000                   CPI (FY2023 6.2%) 1,192,797                        1,192,797                  414,886                        Transfer from Transportation Fund ( see CAN) 358,748                           358,748                      Dispatch Changes ‐                               Additional Transfer from E911 Fund 150,385                           150,385                      Additional Revenue from Sandy City 146,665                           146,665                      TOTAL Proposed Policy and Ordinance Changes 8,203,726                     ‐                           8,203,726              414,886                    ‐                        ‐                           Change in One‐Time Revenue ‐                              ‐                               FY2023 One‐Time Revenues ‐                              ‐                               ARPA Revenue Replacement 19,890,111                      19,890,111                ARPA Available Salary Restoration 1,545,746                        1,545,746                   Use of Fund Balance 14,900,124                      14,900,124               (2,298,761)                   Use of Fund Balance (City County Building Repair) 2,000,000                        2,000,000                   FY2022 Civilian Response Team Recapture 2,100,608                  2,100,608                   FY2022 Bond Delay Payment Recapture 3,700,000                        3,700,000                   Racial Equity in Policing Recapture 2,284,899                        2,284,899                   Racial Equity in Policing Training for Police Recapture 150,000                           150,000                      Transfer from $10 million CIP Holding Account in BA#7 1,200,000                    Remove FY2022 One‐Time Revenues ‐                               ARPA Revenue Replacement (11,432,646)                    (11,432,646)               One Time Use of General Fund Balance (15,335,334)                    (15,335,334)               Health Insurance Premium (915,195)                          (915,195)                     Police Impact Fee Reimbursement to General Fund (1,898,497)                       (1,898,497)                 REP Funding from FY2021 (remaining) (2,614,899)                       (2,614,899)                 (1,669,138)                       (1,669,138)                 Council Changes to MRB Issue One Time Use of Fund Balance from Underserved Neighborhood  Holding Account General Fund Key Changes FY2023 General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Fire Reimbursement for Deployments (515,000)                          (515,000)                     Reallocated prior year Housing Plan funding (750,000)                          (750,000)                     Use of Funding Our Future Fund Balance (2,129,483)                 (2,129,483)                 Use of Funding Our Future Transit Key Routes Holding Account (1,879,654)                 (1,879,654)                 TOTAL One‐Time Changes 9,340,171                    (1,908,529)             7,431,642              (1,098,761)                ‐                        ‐                           Proposed Revenue 376,891,817          47,215,097       424,106,914     378,322,311      47,215,097     425,537,408      Expense Department City Council 4,551,159              35.00             ‐                      ‐                4,551,159         35.00          Personal Services Base to Base Changes 110,568                           110,568                      ‐                    Pension Changes 3,088                                3,088                          ‐                    Insurance Rate Changes 20,088                             20,088                        ‐                    Salary Proposal 151,885                           151,885                      ‐                    NFP & CCAC Cost Projections [17 Impacted Employees] 9 Months Fu 182,677                           182,677                      ‐                   (45,669)                         Budget Amendment #2 ‐ Salary Changes 113,911                           113,911                      ‐                    Constituent Liaison/Policy Analyst (Grade 27) 117,500                           1.00                     117,500                     1.00                  Council Outreach and Communications 70,000                             70,000                        ‐                    Part‐time/Intern Assistants 112,500                           112,500                      ‐                    TOTAL City Council 5,433,376              36.00             ‐                      ‐                5,433,376         36.00         5,387,707           36.00             ‐                    ‐                5,387,707         36.00          Legislative Non Departmental 350,100                  350,100              ‐             ‐                      ‐              No New Proposals ‐                              ‐                   ‐                              ‐                    TOTAL Legislative Non Departmental 350,100                   ‐                 ‐                      ‐                350,100              ‐             350,100               ‐                 ‐                    ‐                350,100              ‐              Mayor's Office 4,761,780              30.00             ‐                      ‐                4,761,780         30.00          Personal Services Base to Base Changes (41,962)                            (41,962)                       ‐                    Pension Changes 11,075                             11,075                        ‐                    Insurance Rate Changes 22,384                             22,384                        ‐                    Salary Proposal 92,588                             92,588                        ‐                    NFP & CCAC Cost Projections [23 Impacted Employees] 9 Months Fu 250,152                           250,152                      ‐                   (62,538)                         Budget Amendment #2 ‐ Salary Changes 122,663                           122,663                      ‐                    Budget Amendment #6 ‐ Executive Assistant 94,208                             1.00                     94,208                       1.00                  Deputy CAO (Grade 39) (10 Months) 183,031                           1.00                     183,031                     1.00                  190,000                           190,000                      ‐                    City County Building Police Presence 177,800                           177,800                      ‐                    Remove Sponsorship Awards [One Time] (5,000)                              (5,000)                         ‐                    Remove Cultural Ambassador Pilot Program [One Time] (9,850)                              (9,850)                         ‐                    Art under the bypass [One Time] 60,000                             60,000                        ‐                    Language Access unified budget 300,000                           300,000                      ‐                    Stipends for Boards and Commissions 119,120                           119,120                      ‐                    Fleet Block Engagement [One‐Time] 100,000                           100,000                      ‐                    City Staff Appreciation 60,000                             60,000                        ‐                    Citywide Promotional Branding 200,000                           200,000                      ‐                    TOTAL Mayor's Office 6,687,989              32.00             ‐                      ‐                6,687,989         32.00         6,625,451           32.00             ‐                    ‐                6,625,451         32.00          Attorney's Office 8,029,302              55.25             ‐                      ‐                8,029,302         55.25          Personal Services Base to Base Changes (385,016)                          (385,016)                     ‐                    Annualization of partially funded positions 17,870                             17,870                        ‐                    Pension Changes 3,976                                3,976                          ‐                    Insurance Rate Changes 35,948                             35,948                        ‐                    Salary Proposal 262,272                           262,272                      ‐                    NFP & CCAC Cost Projections [55 Impacted Employees] 9 Months Fu 266,000                           266,000                      ‐                   (66,500)                         Move REP Commission Senior Staff Position Funding [from Non‐ Departmental] General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Budget Amendment #2 ‐ Salary Changes 215,323                           215,323                      ‐                    Budget Amendment #2 ‐ Minutes and Records Clerk 87,740                             1.00                     87,740                       1.00                  (18,500)                            (18,500)                       ‐                    Retention, Classification (6 positions; Recorders Office) 111,921                           111,921                      ‐                    Reclassify City Recorder Position (Grade 33 to Grade 35) 50,357                             50,357                        ‐                    Special Consultant ‐ Union Negotiations, CRB outside counsel 111,600                           111,600                      ‐                    eDiscovery Tech Contract Increases (Westlaw Contract) 10,908                             10,908                        ‐                    50,000                             50,000                        ‐                    Election Costs (SL County & Communication Prep) (Contractual) 15,000                             15,000                        ‐                    Legal Secretary III (Attorney's Office) (Grade 18) (10 Months) 69,230                             1.00                     69,230                       1.00                  83,175                             1.00                     83,175                       1.00                  Archive Clerk PT to FT (Grade 21) (10 Months) 57,027                             0.25                     57,027                       0.25                  TOTAL Attorney's Office 9,074,133              58.50             ‐                      ‐                9,074,133         58.50         9,007,633           58.50             ‐                    ‐                9,007,633         58.50          Community and Neighborhoods 20,957,425            170.00          3,046,398         