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HomeMy WebLinkAbout7.1 1992-93 Budget Modifications CITY OF DUBLIN AGENDA STATEMENT CITY COUNCIL MEETING DATE: December 14, 1992 SUBJECT: 1992-93 Budget Modifications (Prepared by: Richard C. Ambrose, City Manager) EXHIBITS ATTACHED: Exhibit 1 : City Manager's Recommended 1992-93 Budget Actions Exhibit 2: 1992-93 Known Budget Savings (as of October 22, 1992 Council Meeting) Exhibit 3: 1992-93 New Revenues (as of October 22, 1992 Council Meeting) Exhibit 4: Preliminary Ranking of Services Report Exhibit 5: 1992-93 Capital Projects Ranking Form Exhibit 6: Service Reduction Cost Savings Options Exhibit 7: Capital Project Deferral Options Exhibit 8: Operational Cost Savings Exhibit 9: One Time Budget Savings Exhibit 10: Revenue Generating Options Exhibit 11 : California Street & Highways Code pertaining to Sidewalk Repair RECOMMENDATION: 1 ) Receive Staff Presentation; 2) Receive Public Input; g410 3) Deliberate; 4a) Balance 1992-93 Budget by approving City Manager's recommended actions identified in Exhibit 1 IA, B, C, & D; or identify other options identified in attached Exhibits, which total $118,509; 4b) Identify those options recommended by City Manager in Exhibit 1 IIA, B, C, D, & E, which should be implemented if revenues decline later in the fiscal year; or identify other options which should be pursued; or defer consideration until March 1993 Revenues are known. 5) Authorize the City Manager to make the necessary budget transfers to implement the approved budget modifications. FINANCIAL STATEMENT: See below. DESCRIPTION: At the last budget meeting of the City Council, Staff estimated that the City would be facing the following revenue shortfall for Fiscal Year 1992-93, offset by known budget savings and new revenues. State Budget Cut $349, 122 1992-93 Known Budget Savings (see Exhibit 2) (135, 904) 1992-93 New Revenues (see Exhibit 3) (29 , 606) $183, 612 Since that meeting, Staff implemented several operational cost savings measures (see Exhibit 7) which will generate annual savings of $6, 575 and Fiscal Year 1992-93 savings of $4, 420 . The City was notified by the Public Employee Retirement System that the City' s pension liability account was overfunded and the City would be receiving a rebate of $21 , 433, which must be used to reduce the City' s current retirement payment to PERS. MCE projected that an additional $39, 250 would be saved in Park and Street Maintenance Costs because of two maintenance positions remaining vacant until January 1 , 1993 and the Company' s decision to not implement 1992-93 COPIES T0: ITEM No. CITY CLERK FILE O R labor rates for the first six months of Fiscal Year 1992-93, which had been previously approved by the City. These additional savings reduce the City's estimated shortfall for 1992-93 to: Original Shortfall $183, 612 Operational Savings (4, 420) PERS Rebate (21 , 433) MCE Savings (39, 250) Revised Projected Shortfall $118,509 However, since the last Budget meeting, the State has announced that it will be facing another Budget deficit next year. If the State uses the same tactic to balance its budget as it did for Fiscal Year 1992-93, the City may be facing an additional loss in revenue. With respect to the City' s local economy, there are no signs at this time that the local economy is improving. In addition, additional retail competition with the opening of Livermore's new I-580 Plaza Retail Center late in Fiscal Year 1992-93 will reduce the City of Dublin's retail sales during the later part of 1992-93 and beyond. The City of Dublin's revenue base will continue to be eroded until vacant and developable land becomes available to the City of Dublin with the completion of Eastern and Western Dublin General Plans. Given the current known shortfall and the prospect of reduced revenues in the latter part of Fiscal Year 1992-93 and 1993-94, Staff took a multi- pronged approach to addressing the City's fiscal dilemma. This approach included: 1 ) Review of all services provided by the City, which were subsequently prioritized by the City Council 2) Review of 1992-93 Capital projects, which were prioritized by the City Council 3) Identification of Operational Cost Savings 4) Identification of One Time Budget Savings 5) Review of Revenue Generating Options A more in depth discussion of each area is outlined below. REVIEW OF CITY SERVICES On October 22, 1992, Staff presented a 96 page report "Summary of Departmental Services" (See 10/22/92 Agenda Packet) , which outlines those discrete services provided by each City Department. From that report City Staff prepared an abbreviated list of services which the City Council had the discretion to either reduce or eliminate. This list of services was preliminarily ranked by the City Council, the results of those rankings is shown in the "Preliminary Ranking of Services Report" (see Exhibit 4) . This report lists those services from highest priority (score of 47) to those services of lowest priority (score of 22) . From the Council' s prioritized list of services, the Staff evaluated how much cost savings would be realized on an annual basis and for the last six months of Fiscal Year 1992-93 by eliminating or reducing services which received a preliminary ranking of 36 or less. Staff also evaluated those services ranked above a score of 36 which the City Council expressed a preliminary interest in reducing. As shown in Exhibit 6 "Service Reduction Cost Savings Options, " the cost savings for some services provided by the City vary depending upon the amount of the reduction. If the City reduced only those services preliminarily identified -by the Council for reduction, the City would realize savings in excess of $48, 599 for the balance of Fiscal Year 1992-93 and $79, 924 annually. If lower priority services were eliminated, greater savings could be realized depending upon those options selected. -2- REVIEW OF CAPITAL PROJECTS 1992-93 In October, the City Council also reviewed the 1992-93 Capital Projects and identified six projects it had a preliminary interest in deferring or reducing. By reducing or deferring these projects, a total saving of $199, 751 to $241 , 951 could be realized this Fiscal Year (See Exhibits 5 & 7) . IDENTIFICATION OF OPERATIONAL COST SAVINGS During the latter part of September 1992, a committee of City Staff representing all City Departments and DRFA identified a number of cost saving ideas. These cost saving ideas are broken into three categories. 1 . Operational Saving Implemented by Staff. 2 . Operational Saving Options for Council Consideration. 3 . Operational Saving Ideas which require further study. The categories are described in more detail in Exhibit 8. ONE TIME BUDGET SAVINGS In Exhibit 9, several items have been identified which would generate a one time savings. One of the items included on this Exhibit is the budgeted Contingent Reserve, which is funded by current year revenues and is used for, unanticipated expenses throughout the year. As of November 30, 1992, $86, 365 remained in the budgeted Contingent Reserve. REVENUE GENERATING OPTIONS In Exhibit 10, the Staff has identified a number of Revenue Generating Options. These options are broken down into the following major categories : 1 . Fees for Service 2. Franchise Fees 3 . Policy Changes 4. Assessments 5 . Rent 6. Taxes 7 . Outstanding Accounts Receivable 8. New Enterprise Activities RECOMMENDATION The above options identified in Exhibits 6 - 10 have been prepared for Council review and consideration to not only balance the present known shortfall for Fiscal Year 1992-93, but also any future budget shortfall which might result later in the Fiscal Year due to action by the State of California and/or further deterioration in the local economy. To assist the City Council in its deliberations, two sets of recommendations have been prepared (See Exhibit 1 ) . The first set identifies those actions which are recommended that the Council take . immediately to address the current budget shortfall. The second set are actions that are recommended that the Council consider to address any further budget shortfalls in Fiscal Year 1992-93 and in future years. In considering the City Manager's recommended budget actions and other options presented, the City Council may wish to consider those basic services for which the City should really be responsible and which services which the City currently provides which should be the responsibility of other governmental agencies or private entities. It is recommended that the City Council 1 ) review those options prepared by Staff; 2) consider the appropriateness of those actions recommended by the City Manager to address the 1992-93 Budget shortfall; and 3) identify those actions which Staff should pursue to balance the 1992-93 Budget and 1993-94 Budget, if necessary. a:1214budg.rca#8 -3- CITY MANAGER'S RECOMMENDED 1992-93 BUDGET ACTIONS Page 1 Council 1992-93 Preliminary Annual Mid-Year Interest ACTION Savings Savings In Reduction I . RECOMMENDED ACTIONS TO ADDRESS 1992-93 KNOWN SHORTFALL - $118, 509 A. Service Reductions 1 . Dublin Pride Week - reduce banner & $ 600 $ 600 Yes school material expense 2 . Newsletter combine with Recreation 2, 700 2, 700 Yes Brochure 3 . Striping/Marking - Reduce frequency 33, 600 33, 600 No of striping/marking on low traffic volume streets without impacting safety 4 . Tree Trimming - Require property 7, 325 7, 325 Yes owners to trim private trees which encroach on public right-of-way TOTAL SERVICE REDUCTIONS $44, 225 $44, 225 B. 1992-93 Capital Projects 1 . Dublin Blvd. Widening, Donlon Way to 0 (1) $13, 393 Yes Village Parkway - Defer design completion & transfer Gas Tax Funds to Street Maintenance Budget. 2 . Dougherty Road Improvements 0 (1> 26, 713 Yes south of Southern Pacific Right-Of-Way ;defer design completion & transfer Gas Tax Funds to Street Maintenance Budget. `.DOTAL CAPITAL PROJECT DEFERRAL 0 (1> $40, 106 (1) This work will eventually need to be undertaken at such time that the City has funds available for construction. EXHIBIT CITY MANAGER'S RECOMMENDED 1992-93 BUDGET ACTIONS Page 2 Council 1992-93 Preliminary Annual Mid-Year Interest ACTION Savings Savings In Reduction C. Operational Cost Savings for Council Consideration 1 . Reorganize City Manager' s Office & $11 , 000 $ 3, 600 n/a Finance Dept effective 3/1 /93 . 2 . Fill -Firefighter Relief Positions (2) 0 (1) 23, 500 n/a with overtime for 1992-93 TOTAL OPERATIONAL COST SAVINGS $11 , 000 $27, 100 (1) Recommended only until DRFA reorganization plan completed in 1992-93. D. Revenue Generating Options 1 . Safety Repair of Sidewalks - Require $50, 000 $50, 000 No property owners to maintain sidewalks or reimburse City for needed repair. 