San Miguel Fire District 2017/2018 Budget (Amended March 28, 2018)

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General Fund Expenditure Summary San Miguel Fire District Code Account Title 5010 Director Benefits $26,291 5020 Director Fees $29,106 5030 Employee Benefits $5,438,548 5040 Employee Overtime $1,490,498 5050 Employee Salaries $6,984,480 6010 Communication Services and Equipment $65,676 6020 Equipment Maintenance $45,325 6030 Facilities Maintenance $120,622 6040 Fleet Maintenance $145,330 6050 Housekeeping Services and Supplies $20,620 6060 Insurance $672,760 6070 Medical Supplies $24,146 6080 Minor Equipment $108,388 6090 Office Supplies $40,500 6100 Personnel Development $58,925 6110 Professional Services $3,496,535 6120 Publications and Media $12,312 6130 Rents and Leases $8,038 6140 Safety Clothing and Supplies $56,935 6150 Special District Expense $166,733 6160 Travel and Subsistence $1,010 6170 Utilities $187,400 7010 Capital Expenditures $871,413 Total General Fund Budget $20,071,591 Other Funds Expenditure Summary Budget Offset Account Special Funded Programs Budget Contingency Reserves Fund Budget Uncompensated Leave Budget Capital Equipment Fund Budget Fixed Equipment Replacement Fund Budget Facilities Replacement/Renovation Fund Budget Vehicle Replacement Fund Budget Fire Mitigation Fee Fund Budget Unanticipated Expenditure Safeguard $0 $2,232 $0 $0 $19,500 $94,648 $1,200,943 $889,295 $1,000 $200,716 Grand Total Budget $22,479,925

Salaries and Benefits Employee Benefits (5030) Health Insurance - Employees Hired before 11/01/11 $722,144 Health Insurance - Employees Hired after 11/01/11 $488,986 Health Insurance - Retired on or Before 11/01/11 $554,880 Health Insurance - Retired After 11/01/11 $191,601 Health Insurance - Retired/Hired After 11/01/11 $1,574 Health Insurance - Lemon Grove Retirees $46,036 Vision Insurance $10,320 Dental Insurance $83,334 Medicare (District Portion - 1.45%) $122,889 Medicare/Social Security (Part-Time) (7.65%) $2,325 Medicare (Severance Agreement - CAL FIRE) $109 Retirement - Safety (19.52%) - Classic $824,060 Retirement - Safety (12.729%) - PEPRA $306,316 Retirement - Non-Safety (12.822%) - Classic $51,386 Retirement - Non-Safety (7.063%) - PEPRA $8,907 Retirement - Unfunded Liability (Safety) $1,808,443 Retirement - Unfunded Liability (Non-Safety) $108,443 Retirement- Unfunded Liability (Non-Safety PEPRA) $21 Retirement - 1959 Survivor Benefit $7,224 Severance Agreement - CAL FIRE Transition $7,500 Paramedic Recertification $35,100 Uniform Allowance $56,950 Total Employee Benefits $5,438,548 Employee Overtime (5040) Scheduled Overtime (18 Shifts) $1,325,886 FLSA $159,612 Total Employee Overtime $1,485,498 Employee Salaries (5050) Base Salaries - Safety $6,434,844 Base Salaries - Non-Safety $519,636 Hourly Contract Labor - Retired Annuitant - CFO $30,000 Total Employee Salaries $6,984,480 Total Salaries and Benefits $13,908,526

Administration - Board of Directors Director Benefits (5010) Health Insurance - Retired on or Before 11/01/11 $10,634 Health Insurance - Retired After 11/01/11 $13,401 Dental Insurance $0 Medicare/Social Security $2,256 Total Director Benefits $26,291 Director Fees (5020) Meetings $29,106 Total Director Fees $29,106 Employee Overtime (5040) Recording Secretary - Board Minutes $500 Total Employee Overtime $500 Personnel Development (6100) Board Workshops $300 Board Training $3,000 Director Training $1,000 Total Personnel Development $4,300 Special District Expense (6150) Smart Phone Data Access $0 Election Costs (estimate) $40,000 Total Special District Expense $40,000 Total Administration - Board of Directors $100,197

