Operating and Capital Improvement Program Budget Proposals Fiscal Year 2018/2019. City of Placerville, California June 12, 2018

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Operating and Capital Improvement Program Budget Proposals Fiscal Year 2018/2019 City of Placerville, California June 12, 2018

2 Overview Sales Tax Trends General Fund Budget Other City Fund Budgets Capital Improvement Program Budget

3 Sales Tax Trends Bradley Burns Sales Tax (1.00% of 8.25%) Most significant local economic indicator 56.60% of total General Fund revenue Strong per capita sales tax ($444 in 2017) Placerville ranked #38 out of 539 agencies (2017) Quarter ended December 2017-Receipts up by $13,476 or 1.07% in Placerville^ Statewide, 4 th quarter receipts up by 5.2% ^City s fourth quarter 2017 sales tax included 1.98% in one-time negative adjustments. One larger business failed to report on time during the fourth quarter which was equivalent to a 1.43% increase.

4 Sales Tax Trends (Continued) Bradley Burns Sales Tax Sources Quarter Ended December 31, 2017 State Pool 0% Apparel Stores 0% General Merchandise Stores 3% Other Retail Stores 6% Food Stores 4% County Pool 20% All Other Outlets 7% Eating & Drinking Places 10% Home Furnishing & Appliances 1% Service Stations 6% Building Material & Farm Implements 14% Auto Dealers & Auto Supplies 29%

5 Sales Tax Trends (Continued) $400,000.00 $350,000.00 Year Over Year Bradley Burns Sales Tax Comparison Quarter Ended December 31st $300,000.00 $250,000.00 $200,000.00 $150,000.00 $100,000.00 $50,000.00 $- 2017 2016

6 Sales Tax Trends (Continued) Top 20 Sales Tax Generating Businesses In the City of Placerville Quarter Ended December 31, 2017 1- The Home Depot 2- Thompson's Toyota 3- Thompson's Auto & Truck Center 4- Thompson's Chrysler 5- Rancho Convenience Center (ARCO AM/PM) 6- Raley's 7- Hunt & Sons, Inc. 8- Shell Oil 9- Tractor Supply Co. 10- Rite Aid 11- Les Schwab Tire Centers 12- Big Lots Stores, Inc. 13- In-N-Out Burger 14- Verizon Wireless 15- Ferguson Enterprises, Inc. 16- OfficeMax 17- AU Energy 18- C & H Motor Parts, Inc. 19- Sierra Energy 20- Sierra Home Alternatives

Sales Tax Trends (Continued) 16.00% 14.00% 13.46% 14.07% 12.00% 10.00% 8.00% 6.00% 4.00% 7.46% 7.44% 5.66% 5.00% 8.97% 8.42% 4.04% 4.23% 3.50% 8.90% 6.00% 4.16% 3.20% 5.16% 3.60% 4.80% 2.80% 2.00% 0.00% -2.00% -4.00% July 1st to September 30th -3.06% 1.07% October 1st to December 31st January 1st to March 31st 0.08% April 1st to June 30th 2014 2015 2016 2017 2018-Forecast 2019-Forecast Forecast Fiscal Year 2017/2018 sales tax to be $4,865,541 Forecast Fiscal Year 2018/2019 sales tax to be $5,096,994 7

Sales Tax Trends (Continued) $6,000,000 $5,000,000 $4,000,000 $3,000,000 $2,000,000 $1,000,000 $0 Actual Sales Tax Revenues Adjusted for Annual Inflation Adjusted for Cumulative Inflation 8

9 General Fund Budget Only true source of discretionary dollars Local economic vitality and aggressive cost recovery are key to a healthy General Fund Pays for most major City services including public safety, street maintenance, parks, and recreation Began with status quo budget Maintains existing program delivery to the greatest extent possible

General Fund Budget Assumptions Projected economic impacts Assumes negotiated salary and benefit commitments to employees 9% Increase in Minimum wage (2019) 7% Increase in medical insurance premiums (2019) $116,561 Increase in pension contributions 31.17% increase in general liability insurance 20% Increase in property insurance 10