2 . Hire consultant to review adequacy n/a (30, 000 ) n/a of City' s Fees and Charges TOTAL REVENUE GENERATING OPTIONS $50, 000 $20, 000 TOTAL SAVINGS $105, 225 $131 , 431 ESTIMATED SHORTFALL 1992-93 118, 509 BALANCE $ 12, 922+ CITY MANAGER'S RECOMMENDED 1992-93 BUDGET ACTIONS Page 3 Council 1992-93 Preliminary Annual Mid-Year Interest ACTION Savings Savings In Reduction II . RECOMMENDED ACTIONS IN THE EVENT 1992-93 REVENUES ARE FURTHER REDUCED DURING THE LATTER PART OF THE FISCAL YEAR AND IN FISCAL YEAR 1993-94 . A. Service Reductions 1 . Speaker' s Bureau Staff Time Staff Time No 2 . City Promotion/Recognition Programs Staff Time Staff Time No & $150 & $150 3 . Regional Meeting Room Set-Up $3, 172 (1) $1 , 586 (1) Yes for Non-Paying Users 4. Fire Employee Recognition Vary 0 No 5 . Slurry Seal 0 (2) 45, 000 No 6 . San Ramon Road Banner Installation 2, 288 (1) 858 (1) Yes Non-City Events 7 . Leaf Clean-Up Planter Beds 1 , 360 1 , 360 Yes 8 . County Library Reduce Additional Hours 31 , 479 15, 470 Yes by Four Hours 9 . Contribution to Community Television 48, 000 (3) 0 No 10 . All Teen Programs 18, 565 9, 220 (4) TOTAL SERVICE REDUCTIONS Staff Time Staff Time $105, 014 $73, 644 (1) Also, possible to increase use fee to recover costs. (2) Recommended as one time reduction only, which will result in lengthening slurry seal cycle from 7 to 8 years. (3) Recommend, notifying Tri-Valley Television Corporation that City of Dublin will begin reducing contribution Fiscal Year 1993-94 ($24,000), 1994-95 ($36,000), 1995-96 (48,000). This will provide Tri-Valley Television Corp. with more time to raise funds and become more self-sufficient. (4) Council interested in reducing Teen Noontime Program at Middle School and "Friday Night Out" Program, but not Afterschool Recreation Program at Middle School. CITY MANAGER'S RECOMMENDED 1992-93 BUDGET ACTIONS Page 4 Council 1992-93 Preliminary Annual Mid-Year Interest ACTION Savings Savings In Reduction B. 1992-93 Capital Projects 1 . Data Processing Equipment $0 $ 5, 000 Yes Defer Purchase of some equipment. 2 . Street Subdrains (undertake work on 0 (1) 77, 495 Yes most critical only) 3 . Traffic Signals Village Parkway at 0 (1) 10, 000 Yes Brighton & at Tamarack - Defer design completion & transfer Gas Tax Funds to Street Maintenance Budget. TOTAL CAPITAL PROJECT DEFERRAL 0 (Tr $92, 495 (1) This work will eventually need to be undertaken, at such time that the City has funds available for construction. C. Operational Cost Savings 1 . Evaluate potential to sell ads to $15, 410 $0 n/a cover cost of City Newsletter/ Recreation Brochure. 2 . Install system which monitors Civic Undetermined 0 n/a Center HVAC to reduce energy costs . 3 . Re-evaluate cost effectiveness of Undetermined 0 n/a refinancing Civic Center Debt Service. 4 . ' Evaluate effectiveness of current Undetermined 0 n/a . structure of providing Emergency . Medical First Responder/Ambulance Service to Dublin & San Ramon. 5 . Discuss with DSRSD potential Undetermined 0 n/a operational cost savings measures which could lower water rates Citywide. TOTAL OPERATIONAL COST SAVINGS $15, 410+ $0 CITY MANAGER'S RECOMMENDED 1992-93 BUDGET ACTIONS Page 5 Council 1992-93 Preliminary Annual Mid-Year Interest ACTION Savings Savings In Reduction D. One Time Budget Savings 1 . Defer replacement of Office 0 (1) $23, 718 n/a Equipment in the Internal. Service Fund For one year. 2 . Use of Budgeted Contingent Reserve 0 (2) Vary n/a TOTAL ONE TIME BUDGET SAVINGS See Footnotes $23, 718+ (1) This wil'I lengthen the age of City Office Equipment by one year only. (2) The Savings would depend upon the amount taken from the Contingent Reserve. E. Revenue Generating Options 1 . Establish Garbage Fee to pay for City' s 0 n/a programs required by State Assembly Actual Cost Bill 939 to recover Administration costs associated with waste diversion programs . 2 . Request DRFA consider appropriateness Undetermined 0 n/a of supplemental assessment or fee for Emergency Medical Services as part of First Responder/Ambulance evaluation. 3 . Request County to assume full $164, 870 0 n/a responsibility for provision of Library Services & investigate funding options. 4 . Use collection agency to assist Undetermined Undetermined n/a Finance Department in collecting money owed the City. 5 . Investigate feasibility of municipal Undetermined 0 n/a ownership of Cable Television System for Eastern & Western Dublin. TOTAL REVENUES GENERATED $164, 870+ Undetermined 1992-93 KNOWN BUDGET SAVINGS Budget Activity Description Amount City Council - Sister City Reception $ 2, 500 City Manager/Clerk - Salaries/benefits savings 500 Finance - Utilizing temporary service to replace part-time Finance Technician until 3/93 7, 000 Building Management - Delete replacement of Regional Meeting Room light fixtures 1, 075 - Floor Mat Service savings 900 - Deferred Janitorial Service 1, 000 Insurance - Lower premiums than anticipated 3 ,968 Police - Dispatch rebate for 1991-92 5, 650 Street Maintenance - Less striping required for Annual Overlay 10, 000 Street Landscape - Unfilled maintenance worker Maintenance position 7 , 500 - Subcontract banner installation 7, 000 - Late start-up landscape maintenance San Ramon Road Phase IV 3, 200 Heritage Center - Deferred acquisition of Heritage Center 8, 310 Park Maintenance - Unfilled maintenance worker position 7, 500 Aquatics - Water/energy savings resulting from new pool cover 3, 000 Planning - Senior Planner position remains unfilled until 2/93 41,200 Engineering - Alameda County Congestion Management Agency contribution reduced 2 ,561 - Late start on Trip Reduction Ordinance Implementation 14 , 000 Citywide - Decrease in retirement contribution rate 9, 040 Total Known Savings $ 135, 904 RCA/lss a:Budgsays.rca#6b EXHIBIT Z 1992-93 NEW REVENUES Source Description Amount SB300 Grant Amount of SB300 Grant funds for the $ 27, 106 Annual Overlay project has been increased since the adoption of the budget. This will enable the City to transfer $27, 106 in General Fund support to operations. Abandoned Vehicle This Authority will make up to 2,500 $18 , 000/year available to Dublin to offset police and towing costs associated with the abatement of abandoned vehicles. It is anticipated that $2,500 in eligible expense will be incurred in Fiscal Year 1992-93. Total Known New Revenues $ 29, 606 RCA/lss a:NewRev.rca#6b EA 43 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 47 2010-3 Criminal Investigation 10 10 8 9 10 47 N N Y N N 1 4 2010-4 Special Investigations 10 10 8 9 10 47 N N Y N N 1 4 46 2010-5 Juvenile Investigation 10 9 8 9 10 46 45 8080-1 Maintain & Operate Senior Center 10 10 6 9 10 45 N N Y N N 1 4 9010-10 Planning Commission 10 9 8 8 10 45 44 2010-1 Patrol 8 10 7 9 10 44 N N Y N N 1 4 2010-6 Crime Prevention 8 9 8 9 10 44 N N Y N N 1 4 1020-3c Notary Public 10 9 8 7 10 44 2060-4a Firefighting Training 10 9 6 9 10 44 N N Y N N 1 4 43 2010-2 Traffic Enforcement 8 9 7 9 10 43 N N Y N N 1 4 2040-1 Traffic Signal Energy/ Maint. 10 9 6 8 10 43 2060-2b Fire Communications 10 9 4 10 .10 43 N N Y N N 1 4 8040-4 Park .& Recreation Commission 10 9 6 8 10 43 N N Y N N 1 4 8080-3 Meals Program 10 8 6 9 10 43 N N Y N N 1 4 9010-2a Process Planning Applications for Development Proposals 10 9 6 8 10 43 N N Y N N 1 4 A1BIT q PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 42 1020-7 Legislative Analysis 10 10 6 9 7 42 2060-4d Emergency Medical Response 10 6 6 10 10 42 3010-2 Process Public Works Complaints Requests for Service 10 10 4 8 10 42 8080-8 Senior Center Advisory Committee 10 8 5 9 10 42 N N Y Y N 2 3 9020-1 Building Plan Check 10 9 5 8 10 42 N N Y N N 1 4 9020-2 Building Inspection 10 9 5 8 10 42 N N Y N N 1 4 9020-3 Building Permit Issuance 10 9 5 8 10 42 N N Y N N 1 4 9020-4 Counter Availability (Building) 10 9 5 8 10 42 N N Y N N 1 4 41 1080-1 Maintain Contingent Reserve 10 10 5 10 6 41 N N Y N Y 2 3 2010-7 Police Public Office 7 9 6 9 10 41 N N Y N N 1 4 1010-4 Audit 10 7 5 9 10 41 N N N N N 0 5 1020-18 Annual Goals & Objectives Program 10 10 5 9 7 41 1030-3 General Legal Services 10 9 5 10 7 41 N N Y N Y 2 3 1040-7 Budget Support 10 8 5 9 9 41 8020-1 Park Turf Maintenance 8 9 6 8 .10 41 N N Y N N 1 4 8045-2 Summer Playground Program 10 9 5 7 10 41 N N Y N N 1 4 8050-1 Maintain & Operate Shannon Center 10 9 5 7 10 41 N N Y N N 1 4 8066-1 Youth Sports Leagues 9 10 5 7 10 41 N N Y N N 1 4 8070-5 St. Patrick' s Day Celebration 7 9 6 9 10 41 8080-2 Senior Center Information & Referral 10 8 4 9 10 41 N N Y N N 1 4 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 8100-1 Maintain & Operate Dublin Swim Center 10 9 5 7 10 41 N Y Y N N 2 3 40 1010-2 League of Cities Participation 10 10 5 8 7 40 1020-1i Customer Service Program 10 8 4 8 10 40 1030-2 Litigation 10 9 5 9 7 40 1040-12 Computer Management 10 7 5 8 10 40 1040-15 Finance Support Other Depts. 10 9 5 8 8 40 1050-2 Janitorial Service Civic Center 10 9 3 8 10 40 N N Y N N 1 4 1020-4 Admin/Clerical Support for City Council 10 8 6 9 7 40 N N Y N Y 2 3 5020-4 Participate on County Solid Waste Mgmt. Authority 10 9 4 8 9 40 N N Y N Y 2 3 8011 -1 Dublin Fine Arts Contribution 7 10 6 7 10 40 Y N Y N N 2 3 8045-1 Afterschool Recreation 10 8 5 7 10 40 N Y Y N N 2 3 9010-2b Pre-planning application meetings & reviews 10 8 6 8 8 40 9010-8d Counter Availability (Planning) 10 8 5 7 10 40 N N Y N N 1 4 39 1020-3f Agendas, Minutes, Comprehensive Index 10 8 6 9 6 39 N N Y N N 1 4 1020-1e Coordinate City Training 8 8 5 8 10 39 1040-5 Financial Statements 10 8 5 9 7 39 N Y Y N Y 3 2 8010-1 Supplement County Library Services 7 8 6 8 10 39 Y Y Y N N 3 2 8020-2 Park Tree Maintenance 8 9 4 8 10 39 N N Y N N 1 4 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 8020-4 Park Bedding Maint/ Weed Control 8 9 4 8 10 39 N N Y N N 1 4 8020-8 Park Restroom Maintenance 8 10 4 8 9 39 N N Y N N 1 4 8020-10 Maintenance of Poolside Equipment 10 8 4 7 10 39 N N Y N N 1 4 8040-8 Park & Recreation Facility Planning 10 7 6 7 9 39 8080-7 Monthly Senior Newsletter 8 8 4 9 10 39 9010-7e Monitor East County Plan 10 8 6 8 7 39 9030-2 Design & Implement Capital Improvement Program 10 7 6 8 8 39 9030-8d Monitor Tri-Valley Waste Water Authority 10 7 4 8 10 39 9040-2 Staff Support Business Task Force 8 9 6 6 10 39 9040-3 Respond to Site Location Request for Information 10 7 5 7 10 39 38 2060-1b Personnel Legal Services 8 10 4 8 8 38 3050-9 Rodent Control 10 7 3 8 10 38 9010-7f Monitor Economic Development Advisory Board Programs 8 8 4 8 10 38 9010-7k Monitor Alameda County Development on Santa Rita Property 10 8 4 8 8 38 9010-71 Monitor Camp Parks Plan 10 8 4 8 8 38 9030-8c CalTrans I-580/1-680 Committee 8 8 4 8 10 38 9030-8h Monitor Alameda County Transportation Authority 8 8 4 8 10 38 9040-4 Report on Local Economic Development Program 9 7 5 7 10 38 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 37 1020-1a Wage Benefit Admin. 