6.00              24,003,823       176.00        Personal Services Base to Base Changes (67,416)                            54,400                       (13,016)                       ‐                    Annualization of partially funded positions 109,492                            ‐                              109,492                      ‐                    Pension Changes 22,215                             (916)                            21,299                        ‐                    Insurance Rate Changes 114,736                           4,000                          118,736                      ‐                    Merit Changes 78,173                              ‐                              78,173                        ‐                    Salary Proposal 741,745                           32,668                       774,413                      ‐                    NFP & CCAC Cost Projections [100 Impacted Employees] 9 Months F 240,944                           240,944                      ‐                   (60,236)                         Budget Amendment #2 ‐ Salary Changes 537,287                           20,156                       557,443                      ‐                    92,899                             1.00                     92,899                       1.00                  96,175                             1.00                     96,175                       1.00                  Fleet Fuel Cost Increase 23,100                             23,100                        ‐                    368,336                           3.00                     368,336                     3.00                  Youth & Family Pay Increases 150,254                           150,254                      ‐                    203,747                     2.00                     203,747                     2.00                 244,496                       2.00                      Program Expenses [One‐Time $8,800]11,000                       11,000                        ‐                    Temporary Traffic Calming Measures 200,000                        Civil Enforcement Officer (Grade 17) (10 Months) 66,060                             1.00                     66,060                       1.00                  Program Expenses 1,100                                1,100                          ‐                    Building Inspector I (Grade 19) (10 Months) 143,213                           2.00                     143,213                     2.00                  Program Expenses [One‐Time $9,400] 11,600                             11,600                        ‐                    NWQ Liaison (Grade 29) (10 Months) 106,175                           1.00                     106,175                     1.00                  Program Expenses [One‐Time $4,400] 5,500                                5,500                          ‐                    Planning ‐ Historic Preservation Survey 75,000                             75,000                        ‐                    Youth & Family ‐ My Brother's Keeper FTE (Grade 26) (10 Months) 93,815                             1.00                     93,815                       1.00                  Program Expenses 8,505                                8,505                          ‐                    CCC Lease / CAM / Utilities 300,000                           300,000                      ‐                    17,000                             17,000                        ‐                    Downtown Street Ambassador Program 1,288,101                        1,288,101                   ‐                    CCC & Green Team 6 Month Reduction (115,000)                          (115,000)                     ‐                    84,000                          Food for Heart Team and Resource Fair Lunches 5,000                            TOTAL Community and Neighborhoods 25,466,434            180.00          3,371,453         8.00              28,837,887       188.00       25,939,694        182.00          3,371,453       8.00              29,311,147       190.00        Transfer Special Projects Coordinator for the Community  Connections Program from ARPA Funding (BA#4) Transfer Youth and Family Community and Program Manager from  Grant Funding (BA#2) Remove Office Victim Advocate ‐ Grant Funding Match [One Time] Primegov ‐ Admin (Transmittals, Laserfiche Connection & OMPA  practice. Boards & Commissions Recognized Org Liaison (Grade 23) (10  Months) Transportation Planner III (Grade 28) (2 for 10 Months and 2 for 12  Months) Transfer 3 Employees from the transportation fund (Revenue  Offset) Homeless ‐ Increased Landfill Fees Associated with Camp  Abatements Fix the Bricks Homeowner's Match 100% AMI or Below Household  Income General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Economic Development 2,714,915              18.00            2,714,915         18.00          Personal Services Base to Base Changes 27,752                             27,752                        ‐                    Transfer position from RDA 81,572                             1.00                     81,572                       1.00                  Insurance Rate Changes 35,948                             35,948                        ‐                    Salary Proposal 102,272                           102,272                      ‐                    NFP & CCAC Cost Projections [13 Impacted Employees] 9 Months Fu 144,536                           144,536                      ‐                   (36,134)                         Budget Amendment #2 ‐ Salary Changes 69,935                             69,935                        ‐                    Budget Amendment #6 ‐ Arts Council Staffing 309,824                           3.00                     309,824                     3.00                  Arts Council Division Operating Expenses 45,000                             45,000                        ‐                    Construction Mitigation Funding 200,000                           200,000                      ‐                    TOTAL Economic Development 3,731,754              22.00             ‐                      ‐                3,731,754         22.00         3,695,620           22.00             ‐                    ‐                3,695,620         22.00          Finance Department 8,767,757              71.70             ‐                      ‐                8,767,757         71.70          Personal Services Base to Base Changes 204,206                           204,206                      ‐                    Annualization of partially funded positions 28,721                             28,721                        ‐                    Pension Changes 5,096                                5,096                          ‐                    Insurance Rate Changes 53,184                             53,184                        ‐                    Merit Changes 9,999                                9,999                          ‐                    Salary Proposal 323,906                           323,906                      ‐                    NFP & CCAC Cost Projections [44 Impacted Employees] 9 Months Fu 480,312                           480,312                      ‐                   (120,078)                      Budget Amendment #2 ‐ Salary Changes 238,180                           238,180                      ‐                    Budget Amendment #6 ‐ Grants Manager 131,888                           1.00                     131,888                     1.00                  Purchasing Deputy Director ‐ (Grade 33) (10 Months) 125,689                           1.00                     125,689                     1.00                  Program Expenses 5,000                                5,000                          ‐                    40,000                             40,000                        ‐                    Financial Analyst for Budget Division ‐ (Grade 32) (10 Months) 120,437                           1.00                     120,437                     1.00                  Program Expenses 5,000                                5,000                          ‐                    Financial Analyst (A.R.) ‐ (Grade 32) (10 Months) 120,437                           1.00                     120,437                     1.00                  Program Expenses 5,000                                5,000                          ‐                    Good Landlord Unit Position ‐ (Grade 16) (10 months) 64,113                             1.00                     64,113                       1.00                  Program Expenses 1,000                                1,000                          ‐                    External Audit for IT 75,000                             75,000                        ‐                    Resource X Program Budgeting Software 25,000                             25,000                        ‐                    TOTAL Finance Department 10,829,925            76.70             ‐                      ‐                10,829,925       76.70         10,709,847        76.70             ‐                    ‐                10,709,847       76.70          Fire Department 45,350,952            372.00          236,448             2.00              45,587,400       374.00        Personal Services Base to Base Changes (1,500,186)                       25,846                       (1,474,340)                 ‐                    Annualization of partially funded positions 33,397                             33,397                        ‐                    Pension Changes (190,556)                          (1,264)                        (191,820)                     ‐                    Insurance Rate Changes 292,192                           1,648                          293,840                      ‐                    Merit Changes 583,357                            ‐                              583,357                      ‐                    Salary Proposal 1,124,633                        6,696                          1,131,329                   ‐                    NFP & CCAC Cost Projections [12 Impacted Employees] 9 Months Fu 42,071                             42,071                        ‐                   (10,517)                         Budget Amendment #2 ‐ Salary Changes 1,625,043                        1,625,043                   ‐                    316,092                     3.00                     316,092                     3.00                  Fleet Fuel Cost Increase 116,009                           116,009                      ‐                    Remove FD Deployment Expense Reimbursement [One Time] (515,000)                          (515,000)                     ‐                    Remove Emergency