General Fund Budget Assumptions (Continued) 27.19% Increase in LAFCO fees $10,405 Conference, training, & travel expenses limited to health, safety, and certificate renewal type training $69,021 In AD, CSD, FD, CIP cost recovery No set aside for community promotions Retiree medical insurance costs on the payas-you-go basis (no GASB 45 pre-funding included) $75,000 Contingency for unforeseen expenditures Minimal capital outlay (equipment) expenditures 11

Annual Debt Service 12 Issue Total Payment General Fund Water Enterprise Fund Sewer Enterprise Fund 2006 SRF Loan $ 1,528,631 $ - $ - $ 1,528,631 2006 Wastewater Revenue 928,158 - - 928,158 1997 SRF Loan 219,271 - - 219,271 City Hall Capital Lease 188,724 118,104 25,987 44,633 2015 Equipment Lease 98,210 58,376 18,021 21,812 Total $ 2,962,994 $ 176,480 $ 44,009 $ 2,742,506

13 General Fund Transfers 2017/2018 2018/2019 $ Increase/ % Increase/ Revised Proposed (Decrease) -Decrease Gas Tax Fund to General Fund $ 286,898 $ 259,472 $ (27,426) -9.56% General Fund to Parking District Fund (8,656) (8,656) - 0.00% General Fund to General CIP Fund (82,689) (72,920) 9,769-11.81% General Fund to General Liability Fund (109,772) (141,400) (31,628) 28.81% Reserve for Economic Uncertainties to the General Fund 75,000 - (75,000) 0.00% Net transfers in $ 160,781 $ 36,496 $ (124,285) -77.30%

Alternative Service Levels Water Sewer Offsettin g Revenue s/saving General Enterprise Enterprise s/cost Request Net Cost Total Cost Fund Fund Fund Recovery (2) Adobe Acrobat Pro DC Software Subscriptions $ 360 $ 360 $ 120 $ 120 $ 120 $ - ArcGIS Desktop Software Subscription 4,575 4,575 1,525 1,525 1,525 - (3) Autodesk Civil 2018 AEC Software Subscriptions 8,265 8,265 2,755 2,755 2,755 - Establish additional Maintenance Worker II Position (0.50 FTE) Establish New Engagement and Work Order Tracking System Contribution Towards Countywide Homeless Coordinator Position Establish an Additional Part-Time Accounting Assistant II Position (0.48 FTE) Reclassification of Police Property Evidence Officer Position to a Police Property/Evidence Analyst Position 41,504 41,504-41,504 - - 10,899 10,899 3,633 3,633 3,633-10,000 10,000 10,000 - - - - 22,777 22,777 - - 22,777 3,534 3,534 3,534 - - - $ 79,137 $ 101,914 $ 44,344 $ 49,537 $ 8,033 $ 22,777 14

General Fund Budget 2017/2018 2018/2019 Revised Budget Proposed Budget Revenues $ 8,637,861 $ 9,005,919 Operating Expenditures 8,864,627 9,005,359 Net transfers in 160,781 109,416 Total expenditures & net transfers in 8,703,846 8,895,943 Surplus/(deficit) before (65,985) 109,976 other budget requests ASL Requests - 21,567 Capital Outlay - 2,700 Conference, Training, & Travel Requests - 10,405 CIP Project Requests - 72,920 Subtotal other budget requests - 107,592 Surplus/(deficit) after $ (65,985) $ 2,384 other budget requests From Fund Balance 65,985 - Surplus/(deficit) after $ - $ 2,384 other budget requests & reserves 15

16 General Fund Revenues by Source 2017/2018 2018/2019 $ Increase/ % Increase/ Revised Budget Proposed Budget (Decrease) -Decrease Sales Tax $ 4,867,323 $ 5,096,994 229,671 4.72% All Other Taxes 942,837 1,049,596 106,759 11.32% Construction Permits 125,000 105,000 (20,000) -16.00% Intergovernmental Revenues 876,104 902,879 26,775 3.06% Charges for Service 823,008 807,092 (15,916) -1.93% Fines & Forfeitures 60,000 52,385 (7,615) -12.69% Use of Money & Property 70,062 87,911 17,849 25.48% Other Financing Sources 873,527 904,062 30,535 3.50% Total revenues $ 8,637,861 $ 9,005,919 $ 368,058 4.26%