10 8 5 8 6 37 N N Y N Y 2 3 1020-15 Financial Planning, Budget CIP Preparation 10 9 6 8 4 37 N N Y N Y 2 3 1040-13 Fixed Asset Management 10 6 5 8 8 37 1050-5 Civic Center Gas/Elec Use 10 6 3 8 10 37 N Y Y N N 2 3 2060-3a Review of new develop/bldg. projects for Fire Code compliance 8 6 4 9 10 37 N N Y N N 1 4 2060-3b Fire Prevention Inspections on existing properties 10 6 4 9 8 37 N Y Y N N 2 3 8040-3a Quarterly Recreation Brochure 7 10 4 6 10 37 N N Y Y N 2 3 8100-2 Recreational Swimming 7 9 4 7 10 37 N Y Y Y N 3 2 8100-3 Swimming Instructional Programs 7 9 4 7 10 37 N N Y Y N 2 3 9010-2c Quick Check of Planning application Submittals 9 8 6 8 6 37 9010-3a Process Zoning Approval 8 7 5 7 10 37 N N Y N N 1 4 9010-3b Process Zoning Complaints 8 9 5 7 8 37 N N Y N N 1 4 9010-5 Resolve Eastern Dublin Sphere of Influence Boundary 10 10 5 8 4 37 9010-6d Zoning Ord - Auto Dealer Signage 8 8 7 7 . 7 37 9010-7a Monitor - Dougherty Valley B 10 4 B 7 37 9010-7i Monitor Tri-Valley Wastewater Authority 10 8 4 8 7 37 9020-5 Business License Inspection 10 7 5 8 7 37 N N Y N Y 2 3 9030-8e Tri-Valley Water Recycling Task Force 8 7 4 8 10 37 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 36 1045-1 Data Processing Training 8 8 4 8 8 36 N N Y N Y 2 3 1045-2 Mainframe Computer Support 10 4 4 8 10 36 N Y Y N N 2 3 2060-3c Fire Investigations 10 6 4 8 8 36 N N Y N N 1 4 2060-3d Community Fire Safety Education 8 8 4 8 8 36 N Y Y N N 2 3 3020-7 Striping/Marking 8 8 4 6 10 36 N N Y Y N 2 3 3020-8 Guardrail Repair 8 7 4 7 10 36 3050-7 Traffic Control for Community Events 8 7 4 7 10 36 8020-7 Park Litter Pick Up 8 10 4 8 6 36 8030-1 Public Access Community Television 7 9 4 7 9 36 Y N Y N N 2 3 8100-5 Pool Rentals 7 7 5 7 10 36 N N Y N N 1 4 9010-1e Inclusionary Zoning Ord 9 7 5 7 8 36 N N Y N Y 2 3 9010-2k Maintain Planning Application Data Base 8 7 4 7 10 36 9010-21 Update Assessor Parcel No/ Zoning Maps 8 7 4 7 10 36 9010-8a Planning Customer Satisfaction Survey 8 7 4 7 10 36 1020-1h DFRA Wellness Program 8 8 4 8 8 36 35 1020-2e City Promotion/ Recognition Programs 10 6 4 7 8 35 N N Y N Y 2 3 1010-3b St. Patrick' s Day Event 7 8 3 9 8 35 2050-3 Disaster Training 7 6 J 7 1 U J J'r ti IV ,I i4 1 4 2050-6 Organize Emer. Operating Center 8 4 6 7 10 35 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 3020-3 Street Repair for Slurry Seal 8 9 4 7 7 35 N N Y N Y 2 3 3020-5 Storm Patrol Clean-up 8 7 4 7 9 35 3060-1 Contribution for Paratransit 7 9 3 6 10 35 N N Y N N 1 4 5020-3 Admin of Mandatory Garbage Ord. 8 9 3 8 7 35 8020-5 Ballfield Maintenance 8 8 4 8 7 35 N N Y N Y 2 3 8040-5a Facility Scheduling - Civic Center 10 7 4 7 7 35 8040-5b Facility Scheduling - Shannon Center 10 7 4 7 7 35 8040-5c Facility Scheduling - School Facilities 10 7 4 7 7 35 9010-1f General Plan Historic Element 8 4 5 8 10 35 N Y Y N N 2 3 9010-2i Conduct Project Review Committee Meetings 9 8 6 8 4 35 9010-2j Street Address Filing System 8 6 4 8 9 35 N N Y N N 1 4 9010-7b Monitor - North Livermore 8 8 4 8 7 35 9010-7d Update 3 Year Development Forecasts 8 8 4 8 7 35 9010-8b Provide Demographic Estimates & Forecasts to Public 7 7 4 7 10 35 9030-4 Engineering Plan Review 9 7 5 8 6 35 9030-8g Monitor DSRSD 8 8 4 8 7 35 34 1020-2a Press Liaison 7 5 4 8 10 34 N N Y N N 1 4 1020-2d Contribute to Chamber . Newsletter 7 4 6 8 9 34 2030-3 Dead Animal Pick-Up 6 5 6 7 10 34 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 2030-6 Animal Shelter Services 8 5 6 6 9 34 3020-1 Street Repair for Overlay Program 8 9 4 7 6 34 N N Y N N 1 4 3020-10 Bike Path Maintenance 7 8 4 7 8 34 3040-3 Pruning City Owned Trees 8 9 3 7 7 34 N N Y N Y 2 3 3050-2 Bedding Maint/Weeding 8 9 3 7 7 34 N N Y N N 1 4 3050-3 Landscape Turf Maintenance 8 9 3 7 7 34 N N Y N N 1 4 3050-5 Paver Stone Maintenance 8 9 3 7 7 34 N N Y N N 1 4 8020-12 Playcourt Maintenance 8 8 4 7 7 34 N N Y N Y 2 3 8040-3b Recreation Press Releases 7 7 4 6 10 34 8040-10 Monthly Park Service Request 8 7 6 6 7 34 N Y Y Y Y 4 1 8090-1 Leisure Enrichment Classes 8 8 3 9 6 34 N N Y N Y 2 3 9010-1d Housing Element Update 8 7 5 7 7 34 N N Y N Y 2 3 9010-3c Maintain Sign Inventory 8 6 4 7 9 34 9010-3d Conditional Use Permit Monitoring 8 6 4 7 9 34 9010-7h Monitor State Dept of Finance Population Data 10 6 3 8 7 34 9010-9b Assist in Development of Subregional Transportation Plan 10 2 4 8 10 34 9010-9d BART Parking Lot Design Review 8 7 4 8 . 7 34 9010-9e Business License Application Review 8 6 4 8 8 34 N N Y N Y 2 3 33 2020-1 School Crossing Guards 8 4 5 8 8 33 N Y Y N- Y 3 2 2030-5 Enforcement of Animal Ords 8 5 6 6 8 33 2060-2c Fire Employee Recognition 7 6 4 8 8 33 N N Y N Y 2 3 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 3040-5 Tree Removal/Planting City Owned Trees 7 9 3 7 7 33 N N Y N Y 2 3 8020-13 Miscellaneous Park Maint. 8 8 4 7 6 33 N N Y N N 1 4 8060-2 Afterschool Recreation Program at Middle School 7 9 5 6 6 33 N N Y N Y 2 3 8070-1 Citywide Flea Markets 7 7 3 6 10 33 8070-2 Halloween Spooktacular 6 9 4 7 7 33 8070-3 Tree Lighting Ceremony 6 9 3 8 7 33 8070-6 Easter Eggstravaganza 6 9 3 7 8 33 9010-7j Monitor I-580/El Charro Road Proposals 8 7 3 8 7 33 9010-8c Provide information on Housing Assistance Programs 7 5 4 7 10 33 9030-1c Traffic Studies Requested by City Council/Citizens 8 6 4 7 8 33 9030-6 City Mapping 8 7 5 7 6 33 9030-8a Tri Valley Transportation Technical Advisory Committee 8 2 5 8 10 33 32 1020-2b City Newsletter 7 8 4 7 6 32 N N Y Y Y 3 2 1020-2f Speaker' s Bureau 7 7 3 6 9 32 1020-2g Civic Education Program 8 7 3 7 . 7 32 2030-1 Vicious Dog Investigation 7 5 5 7 8 32 2030-2 Collection of Stray Animals 7 5 5 7 8 32 N N Y N Y 2 3 2050-4 Neighborhood Emer. Prep. Workshops 7 6 4 7 8 32 N 7 7 N' 7 3 2 3040-2 Tree Staking/City Owned Trees 7 9 3 6 7 32 N N Y N Y 2 3 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 8012-1 Maintenance & Operation of Heritage Center 7 1 9 8 7 32 Y Y N N N 2 3 8020-9 Park Fountain Maintenance 8 7 4 8 5 32 N N Y N Y 2 3 8060-3 "Friday Night Out" Program 8 7 5 6 6 32 N Y Y N Y 3 2 8100-4 Specialty Aquatics Programs 7 8 4 7 6 32 Y Y Y N Y 4 1 9010-6c Zoning Ord - Commercial/ Recreation 8 5 5 7 7 32 9010-7c Monitor - Airport Land Use Comm. Proposal 8 5 4 8 7 32 9010-8e Courtesy Newspaper Notices 8 6 4 7 7 32 9010-9h LAVTA Technical Advisory Committee 7 6 4 8 7 32 31 8060-1 Teen Noontime Program at Middle School 7 7 5 6 6 31 Y Y Y Y Y 5 0 8066-2 Youth Sports Clinics/Camps 8 7 4 7 5 31 N N Y Y Y 3 2 9010-6b Zoning Ord Study - Banners/Flags 8 5 4 7 7 31 30 3020-6 Sign Repair/Maintenance 8 4 4 7 7 30 N Y Y N Y 3 2 3050-10 Leaf Clean-Up 7 5 3 7 8 30 N Y Y N Y 3 2 8040-6 Coordination of Library Planning Task Force 8 4 4 7 7 30 9010-6a Zoning Ord Study - Outdoor Storage 8 5 3 7 7 30 9010-9i Garbage Service Exemption Inspections 7 6 4 6 7 30 9030-8f Monitor Zone 7 8 6 4 8 4 30 PRELIMINARY RANKING OF SERVICES REPORT RANKING/ PRIORITY BY SHOULD SERVICE SERVICE COUNCILMEMBER NAME TOTAL BE REDUCED TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N 29 3040-1 Tree Brush Cutting/Privately Owned Trees in City Right of Way 7 5 3 7 7 29 Y Y Y N Y 4 1 3050-6 Banner Installation 6 7 3 7 6 29 N Y Y N Y 3 2 8040-11 Quarterly Recreation Reports 7 5 4 6 7 29 Y Y Y Y Y 5 0 8070-4 Breakfast with Santa 6 9 3 7 4 29 9010-7g Monitor 1990 Census Information 8 6 3 8 4 29 N Y Y N Y 3 2 28 1010-3c Dublin Substance Abuse Program 8 4 3 7 6 28 N N Y N N 1 4 3050-11 San Ramon Road Banner 6 7 3 6 6 28 N Y Y N Y 3 2 27 1010-3a Dublin Pride Week 6 3 3 8 7 27 N Y Y Y N 3 2 1050-4 Meeting Room Set-Up 7 4 3 5 8 27 N Y Y Y N 3 2 26 9010-9g Tri-Valley Affordable Housing Committee 7 1 4 7 7 26 25 1020-2c Civic Center Tours 5 7 4 5 4 25 22 1020-10 Coordinate Charitable Fund Raising Drives 3 3 5 5 6 22 c:hardway 1992-93 CAPITAL PROJECTS PROJECT RANKING FORM SHOULD PROJECT BE DEFERRED OR REDUCED PRIORITY BY TO PROVIDE SAVINGS PROJECT COUNCILMEMBER NAME TOTAL TO GENERAL FUND TOTAL NO. DESCRIPTION PS LJ DB BH PM SCORE PS LJ DB BH PM Y N D1 Annual Overlay Program 10 9 4 7 7 37 N N Y N Y 2 3 Al (B) Data Processing Equipment 8 7 4 7 10 36 N Y Y Y N 3 2 Planning, Public Works, Recreation, City Manager C3 Heritage Center Aquisition/ Renovation 7 1 10 7 10 35 Y Y N N N 2 3 D2 Dublin Blvd. Widening Donlon Way to Village Parkway 8 9 3 6 4 30 N N Y Y Y 3 2 (Right-Of-Way Appraisal/Design) D5 Street Subdrains 8 6 4 5 7 30 N" N Y Y Y 3 2 C4 Dougherty Hills Park (Landscaping @ Topaz Circle) 7 6 7 3 7 30 N N N N N 0 5 131 Annual Sidewalk Repair 7 9 3 7 2 28 N N Y N Y 2 3 D4 Dougherty Road Improvements 8 9 4 3 4 28 N N Y Y Y 3 2 South of Southern Pacific Right-Of-Way (Environmental Work) D6' Traffic Signals 7 4 4 3 5 23 N Y Y Y Y 41 Village Parkway at Brighton and at Tamarack (Environmental Work) D7 Downtown Street Light 7 3 4 4 2 20 N Y Y Y Y 41 Additions (Golden Gate Drive, Clark Ave) a:CC-CI-2.SUMMY#3 EXII SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 1 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 1010 - City Council 1010-3a Dublin Pride Week 27 $2, 500(1) $2, 500 $ 600* $ 600* 1010-3c Dublin Substance Abuse 28 4, 500 4, 500 vary(2) Vary(2) Program 1010-3b St. Patrick's Day Event 35 500 500 --- --- Savings - 1010 $7, 500 $7, 500 $ 600+ $ 600+ (1) See 1020 for staff savings (2) Contribution could be reduced to any amount. 1020 - City Manager/Clerk 1020-10 Coordinate Charitable Fund 22 See below --- --- Raising Drive 1020-2c Civic Center Tours 25 See below --- --- 1010-3a Dublin Pride Week 27 See below 0* 0* (See 1010 for Direct Costs) 2030-2 Vicious Dog Investigations 32 See below --- --- 1020-2g Civic Education Program 32 See below --- --- 1020-2f Speaker's Bureau 32 See below --- --- 1020-2b City Newsletter 32 3 , 550 3 , 550 2 , 700* 2 ,700* E @ IBIT 6 XH, SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 2 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 2030-5 Enforcement of Animal Ord 33 See below --- --- (See 2030 for Direct Costs) 2020-1 School Crossing Guards 33 See below 0* 0* (See 2020 for Direct Costs) 1020-2d Contribute to Chamber 34 See below --- --- Newsletter 1020-2a Press Liaison 34 See below See below 5020-3 : Admin of Mandatory 35 See below --- --- Garbage Ordinance 1020-2e City Promotion/Recognition 35 150 150 150 150 Programs 1020-1h DRFA Wellness Program 36 See below --- --- 8030-1 Public Access Community TV 36 See below See below (See 8030 for Direct Costs) Staff Time saved by 0(1) 0(1) 0(1) 0(1) eliminating the above programs amounts to 25$ of a full time position. Savings - 1020 $3, 700 $3, 700 $2, 850 $2, 850 (1) Any savings resulting from eliminating some or all of the above programs would be offset by the need for the City Manager's Office to assume responsibility for Data Processing Operations. Approximately 22% of a full-time position will be required in 1992-93. 