Management Phase 2 [One Time] (36,066)                      (36,066)                       ‐                    Transfer MRT from ARPA Funding 288,262                           4.00                     288,262                     4.00                  Firefighter Turnout Gear ($12,000 One‐time) 82,000                             82,000                        ‐                    71,607                             1.00                     71,607                       1.00                  Program Expenses 1,200                                1,200                          ‐                    Firefighter ‐ (Grade 17) (11 Months) 217,998                           3.00                     217,998                     3.00                  Budget Amendment #4 ‐ CHAT (3 FTEs from Police, Funding from  Non Departmental) Purchasing Outreach for Diversity & Local Business ($30,000 One‐ time) Office Facilitator ‐ Emergency Management ‐ (Grade 19) (10  Months) General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Program Expenses [One‐Time $600] 2,700                                2,700                          ‐                    Firefighter ‐ (Grade 17) (5 Months) 99,090                             3.00                     99,090                       3.00                  Program Expenses [One‐Time $600] 2,700                                2,700                          ‐                    MRT Expansion (Firefighter) ‐ (Grade 17) (11 Months) 264,240                     4.00                     264,240                     4.00                  Program Expenses [One‐Time $47,200]55,900                       55,900                        ‐                    TOTAL Fire 47,727,469            383.00          869,540             9.00              48,597,009       392.00       47,716,952        383.00          869,540          9.00              48,586,492       392.00        Human Resources Department 3,267,669              26.05             ‐                      ‐                3,267,669         26.05          Personal Services Base to Base Changes 127,103                           0.35                     127,103                     0.35                  Annualization of partially funded positions 41,994                             41,994                        ‐                    Pension Changes 3,155                                3,155                          ‐                    Insurance Rate Changes 18,848                             18,848                        ‐                    Salary Proposal 128,945                           128,945                      ‐                    NFP & CCAC Cost Projections [22 Impacted Employees] 9 Months Fu 90,263                             90,263                        ‐                   (22,566)                         Budget Amendment #2 ‐ Salary Changes 90,982                             90,982                        ‐                    HR Employee Relations Manager (Grade 33) (11 Months) 125,689                           1.00                     125,689                     1.00                  HR Senior Technician (Grade 20) (10 Months) 73,983                             1.00                     73,983                       1.00                  HR Recruiter ‐ Police (Grade 25) (10 Months) 90,034                             1.00                     90,034                       1.00                  HR Recruiter ‐ Apprentice/Intern (Grade 25) (10 Months) 90,034                             1.00                     90,034                       1.00                  HR Business Partner (Grade 30) (10 Months) 110,703                           1.00                     110,703                     1.00                  TOTAL Human Resources 4,259,402              31.40             ‐                      ‐                4,259,402         31.40         4,236,836           31.40             ‐                    ‐                4,236,836         31.40          Justice Court 4,850,906              42.00             ‐                      ‐                4,850,906         42.00          Personal Services Base to Base Changes (9,761)                              (9,761)                         ‐                    Pension Changes (4,228)                              (4,228)                         ‐                    Insurance Rate Changes 26,912                             26,912                        ‐                    Merit Changes 27,269                             27,269                        ‐                    Salary Proposal 168,634                           168,634                      ‐                    NFP & CCAC Cost Projections [4 Impacted Employees] 9 Months Fun 21,319                             21,319                        ‐                   (5,330)                           Budget Amendment #2 ‐ Salary Changes 123,939                           123,939                      ‐                    No proposals ‐                               ‐                    TOTAL Justice Court 5,204,990              42.00             ‐                      ‐                5,204,990         42.00         5,199,660           42.00             ‐                    ‐                5,199,660         42.00          Police Department 74,620,939            645.00          8,749,563         75.00            83,370,502       720.00        Personal Services Base to Base Changes 1,126,650                        985,535                     2,112,185                   ‐                    Annualization of partially funded positions 360,167                           360,167                      ‐                    Pension Changes 43,630                             16,223                       59,853                        ‐                    Insurance Rate Changes 502,296                           54,240                       556,536                      ‐                    Merit Changes 662,092                           120,288                     782,380                      ‐                    Salary Proposal 3,394,259                        534,466                     3,928,725                   ‐                    NFP & CCAC Cost Projections [41 Impacted Employees] 9 Months Fu 110,163                           110,163                      ‐                   (27,541)                         Budget Amendment #2 ‐ Salary Changes 7,254,256                        1,002,346                  8,256,602                   ‐                    Budget Amendment #4 ‐ CHAT (3 FTEs to Fire)‐                                    (3.00)                     ‐                              (3.00)                 Budget Amendment #6 ‐ Sergeant (1) 152,288                           1.00                     152,288                     1.00                  Budget Amendment #6 ‐ COPS Grant ‐ Police Officers (10) 472,046                           10.00                   472,046                     10.00                Budget Amendment #6 ‐ COPS Grant ‐ Equipment 226,137                           226,137                      ‐                    Fleet Fuel Cost Increase 978,748                           978,748                      ‐                    Street Racing Mitigation Initiative Ongoing (70,000)                            (70,000)                       ‐                   60,000                          Compensation Plan Changes ‐ Standby pay 144,000                           144,000                      ‐                    MOU Changes ‐ Uniforms 25,000                             25,000                        ‐                    Workers Compensation increase to actual 246,417                           246,417                      ‐                    68,175                             68,175                        ‐                    83,801                             1.00                     83,801                       1.00                  106,175                           1.00                     106,175                     1.00                  90,034                             1.00                     90,034                       1.00                  Victim Advocate Program Director ‐ (Grade 29) (10 Months) Victim Advocate Program Coordinator ‐ (Grade 25) (10 Months) Social Work Program Budget (Uniforms, Equip, Supplies, Software,  Training, etc.) SVU Victim Advocate Program (Grant Ends Aug22) (Grade 22) (10  Months) General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Victim Advocate Program Salary Adjustments 86,727                             86,727                        ‐                    Program Expenses 92,080                             92,080                        ‐                    258,980                           4.00                     258,980                     4.00                  Program Expenses [One‐Time $10,000] 15,000                             15,000                        ‐                    GRAMA Program ‐ Caseload Management (Grade 23) (10 Months) 99,270                             1.00                     99,270                       1.00                  Program Expenses [One‐Time] 2,000                                2,000                          ‐                    157,007                           1.00                     157,007                     1.00                  Civilian Response Team Program Director ‐ (Grade 32) (10 Months) 130,143                     1.00                     130,143                     1.00                  Civilian Response Team Specialist ‐ (Grade 19) (6 Months) (CRT Funded) 520,164                     12.00                   520,164                     12.00                Program Expenses 95,000                       95,000                        Contractual Increases Contract Pricing, Supply Costs, etc.) 257,324                           257,324                      ‐                    PSB Printers 55,000                             55,000                        ‐                    Move LTD from PD to Insurance and Risk (193,000)                          (193,000)                     ‐                    Versaterm Case Service Program 48,954                             48,954                        ‐                    Versaterm (moving to a cloud) 200,000                           200,000                      ‐                    Versaterm E‐Ticketing (Replaces Brazoz devices and Technology) [O 60,000                             60,000                        ‐                    TOTAL Police Department 91,736,615            665.00          12,207,968       85.00            103,944,583     750.00       91,769,074        665.00          12,207,968     85.00            103,977,042     750.00        Public Lands 18,751,871            117.35          18,751,871       117.35        Personal Services Base to Base Changes 