17 General Fund Expenditures & Net Transfers In 2017/2018 2018/2019 $ Increase/ % Increase/ Revised Budget Proposed Budget (Decrease) -Decrease Police $ 2,917,255 $ 3,023,819 $ 106,564 3.65% Development Services 1,105,360 1,149,137 43,777 3.96% Community Services 3,004,929 3,019,597 14,668 0.49% Elected Officials 133,966 123,600 (10,366) -7.74% City Administration 658,141 639,838 (18,303) -2.78% Finance 382,025 386,024 3,999 1.05% Non-Departmental 502,170 661,520 159,350 31.73% Total $ 8,703,846 $ 9,003,535 $ 299,689 3.44%

General Fund Expenditures & Net Transfers In (Continued) 2017/2018 2018/2019 $ Increase/ % Increase/ Revised Budget Proposed Budget (Decrease) -Decrease Personnel $ 6,619,789 $ 6,700,674 $ 80,885 1.22% Materials & Supplies 459,719 449,941 (9,778) -2.13% Contract Services 1,142,556 1,220,459 77,903 6.82% Other Expenses 562,197 591,257 29,060 5.17% Capital Outlay 5,366 2,700 (2,666) -49.68% Contingency 75,000 75,000-0.00% Subtotal expenditures 8,864,627 9,040,031 175,404 1.98% Net Transfers In 160,781 36,496 (124,285) -77.30% Total expenditures & transfers in $ 8,703,846 $ 9,003,535 $ 299,689 3.44%

19 General Fund Expenditures & Net Transfers In (Continued) Police $0.34 Development Services $0.13 Community Services $0.34 Elected Officials $0.01 Administration $0.07 Finance $0.04 Non-Departmental $0.07

General Fund Revenues vs. Expenditures & Net Transfers In 100% Other Sources Elected Officials Finance Charges for Services 90% Non-Departmental 80% All Other Taxes City Administration 70% Intergovernmental Revenues Development Services 60% Other Financing Sources 50% Community Services 40% 30% Sales Tax 20% Police 10% 0% Revenue 0 Expenditures 20

General Fund Historical Comparison (Continued) 21 General Fund Revenues vs. Expenditures $9,600,000 $9,100,000 $8,600,000 $8,100,000 $7,600,000 $7,100,000 $6,600,000 $6,100,000 $5,600,000 09/10 10/11 11/12 12/13 13/14 14/15 15/16 16/17 17/18 18/19 Actual Actual Actual Actual Actual Actual Actual Actual Forecast Forecast

22 Measure J Fund Budget 2017/2018 2018/2019 Revised Budget Proposed Budget Revenues $ 1,060,960 $ 1,086,970 Proposed Operating Expenditures 1,146,410 1,325,261 Net transfers in - - Total expenditures & net transfers in 1,146,410 1,325,261 Surplus/(deficit) before (85,450) (238,291) other budget requests From Operating Reserve 85,450 238,291 Surplus/(deficit) after $ - $ - other budget requests & reserves

Measure H Fund Budget 2017/2018 2018/2019 Revised Budget Proposed Budget Revenues $ 1,064,260 $ 1,098,350 Proposed Operating Expenditures - - Net transfers out (516,070) (1,098,350) Total expenditures & net transfers 516,070 1,098,350 out Surplus/(deficit) 548,190 - Set Aside for Capital Projects $ 548,190 $ - $582,280 Transfer to sewer Enterprise Fund (debt coverage and CIP projects) $516,070 transfer to Sewer Enterprise Fund (debt service) 23

24 Measure L Fund Budget 2017/2018 2018/2019 Revised Budget Proposed Budget Revenues $ 2,121,021 $ 2,177,664 Proposed Operating Expenditures - - Net transfers out - - Total expenditures & net transfers - - out Surplus/(deficit) 2,121,021 2,177,664 Set Aside for Capital Projects $ 2,121,021 $ 2,177,664 Assumes $2,177,664 set aside for street, sewer line, and waterline projects

Sewer Enterprise Fund Budget 2017/2018 2018/2019 Revised Budget Proposed Budget Revenues $ 5,405,591 $ 5,914,658 Proposed Operating Expenditures 6,244,046 6,265,868 Net transfers in 406,298 956,949 Total expenditures & net transfers in 5,837,748 5,308,919 Surplus/(deficit) before (432,157) 605,739 other budget requests ASL Requests - 8,033 Conference, Training, & - 9,715 Travel Requests Subtotal other budget requests - 17,748 Surplus/(deficit) after other (432,157) 587,991 budget requests From Rate Stabilization Reserve 432,157 - Surplus/(deficit) after other $ - $ 587,991 budget requests & reserves 25