1030— Lecta:l Service NO REDUCTION SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 3 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 1040 - Finance 1040-5 Financial Statements 39 --- --- 0* 0* Staff Time saved by eliminating above amounts to less than 1$ of a position. No appreciable savings would be realized by reducing this activity. Savings - 1040 --- --- 0 0 1045 - Data Processing 1045-2 Mainframe Computer Support 36 $10, 000 0 0 0 1045-1 Data. Processing Training 36 4, 850 0 0 0 Savings - 1 045 $14, 8500) 0 0 0 (1) See 1020- City Manager/Clerk Note (1) 1050 - Building Management 1050-4 Meeting Room Set-up for 27 --- --- $3, 172* $1 , 586* lion-Paying Users Savings - 1050 0 0 $3, 172 $1 , 586 1060 — Insurance NO REDUCTION SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 4 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 1070 - Elections NO REDUCTION 1080 - Non-Departmental NO REDUCTION 2010-- Police NO REDUCTION 2020 - School Crossing Guards 2020-1 School Crossing Guards 33 $35, 346 $21 , 040 $26, 520* $15, 780* Savings - 2020 $35, 346 $21 , 040 $26, 520* $15, 780* 2030- Animal Control 2030-2 Collection of Stray Animals 32 See below 0 2030-1 Vicious Dog Investigation 32 See below and City Manager/Clerk - Note(l) 2030-5 Enforcement of Animal 33 See below and City Manager/Clerk - Note(l) Ordinance 2030-3 Dead Animal Pick-Up 34 See below Savings - Animal Control $51 , 230 0 $15, 0000) 0 Field Services 2030-6 'Animal Shelter Service $34, 605(2) _ Savings - 2030 $85, 835 0 $15, 000(1) 0 (1) This reduced service level is the estimated impact if Animal Control only responded to calls for service & did not do any proactive patrol. (2) The City recently entered into a long term agreement to construct a new Shelter. In order to terminate the agreement & eliminate shelter service costs, the City must be able to obtain a commitment from one of the other participating agencies to purchase Dublin's share of the construction cost of the new Animal Shelter. SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 5 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 2040 - Traffic Signals/Street Lighting NO REDUCTION 2050 - Disaster Preparedness 2050-4 Neighborhood Emergency 32 $ 1 , 700 $ 1 , 700 0* 0* Preparedness Workshop 2050-6 Organize Emergency 35 2, 075 2, 075 --- --- Operating Center 2050-3 Disaster Training 35 2, 120 2, 120 Vary Vary Staff Time saved by 4, 844 2, 422 Vary* Vary* eliminating above items 9. 4* of position. Savings - 2050 $10, 739 $8, 317 Vary Vary 2060 - Fire Service 2060-2c Fire Employee Recognition 33 $ 2, 055 $ 294 Vary Vary 2060-3d Community Fire Safety 36 12, 423 4, 415 Vary Vary Education 2060-3c Fire Investigations 36 00) 00) 00) 00) Savings - 2060 $141, 478(2) $4, 709(2) Vary Vary No savings could be realized unless other changes were made in the Fire Department. (2) This saving represents 58.71% of the total cost of these programs. This savings could only be realized with the approval of the DRFA Board of Directors. SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 6 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 3010 - Public Works Admin. 9030-8f Monitor Zone 7 30 See below --- --- 9030-8g Monitor DSRSD 35 See below --- --- Savings - 3020 00) 00) --- --- (1) Staff Time saved by eliminating above items amounts to 2.3% of a position, which could not be reduced to generate savings. 3020- Street Maintenance 3020-6 Sign Repair/Maintenance 30 23, 900 14 , 500 1, 360* 1, 360* 3020-10 Bike Path Maintenance 34 5, 250 3 , 650 --- --- 3020-1 Street Repair for Overlay 34 124, 000(1) 124 , 000<» Vary Vary Program 3020-5 Storm Patrol Clean-Up 35 10, 150 8, 150 --- --- 3020-3 Street Repair for Slurry 35 119, 000 119, 000 Vary Vary 3020-8 Guardrail Repair 36 1, 270 1, 270 --- --- 3020-7 Striping/Marking 36 73 , 400 40, 600 33 , 600 33 , 600 Savings - 3020 $356, 970 $311, 170 $34 ,960+ $34 , 960+ (1) If this amount of Overlay work is not performed in conjunction with the Annual Overlay program, the City will lose $69,283 in SB 300 matching funds. 3030 - Street Sweeping NO REDUCTION SERVICE REDUCTION -COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 7 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS - SAVINGS SAVINGS SAVINGS 3040 - Street Tree Maintenance 3040-1 Tree Brush Cutting/ 29 14, 650 . 12 , 150 7,325* 7, 325* Privately Owned Trees in City Right-of-Way 3040-2 Tree Staking/City Owned Trees 32 6, 050 4 ,550 1, 300 1, 300 3040-5 Tree Removal/Planting 33 1,500 1, 500 0 0 City Owned Trees 3040-3 Pruning City Owned Trees 34 14, 350 12 ,750 8 ,850 8 , 850 Savings - 3040 $36, 550 $30, 950 $17,475 $17, 475 3050 - Street Landscape Maintenance 3050-11 San Ramon Road Banner 28 3 ,700 1, 325 2 , 288* 858* 3050-6 Seasonal Banner Installation 29 6, 500 1,880 vary0) Vary(l) 3050-10 Leaf Clean-Up 30 23, 900 14 , 500 1, 360* 1, 360* 3050-5 Paver Stone Maintenance 34 4, 300 3 , 100 2 , 150 2, 150 3050-3 Landscape Turf Maintenance 34 21,930 12 , 615 3 ,915 3 , 565 3050-2 Bedding Maintenance/Weeding 34 24, 100 9, 280 11, 080 2 , 100 3050-7 Traffic Control for Events 36 5 , 200 4 , 200 --- --- Savings - 3050 $89, 630 $46, 900 $20,793+ $10, 033+ 0� Savings would vary depending upon which seasonal banners were not installed. SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 8 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGEWSERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 3060 - Paratransit Service 3060-1 Contribution for Paratransit 35 1 , 500 1 , 500 Vary Vary Savings - 3060 $1 , 500 $1 , 500 Vary Vary 5020 - Waste Management 5020-3 Administration of Mandatory 35 (See 1020- City Manager/Clerk) Garbage Ordinance 8010 - Library Service 8010-1 Supplement County Library 39 --- --- 31 , 479* 15, 470* Services Savings - 8010 --- --- $31 , 479 $15, 470 8011 - Cultural Activities NO REDUCTION 8012 - Heritage Center 8012-1 Maintenance & Operation of 32 41 , 710 12, 080 0 0 'Heritage Center _ _ Savings - 8012 $41 , 710 $12, 080 0 0 SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 9 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE E 1992-93 1992-93 ANNUAL MID—YEAR ANNUAL MID—YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 8020 - Park Maintenance 8020-9 Park Fountain Maintenance 32 35, 600 15, 300 6, 150 6, 150 8020-13 Misc. Park Maintenance 33 7, 450 4, 600 0 0 8020-12 Playcourt Maintenance 34 3, 600 2, 100 900 900 8020-5 Ballfield Maintenance 35 18, 700 18, 200 3, 750 3, 750 8020-7 Park Litter Pick-up 36 13, 375 2 , 375 --- --- Savings - 8020 $78, 725 $42, 575 $10, 800 $10, 800 8030 ,_ Community Cable Television 8030-1 Contribution to- Community 36 48, 000 24, 000 Vary(l) Vary0) Television Savings - 8030 $48, 000 $24, 000 Vary Vary �1� Amount of savings would depend upon the amount of reduction. SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the y Page 10 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 - ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 8040 - Recreation Administration Note: All Recreation Programs 8040-8100 Savings are net of revenues. 8040-11 Quarterly Recreation Reports 29 (1) (1) (1)* (1)* 8040-' 6 ;Coordination of Library 30 (1) (1) --- --- Planning Task Force 8040-10 Monthly Park Service Request 34 (2) (2) (2)* (2)* 8040-3b Recreation Press Releases 34 (2) (2) --- --- 8040-5c , Facility Scheduling-Schools 35 6, 812(3) 0 --- --- 8040-5b Facility Scheduling-Shannon 35 0 0 --- --- 8040-5a . Facility Scheduling-Civic 35 10, 938(2) 5-1469(2) --- --- Center Savings - 8040 $17, 750 $5, 469 --- --- (1) Staff Time saved by eliminating these programs would be less than 1% of a full-time position, which could not be reduced to generate savings. (2) If these programs were eliminated, 21% of a full-time position would be saved. However, reducing this position by this amount could only be accomplished by closing the Civic Center Recreation Department Public Counter one day a week. (3) Staff Time saved by eliminating this program would be 15% of a full-time position. 8045 - PlaS7grounds NO REDUCTION 8050 - Shannon Center NO REDUCTION 8055 - Preschool NO REDUCTION SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 11 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 8060 - Teens 8060-1 Teen Noontime 31 4, 376 2 , 100 1, 460* 730* Program at Middle _ School 8060-3 "Friday Night Out" Program 32 859 475 430* 215* 8060-2 Afterschool Recreation 33 4 , 835 2 , 400 2 , 418 1, 209 Program at Middle School Staff Time saved by 8,495 4 , 245 0 0 eliminating above programs would result in reduced part-time Staff costs in other programs. Savings - 8060 $18, 565 $9,220 $4 , 308 $2 , 154 8065 - Adult Sports NO REDUCTION 8066 - Youth Sports 8066-2 Youth Sports Clinics/ 31 1, 9500) 6150) 1, 230(1)* 615(1)* Camps Savings - 8066 $1,950 $615 $1, 230 $615 (1) Staff Time saved by eliminating above program would be 4.5% of full-time position. This savings is included above. SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 12 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 8070 - Special Events .8070-4 Breakfast with Santa 29 ( 102) --- --- --- 8070-6 . Easter Eggstravaganza 33 300 300 --- --- 8070-3 Tree Lighting Ceremony 33 337 --- --- --- 8070-2 Halloween Spooktacular 33 729 --- --- --- 8070-1 Citywide Flea Markets 33 (984) (492) --- --- Staff Time saved by 10, 674 3, 586 --- --- eliminating above programs would be 25* of a full-time position. Savings - 8070 $10, 954 $3, 394 --- --- 8080 - Senior Citizens Programs NO REDUCTION 8090 - Leisure Enrichment 8090-1 Leisure Enrichment Classes 34 3 , 4410) 7200) Vary Vary >avings - 8090 $3, 441 $720 Vary Vary (1) Staff Time saved by eliminating above programs would be 50% of a full-time position. The cost above includes this reduction in staff less revenue. SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 13 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 8100 - Aquatics 8100-4 Specialty Aquatics 32 3, 315 1 , 100 Vary* Vary* Programs 8100-5 . Pool Rentals 36 5, 025 5, 025 Vary Vary 8100-2 Recreational Swimming 37 --- --- 0* 0* Savings - 8100 $8, 340 $6, 125 Vary Vary 9010- Planning 