23,378                             23,378                        ‐                    Annualization of partially funded positions 90,376                             90,376                        ‐                    Pension Changes 19,166                             19,166                        ‐                    Insurance Rate Changes 95,368                             95,368                        ‐                    Merit Changes 39,768                             39,768                        ‐                    Salary Proposal 452,477                           452,477                      ‐                    NFP & CCAC Cost Projections [15 Impacted Employees] 9 Months Fu 119,190                           119,190                      ‐                   (29,798)                         Budget Amendment #2 ‐ Salary Changes 283,314                           283,314                      ‐                    Budget Amendment #4 ‐ Park Ranger Program Personnel 1,914,200                        19.00                   1,914,200                  19.00                Budget Amendment #4 ‐ Park Ranger Program Equipment and Supp 218,400                           218,400                      ‐                    Budget Amendment #4 ‐ Signage Coordinator (double elimination) 51,847                             51,847                        ‐                    Fleet Fuel Cost Increase 162,938                           162,938                      ‐                    Remove Public Lands Department Development [One Time] (14,400)                            (14,400)                       ‐                    Utilities Increases 332,157                           332,157                      ‐                    Department Inflationary Costs 391,468                           391,468                      ‐                    Seasonal Positions Competitive Wage Increase 554,707                           554,707                      ‐                    Reallocate Park Ranger Funding to cover Foothill Trails ‐                               ‐                    Change 1 Park Ranger Sergeant (Grande 31) to Park Ranger  Manager (Grade 29)‐                               ‐                    Change 1 Park Ranger Sergeant (Grade 31) to Park Ranger  Supervisor (Grade 27)‐                               ‐                    Change 4 Park Ranger Officer (Grade 24) to Park Ranger Lead  (Grade 21)‐                               ‐                    Change 12 Park Ranger Officer (Grade 24) Park Ranger (Grade  19)‐                               ‐                    Move Park Ranger to Funding Our Future (687,424)                          (8.00)                    687,424                     8.00                      ‐                               ‐                    Add 2 Park Ranger (Grade 19)‐                                    2.00                      ‐                              2.00                  Program Expenses 18,000                             18,000                        ‐                    71,964                             1.00                     71,964                       1.00                       Program Expenses 1,500                                1,500                          ‐                    Reallocation of Budget for Crew Arborist & Office Tech ‐                                    2.00                      ‐                              2.00                  Office Reconfiguration 100,000                           100,000                      ‐                    Program Expenses 42,000                             42,000                        ‐                    Increased Tree Planting Funding 150,000                           150,000                      ‐                    Promising Youth Program ‐ Youth Specialists ‐ (Grade 15) (3 New, 1  Grant Ends July22, 11 Months)   Community Outreach and Recruiting Coordination with HR (Grade  25) (12 Months) (REP Funded) Forest Growth, Preservation & Tree Maintenance Area Forester ‐  (Grade 22) (9 Months) General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Tree Watering Public Education Campaign One‐time 50,000                          July Holiday Celebrations East and West Non‐fireworks Displays 30,000                          New Properties & Amenities:‐                               ‐                    New Properties & Amenities: Islands and Medians Seasonal Staff 81,400                             81,400                        ‐                    57,702                             1.00                     57,702                       1.00                  Seasonal Staff 29,000                             29,000                        ‐                    Program Expenses 39,237                             39,237                        ‐                    62,307                             1.00                     62,307                       1.00                 (62,307)                        (1.00)                    (1.00)                 Program Expenses 1,500                                1,500                          ‐                    Seasonal Program Assistant & Activation & Materials 35,000                             35,000                        ‐                    Board & Community Council Liaison ‐ (Grade 19) (9 Months) 64,446                             1.00                     64,446                       1.00                 (64,446)                        (1.00)                    (1.00)                           Program Expenses 1,500                                1,500                          ‐                    Office Facilitator II 64,446                         1.00                     1.00                  TOTAL Public Lands 23,554,357            136.35          687,424             8.00              24,241,781       144.35       23,542,252        135.35          687,424          8.00              24,229,676       143.35        Public Services 31,666,097            229.00          2,675,831         20.00            34,341,928       249.00        Personal Services Base to Base Changes 403,951                           (4,016)                        399,935                      ‐                    Annualization of partially funded positions 133,329                            ‐                              133,329                      ‐                    Pension Changes 19,034                             3,358                          22,392                        ‐                    Insurance Rate Changes 162,736                           12,400                       175,136                      ‐                    Merit Changes 142,242                           6,344                          148,586                      ‐                    Salary Proposal 841,568                           62,552                       904,120                      ‐                    NFP & CCAC Cost Projections [95 Impacted Employees] 9 Months Fu 368,107                           368,107                      ‐                   (92,026)                         Budget Amendment #2 ‐ Salary Changes 568,646                           77,623                       646,269                      ‐                                          390,552                        3.00                        390,552                    3.00  Fleet Fuel Cost Increase 96,709                             96,709                        ‐                    Remove Concrete Road Maintenance Initiative [One Time] (69,500)                            (69,500)                       ‐                    Change in part‐time position salary costs 44,524                             44,524                        ‐                    Contractual Increases ‐ CPI 4.6% 340,500                           340,500                      ‐                    Utility Increase 464,000                           464,000                      ‐                    Deputy Director (Grade 38) (10 Months) 156,069                           1.00                     156,069                     1.00                  Program Expenses 5,000                                5,000                          ‐                    Financial Analyst (Grade 29) (10 Months) 106,175                           1.00                     106,175                     1.00                  Program Expenses [One‐Time $2,400] 7,000                                7,000                          ‐                    Sr. Project Manager ‐ Engineering (Grade 34) (10 Months) 131,190                           1.00                     131,190                     1.00                  Program Expenses [One‐Time $4,780] 11,100                             11,100                        ‐                    Sr. Project Manager ‐ Facilities (Grade 34) (10 Months) 131,160                           1.00                     131,160                     1.00                  Program Expenses 8,000                                8,000                          ‐                    Safety Coordinator (Grade 26) (10 Months) 93,815                             1.00                     93,815                       1.00                  Program Expenses 5,000                                5,000                          ‐                    138,460                     2.00                     138,460                     2.00                  Program Expenses 20,000                       20,000                        ‐                    Expansion of Traffic Signal Maintenance (Grade 23) (10 Months) 83,175                       1.00                     83,175                       1.00                  Program Expenses 16,300                       16,300                        ‐                    115,479                           1.00                     115,479                     1.00                  Program Expenses 8,000                                8,000                          ‐                    New Facilities Maintenance Funding 48,000                             48,000                        ‐                    TOTAL Public Services 36,007,931            235.00          3,482,579         26.00            39,490,510       261.00       35,915,905        235.00          3,482,579       26.00            39,398,484       261.00        911 Dispatch 8,735,055              100.00          281,325             8.00              9,016,380         108.00        Personal Services Base to Base Changes (96,673)                            (96,673)                       ‐                    Annualization of partially funded positions 50,691                             511,059                     561,750                      ‐                    Budget Amendment #4 ‐ CCP‐Rapid Intervention Team (Transfer  from ARPA to GF) Expansion of Traffic Sign & Marking Maintenance (Grade 18) (10  Months) New Properties & Amenities: Roots Disc Golf ‐ Sr Groundskeeper ‐  (Grade 16) (9 Months) New Properties & Amenities: Fisher Mansion Carriage House ‐  Recreation Program Coordinator ‐ (Grade 18) (9 Months) Operations Manager ‐ Business Districts ‐ Facilities (Grade 31) (10  Months) General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Pension Changes 10,992                             10,992                        ‐                    Insurance Rate Changes 62,552                             62,552                        ‐                    Merit Changes 2,802                                2,802                          ‐                    Salary Proposal 328,350                           328,350                      ‐                    NFP & CCAC Cost Projections [1 Employee Impacted] 9 Months Fund 7,049                                7,049                          ‐                   (1,762)                           Budget Amendment #2 ‐ Salary Changes 321,295                           321,295                      ‐                    Eliminate Dispatchers (‐8) (735,934)                          (8.00)                    (735,934)                    (8.00)                 Dispatch Salary Enhancement 1,048,559                        1,048,559                   ‐                    Telephone Bill Increase 21,480                             21,480                        ‐                    Software Maintenance Contracts 50,000                             50,000                        ‐                    Overtime 250,000                           250,000                      ‐                    Training Cost Increase 9,200                                9,200                          ‐                    Animal Costs and Materials and Supplies 4,100                                4,100                          ‐                    Convention Presence and Networking 10,000                             10,000                        ‐                    Public Relations Campaign 2,000                                2,000                          ‐                    TOTAL 10,081,518            92.00            792,384             8.00              10,873,902       100.00       10,079,756        92.00            792,384          8.00              10,872,140       100.00        Non Departmental FY2022 Budget Changes FY2022 Budget Changes FY2023 Proposed Governmental Transactions Airport Trail Reimbursement 103,887                           103,887                      Apprenticeship Program 1,025,000           1,025,000                   City Hall Security Improvements One‐time 933,000                        City Hall Police Presence Ongoing 267,000                        Fire SCBA 197,000                           400                      197,400                      Police Body Cameras and Vehicle Integration 687,422                           512,578                     1,200,000                   Axon Body Camera Services Enhancement 349,692                           349,692                      Parking Meter Replacement Lease (3 Years starting in FY2024)‐                                    ‐                               City Resident Bus Pass (HIVE) 1,260,000                        (100,000)             1,160,000                   Free Bus Passes for School Children (Expansion of HIVE) 100,000              100,000                      Federal Grant Match Account 1,000,000           1,000,000                   Contract for Animal Services 1,910,487                        57,898                1,968,385                   Demographic Contract 50,000                             50,000                        Jordan River Commission (Membership) 14,000                             14,000                        Municipal Elections Proposed GO Bond One‐time 91,673                             (91,673)                ‐                              20,000                          2021 Ranked Choice Voting Public Awareness and Education  Outreach (One‐time)50,000                             (50,000)                ‐                               Retirement Payouts 696,000                           696,000                      Sorenson Center with County 1,014,800                        1,014,800                   Tuition Aid program 300,000                           20,000                320,000                      Washington D. C. Lobbyist 75,000                             75,000                        Inter‐Governmental Transfers Capital Improvement Fund: Debt Service Fund Debt Service on Bonds 7,642,380                        1,704,416           9,346,796                   Debt Service on ESCO 896,500                           896,500                      Debt Service on LBA ‐                                    1,174,025           1,174,025                   Ongoing Commitments Transfer to CIP for ongoing commitments 560,869                           39,131                600,000                      Facilities Maintenance 350,000                           350,000                      Parks Maintenance 250,000                           250,000                      Parks Maintenance from FOF 2,000,000           2,000,000                   Vacant Building Maintenance 700,000              700,000                      New Projects Capital Improvement Projects and Maintenance Fund 6,707,135                        600,000              2,300,000                  800,000              10,407,135                General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Restoration for City Buildings (Earthquake) (Insurance  Reimbursed) [One‐Time]2,000,000           2,000,000                   Set Aside Hand Held Radios [One Time] 3,700,000           3,700,000                   Historic Signs/Markers One‐time 30,000                          Transfer Out to CIP Fund Funding Our Future Transit Key  Routes Holding Account (One‐time) (600 North Corridor  Transformation) 1,879,654                  (1,879,654)           ‐                               Fleet Fund: Fleet ‐ Replacement Fund 5,100,000                        (100,000)             5,000,000                   Public Safety Apparatus/Vehicle Replacement 4,000,000                  4,000,000                   Streets Fleet Equipment/Vehicle Replacement 950,916                     749,084              1,700,000                   Remove FY2022 Proposals with New Vehicles [One Time] Fire ‐ Emergency Management Vehicles 105,000                           (105,000)              ‐                               Public Services ‐ Concrete Maintenance Equipment 58,000                       (58,000)                ‐                               Public Services ‐ Engineering Position Increases Vehicles  (2)55,800                             (55,800)                ‐                               FY2023 Proposed Changes with New Vehicles [One Time] Fire ‐ MRT 50,000                50,000                        Police ‐ Recruitment Coordinator 60,300                60,300                        Police ‐ Civilian Response Team Program Director 60,300                60,300                        Police ‐ Civilian Response Team Members 315,000              315,000                      Public Lands ‐ Forest Growth (2 Electric Trucks) 100,000              100,000                      Public Lands ‐ Fisher Mansion Carriage House 53,000                53,000                        Public Services ‐ Sr Project Manager 35,000                35,000                        Public Services ‐ Traffic Sign & Marking 133,000              133,000                      Public Services ‐ Traffic Signal Maintenance 170,300              170,300                      Public Services ‐ Business District Operations Manager 35,000                35,000                        Fleet ‐ Centralized Fleet Maintenance 6,618,703                        181,736              138,500                     6,938,939                   Golf Fund: Golf (Living Wage and CCAC Salary Adjustments Transfer) 370,100                           370,100                      Golf ESCO Payment Transfer [One‐Time] Prior Year 484,000                           (484,000)              ‐                               Golf ESCO Payment Transfer [One‐Time] Current Year 493,239              493,239                      Golf Admin Fee Transfer 315,779                           23,556                339,335                      Golf IMS Fee Transfer 200,000                           150,000              350,000                      Rosepark Infrastructure renewal 500,000                           500,000                      Governmental Immunity Fund 2,767,963                        2,767,963                   Taxing Change ‐ Move to Governmental Immunity Fund (2,767,963)          (2,767,963)                 Information Management Services Fund: IMS Services 14,340,693                      430,054                     14,770,747                Salary Changes 471,887              471,887                      LTD Insurance 20,700                20,700                        Apprentice Program 288,581              288,581                      Contractual Changes 767,282              767,282                      Technical and Inflationary Changes 515,291              515,291                      New Initiatives 789,330              789,330                      New Positions 535,777              535,777                      IMS Expenses for New Positions (GF ‐ 47, FOF ‐ 22) 141,000              66,000                207,000                      Insurance and Risk Management Fund 2,247,617                        349,974              2,597,591                   Move LTD from PD to Insurance and Risk 193,000              193,000                      SDI & LTD Changes 335,000              335,000                      General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Public Utilities Funds: Public Utilities ‐ HIVE : Pass through expense 61,000                             61,000                        Public Utilities ‐ Land Swap payment 200,000                           200,000                      Public Utilities ‐ Assistance 100,000              100,000                      Street Lighting ‐                               Street lighting (GF owned properties) 50,000                             50,000                        Street Lighting in Enhanced Service Areas (GF owned  properties)54,420                             54,420                        SAA Street Lighting [$60,000 One‐Time] 20,000                             60,000                80,000                        Redevelopment Agency Fund RDA Tax Increment 14,096,642                      1,435,778           15,532,420                 Housing Plan ‐ Land Discounts and Financing (transfer to  RDA) 