Water Enterprise Fund Budget 2017/2018 2018/2019 Revised Budget Proposed Budget Revenues $ 1,943,256 $ 1,961,300 Proposed Operating Expenditures 1,833,484 1,737,727 Net transfers in (109,772) (141,401) Total expenditures & net transfers in 1,943,256 1,879,128 Surplus/(deficit) before - 82,172 other budget requests ASL Requests - 49,537 Capital Outlay Requests - - Conference, Training, & - 3,915 Travel Requests Subtotal other budget requests - 53,452 Surplus/(deficit) after - 28,720 other budget requests 26

27 Other Fund Budgets 2017/2018 Revised Budget Gas Tax Fund Parking District Fund SRO Grant Fund AB 3229 COPS Fund OTS Grant Fund 2018/2019 Proposed Budget 2017/2018 Revised Budget 2018/2019 Proposed Budget 2017/2018 Revised Budget 2018/2019 Proposed Budget 2017/2018 Revised Budget 2018/2019 Proposed Budget 201672018 Revised Budget 2018/2019 Proposed Budget Revenues $ 305,138 $ 477,871 $ 279,136 $ 301,104 $ 56,554 $ 60,648 $ 137,329 $ 147,459 $ - $ 21,995 Expenditures 30,000 208,399 216,050 207,948 56,554 60,645 131,116 147,459-21,995 Net Transfers (286,898) (297,472) (1,183) 261 - - - - - - Revenues over (under) Expenditures $ (11,760) $ (28,000) $ 61,903 $ 93,417 $ - $ 3 $ 6,213 $ - $ - $ - OJP BVP Grant Fund 2014 CHP Grant Fund General CIP Fund Orchard Hill LLMD Cottonwood Park LLMD 2017/2018 Revised Budget 2018/2019 Proposed Budget 2017/2018 Revised Budget 2018/2019 Proposed Budget 201672018 Revised Budget 2018/2019 Proposed Budget 2017/2018 Revised Budget 2018/2019 Proposed Budget 2017/2018 Revised Budget 2018/2019 Proposed Budget Revenues $ - $ 2,700 $ 50,000 $ 40,000 $ - $ - $ 20,464 $ 20,464 $ 14,555 $ 14,555 Expenditures - 2,700 49,999 39,857 - - 20,464 20,464 14,555 14,555 Net Transfers - - - - 82,689 72,920 - - - - Revenues over (under) Expenditures $ - $ - $ 1 $ 143 $ 82,689 $ 72,920 $ - $ - $- $-

28 Other Fund Budgets (Cont.) Ridge at Orchard Hill BAD-Zone 1 & Zone 1A General Liability Fund Equipment Replacement Fund Reserve for Economic Uncertainties 2017/2018 Revised Budget 2018/2019 Proposed Budget 2017/2018 Adopted Budget 2018/2019 Proposed Budget 2017/2018 Adopted Budget 2018/2019 Proposed Budget 2017/2018 Adopted Budget 2018/2019 Proposed Budget Revenues $ 34,820 $ 35,430 $ - $ 1,736 $ - $ - $ 3,000 $ 3,000 Expenditures 34,820 35,000 329,316 424,202 142,671 - - - Net Transfers - - 329,316 424,202 - - (65,161) 8,395 Revenues over (under) Expenditures $ - $ 430 $ - $ 1,736 $ (142,671) $ - $ (62,161) $ 11,395

29 Total Operating Budget 2017/2018 2018/2019 Revised Budget Proposed Budget Revenues $ 21,133,945 $ 22,371,823 Operating Expenditures^ 19,114,112 19,661,311 Net transfers in - - Total expenditures & net transfers in 19,114,112 19,661,311 Surplus/(deficit) $ 2,019,833 $ 2,710,512 (To)/From fund balance - - Surplus/(deficit) with fund balance $ 2,019,833 $ 2,710,512 ^Before capitalized expenditures.