Administration - District Administration Equipment Maintenance (6020) Copier Maintenance Contract (includes toner) $0 Plotter Maintenance $525 Total Equipment Maintenance $525 Insurance (6060) FAIRA (Fire, Liability, Collision) $51,761 PASIS (Workers' Compensation) $620,999 Total Insurance $672,760 Minor Equipment (6080) Information Technology Equipment $15,000 Total Minor Equipment $15,000 Office Supplies (6090) Office Supplies/Postage $25,000 Office Furniture $1,000 Chairs - Replacement $13,000 Total Office Supplies $39,000 Personnel Development (6100) CFCA/AFSS Conference (2; all costs) $3,000 CFCA Conference (2; all costs) $3,000 TeleStaff Conference (1; all costs) $2,725 Government Finance Officer Conference (1; all costs) $2,500 CalPERS Education Forum (3; all costs) $4,500 Educational Programs $0 Total Personnel Development $15,725 Professional Services (6110) Annual Bond Administration Fee (Series 2003) $2,100 Annual SDRBA County Audit (estimate) $3,100 Annual Financial Audit (estimate) $19,995 Annual Fees and Taxes Consultant $10,000 CalPERS Side Fund Refinancing Bond Payment $1,790,549 GASB 75 - OPEB Actuary (estimate) $6,150 Arbitrage Rebate Computation (estimate) $600 CalPERS - GASB 68 Fee $3,400 GASB 68 - Actuary (estimate) $2,500 Legal Counsel $100,000 Transition Consultant $0 Station Relocation Consultant $12,000

IT Support Services $53,688 Employee Assistance Program $12,000 California Bank & Trust - Analysis Service Fee $4,000 Refunds - Property Taxes $110,000 Property Tax Services - Administrative Charges $210,000 Interest - County of San Diego Treasury Loans $15,000 Administration - District Administration ~ continued Professional Services (6110) ~ continued LAFCO Funding $12,656 CAL FIRE Cooperative Services Agreement $0 Total Professional Services $2,367,738 Publications and Media (6120) Miscellaneous Publications and Bulletins $500 Total Publications and Media $500 Rents and Leases (6130) Postage Meter $1,138 Copy Machine $6,900 Total Rents and Leases $8,038 Special District Expense (6150) Membership - CFCA $900 Membership - SDCFCA $100 Membership - CSDA/San Diego Chapter $150 Membership - GFOA (1) $175 Membership - IPMA $149 Membership - IAAP $150 Membership - CSMFO $110 Membership - FDAC $550 Membership - APT US&C $145 Membership - SDCFCA Admin Section (1 @ $30; 3 @ $15) $75 Membership - CFCA AFSS/Southern California (4 @ $50) $200 Membership - Costco $55 Badges, Service/Recognition Awards, Refreshments $6,500 Employee of the Year Award $500 Meeting Support/Supplies $3,000 Advertising Expense $1,000 Employment Posters $500 FLSA Manual Updates $687 Software Program Updates $2,500 Accounting Software Maintenance $10,000 Accounting Server $7,500 TeleStaff Annual Maintenance $2,000

Network Access (Cox) $15,200 Website Support $350 Website Hosting $1,000 Uncompensated Leave Liability $0 Total Special District Expense $53,496 Travel and Subsistence (6160) SDCFCA - Admin Section Meetings $90 CFCA/AFSS Quarterly Meetings $200 Miscellaneous Meetings $500 Total Travel and Subsistence $790 Administration - District Administration ~ continued Utilities (6170) Cell Phone Service (2) $1,200 Total Utilities $1,200 Total Administration - District Administration $3,174,772