2,590,000                  2,590,000                   Special Revenue Fund Environmental Assessment Fund 100,000              100,000                      Emergency Demolition Revolving Fund [One‐Time] 200,000              200,000                      Sustainability Fund BA#7 Transfer to Sustainability 440,000              440,000                      Transfer for E&E Operations 450,000              450,000                      Transfer for Salary Adjustments 83,126                83,126                        Transfer for C‐Rep Contribution Funds 275,000              275,000                      Transfer for One Time Projects (Community Lawn Mower  Exchange, EV Charging Stations)464,000              464,000                      Municipal Contributions & Civic Support Mayor ‐ Receptions/Employee Appreciation 20,000                             20,000                        ACE Fund 200,000                           200,000                      Board and Commissions honoraria 26,000                             26,000                        City County Building Branding [One‐Time] 75,000                75,000                        Diversity Outreach (CoCs, etc.) 3,000                                3,000                          Fair Park Public Market from Underserved Neighborhoods  Holding Account 1,000,000                        (1,000,000)           ‐                               Healthcare Innovation ‐ Biohive (BA#6) 50,000                50,000                        Biohive Branding and Marketing [One Time] 35,000                35,000                        Housing Authority Transitional Housing 85,000                             85,000                        Legal Defenders 1,292,774                        111,903              1,404,677                   Local Business Marketing Grants 20,000                             20,000                        Local First 20,000                             (20,000)                ‐                               Music Licensing Fees 7,000                                7,000                          National League of Cities and Towns 11,535                             11,535                        Open Streets Initiative Closing Main Street Fridays and  Saturdays One‐time 150,000                        Rape Recovery Center 30,000                             30,000                        Sister Cities 10,000                             10,000                        Salary Contingency 12,361,388                      (12,361,388)        ‐                               Salt Lake City Arts Council 650,000                           650,000                         Salt Lake City Arts Council Changes 150,000              150,000                      Salt Lake City Foundation 3,000                                3,000                          SL Area Chamber of Commerce 50,000                             50,000                        Shooting Range Remediation [One‐Time] 500,000              500,000                      Suazo Membership (BA#6) 45,000                45,000                        Hispanic Entrepreneurs Program [One‐Time] 30,000                30,000                        Sugar House Park Authority 224,795                           224,795                      Tracy Aviary 674,922                           44,445                719,367                      US Conference of Mayors Membership 12,242                             12,242                        Utah Economic Development Corporation 108,000                           108,000                      General Fund FTE  Funding Our  Future FTE TOTAL FTE General Fund FTE  Funding Our  Future FTE TOTAL FTE Council Changes to MRB Issue General Fund Key Changes FY2023 Utah Foundation Membership 10,000                             (10,000)                ‐                               Utah League of Cities and Towns Membership 160,684                           22,879                183,563                      ULCT ARPA Assistance (One‐time) 20,000                             (20,000)                ‐                               World Trade Center Membership 50,000                             50,000                        YWCA ‐ FJC Wrap around services 45,000                             45,000                        Transfer Out to RDA North Temple Project Area the remaining  balance of Investments in Underserved Neighborhoods Holding  Account (One‐time) 669,138                           (669,138)              ‐                               Police Department and Racial Equity In Policing Funding Police Officer Training [One‐Time $150,400] 205,400                           205,400                      Social Worker Program 822,719                           (822,719)             139,390                     822,719              962,109                      Increased Mental Health Responders 562,500                           450,000                     1,012,500                   BA#2 Transfer Social Workers to Fire Department (316,092)             (316,092)                     Community Connections Center Lease and/or Repairs and  Remodel (One‐time)200,000                           (200,000)              ‐                               Diversifying Public Safety Civilian Response Models Holding  Account 2,001,608                  (1,159,608)          842,000                      Commission of Racial Equity & Policing 120,000                           120,000                      REP Commission Senior Staff Position [Moved to Mayor's  Office]190,000                           (190,000)              ‐                               REP Commission Peer Court Support 20,000                             20,000                        REP FY2021 Holding Account  [FY2021 REP Fund Balance] 2,284,899                        (503,707)             1,781,192                   Sales Tax Option ‐ Transit Plan Transit Plan ‐ Service for Key Routes (1, 2, 9 & 21) 5,601,319                  998,681              6,600,000                   Transit Plan ‐ On Demand Ride Services 1,100,000                  800,000              1,900,000                   Transit Plan ‐ UTA Outreach 100,000                     100,000                      NBA All Star Game (One‐Time) Police Staffing Estimates ‐ 3 Days 410,000              410,000                      Traffic ‐ $169,344 Motors ‐ $23,814 POU Standby ‐ $7,056 POU Callout ‐ $14,111 SWAT/SWAT Overwatch ‐ $33,810 HUD ‐ $10,143 PR Unit ‐ $7,120 Intelligence Analysts ‐ $6,280 SLIC $13,524 SVU, Drug Enforce, ETC ‐ $100,000 (NBA Meeting In July) CAN ‐ Transportation Road Closures ‐                        ‐                               Streets Barricades ‐ Outsourced 240,000              240,000                      Fire/Emergency Management Staffing 100,000              100,000                      Citywide Marketing (Banners, Stickers, Lanyards) 200,000              200,000                      Parks & Lands 50,000                50,000                        TOTAL Non‐departmental 92,964,558            3,781,266    22,252,019       3,551,730    122,549,573     94,364,558        3,781,266    22,252,019     3,551,730    123,949,573      Grand Total Expenses 376,891,817          1,989.95      47,215,097       144.00          424,106,914     2,133.95   378,322,311      1,990.95      47,215,097     144.00          425,537,408     2,134.95    Total Revenue ‐ Total Expenses 0                           ‐                   0                          Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  CIP Fund (FC 83) Revenue and Other Sources FY2022 Beginning Balance 29,138,526 Eliminate FY2022 GF funding (Including Funding Our Future, less  Debt Service)(12,047,658) Eliminate FY2022 Class C funding (3,021,706) Eliminate FY2022 Impact fee funding (8,276,103) Eliminate FY2022 funding from additional sources (5,793,059) FY2023 General Fund Funding (Excluding transfer directly to Debt Service)19,450,431 FY2023 General Fund Funding our Future 5,100,000 FY2023 General Fund One Time Sources [City Building Earthquake Repair, Radios]5,700,000 FY 2023 Less amount transferred directly to debt service (10,243,296) FY2023 Class C Funding (Excluding transfer directly to Debt Service)3,000,000 FY2023 Impact Fee Funding 3,360,193 FY2023 ¼¢ Sales Tax Funding 8,000,000 FY2023 Community Development Block Grant 722,000 FY2023 Funding from additional sources 371,059 Total Revenues and Other Sources Budget 6,321,861 35,460,387 35,460,387 Expenses and Other Uses FY2022 Beginning Balance 31,401,713 Eliminate FY2022 Ongoing Commitment Funding (1,583,423) Eliminate FY2022 Maintenance Funding (300,000) Eliminate FY2022 Capital Projects Funding (8,582,644) Eliminate FY2022 ¼¢ Sales Tax Funding (4,900,000) Eliminate FY2022 600 North Corridor Transformation (One‐time)(1,879,654) Eliminate FY2022 Class C Funding (2,255,310) Eliminate FY2022 Streets Impact Fee Funding (491,520) Eliminate FY2022 Parks Impact Fee Funding (6,800,450) Eliminate FY2022 Community Development Block Grant (322,000) Eliminate FY2022 Cost Overrun and Percent for Art (280,200) Eliminate FY2022 Transfer to Debt Service (148,505) Eliminate FY2022 Transfer to Debt Service ‐ Class C (975,377) Eliminate FY2022 Transfer to Debt Service/LBA ‐ Impact Fees Fire (984,133) Eliminate FY2022 Transfer to General Fund ‐ Impact Fees (Police)(1,898,497) FY2023 Ongoing Commitment Funding 5,122,554 FY2023 Maintenance Funding GF, Funding our Future 2,173,008 FY2023 General Fund One Time Sources [City Building Earthquake Repair, Radios]5,700,000 OTHER FUND KEY CHANGES ISSUE Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE FY2023 Capital Projects Funding 9,869,877 FY2023 Class C Funding 3,000,000 FY2023 Streets Impact Fees Funding 1,522,000 FY2023 Parks Impact Fees Funding 1,838,193 FY2023 ¼¢ Sales Tax Funding 5,000,000 FY2023 Community Development Block Grant Funding 722,000 Cost Overrun and Percent for art 364,250 Transfer to Debt Service ‐ General Fund 148,505 Completed Projects (152,660) Recapture Funding from Completed Projects to New Projects 152,660 $10 million Holding Account in BA#7 (2,000,000) Livable Streets Program One‐time 2,000,000 Total Expenditures and Other Uses Budget 1,906,014 33,307,727 33,460,387 Budgeted revenues and other sources over    (under) expenditures and other uses 4,415,847 2,152,660 2,000,000 Curb and Gutter (FC 20) Revenue and Other Sources FY2022 Beginning Balance 3,000 No Changes 0 Total Revenues and Other Sources Budget 0 3,000 3,000 Expenses and Other Uses FY2022 Beginning Balance 3,000 No Changes Total Expenditures and Other Uses Budget 0 3,000 3,000 Budgeted revenues and other sources over 00    (under) expenditures and other uses Misc. Special Service Districts (FC 46) Revenue and Other Sources FY2022 Beginning Balance 1,550,000 Change in revenue from New Assessment 