9010-9g Tri-Valley Affordable 26 See below --- --- Housing Committee 9010-7g Monitor 1990 Census 29 500 500 0* 0* Information 9010-9i Garbage Service 30 See below --- --- Exemptions Inspections 9010-6a Zoning Ord Study - 30 See below --- --- Outdoor Storage 9010-6b 'Zoning Ord Study - 31 See below --- --- Banners/Flags 9010-9h I,AVTA Tech. Advisory 32 See below --- •--- Committee 9010-8e Courtesy Newspaper Notices 32 1 ,800 900 --- --- SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 14 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 9010-7c ' Monitor Airport Land Use 32 See below --- --- Commission Proposal 9010-6c Zoning Ord - Commercial 32 See below --- --- Recreation 9010-8c Provide Information on 33 See below --- --- Housing Assistance Programs 9010-7j Monitor I-580/El Charro Rd 33 See below --- --- Proposals 9010-9e Business License Application 34 See below 0 0 Review 9010-9d BART Parking Lot Design 34 See below --- --- . Review 9010-9b Assist in Development of 34 See below --- --- Subregional Transp. Plan 9010-7h Monitor State Dept. of 34 See below --- --- Finance Population Data 9010-3d Conditional Use Permit 34 See below --- --- Monitoring 9010-3c Maintain Sign Inventory 34 See below --- --- 9010-1d Housing Element Update 34 See below 0 0 9010-8b ?rovide Demographic 35 See below --- --- )Estimates/Forecasts to Public SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 15 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 9010-7d Update 3 Yr Development 35 See below --- --- Forecast 9010-7b Monitor North Livermore 35 See below --- --- 9010-2j ' Street Address Filing System 35 See below 0 0 9010-2i Conduct Project Review 35 See below --- --- Committee Meetings g 9010-1f General Plan Historic 35 See below 0 0 Element 9010-8a Planning Customer 36 See below --- --- Satisfaction Survey 9010-21 Update Assessor Parcel No. / 36 200 100 --- --- Zoning Maps 9010-2k Maintain Planning 36 See below --- --- Application Data Base 9010-1e Inclusionary Zoning Ord 36 See below 0 0 Staff Time saved by eliminating $57, 400 $28, 700 0 0 all of the above items would result in net reduction of 83* of full-time professional position & 20$ of full-time support position. Savings - 9010 $59,900 $30, 200 0 0 SERVICE REDUCTION COST SAVINGS OPTIONS *Items identified with an * denote areas that the Page 16 Council identified an interest in potentially reducing. ELIMINATE SERVICE REDUCE SERVICE 1992-93 1992-93 ANNUAL MID-YEAR ANNUAL MID-YEAR BUDGET/SERVICE RANKING SAVINGS SAVINGS SAVINGS SAVINGS 9020 - Building & Safety NO REDUCTION 9030 - Engineering 9030-8a Tri-Valley Transportation 33 ___ ___ Technical Advisory Committee 9030-6 City Mapping 33 5, 000 5, 000 --- --- 9030=1c Traffic Studies Requested 33 32, 000 20, 000 --- --- by City Council/Citizens 9010-7j -Monitor I-580/El Charro Rd. 33 ___ ___ 9010-9d !BART Parking Lot Design 34 Review 9030-4 Engineering Plan Review 35 0 0 --- --- 'Savings - 9030 $ 37, 000 $ 25, 000 --- --- Staff Time saved by eliminating these items would amount to 8.5% of a full-time position, which could not be reduced to generate savings. 9040- Economic Development NO REDUCTION TOTAL SERVICE REDUCTION SAVINGS $983,433 $595, 184 $169, 187+ $112 , 323+ TOTAL SERVICE REDUCTION SAVINGS DENOTED WITH ASTERISK* $ 79,924+ $ 48, 599+ CAPITAL PROJECT DEFERRAL OPTIONS On, October 22, 1992, a majority of the City Council expressed an interest in deferring a number of the projects in the 1992-93 Capital Budget so that funding for those projects could be used to offset the 1992-93 Budget Shortfall. Those projects which were identified for possible reduction include: Type of Funds Proiect To Be Saved Options Savings 1 . Data Processing Internal a) Eliminate $ 22, 000 Equipment - Bldg. , Services all equipment Planning, Public Fund Reserves for 1992-93 Works, Recreation, City Manager b) Reduce 1992-93 $ 5, 000 equipment purchase at discretion of City Manager. 2. Dublin Blvd. Gas Tax a) Defer design $ 13, 393 Widening, Donlon completion and Way to Village transfer Gas Parkway (Right-of- Tax funding to Way Appraisal/ Operating Design) Budget. 3 . Dougherty Road Gas Tax a) Defer design $ 26, 713 Improvements, and environmental south of work and transfer Southern Pacific Gas Tax funds to Right-of-Way Operating Budget. 4. Street Subdrains Gas Tax a) Eliminate all $102, 495 subdrain work for 1992-93 and transfer Gas Tax Funds to Operating Budget. b) Eliminate $ 77, 495 subdrain work with exception of worst areas on Village Parkway only, to avoid further deterioration. EXHIBIT 7 . . Type of Funds Pro;iect To Be Saved Options Savings 5. Traffic Signals Gas Tax a) Defer completion $ 10, 000 Village Parkway of design work at Brighton & at and transfer Gas Tamarack Tax funding to (completion of Operating Budget. design work) . 6. Downtown Street Gas Tax a) Defer Street $ 67, 350 Light Additions Light Additions (Golden Gate and transfer Gas Drive and Clark Tax funding to Avenue) . Operating Budget. By deferring or reducing all of the projects identified above, a total savings ranging from $199,951 to $241,951 could be realized. It is important to understand that Gas Tax Funds can only be transferred to those activities which are eligible for Gas Tax Expenditure. Those Operating Budget Activities which are eligible for Gas Tax funding and are partially or entirely funded by the General Fund are.. as follows: Amount Currently Activity Funded by General Fund 1. Traffic Signal Energy/Maintenance $ 63, 116 2 . Street Maintenance $ 221, 180 3. Street Tree Maintenance $ 60, 000 4. Street Landscape Maintenance $ 222,880 It should also be pointed out that the City is only able to replace some of the General Funded activities with Gas Tax in 1992-93 , 1993-94 and 1994-95, because of the suspension of the Maintenance of Effort provisions of Proposition 111 by the State Legislature. RCA/lss a:CIPDefrd.doc.rca#6b OPERATIONAL COST SAVINGS 1 . Operational Savings Implemented by Staff 1992-93 Annual Mid-Year Budget Activity Savings Savings - 1020 Revise Recruitment Process. $300 $300 1050 Consolidate Fire Extinguisher Services. 300 300 I 2010 Reduce Police Investigative Film Processing Cost. 1 , 300 650 2060 Reduce maintenance & insurance costs for Surplus 1 , 175* 1 , 175* Fire Vehicles. 8020 Vandal Resistant Fixtures Park Restrooms. 200 200 8040 Reduce Adult Sports League Mailings. 100 50 8050 Reduce Shannon Center Elevator Maintenance Cost. 800 545 8100 Restructure Pool Maintenance Contract. 2, 400 1 , 200 SUBTOTAL $6, 575 $4, 420 * This amount represents only Dublin's Share (58.71%) of the Actual Savings realized. EXHIBIT ff 2 . Operational Saving Options for Council Consideration i 1992-93 Cost to Annual Mid-Year Budget Activity Initiate Savings Savings 1020, Freeze City Employee Salaries None $50, 000 $50, 000 1040, 2010, 2050, 3010, ! 8040- 8100, 9010, 9020, 9030 i 1040 Reorganize City Managers Office & Finance None $11 , 000 $ 3, 600 Department effective March 1 , 1993 1050 Replace Civic Center Indoor Live Plants with $5, 000 $ 2, 000 $ 0 Artificial Plants. 1050 Remove one pay phone from outside Council Chambers 250 580 200 i 2060 Fill Firefighter Relief Positions (2 ) with None 23, 500* 23, 500* overtime for 1992-93 . $5, 250 $87, 080 $77, 300 i I (5, 250) NET SAVINGS $87, 080 $72, 050 This amount represents only Dublin's Share (58.77) of the Actual Savings realized. This savings could only be realized with the approval of the DRFA Board of Directors. This item is recommended only for 1992-93, and will be evaluated further by DRFA for 1993-94. I i 3 . Operational Savings Options which require further study 1992-93 Cost to Annual Mid-Year Budget Activity Initiate Savings Savings 1020 Evaluate potential to sell ads to cover Undetermined $15, 410 $0 /8040 cost of City Newsletter and Recreation Brochure. 1050 Install system which monitors Civic Center Undetermined Undetermined $0 HVAC to reduce energy costs. 1050 Reevaluate cost effectiveness of Undetermined Undetermined $0 refinancing Civic Center Debt- Service. 1050 Evaluate potential use of unused Civic Undetermined $4, 890 $0 Center Sewer Permits. 1060 Increase Liability Insurance deductible Undetermined Undetermined $0 from $25, 000 per occurrence to $50, 000 per occurrence. 2060 Evaluate effectiveness of current Undetermined Undetermined $0 structure for providing Emergency Medical First Responder/Ambulance Service to Dublin & San Ramon. 1050/ Discuss with Dublin San Ramon Services Undetermined Undetermined $0 3050/ District potential operational cost 8020/ savings measures which could lower 8100 water rates City wide. c:opersav L ONE TIME BUDGET SAVINGS 1992-93 Annual Mid-Year Item Savings Savings Defer replacement of Office Equipment $23, 718 $23, 718 in the Internal Service Fund by one year Use of Contingent Reserve Vary Vary Use of General Fund Reserves Vary Vary a:1-$say.rca#8 EXHIBIT 7 REVENUE GENERATING OPTIONS Page 1 Revenue Estimated Category/ City/ Action Revenue Source Description DRFA Option Required Generated A. FEES FOR SERVICE 1. Building The City currently charges a City Increase 1) Fee Undetermined Permits building permit fee in accordance Fee Analysis with the Uniform Building Code. 2) Modify i The fee schedule has not been Council changed since 1982 . The Reso current fee schedule does not fully recover the City's cost. 2 . Encroachment The City currently charges fees City Increase 1) Fee Undetermined ' Permits to individuals and agencies who Fee Analysis do work in the street right-of- 2) Modify way and easements. The current Council fee schedule does not fully Reso recover the City's costs. 3 . San Ramon Rd. The City currently charges $50 City Increase 1) Modify Undetermined Banner to issue a permit for community Fee Council (See Service and non-profit groups to display Reso Reduction a banner on San Ramon Road. The cost saving City's direct cost of installing options, and removing these banners is $336. page 7, 3050-11) 4 . Planning The City currently charges a flat City Increase 1) Fee Undetermined Applications fee for certain types of planning Fee Analysis applications, i. e. variance, 2) Modify conditional use permit, etc. The Council current fee schedule does not Reso fully recover the City's costs. ru ll � 10 REVENUE GENERATING OPTIONS Page 2 Revenue Estimated Category/ City/ Action Revenue Source Description DRFA Option Required Generated 5. Pre-Appli- City and Fire personnel are often City/ Add Fee 1) Fee Undetermined cation asked to consult with private DRFA Analysis Processing landowners/developers to review 2) Modify Fee for a preliminary plan before a Council Development Planning Application is formally Reso Projects submitted or not submitted. The 3) Request landowner/developer is currently DRFA not charged for this pre-application considera- consultation/review. tion 3 6. Fix-it Ticket Presently, the Police Department City Add Fee 1) Fee Undetermined Sign-Offs signs off approximately 1800 Analysis per year which were issued by 2) Modify Dublin or other agencies. This Council service is currently performed Reso at no charge. 