30 Completed CIP Projects in Fiscal Year 2017/2018 Clay St. Bridge & Intersection at Main St., EIR Phase (CIP #406171) Western Placerville Interchange, Phase II PS&E Phase (CIP 407051) Water & Wastewater User Rate Study (CIP #41516) Water Reclamation Facility Asphalt Sealcoat (CIP #41702) Forni Road Emergency Repairs (CIP #41710) Monument garden, Vietnam Memorial Phase (CIP #41707) Downtown Bike Racks (CIP #41709) Waterline Service Replacement at Spring St. & Highway 49 Near Coloma St. (CIP #41711) Sodium Hydroxide Pump Manifold System Replacement (CIP #41801)

31 Completed CIP Projects in Fiscal Year 2017/2018 (Continued) Hangtown Creek Stream Flow & Temperature Gauge Replacements & Calibrations (CIP #41807) Placerville Drive Grind & Overlay-From Fair Ln. to Ray Lawyer Dr. (CIP #41818) Martin Ln. Pavement Repair (CIP #41827) Police Department Expansion Land Purchase (CIP #41829) Green Valley Rd. Pavement Rehabilitation-From Placerville Dr. to City Limits (CIP #41830) Placerville Drive Pavement Rehabilitation-From Ray Lawyer Drive to the Undercrossing at Highway 50 (CIP #41831) Town Hall HVAC Unit Replacement (CIP #41832)

Measures H/L Sales Tax Committee Recommendations for Fiscal Year 2018/2019 32 Fund $438,869 in new sewer system only projects Fund an additional $166,231 for existing sewer system projects Also use Measure H funds for sewer debt coverage Fund $1,043,000 in new street improvement projects Fund an additional $1,158,840 for existing street, water system, & sewer system projects

General Fund Downtown Parking Fund Measure H Fund Measure L Fund Water Enterprise Fund Sewer Enterprise Fund Total Projected Cost 33 Proposed CIP Budget Project Canal Street Pavement Rehabilitation-From Bee Street to Moulton Road Pacific Street Pavement Repair-From Clark Street to Cedar Ravine Road Ray Lawyer Drive Pavement Rehabilitation-From Placerville Drive to Fair Lane Spring Street Pavement Repair-From Coloma Road to Bedford Avenue $ - $ - $ - $ 180,000 $ - $ - $ 180,000 - - - 180,000 - - 180,000 - - - 300,000 - - 300,000 - - - 180,000 - - 180,000 Modular Treatment Unit (MTU) Servicing - - 188,869 - - - 188,869 Conrad Street Sewer Line Replacement-Coloma Street to Cottage Street - - 250,000 - - - 250,000 Old City Hall Roof Replacement 60,000 - - - - - 60,000 Town Hall Roof Repair 5,000 - - - - - 5,000

General Fund Downtown Parking Fund Measure H Fund Measure L Fund Water Enterprise Fund Sewer Enterprise Fund Total Projected Cost 34 Proposed Measures H/L CIP Budget (cont.) Project Town Hall Carpet Replacement 7,920 - - - - - 7,920 Lower Airport Road Asphalt Rehabilitation - - - 39,000 - - 39,000 Big Cut Road Asphalt Rehabilitation - - - 34,000 - - 34,000 Lower Main Street Asphalt Rehabilitation - - - 65,000 - - 65,000 Upper Airport Road Asphalt Rehabilitation - - - 65,000 - - 65,000 Tetrault Parking Lot Retaining Wall Repair - 18,600 - - - - 18,600 Fox Lot Parking Lot Rehabilitation (TBD) - 21,000 - - - - 21,000 Public Parking Rehabilitation - 26,117 - - - - 26,117 Parking Structure Restriping - 7,700 - - - - 7,700 Water & Wastewater Capital Improvement Charge Study - - - - 11,500 11,500 23,000 Total $ 72,920 $ 73,417 $ 438,869 $ 1,043,000 $ 11,500 $ 11,500 $ 1,651,206

35 Comments From June 6 th Budget Workshop Staff will prepare a comprehensive 5-year equipment replacement program & funding options this fall for the City Council s consideration Strive towards replacing additional desktop computer at the PD Secure an ongoing pavement repair contract with a local contractor Explore outside funding (e.g., TDA Article 3) for proposed trail maintenance projects

36 Conclusion Questions? Comments? Thank you!