150,000 Total Revenues and Other Sources Budget 150,000 1,700,000 1,700,000 Expenses and Other Uses FY2022 Beginning Balance 1,550,000 Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Change in expense from New Assessment 150,000 Total Expenditures and Other Uses Budget 150,000 1,700,000 1,700,000 Budgeted revenues and other sources over    (under) expenditures and other uses 00 Street Lighting Enterprise Fund (FC 48) Revenue and Other Sources FY2022 Beginning Balance‐base lighting 4,190,769 Street lighting fees 77,053 Change in interest income (18,000) Change in other revenues (4,759) Change in Grants & Other Related Revenues (2,841) Transfer from the General Fund 60,000 Total Revenues and Other Sources Budget 111,453 4,302,222 4,302,222 Expenses and Other Uses FY2022 Beginning Balance‐base lighting 5,699,663 2.72                      Personnel services 35,402 Charges for service 22,712 Debt services 48 Total Expenditures and Other Uses Budget 2.72                     58,162 5,757,825 5,757,828 Budgeted revenues and other sources over (1,455,603) (1,455,606)    (under) expenditures and other uses Water Utility (FC 51) Revenue and Other Sources FY2022 Beginning Balance 120,547,508 Change in Metered Water Sales 12,804,554 Change in Interest Income 485,164 Other Revenue Transfer from General Fund 300,000 Bond proceeds (26,146,000) Total Revenues and Other Sources Budget (12,556,282)107,991,226 107,991,226 Expenses and Other Uses 205,142  Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE FY2022 Beginning Balance 127,365,555 283.16                 Personnel services 5.00                        1,921,973 Operating & maintenance 419,311 Charges for service 1,654,744 Capital outlay 671,108 Capital improvements (611,000) Cost of bond issuance (146,000) Debt services 1,477,124 Total Expenditures and Other Uses Budget 288.16                5,387,260 132,752,815 132,753,098 Budgeted revenues and other sources over (24,761,589) (24,761,872)    (under) expenditures and other uses Sewer (FC 52) Revenue and Other Sources FY2022 Beginning Balance 278,727,760 Change in Sewer Utility Service Revenue 8,705,063 Change in Interest Income 776,084 Other sources 34,000 WIFIA Loan 32,075,000 Bond Proceeds (123,687,000) Total Revenues and Other Sources Budget 196,630,907 196,630,907 Expenses and Other Uses FY2022 Beginning Balance 268,213,796 Personnel Services 1.10                        1,027,712 Operating & Maintenance 508,749 Charges for Service 1,504,031 Capital Outlay (21,946) Capital Improvements (20,250,916) Cost of bond issuance (687,000) Debt Service 5,620,154 Total Expenditures and Other Uses Budget 127.65 (12,299,216)255,914,580 255,914,707 (82,096,853) 126.55  Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Budgeted revenues and other sources over    (under) expenditures and other uses (59,283,673) (59,283,800) Storm Water Utility (FC 53) Revenue and Other Sources FY2022 Beginning Balance 17,798,750 Change in Stormwater Utility Service Revenue 1,607,183 Change in Interest Income (44,200) Other Operating Revenues 39,000 Impact Fees 236,000 Bond Proceeds (6,160,000) Total Revenues and Other Sources Budget (4,322,017)13,476,733 13,476,733 Expenses and Other Uses FY2022 Beginning Balance 19,201,013 Personnel Services 0.90                        397,171 Operating & Maintenance 73,789 Charges for Service 608,399 Capital Outlay 1,419,000 Capital Improvements (2,805,500) Cost of Bond Issuance (34,200) Debt Service (159,950) Total Expenditures and Other Uses Budget 40.47 (501,291)18,699,722 18,699,762 Budgeted revenues and other sources over    (under) expenditures and other uses (5,222,989) (5,223,029) Airport Fund (FC 54,55,56) Revenue and Other Sources FY2022 Beginning Balance 257,989,599 Change in operating revenues 43,430,001 Change in passenger facility charges 0 Change in grants and reimbursements 1,849,000 Change in customer facility charges 0 Change in airport general revenue bonds 0 Change in interest income (1,000,000) Total Revenues and Other Sources Budget 44,279,001 302,268,600 302,268,600 39.57  Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Expenses and Other Uses FY2022 Beginning Balance 706,792,500 610.80 Change in operating expenses 8.50                        19,783,271 Change in Passenger Incentive Rebate 11,740,000 Change in interest expense (5,911,400) Change in capital equipment 1,621,800 Change in capital improvements projects (349,344,500) Total Expenditures and Other Uses Budget 619.30 (322,110,829)384,681,671 384,682,282 Budgeted revenues and other sources over    (under) expenditures and other uses (82,413,071) (82,413,682) Refuse (FC 57) Revenue and Other Sources FY2022 Beginning Balance 20,218,315 Refuse Collection Revenues 0 Other Misc. Revenues (782,194) Recycling Proceeds 175,000 Landfill (SLVSWMF) dividends (59,000) Sale of equipment and vehicles (371,000) Principal & Interest for CIK Loan Repayment (31,820) Finance Proceeds for Equip Purchases (see corresponding expense)(859,489) FY2023 Waste & Recycling Can Collection 15% Fee Increase 1,896,167 Transfer from General Fund for E&E 533,126 Transfer from GF: FY2023 C‐REP Multiple Anchor Community Participation Contribution Funds 275,000 Transfer from GF: Community Lawnmower Exchange (One‐time)250,000 Transfer from GF: New EV Charging Stations (One‐time)214,000 Total Revenues and Other Sources Budget 1,239,790 21,458,105 21,458,105 Expenses and Other Uses FY2022 Beginning Balance 24,713,505 63.00 Financed vehicle purchases (see corresponding revenue)(641,585) Lease payments for equipment purchases (199,805) Fleet maintenance 221,662 Fleet fuel 194,886 Tipping fees (303,560) Personal Services (Base and Salary Adjustments)364,573 Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Remove FY2022 One‐time Sustainability Projects Budget (655,000) FY2023 C‐REP Multiple Anchor Community Participation Contribution Funds 275,000 Community Lawnmower Exchange (One‐time)250,000 New EV Charging Stations (One‐time) ‐ Holding Account ‐ 214,000 Dept Equipment Exchange (One‐time)450,000 Climate and Energy [One‐Time]110,000 Air Quality [One‐Time]345,000 (300,000) Electrified Transporation Planning One‐time ‐ Holding Account ‐ 300,000 Health Food Access [One‐Time]195,000 (125,000) Food Equity Funding Request One‐time ‐ Holding Account ‐ 125,000 FY23 Zero Waste by 2040 Roadmap 200,000 IMS Network & Admin Costs (123,364) PUBS Billing Allocation Costs 25,664 Misc. Operational Expense (Admin Fees, Bldg Maint, Contracts)(683,304) Total Expenditures and Other Uses Budget 63.00 239,167 24,952,672 24,952,735 Budgeted revenues and other sources over    (under) expenditures and other uses (3,494,567) (3,494,630) Golf Fund ‐ Operations (FC 59) Revenue and Other Sources FY2022 Beginning Balance 9,486,680 Green Fees 790,718 Driving Range 49,055 Cart Rental 601,674 Retail Sales 56,213 Other (24,951) General Fund Transfer (IMS, Admin Fees)(333,841) Cash transfer to CIP Fund (3,000,000) Debt Proceeds ‐ Lease Capital (768,000) Total Revenues and Other Sources Budget (2,629,132)6,857,548 6,857,548 Expenses and Other Uses FY2022 Beginning Balance 8,982,948 33.65 Personal Services (COLA & Adjustments)352,323 Retail Merchandise 39,912 Operating Supplies 178,882 Increase for Utilities 26,520 Cart Rental Fee 429,917 Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Charges and Services 943,189 City Charges (IMS & Other Admin Fees)166,159 Operating Equipment Cash Purchases (169,073) Equipment Lease Capital (768,000) Total Expenditures and Other Uses Budget 33.65 1,199,829 10,182,777 10,182,811 Budgeted revenues and other sources over    (under) expenditures and other uses (3,325,229) (3,325,263) Golf Fund ‐ CIP Dedicated (FC 59) Revenue and Other Sources FY2022 Beginning Balance 913,433 Green Fees 273,089 Transfer from GF for ESCO 16,606 Transfer from GF for Rose Park Infrastructure Renewal 500,000 Cash Transfer from Golf Operations 3,000,000 Total Revenues and Other Sources Budget 3,789,695 4,703,128 4,703,128 Expenses and Other Uses FY2022 Beginning Balance 714,469 Debt Service Payments (ESCO)16,606 Capital Expenditures 3,812,164 Total Expenditures and Other Uses Budget 0.00 3,828,770 4,543,239 4,543,239 Budgeted revenues and other sources over    (under) expenditures and other uses 159,889 159,889 Emergency 911 (FC 60) Revenue and Other Sources FY2022 Beginning Balance 3,925,000 No Change 0 Total Revenues and Other Sources Budget 0 3,925,000 3,925,000 Expenses and Other Uses FY2022 Beginning Balance 4,056,856 Remove One‐Time Funding from FY2022 for Projects (406,856) Change in Transfer to General Fund 150,385 Total Expenditures and Other Uses Budget (256,471)3,800,385 3,800,385 Budgeted revenues and other sources over Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE    (under) expenditures and other uses 124,615 124,615 Fleet Management (FC 61) ‐ Maintenance Revenue and Other Sources FY2022 Beginning Balance 13,431,318 Fuel revenue impact 1,454,004 Work Order billings 939,268 Car Wash billing increase (18,021) Miscellaneous 1,000 Transfer from General Fund 27,455 Total Revenues and Other Sources Budget 2,403,706 15,835,024 15,835,024 Expenses and Other Uses FY2022 Beginning Balance 13,418,886 45.00 FY2022 Base Personal Service Adjustments (120,170) Salary Increase and Merit Changes 1.00                        148,865 Increase in Health Insurance 31,960 Increase in Pension 5,269 Merit Increase 13,435 BA#2 Personal Services Fuel impact 1,441,816 Inflation factor Finance admin 13,480 Inflation factor Water. Sewer. Storm 15%1,735 Maintenance for GPS (495 additional vehicles)58,680 Miscellaneous 46,546 NFP & CCAC Cost Projections 27,455 Parts 8% increase 222,097 Sublet 8% Increase 235,640 Car wash debris clean out increased with PU not involved 88,896 FASTER Web server subscription thru the Cloud 14,644 Safety gloves to work on electric vehicles 2,720 Two electric charging stations 113,000 Total Expenses and Other Uses Budget 112,772.00 2,346,068 15,764,954 15,764,999 Budgeted revenues and other sources over    (under) expenditures and other uses 70,070 70,025 Fleet Management (FC 61) ‐ Replacement Revenue and Other Sources 112,726  Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE FY2022 Beginning Balance 14,506,689 Change in Leased Purchases to stay under $4M debt service cap (2,000,000) Transfer from GF for Debt Service (5,189) Streets Funding our Future purchases 691,084 Vehicle sales at auctions 54,995 Transfer forVehicle Purchases (255,611) Total Revenues and Other Sources Budget (1,514,721)12,991,968 12,991,968 Expenses and Other Uses FY2022 Beginning Balance 14,671,690 Debt Service ‐ Current year lease purchases 4,738 Debt Service ‐ Prior years (9,926) Miscellaneous (197,169) New vehicle prep, parts, outsourced labor & admin (112,065) Reduced lease schedule purchases to $1M (2,000,000) Funding our Future ‐ Streets vehicles 691,084 Using Fleet fund balance to purchase vehicles 1,500,000 Total Expenditures and Other Uses Budget 0.00 (123,338)14,548,352 14,548,352 Budgeted revenues and other sources over    (under) expenditures and other uses (1,556,384) (1,556,384) Information Management Services (FC 65) Revenue and Other Sources FY2022 Beginning Balance 24,250,240 Change in Transfer from General Fund 3,595,848 Change in Transfer from Other Funds 2,486,079 Approporiation of Fund Balance 200,000 Total Revenues and Other Sources Budget 6,281,927 30,532,167 30,532,167 Expenses and Other Uses FY2022 Beginning Balance 24,302,487 84.00 Change in Personnel Expense Base to Base 497,583 Insurance 172,117 Salary Adjustment COLA 540,532 NFP & CCAC 286,740 Budget Amendment Changes BA#7 ‐  Network Engineer II (Grade 31) 1.00                        139,812 Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE BA#7 ‐ Desktop Management 162,000 BA#7 ‐ SIEM 500,000 Contractual Changes 1,262,418 Technical & Inflationary Increases 34,350 Initiatives  ‐ Survey Increased Cost 45,000  ‐ Penetration Testing 55,000  ‐ PC Replacement 421,525  ‐ Air Time Portable Computers 51,940  ‐ Admin Service Fees 20,000  ‐ Power BI and Other Analytics 70,000  ‐ Fiber Buildout & City Connect ‐ Free WiFi [One‐Time]150,000  ‐ Permits & Licensing Sortware 316,694  ‐ New Core Switch 150,000  ‐ WiFi Buildout ‐ Internal buildout 100,000  ‐ Perpetual Storage (Cohesity and Azure)10,000  ‐ Cohesity Node 60,000 New Positions  ‐ Deputy Director (Grade 39) (11 Months) 1.00                        215,760  ‐ Enterprise Tech Solutions Manager (Grade 35) (10 Months) 1.00                        136,946  ‐ IT Systems Analyst (Grade 33) (10 Months) 1.00                        125,670  ‐ Network Engineer II (Grade 31) (10 Months) 1.00                        115,467  ‐ Software Support Admin II (Grade 30) (10 Months) 1.00                        110,686  ‐ Civic Engagement Program Specialist (Grade 24) (10 Months) 2.00                        165,960 Apprentice Program 313,480 Total Expenditures and Other Uses Budget 92.00 6,229,680 30,532,167 30,532,251 Budgeted revenues and other sources over    (under) expenditures and other uses 0 (84) County Quarter Cent Sales Tax for Transportation (FC69) Revenue and Other Sources FY2022 Beginning Balance 7,700,000 Change in revenue 3,000,000 Remove FY2021 State Initiated County Local Option Sales Tax (1,100,000) Total Revenues and Other Sources Budget 1,900,000 9,600,000 9,600,000 Expenses and Other Uses FY2022 Beginning Balance 5,307,142 3.00                      Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Remove Personnel Costs (Transferred to GF) (3.00)                      (407,142) Transfer to General Fund for Personnel 358,748 Remove FY2022 Transfer to CIP (4,900,000) Transfer to Debt Services ‐ SIB 1,100,000 Transfer to CIP ‐ Projects 5,000,000 Transfer to CIP ‐ Complete Streets 3,000,000 Total Expenditures and Other Uses Budget ‐                       4,151,606 9,458,748 9,458,751 Budgeted revenues and other sources over    (under) expenditures and other uses 141,252 141,249 CDBG Operating (FC 71) Revenue and Other Sources FY2022 Beginning Balance 5,341,332 Change in Federal Funds (670,815) Total Revenues and Other Sources Budget (670,815)4,670,517 4,670,517 Expenses and Other Uses FY2022 Beginning Balance 5,341,332 Change in Federal Funds 867,101 Change in Transfer to Housing (1,250,000) Total Expenditures and Other Uses Budget (382,899)4,958,433 4,958,433 Budgeted revenues and other sources over    (under) expenditures and other uses (287,916) (287,916) Misc. Grants Operating (FC 72) Revenue and Other Sources FY2022 Beginning Balance 16,937,971 Change in Federal Grant Revenue (695,681) Change in Program Income 0 Change in Appropriation of Cash 0 Change in ARPA Funding 17,916,628 Total Revenues and Other Sources Budget 17,220,947 34,158,918 34,158,918 Expenses and Other Uses FY2022 Beginning Balance 18,684,617 Change in Approved Grant Expenditures 115,495 Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE American Rescue Plan Grant  ‐ Revenue Replacement [Transfer to General Fund] 8,457,465  ‐ Salary Restoration 1,545,746  ‐ Special Projects Assistant (93,829)  ‐ Youth & Family Community and Program Manager (90,633)  ‐ Youth & Family COVID Programming (711,350)  ‐ Economic Development Strategic Plan (Economic Development)(50,000)  ‐ Economic Development Staff (Economic Development)(79,000)  ‐ Grant Administrator (Finance)(6,020)  ‐ Grant Manager (Finance)(95,000)  ‐ Apprenticeship Program to GF (1,000,000)  ‐ MRT Expansion to GF (136,762)  ‐ Remove One‐Time for MRT Expansion (46,700)  ‐ Remove One‐Time ARPA Holding Account (1,583,500)  ‐ HEART 59,565 Appropriation of HOME Program Income 1,644,059 Total Expenditures and Other Uses Budget 7,929,536 26,614,153 26,614,153 Budgeted revenues and other sources over    (under) expenditures and other uses 7,544,765 7,544,765 Other Special Revenue Fund (FC73) Revenue and Other Sources FY2022 Beginning Balance 273,797 Transfer from GF ‐ Environmental Assessment Fund 100,000 Transfer from GF ‐ Emergency Demolition Revolving Fund 200,000 Remove FY2022 Appropriation of Cash (273,797) Total Revenues and Other Sources Budget 26,203 300,000 300,000 Expenses and Other Uses FY2022 Beginning Balance 273,797 Enviromental Assessment Fund 100,000 Emergency Demolition Revolving Fund [One‐Time]200,000 Remove FY2022 Expense (273,797) Total Expenditures and Other Uses Budget 26,203 300,000 300,000 Budgeted revenues and other sources over    (under) expenditures and other uses 00 Donation Fund (FC 77) Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Revenue and Other Sources FY2022 Beginning Balance 2,752,565 Change in Revenue from GUCOA 167,685 Total Revenues and Other Sources Budget 167,685 2,920,250 2,920,250 Expenses and Other Uses FY2022 Beginning Balance 2,752,565 Change in GUCOA Expense 117,685 Total Expenditures and Other Uses Budget 117,685 2,870,250 2,870,250 Budgeted revenues and other sources over    (under) expenditures and other uses 50,000 50,000 Housing (FC 78) Revenue and Other Sources FY2022 Beginning Balance 13,129,000 Change in Transfer from CDBG (1,250,000) Change in Program Income (890,000) Change in Interest Income 335,200 Change in Miscellaneous Income/Sale of Property 150,000 Change in Appropriation of Cash 3,282,800 Change in Loan Principal and Escrow Payments 1,460,000 Total Revenues and Other Sources Budget 3,088,000 16,217,000 16,217,000 Expenses and Other Uses FY2022 Beginning Balance 16,121,000 Change in Loan Disbursements and Associated Expenses 3,110,000 Change in Funding Our Futures Expenses 0 Change in Other Expenses 1,200,000 Change in Interest Expense (32,000) Change in Note Payable & T&I Payments (415,000) Change in Transfer to General Fund (750,000) Change in Transfer to RDA Fund (2,590,000) Change in Transfer to CDBG Fund (1,250,000) Appropriation from Program Income 10,385,253 Total Expenditures and Other Uses Budget 9,658,253 25,779,253 25,779,253 Budgeted revenues and other sources over    (under) expenditures and other uses (9,562,253) (9,562,253) Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Debt Service (FC 81) Revenue and Other Sources FY2022 Beginning Balance 30,115,423 Change in G.O. Property Tax 52,789 Change in Debt Service from RDA (276,556) Change in Transfer from Transportation 1,100,000 Change in Transfer from General Fund 584,444 Change in Transfer from CIP 144,500 Change in Lease Payments 318,608 Change in Transfer from Refuse (660) Change in Transfer from Fleet (559) Total Revenues and Other Sources Budget 1,922,566 32,037,989 32,037,989 Expenses and Other Uses FY2022 Beginning Balance 31,850,423 Change in Debt Service Payments and related expenses 1,808,135 Remove One‐Time Transfer Out from North Temple Viaduct Bond  RDA Reimbursement to North Temple Project Area (1,000,000) One‐time transfer out from North Temple to Housing 1,000,000 Total Expenditures and Other Uses Budget 1,808,135 33,658,558 33,658,558 Budgeted revenues and other sources over    (under) expenditures and other uses (1,620,569) (1,620,569) Government Immunity (FC 85) Revenue and Other Sources FY2022 Beginning Balance 2,787,963 Change in Transfers In from General Fund (2,767,963) Change in Transfers In from Other Funds New Tax Revenue (maximum rate allowed per State Law)4,000,000 (55,477) Total Revenues and Other Sources Budget 1,232,037 4,020,000 3,964,523 Expenses and Other Uses FY2022 Beginning Balance 2,933,913 9.00 Change in Personnel Expense 235,854 Change in Other Expense 0 Total Expenditures and Other Uses Budget 9.00 235,854 3,169,767 3,169,776 Council  Changes  FY2022  Adopted  Budget   Full Time  Equivalent  Changes from FY2022 Budget  FY2023   Budget   FY2023   Budget  OTHER FUND KEY CHANGES ISSUE Budgeted revenues and other sources over    (under) expenditures and other uses 850,233 794,747 Insurance and Risk Management (FC 87) Revenue and Other Sources FY2022 Beginning Balance 52,943,343 Change in Transfer from General Fund ‐ Operations 349,974 Change in Transfer from Other Funds ‐ Operations 265,708 Change in Employee Subsidized LTD (890,000) Change in Transfer from General Fund ‐ LTD 528,000 Change in Transfer from Other Funds ‐ LTD 500,000 Change in Health Insurance 2,420,000 Premium Holiday [One‐Time](1,438,025) Total Revenues and Other Sources Budget 1,735,657 54,679,000 54,679,000 Expenses and Other Uses FY2022 Beginning Balance 52,939,489 7.75 Change in Personnel Expense (0.35)                      39,735 Change in Property Insurance Premium & Excess Premium 303,054 Change in Comm Crime Bonds & Cyber Liability 346,570 Change in Overhead Expenses 59,971 Change in Health Insurance 2,420,000 Change in SDI (93,131) Removal of Employee paid LTD (1,111,999) Employer Paid LTD 1,213,336 Remove Transfer out of Fund Balance for Premium Holiday FY2023 (1,438,025) Total Expenditures and Other Uses Budget 7.40 1,739,511 54,679,000 54,679,008 Budgeted revenues and other sources over 0 (8)    (under) expenditures and other uses Total Revenue Budget Total Expense Budget FY2022 Adopted Budget Full Time Equivalent Changes from FY2020 Budget FY2023 Budget Multi-Agency Drug Task Force (FC41) Revenue and Other Sources FY2023 Beginning Balance 2,033,573 Remove FY2022 Funding (2,033,573) Appropriation of Cash Balance from Forfeiture 1,292,715 Appropriation of Cash Balance from Restitution 469,845 Total Revenues and Other Sources Budget (271,013)1,762,560 Expenses and Other Uses FY2023 Beginning Balance 2,033,573 Remove FY2021 Expense (2,033,573) Change in Operating Expense 1,762,560 Total Expenditures and Other Uses Budget (271,013)1,762,560 Budgeted revenues and other sources over (under) expenditures and other uses 0 MULTI-AGENCY DRUG TASK FORCE KEY CHANGES ISSUE