7. Fireworks The City Municipal Code requires DRFA Increase 1) Fee Undetermined Permit applicants for fireworks permits Fee Analysis to pay $150 fee for the Fire 2) Modify Authority for processing and City Ord investigative costs. The current fee schedule does not fully recover DRFA's costs. 8. Fire The Fire Department currently DRFA Add Fee 1) Request Undetermined Inspection inspects childcare and health care DRFA Services facilities. These facilities considera- Required by cannot receive permits/licenses tion Other from the State of California Agencies without these inspections. These inspections are currently performed at no cost to the applicant. REVENUE GENERATING OPTIONS Page 3 Revenue Estimated Category/ City/ Action Revenue Source Description DRFA Option Required Generated 9 . Overhead Overhead is currently added to City/ Review 1 ) Overhead Undetermined Charges several fees within the City of DRFA adequacy of Analysis Dublin. Overhead can be re- overhead 2) Modify evaluated and added to all charges and Council charges and fees for the City applica- Policy of Dublin and DRFA bility to all fees for service activities. B. AB 939 FEES 1 . AB 939 Establish Garbage Fee to pay for City Add Fee 1 ) Evaluate Based upon programs required by State Amount 1992-93 Assembly Bill 939 to recover of fee Cost costs associated with waste required Estimated diversion programs. 2) Negotiate at $24, 459 . with Waste Mgt. 3) Modify franchise agreement C. POLICY' CHANGES 1 . Safety Repair State Law currently requires City Require 1 ) Revise City would of Sidewalks property owners to maintain property Council either save sidewalks abutting their owners to policy $50, 000/yr. property in safe condition. maintain 2) Set up or generate Since incorporation, the City sidewalks inspec- revenue to has annually agreed to provide or reim- tion/ offset cost these repairs, provided the City burse City notifica- if property had adequate funds . It is for needed tion/ owner does proposed that the City require repair. billing not perform property owners to assume system the work. responsibility for sidewalk repair. REVENUE GENERATING OPTIONS Page 4 Revenue Estimated Category/ City/ Action Revenue Source Description DRFA Option Required Generated 2 . Private Tree The City currently prunes City Require 1 ) Adopt $7, 325- Obstruction privately owned trees which are property Council $14, 650(1) of Streets obstructing the streets and owners to policy sidewalks at no cost to the prune 2) Set up owner of the tree. their trees inspec- which ob- tion/ struct notifica- sidewalks tion/ and streets billing or reim- system burse City for needed work. (1) Includes work on private trees associated with slurry seal & annual overlay program. D. ASSESSMENTS 1 . Emergency DRFA is not recovering costs for DRFA Consider 1 ) Request Undetermined Medical provision of First Responder/ levying a DRFA Services Ambulance services. supplemental considera- EMS assess- tion ment after evaluating effectiveness of current EMS structure See Exhibit 5 #3 - 206 2 . Fire Assess- DRFA' s primary source of DRFA Consider 1 ) Request Undetermined ment Fee revenue is from the cities of levying an DRFA Dublin and San Ramon. It is assessment considera- possible for DRFA to levy a fire on all tion assessment as an independent properties source of income. for fire service. REVENUE GENERATING OPTIONS Page 5 Revenue Estimated Category/ City/ Action Revenue Source Description DRFA Option Required Generated 3 . County . Although Dublin funds 19 hours a City Service 1 ) Request Undetermined Library week of Library Service, the Area County Service Area responsibility for providing Fee to in- Library Service rests with Alameda vestigate County. It may be possible for the County to form a County Service Area to fund the library system. This would provide the library system with an independent source of revenue which could not be impacted by the State Budget or have to compete with other County programs. E. RENT 1 . Lease Civic The City currently leases two City/ Lease 1 ) Do Cost Undetermined Center Office unimproved areas in the Civic DII Space Benefit Space to Center totalling less than Analysis Compatible 5, 000 sq. ft. combined from Dublin of leasing Tenant Information, Inc. It may be - space. possible to sublease these areas 2) Obtain to generate rental income for Bond Counsel the City. Both areas would Opinion RE: require substantial tenant limitations improvements . on leasing imposed by 1988 COPS. REVENUE GENERATING OPTIONS Page 6 Revenue Estimated Category/ City/ Action Revenue Source Description DRFA Option Required Generated 2 . Sell/Lease The City currently owns a portion City/ Sell/ 1) Obtain Undetermined City Real of and leases the balance of a DII lease Bond Property 4 acre parcel which is part of the property Counsel Civic Center Site. It may be Opinion possible to sell/lease this site RE: limit- to another party. ations on sale/lease imposed by 1988 COPS. F. TAXES 1. Transient Currently the City imposes an City Increase 1) Public $12 , 500 for Occupancy 8% transient occupancy tax on Tax Hearing each 1% Tax (TOT) hotel/motels in the City. This 2) Modifica- increase in 8% currently generates approxi- tion of tax mately $100, 000/year. current ordinance. 2 . Utility A Utility Users tax can be City Impose 1) Evaluate Undetermine ' Users imposed on the consumer of any Tax impact of Tax combination of electric/gas/ Utility cable television/water and Users tax telephone services. The tax on City's rate is set by the City Council. economic The tax is collected by the competitive- utility and remitted to the ness. City. Half of the cities in 2) Hold Public Alameda County have a Utility Hearing Users tax. Alameda County is 3) Enactment considering such a tax in of Ordinance unincorporated areas. REVENUE GENERATING OPTIONS ' Page 7 Revenue Estimated - Category/ City/ Action Revenue Source Description DRFA Option Required Generated G. OUTSTANDING ACCOUNTS RECEIVABLE 1. Enhance The City has relied only on City Contract 1) Solicit Undetermined Collections Finance Department Staff to with a Collection collect outstanding accounts Collection Agency receivable to date. For those Agency proposals accounts which the City has 2) Select not had success in collecting Collection the amount due to the City, it Agency is proposed to use a collection agency. Most collection agencies keep a percentage of the amount recovered. H. NEW ENTERPRISE ACTIVITIES 1. Cable Investigate advantages to consumer City City owns 1) Hire Undetermined Television and City of operating a Cable Cable TV Consultant Television System for Eastern and infrastruc- to conduct Western Dublin. ture and feasibility solicits analysis competitive prior to bids from actual different development cable in new operators growth areas RCA/lss a:RevGen0p.rca#9 i.s �Y, ' W,N§ 5585.1 THE IMPROVEMENT ACT OF 1911 Div. 7 �r {'i { , j '„ Pt. 3 MAINTENANCE OF SIDEWALKS § 5610 h j t i written agreement with the county treasurer or tax collector. Such § 5601. Scope of chapter; maintenance and repair; applicability agreement shall provide for the a P 1 t [� payment of the cost or estimated cost of other law ilk P { of any service rendered by the designated county officer. 4., . In the event such cost or estimated cost is not included in the as- This chapter shall only apply to maintenance and repair proceed- sessment, the city conducting the proceedings shall be Diable for a �'>` ings,whether upon work originally done under this division or other- 7� [; meat thereof from the general fund. P Y ;, „t wise,and shall not be used for the construction of new improvements. Ilj l i (Added by Slats.1965, c. 777, p. 2362, § 1.) r The "Special Assessment Investigation, Limitation and Majority Pro- '?F �` test Act of 1931 t" shall not apply to proceedings taken under this ! 1 i ; I chapter. t.., Library References ces (Added by Stats.1941, c.79, p. 873, § 1) Counties 175(4). „ C.T.S.Counties§§125,128. :N fi. t Section 2300 at seq. y j D ori vation- Stats.1911,,c.397, p•749, § 33; Stats.1035, c. 771, p.2151, § 4; State. 1939,c.50$n.1389,§3. Chapter 22 ` § 5602. Alternative procedure t MAINTENANCE OF SIDEAVALKS lfz, This chapter constitutes a separate and alternate procedure for -Article ,' performing the work specified herein and, except for the provisions Section t' P g P }:` of Part 5 of this division,no other provisions of this division shall ap- ;si 1. General Provisions ____________________________ __ t i 1 � H !i ___._- 5600 r, p proceedings instituted hereunder. } 2. Repairs 1'i. ply to r e t n } ; 3. Collection of Cost of Repair -------------------------------------------- 5610 fi _-___ (Added by Stats.1941, c. 79, p. 873, § 1. Amended by Stats.1967, C. IiI r 25 s 615,p. 1963, § 1.) fl Chapter 22 was added by Stats.XO/,X, C. 79,V. 873, § 1. „�r Sea Historical Note sender heading of Division 4, preceding t `�,�� Historical Note H trJ §2800. TI, 1107 nmmnlment inserted file oz- Derivation: Stats.1011,c.907,p.7.19, 1 d y { 'fr, '.. ceD[ion. 33: Stnte.1935, c. 771. p. 2151, 1 4; rll� i• ' ''t p;HS. tit nla.10at1,c.tSlly,p.]889,g 3. ;{:� 7 Article 1 Sw Jt x i Al't1C1C 2 GENERAL PROVISIONS wi REPAIRS "dJ i See. �¢ �� - H i 5600. Sidewalk defined. See. U) ix: t 6601. Scope of chapter; maintenance and repair; applicability of other -: 6610. Maintenance by lot owners. law. I r 6y! 5602. Alternative procedure. tri 5611. Notice to repair. v 6612. Service of notice; personal; mail. Article was added b1 Stats.l9lY c.79,P.873,§Y. } �t J , 6618. Posting of notice. £ i ! D :� , •. 