Prevention - Code Enforcement Employee Overtime (5040) Prevention Overtime $2,500 Total Employee Overtime $2,500 Minor Equipment (6080) Miscellaneous Minor Equipment $300 Total Minor Equipment $300 Personnel Development (6100) CFCA/FPO Workshop (1; all costs) $1,500 ICC Building & Fire Code Update Seminars $500 Unannounced Local Seminars $300 San Diego County FPO Meetings $120 Fire Sprinkler Monthly Class $180 Total Personnel Development $2,600 Publications and Media (6120) National Fire Code Update Subscription Service $1,425 NFPA Publications $400 Miscellaneous Publications $1,852 Barclays Title 19 Update Service $290 Los Angeles Fire Marshal List Service $30 Total Publications and Media $3,997 Special District Expense (6150) Membership - SDCFCA/FPO Section (3 @ $50) $150 Membership - NFPA $185 Membership - ICC $50 Refreshments - Meetings $25 Code Pal Software Maintenance $2,260 Community / School Outreach Supplies $2,500 Total Special District Expense $5,170 Travel and Subsistence (6160) Southern California FPO Meetings $100 San Diego County FPO Meetings $120 Total Travel and Subsistence $220

Prevention - Code Enforcement Utilities (6170) Cell Phone Service (3) $1,800 Total Utilities $1,800 Total Prevention - Code Enforcement $16,587

Operations - District Operations Communications Services and Equipment (6010) Radio Repairs $2,500 RCS Backbone Maintenance (128 Radios @ $28.50/month) $43,776 Radio Service $13,000 Batteries, Antennae, Parts $3,500 First Watch Response Time Triggers $900 David Clark Headset Replacement $2,000 Total Communications Services and Equipment $65,676 Equipment Maintenance (6020) Ladder Maintenance and Annual Testing $3,000 Fire Extinguisher Maintenance $2,000 Fire Hose Repair and Maintenance $1,000 Hydrant Maintenance $1,000 Nozzle Repair/Maintenance $750 Gas Detector Maintenance $750 Chainsaw Chain and Equipment $4,000 Generator Maintenance $6,400 Rescue Tool Maintenance $5,000 Defibrillator Warranty and Maintenance $10,100 Physical Fitness Equipment Repair/Maintenance $2,000 Total Equipment Maintenance $36,000 Medical Supplies (6070) Defibrillator Replacement Batteries $1,250 AED Batteries $896 Defribrillator Replacement Items $6,000 Medical Supplies and Services $16,000 Total Medical Supplies $24,146 Minor Equipment (6080) Swift Water Rescue Equipment $1,000 Rope Rescue Gear $1,500 Accountability Equipment $395 Fire Hose $25,000 Flashlights and Chargers $1,175 Physical Fitness Equipment $5,000 Fire Service Equipment $25,000 Replacement Emergency Response Equipment $7,500 Rescue Air Bags $7,000 Turnout Drying Racks $1,500 Total Minor Equipment $75,070

Operations - District Operations ~ continued Professional Services (6110) ECO RCCP Program Cost $21,000 HCFA Dispatching $706,088 Respiratory Fit Tests (79) $1,975 Total Professional Services $727,088 Publications and Media (6120) Miscellaneous Publications and Bulletins $500 Personal Exposure Records (79) $1,580 Shift Calendars $760 Total Publications and Media $2,840 Safety Clothing (6140) Structure/Brush Gear $38,000 Nomex Hoods - PBI Gold $975 Helmets $3,000 Turnout Boots $2,000 Gloves - Structural $2,160 Gloves - Brush $400 EMS Jackets $5,000 Gear Bags $400 Miscellaneous Supplies/Repairs $5,000 Total Safety Clothing $56,935 Special District Expense (6150) Emergency Food/Water Supplies $5,000 Class "A" Foam $1,000 Class "B" Foam $0 F-500 Foam $8,300 Class "A" Uniforms (4) $5,000 Total Special District Expense $19,300 Utilities (6170) Cell Phone Service (4) $2,400 Total Utilities $2,400 Total Operations - District Operations $1,009,455