6614. Contents of notice. E i t� xt 6614.1 Bond issue. i Repair by street superintendent. - 1 l ! § 5600. Sitlewallc defined {: ,,. `r 5610. Notice of cost and hearing. ' ! As used in this chapter "sidewalk” includes a park or parking 6617. Report and repairs of cost. 1iF strip maintained in the area between the property line and the street �,� 5618. Hearing on report; powers of legislative body. line and also includes curbing, bulkheads, retaining walls or other „1 r a works for the protecl.ion of an sillewall:or of nll 2 "c Article 2 sorts added InJ Stnts.YtJItY, C. 7tJ, p. 873, § .Y. Y y such park or park- R ts>t>�ea ing strip. s See Historical Note under heading of Division /1,preceding § 2800. (Added by Stats.1941., c. 79, p. 873, Derivation: Slats.1911, c.397, p. 7.17, g 31; Stnts.1935, a 771, 1 �! { 1939,c.cob,p.]830,g 1. n. 2t•f8, 4 2; Srnte. v ,t § 5610. llfaintenanec by lot owners yt{ti ti „' The owners of lots or portions of loss fronting on any portion of Library References :^, eil;i �•'' a public street or place when that street or place is improved or if Mimicipal Corporations c==(_j) e ' C.J.S. hl mdc;pul Cerpo rnlim,s )� ]018. wards nud I'lu'nsos(rorm.t:a.) and when the area between the property line of the adjacent property II ] P Pt Y 290 1 y: 291 C ; k aT•' �x` .l A.:, § ,5610 Tills IMPROVEMENT ACT OF 1911 1)iv. 7 ?r .. Pt. 3 111AIN'PPNANCC OP SIDliNAi,I{S § 5611 # i'. II and the street line 121 maintained as a Al'1C Ol' '�" `�' of nnckester v. Cat.141,c0 r. 700, the statute expressly P parking strip, shall t 182 N.F.N.r. 324; City maintain any sidewalk in such condition that the sidewalk will not 'Fy Cn(npbell, 122.3 N.Y. •105, 25 N.R. o37, 70 imposed n liability ngt tale w owner and ':Ina ;'' 303, 0 \m.St.lte p. 7011; (illy of in favor of travelers if the owner!oiled to it+ i endanger persons or property and maintain it in a condition which s r "'' tccobuk v. Ind. Dist. of Xcokuk. 53 Iowa repair after being giv'n notleo to repair. I'I will not interfere with the public convenience in the use of those 352. 5 N.\v. 503, 30 Am.ltcp. 226; web- IC was Lela char where no notice boa been 'I ;g "�r Inter v.Chesnpenke&O.liy.Co.,1Cy.,105 given, liability did not exist. In F.us[nce works or areas save and except as to those conditions c reated Or 1 S.W. 99G; Betz v: 7,immlgi, •1lt La.Aun. v.Johns,38 Cal.3,the same problem was ! ! ! maintained in, upon, along, or in connection with such sidewalk by 1113, 15 Su. :LSG, 49 Aut.Stltop. 394; considered nt some length. In Unit case I� any person other than the owner, under and b virtue of an irr Rupp v. v.Cif m, f N e L. 7,50 f ico:. it was held lout ao ..;:bialy statute to Y y permit i%„ 7`oulloff v. City of (:rccn Bay, 111 \1'isc. lhu PruperlY ing for..odes n statute t ex- III Or right granted t0 him by law Or by the city authorities in charge_. ',' 490, 05 N,W. Ills; cooper v. \'illugc of pressly providing for sorb liability iu fa- h.'.. Waterloo, 218 Wis. 933, c0 NAY. 71.1; vor of trnvcicrs ou the sidclvnik, in rho thereof, and such persons shall be under a like duty in relation there- " Breen v. Johnson Bros. Drug Co-. "97 obscure of notice." to. `�' •I Mo. 170, 243 S.W. 070; McEvoy v. City of New York, 200 App.Div. 940, 42 N.Y. An nbutting owner ,nnintniuing nn circa (Added by Stats.7997_, C.79,p. 873, § l.) 'r. "' or vnult outer the sidewalk in front of .,;i . S.2d 7.10; Aber v. Ramsey Motor Service, �. °i;` ri". ]ll5 Minn.G07,"_13:5 N.W.1117; McCurk v. her properly, and main Ulining ill the side- Derivation: Stnts.1911, c.307,p.7.17, § 31; Slats.193,5, c.771, p. 2143, § ^_; Stilts. '` "',' City of Shreveport,Ln.App., 191 So.5531 walk above the area light wells for her (I 1030,c.505,p.ISSG,§1. •�� `" II'�ridls v. New Orleans Public Service, sole and exclusive benefit to supply light. 'ter` 7p2 So. Orleans City of 1lirming- was required to use reasonable care to IiI Library References 9. $}? ham v. Wood, 240 Aln. 338. 107 So. 885; keep tfimn in safe condition and woe!tall!' Municipal G'urponLLions c:-281(1). (/..T.5. Municipal Corp..nntuna f iYC willonghby v. City of New Haven. 123 fur nu injury resulting from n defeclivo §§ 1070- ',.�F ,p;p Conn. 9•Sfi, 797 A. 85; Ouelcue v.Miller, condition of which sho knew, without no- III 10 721. _�ii5- a5:•'. 134 hie. 102, 183 A. 34 from 1; see, Pine, Lus- tiro fro th Works Board of Public orks on- ;i" tnee v. Jnhus, 38 Cal. •l; Mnrlinovich v. der the Vroomnn Act,Stnts.lSM, pp.160, Notes of Decisions \Voolcy, 128 Cal. 1.11, 60 l',700; see nn• 361, and tile nets mnendntory thereto to �. pr7:. `otntiins 41 A.L.R. 21•_; 0:3 A.L.It. 700• repair aili the rsidewaJ(them especially iulitho where ,II 1. Abutting owners, liabilities of not ingpoae liability mI owucr, clthcr to 't. I An nbutting landowner may be bold tin- travelers or to 'ill•, for injuries incurred + '•�"• "Thero is no case directly in point to n nuisance. h[onsch v. 1'ellisnicr (202.3) a California. In Martinovich v.Woutey,12S 20-1 11.224,187 C.700. file for dangerous condition of b reason of defective mtdewalk. Schaefer °! g public Side. Y �'�<, I walk which fins been altered or construct- v. Lcuahnn (10.14) 140 P.2ll 929,03 C.A. :5;; "r cc] for his benefit and which serves n use 21182-1. In this case the court said: ,•tiT- independent Dud npart from the ordinary "It is tile theory of appcllnut Unit this ±`x''U �!II time for which th a e sidewalks re dt:migued. statute not only imposes It duty upon tile k�. N.r. § 5611• Not.icetorepair City -1111 Counly of Snn Pmnciseo (1:158) properly owner In tiny for re.peirm, but ' When ml onion of the sidewalk is out of repair or pending re- ! 330 P.2d 80'2,,51 Cal_d 127. also vrenles a duly in favor of travelers }yS yai; Y p i t` Whera persons are injured fly condition nn the miJr.wnli(, unit mnkcm the property .I1!1 ('a` hF' construction and in condition to endanger persons or property or in ! of portlous of n •,IVner liublo Ia such travelers for injuries public sidewull( which rv:eeived bcrnusa of the dc.factive condiliou '!' ri. I�' ;% condition to interfere \vilh the public convenience in the use of such s• ! have fir-en nh.c red for the heucf i[ of Iho of thu sidewalk. !I'hia inter Iretalion of '.SPi Y abutting Innlownor,city amt the hlmlown• 1 sidewalk, the superintendent of streets shall notify the o\vncr or per- ;Il or are joint or .....current tort-Censors, t.fic atnlule is not sound. The prilnnry " j; P and eneh is directly liable for his own duty to I(cep sidewalk.ill repair is on the ,rat,:, son in possession of the property fronting on that onion of such 'i I wrong rod each may bo held liable for the city. The statute nbove quoted merely +- � sidewalk so out of repair,to repair the sidewalk. i!jIt provides n statutory method by which the 'rl` i{j' { s entire damage suffered. ]d' cif mil collect the cost of re mirs from ,;;:-, ''n p• i Wbero an nd•oinin• y y ' `{{'' (Added by Sfats.7941, c.79, 574, § 1.) 1 G property owner far the property awa+e r. The statute creates the cxc:usivc benefit of his own property n dilly on Lite part of the property owner ,. 'pis Derivation: Stnis.1911,c. 307, P•747, § 31; Stats.1035, a 771,P•214S, $ 2; State, pinces to n public street or sidewalk sonlo to Keep the sidewalks 311 repair—but thnt ��L .y#f' 1030,c.GoS,P•]580,§J. 'I nrtificinl structure unit n city is compelled dui is owed to the cif not to the travel- >��'` l" Y t Y Y .p.; I.. to pay damages to n mmnber of llw public er n tLa xiJew•allt. '1`hc extent of the "411 xl{y;; Forms injured thereby, the city fins a right to liability created is to pay for the repnirs, i• recover the nulount so top id from the not to pay Junmges to nit individun), nor ryI 1 property owner by way of indeuulily. Id. to reimburse. the city if it is cmnpelled to + :K�.. See\\'cxt'a California Coda L'unns,Streets and Ilighwnys. I; Owner of property abutting on public. I'll)such dnmugcs. Library References "Stntules similar to the one here In- sn.,e. street was not liable for injuries sustained 'r?h . C.J.S. hfuldeipnl Corporations § 10T4. I. by trawler its result of defects in side_ volved bov, been passed by ninny states. Dtunicipnl Corporations Q;'�^_Sl(:3). liv walk fronlin• his ]n interpreting auah slnl It's, lim over- 6 premises, though mvner ( ai had been notified to rcpnir sidewull( nm1 11.1 n!ng w•eigLt of toll honky is to the ef• Notes of Decisions {. LnJ fuII;A In de se. ScLuefcr v. LmuJmu f that a sl.ntolo which rcquires abut- r' (1944)79012.24 OSU,M C.A.2d't31 ring owners to uulilunin mid rcpnir side- .' :,sa:, fur injuries incurred by reason of ' wall's adjuintug their premises, such work I. Allotting owners, Miles for Injuries city, I`he lmpruvcupout Act of ]011, § -it cis defective sidewalk. Schnefer v, Lenalutn it Thu 7snprovomout Act of 1911, § 31, nm to be dour by t.hc municipality at tbo ex- nuwudcd to 1035, now i of 30 n;tcd ill §§ (71)44)1.IG P.2d:1.219,03 C.A:'d 3'_'4. note tell in 3935,note incnrpnrulyd in this Tense of ILc -bulling owners in case. oC 51;10-6018, uull(iug iC lLn duly of nLullinl: Otvnor or occupant of premises -hulling _•1' xecLinu Dud 4§ Gtr 1-.',Ii1K, m:dliry; il. Iho 0h it failure lu r nut rn,l: 2 r n:pair, does •;fl i' property owner to unit..!uiu aidcwm lks in ml a public street is under na ci.on -Inw f duly of nLn Cling properly ..wort to ..min- not iwpuac IiaL!IiLy upon much owners, ot• P 1 b duly to keep the sidewalk( iu rcpnir and, If thin sidewalks in safe condition and pro- Cher to Lnrvcicrs or to the city for iniu. ids anfo condition nod providing Ihut repairs •'L�=•i not trade fly owner upon uoliw shall be in aLs'nco of statute, he is not liable for pI 3 Upon that repairs n d made by owucr riva incurnIt Ly reason of the R defeclivo ii mode by city +lad cosL thereof asses-ed injuries sustained by travelers on result of It then notice sllnll be made by city Dud cos[ mIJC\1'1112(, ltllma'll v. Siucuc RrnllY Co.. deCucLs in midrs•ulit naL ctlllsed fl thereof nssesscJ ngailest owner merely 3 hlo,11"_8,290 S.\1'.747; Dixon v.111im- nguinst owucr warvay provides alnlutory y owner 1 ' of reiai statutory method to ceilert coat xuuri 1':11:, ItY. Co., 101 Nau. •104, 7711 1' lucl.hod to collect cwt of ngmirs from or ucrupn0t- id. of repot rs [rum pngrorly owner, and inI- 545; Cily of AaLl:;ud v. Vlomant Nitcbe- 'F!�° properly owner, and imposes p,I tit Ring I poses-ell nbulliog owner a duty owed to Lumber Co., 213 Ky. 515, 251, S.W. 50:1; owner a duly owed to city to hn p side- SL•d a.18.SG, Pp• 147, ],!u § ]3. provided stret. city to t:ecP sidcwn..(s ill rcpnir Lnt Jac:+ Mcl:n rtLy v. :\d:mks, 92 Ohio App. 9G5, wall(. in repair but dues lot IinLil- ILnL the oily auperiulcudcnt of sl recta .3 V 292 ity on owner, clthcr to travelers or to should by written police, rc,tuire property 293 , I '>:>-- ; .