Operations - Facilities Management Employee Overtime (5040) Overtime $2,000 Total Employee Overtime $2,000 Facilities Maintenance (6030) HVAC Maintenance (all facilities) $15,000 Vehicle Exhaust System Maintenance $10,000 Apparatus Facility Maintenance $5,000 Overhead Door Maintenance (all facilities) $13,000 Pest/Termite Control (all stations) $3,000 Miscellaneous and Emergency Repairs (all facilities) $30,000 Electrical Gate Repair $2,000 Elevator Maintenance $1,800 Fuel Tank/Pump Maintenance $3,000 5-Year Sprinkler Certifications (Station 14, 15, 16, 22) $1,000 Station 15 Solar Panel Maintenance $1,422 Backflow Test (Station 14, 15, 16, 22) (Annual) $1,500 Sprinkler and Alarm Tests (Annual) $1,400 Carpet Replacement / Cleaning $8,500 Station Self-Improvement Program $9,000 Painting and Repair (Interior/Exterior) $5,000 Ice Machines Maintenance $2,000 Landscape Maintenance $3,000 Tree Maintenance (Station 22 & 23) $5,000 Total Facilities Maintenance $120,622 Housekeeping Services and Supplies (6050) Cleaning Supplies (all facilities) $12,000 Household Supplies $1,500 Janitorial Services (HQ) $6,360 Drinking Water $760 Total Housekeeping Services and Supplies $20,620 Minor Equipment (6080) Appliance Replacement $8,000 Landscape Maintenance Equipment $1,500 Total Minor Equipment $9,500

Operations - Facilities Management ~ continued Special District Expense (6150) Beds / Bedding / Covers $10,000 Recliner (Station 23) $4,000 Fire Station Office Chairs $1,000 Security System Enhancement $14,500 Chain Link Fence (Station 15) $2,500 Flags - US and California $700 Total Special District Expense $32,700 Utilities (6170) Gas and Electric $130,000 Telephone $20,000 Water and Sewer $22,000 Refuse Removal $10,000 Total Utilities $182,000 Capital Expenditures (7010) U.S. Bank (December - Principal and Interest) $831,925 U.S. Bank (June - Interest) $39,488 Total Capital Expenditures $871,413 Total Operations - Facilities Management $1,238,855

Operations - Fleet Management Fleet Maintenance (6040) Mobile Fire/Search and Rescue Trailer $9,400 Towing $1,500 Car Washes $250 Fuel $100,000 Tires (all vehicles) $27,000 Body Work $5,000 Apparatus Cleaning Supplies and Waxes $500 Linen Service (towels, rags, etc.) $1,680 Total Fleet Maintenance $145,330 Minor Equipment (6080) Small Tools/Equipment and Supplies $0 Oil Drum Pump $0 Total Minor Equipment $0 Professional Services (6110) Contract Apparatus Maintenance $300,000 Truck 15 Safety Inspection $750 Total Professional Services $300,750 Special District Expense (6150) Air Pollution Control Fees - Fuel $112 Air Pollution Control Fees - Generators $2,337 Environmental Health Fees - Fuel $597 Unleaded Fuel Tank Testing and Fees $3,250 Re-Branding $5,000 Miscellaneous Permits (HazMat, Fuel, etc.) $716 Total Special District Expense $12,012 Total Operations - Fleet Management $458,092

Operations - Mapping Office Supplies (6090) Supplemental Mapping Supplies $1,500 Total Office Supplies $1,500 Publications and Media (6120) Thomas Brothers/Atlas Map Books $975 Total Publications and Media $975 Special District Expense (6150) Mapping Software Maintenance $2,000 Total Special District Expense $2,000 Total Operations - Mapping $4,475

Operations - SCBA Program Equipment Maintenance (6020) Hydro Testing $2,300 Batteries $2,500 SCBA Mask Cleaner/Disinfectant $900 SCBA Compressor Maintenance $3,100 Total Equipment Maintenance $8,800 Minor Equipment (6080) SCBA Contract Repairs $2,500 SCBA Mask (with Voice Amp) (3) $1,944 Total Minor Equipment $4,444 Professional Services (6110) SCBA Contract Repairs $15,000 Total Professional Services $15,000 Total Operations - SCBA Program $28,244

Training - District Personnel Development Minor Equipment (6080) Ventilation Prop Materials $2,500 Live Fire Training Trailer - Material $1,074 Auto Extrication Vehicles $500 Total Minor Equipment $4,074 Personnel Development (6100) Educational Reimbursement - District Employees $19,800 CalPERS Education Forum (1; all costs) $1,500 Discretionary Training Offset $15,000 Total Personnel Development $36,300 Professional Services (6110) HTF Annual Assessment $85,959 FTES Tuition $13,500 Total Professional Services $85,959 Publications and Media (6120) Protocols and Medication Handbooks $600 ICS 420-1 Field Operations Guide Books $300 IFSTA Manuals $600 Training Aids / Manuals / DVDS $2,500 Total Publications and Media $4,000 Special District Expense (6150) Lunches - All Day Training $1,500 Membership - CFCA / EMS (1) $155 Membership - CFCA / TO $50 Total Special District Expense $1,500 Total Training - District Personnel Development $131,833

Training - Explorer Program San Miguel Fire District Special District Expense (6150) Explorer Post Charter Renewal Fee $30 Explorer Post Youth - Participation Fee (15 @ $24) $360 Explorer Post Adult - Participation Fee (6 @ $24) $144 Explorer Post - Insurance All Participants (21 @ $1) $21 Total Special District Expense $555 Total Training - Explorer Program $555

Community Outreach - Public Information Office Supplies (6090) Office Supplies Total Office Supplies $0 Total Community Outreach - Public Information $0

Community Outreach - Speakers Bureau Special District Expense (6150) Community/School Outreach Supplies Total Special District Expense $0 Total PIO - Speakers Bureau $0

Budget Offset Account Expenditures Election Cost $0 Total Budget Offset Account $0

Special Funded Programs Budget (Not Funded by Taxpayer Dollars) CERT - Grant $2,181 Community Preparedness Programs - Donations $51 Total Special Funded Programs $2,232

Contingency Reserves Fund Budget San Miguel Fire District Expenditures No Expenditures $0 Total Contingency Reserves Fund $0

Uncompensated Leave Fund Budget San Miguel Fire District Expenditures No Expenditures $0 Total Uncompensated Leave Fund Budget $0

Capital Equipment Fund Budget San Miguel Fire District Expenditures Mobile Data Computers (MDC) - 3 $19,500 Rescue Equipment $0 Total Capital Equipment Fund Budget $19,500

Facilities Replacement/Renovation Fund Budget Expenditures Fire Station - Pepper Drive $1,150,778 Appliances - Pepper Drive $0 Sorm Water (Major Use Permit) - Pepper Drive $0 Roof Replacement - Headquarters (Messanine) $20,165 Roof Replacement - Station 18 $30,000 Total Facilities Replacement/Renovation Fund Budget $1,200,943

Fixed Equipment Replacement Fund Budget Expenditures Overhead Door Replacement (2) $22,000 Asphalt / Concrete Work $15,000 Lease Payment - Solar Equipment $57,648 Breathing Apparatus Filling Station $0 Total Fixed Equipment Replacement Fund Budget $94,648

Vehicle Replacement Fund Budget San Miguel Fire District Expenditures Apparatus - Major Repairs $50,000 Apparatus - Type 1 Engine (2) - Approved 2014/15 $0 Outfit Type One Engine (2) $0 Fire Prevention Vehicle (1) $0 Emergency Response Vehicle (1) $74,050 Emergency Response Vehicle (1) $47,700 Administrative Vehicle (1) $0 Apparatus Type 1 Engine (1) $717,545 Total Vehicle Replacement Fund Budget $889,295

Fire Mitigation Fee Fund Budget San Miguel Fire District Operations Mapping Updates $1,000 Total Fire Mitigation Fund Budget $1,000