• 5615 •r�s" ` MAINTrxAlVCr Or SIDEWALKS § i, § 5611 THE IMPROVEMENT ACT OF 1911 Div. 7 Pt. 3 1 lIl1 owners to make necessary repairs on the defective sidewalk against the abutting ^,,�v _ § 5614.1 hold issue t• highway fronting their property, and, if proport) owners, nn allegation Lhat Jc- +'r,'4t' t``. �)I tile notice was disregarded for three Jaya, fendante haJ notice posted o❑ the Part of Tile legislative body may adopt a resolution determining that ! =' ; ` toe the eat was authorized to per- too city and county h and id concerning ww "'+;: Y :, bonds shall be issued and assessments collected and enforced pursuant I' form the work. Section 23 Impose)n tin- rotten condition of the sidewalk, and was b'ility on the property owners for injuries advised to repair the some, but failing to :,.1 � -•1 to Part 5 of this division. In such event, the notice to repair shall resulting from defects in the street front- show notice given by the super[ ❑temlent log their property, If rho defect should of s[rccla,and that it had been Jlercgnnl•' f }4"- ' specify that bonds shall be issued to represent the security of the un- have existed 29 hours after notice to the ed for the specific) lime, was Insufficient. "y: paid aSSCSSmeRLS, payable over a pCtlOd Of IIOt t0 exceed SIX CATS, 1; superintendent of streets. In an action Martinovich v. wooley (1900) 60 r. 760, ;�;%" and shall further recite a maximum rate of interest to be paid on the for injuries sustained by reason of a 1280.141. '" '�'� indeUtedness, which shall not exceed 7 percent a year, payable see- 3 lilt iannually. ' §i 5612. Service of notice; personal; mail r Added h Stats.1967, c.615,p.1963, § 2• Amended by Stats.1968, C. i Notice to repair may be given by delivering a writteh notice per- yi: 98G P• Y§ 2, urgency, eff. Aug. 2, 1968.) i I'I serially to the owner or to the person in possession of the property ¢ 1; facing upon the sidewalk so out of repair,or by mailing a postal card, Historical Note i z,o i, postage prepaid, to the person in possession of such property, or to i I '; m iuterest"rate\lot 7 raised pereenttnfro n maxi- Tile 6 the owner thereof at his last known address as the same appears on a the last equalized assessment rolls of such city or to the name and ad- percent. ii ` 7v Library References dress of the person owning such property as shown in the records of o.ds. Dfmdeipnl Corporations gg 1907. the office of the clerk. ;i. .,h Municipal Corporations @x911. 1908. (Added by Stats.1941, o.79, p.874, § 1J r} Derivation: Stats.1011,C. 397, p. 747, g 31; State-1935, C. 771, p.2148, g 2; State. "'`Y s;`. 5615. Repair Uy street superintendent 1939,c.508,p.1880,11. '„�'s. U.;. § ' If the repair is not commenced and prosecuted to completion I11 Library References 3.: superintendent - I - with due diligence, as requited by the notice, the of ' Municipal Corporations X281(3). 0.7.8. Municipal Corporations g 1074. `� !1- P' streets shall forthwiUl repair the sidewalk. Upon the written request facia the sidewalk so Out of repair, as rMy of the owner of the property g § 5613. Posting of notice :'' ascertained from the last equalized assessment roll of the city, or as The postal card shall contain a notice to repair the sidewalk so +f, ,tai' shown in the records of the office of the clerk, the superintendent out of repair, and the superintendent ma repair an other portion of the sidewalk fronting on the proper- I' i P uper ntendent of streets shall, immediately ' Y P Y i upon the mailing of the notice,cause a copy thereof printed on a card s ty that is designated by the owner. The superintendent shall have j t of not less than 8 inches by 10 inches in size, to be posted in a con-power to prescribe the form of the written request. The cost of re- i I� spicuous place on the property. ; , n3s' pair work done by request pursuant to this section shall be a part of { by Stats.1941, 0 79, p.874, § 1.) >;Si, the cost of repairs for which,pursuant to this chapter,subsequent no- (Added Derivation: Stats.1911, c. 397, p.747, g 31; Stats.1035, c. 771,p.2148, g 2; Stara. ��;"'i"' ¢': ticeS are given, hearings held and assessment and collection pl'OCC- t 1939,c.508,p.1886,g 1. �! �"'"-•. dureS are conducted. f� (Added by Stats.1941, c. 79, p. 874, § 1. Amended by Stats.1963, c. § 5614. Contents of notice " 648, 1639, § 1.) 1 e (d;:' p. The notice shall articular] specify what work is required to be Historical Note particularly P Y q - t. A-3;".' )[f ( • UY �:�• Tho second. [bird and fourth sentmncos Derivation: S[n1e.7917,c. 39914S,737,2; (1j done, and how it is to be done, and what materials shall be used in 31; Stata.1935, c. 771, p• t1 ; ,.4?'7 Stats.1939.c.fiOS,P• 1 Ir i the repair and shall further specify that if the repair is not com- '': ' "% wcro mweJ in 7903• lssu,g 1. menced within two weeks after notice is given and diligently and C Library References ! without interruption prosecuted to completion, the superintendent of 128_ c.TS. h]\nnieq,;,t Corparnlions g3 1018, i1t streets shall make such repair, and the cost of the same shall be $ DLnniripnl Cnrponlions Ca 09(1), 7aIR 1567. t I, j lien on the properly. i <f , Notes of Decisions 1t (i (Added by Stats.1941, c. 79, p. 874, § 1. Amended by Stats.1953, c. `t�7 i; Is Y , 798,p.2099,§1) i•,` 1. construction and application within reasonable time offer notice,where '+!i Historical Note City, whose inspector discovered Jefre- )rat hies not repaired at time of ncci- tivo condii ion o[ aolnnvn9\ and wbirb sent Jun[ wbldn wus shout four months niter nullco Lu rcpnir la ubulling Vr"Dcrl U\VII- INY......... of uniive. Itudriguer v. City `-' This 1953 amendment requ;red com- Derivation: Stals.1911,c.397,p.747,ng - - �,`. er, did not comply wito stators rcluiring l.os .U+geles (1903) a0 Cnl.ltpt r. 150.215 .ii• mencement of repair within "two weeks", 31; Slnts.1035, c. 771, p. 2148, L• it to either repair defect or protect public C.A^-d '163• �i Instead of"three days",after notice. Slnts.1939,C.508,P.1886,g L g i' 295 294 3`' SSSS N. s 11rnINTrNANCE Or SIDEWALKS § 5625 § 5616 THE IMPROVEMENT ACT OF 1911 Div. 7 of the property owners liable to be assessed for the work of making Ali § 5616. Notice of cost and hearing " h` such repair and any other interested persons. Thereupon the legisla- I.i, ,I Upon the completion of the repair, the superintendent of streets five body may make such revision, correction or modifications in the ;I shall cause notice of the cost of the repair to be given in the manner ,;t � report as it may deem just, after which, by motion or resolution, the ? report as submitted,or as revised,corrected or modified, shall be con- i specified in this article for the giving of notice to repair,which notice A;4...' 1f,. shall specify the day, hour and place when the legislative body will "'' 3! firmed. The legislative body may adjourn the hearings from time to 4 t { I hear and pass upon a report by the superintendent of streets of the c. 1 F ;r. time. The decisions of the legislative body on all protests and objec- II } 1 cost of the repair, together with an objections or '' tions which may be made,shall be final and conclusive. 1 Y 1 Protests, if any, i!! which may be raised by any property owner liable to be assessed for :.fi; % (Added by Stats.1,941, c. 79,p. 875, § 1.) I i the cost of such repair and any other interested persons. If bonds are +` r Derivation: stats.1911, c.307, p. 7.17. § 31; Stats.1035,c. 771,P. 22143, § 2; Stag. I a 1'930,c.50S,p.1886,§I. I i I to be issued,the notice shall also contain the information required by :» �. Section 9614.1. -;tU Forms i;I ij (Added by Stats.1941, c. 79, p. 874, § 1. Amended by Stats.1967,p. , C. Sec\\'csts California Code Norms,Streets and iTigbw;gs. j;i !I i 615 1963 z, i , § 3•) Library References f(I Historical Note i� '1%9, Municipal Corporations P-183(1). C..T.S, municipal Corporatimta §§ 1443, ,II •r. 14LL ,'if 1 The [final sentence was.added in ]007. Derivation: Stats.l911.c.307,P.7.17,§ •!` 31; Stnls.1935, c. 771, p. 2148, § 2; gyp` t Article 3 I Still.. c.508,p.1880,§L - i'?•'_ Forms ,y""` a>� COLLECTION OF COST OF REPAIR it i See I\Vest's Califoruin Code Forms,Streets and IIiglnvnys. 3 `!I 1 Sec. Library References ?; 6625. Assessment. I Municipal Corporations 0281(4). C.J.S. Municipal Corporations §§ 1075, ...�~ GG2G. Notice of lien. ' j :,`d Ste• .1!I I' 1077. 9kr 5627, Effect of recordal,inn of lien no(.ice; inclusion of separate Parcels !I� in one uotirc; ntalllte of limitations; enforcement of lien, hll 5G28. Collection with rc8ular taxes; procedure. ' +.i. . § 5617. Report of repairs and cost iu§ r:. 5628.1 Annual•itstalhnent Payments. 1 1 Upon the completion of the repair, the superintendent of streets r Penalties; foreclosure procedure. tr ,�• 1629. Time and manner of collection; P shall prepare and file with the legislative body a report specifying the ' '"' 5629.1 Bond issue; time for cash Payment; rate of interest. repairs which have been made, the cost of the repairs, a description <1 6630. Property and sidewalk in different territorial jurisdictions. !l ;!I� 1 of the real property in front of which the repairs have been made and tpr �, Article 3 luas added by Stats.19 111, c. 79, p. 875, § 1. ! the assessment against each lot or parcel of land proposed to be lev- f p 9 �r See Flistorical Note wider heading n Division/ Pre § icd to pay the cost thereof. Any such report may include repairs to 2500. fl I i any number of parcels of property, whether contiguous to each other ;,I\ it ii 1, or not, (Added by Stats.1941, c. 79,p. 875, § 5625• Assessment i tx ,t The cost of the repair may be assessed by the legislative body Derivation: Stats.191.1, e. 397, p. 747, § 31; Stnts.1035, c. 771, p• 2148, 1039,c.508,p.1850,§1. § 2; sloes. against the parcel of property fronting upon the sidewalk upon which !� Forms 3 ' such repair was made, and such cost so assessed, if not paid within Sco West's California Codc 1!'onns,Streets nod]Ii;;bwnys, ,S �:1 five days after its confirmation by the legislative body, shall con ti tole a special assesstnenl:against that:parcel of property, and shall be a'I ¢t. Library References a lien on the property for the amount thereof which lien shall contin- . Municipal Corporntions«4st t , i, ue until the assessment and all interest thereon is paid, or until it is ( ) 0.•T.S. Municipal Corporntions §§ 1443, 14.1'1• discharged of record. (Added by Stats.l9.11, c.79, p. 875, § 5618. Hearing on report; powers of legislative body {', Derivation: Stnts.1oll, c.397, p. 7.13. § 32; Stnls.1935, c.771, p. 2150, § 3; Stnts. •I i li):i9,c.50S,p.1883,§2. Ii i Upon the clay and hour fixed for the hearing the legislative body Forms 1 shall hear and pass upon the report of the superintendent of streets, p Sou\Vest's Cnlifemin Cade Punns,Sl nu•ts nod lligl,wvq•s. together with any olljeetions or protests which may be raised by any 297 v 296 t . i III l . § 5625 THE IMPROVEMENT .•, Pt. 3 5628 n. I ACT OF 1911 Div. 7 yx *L MAINTENANCE OF SIDEWALKS § l .�K` l:. !I ' F SC .r t Forms Library y References s, Municipal Corporatlone C'a413(1), C.T.S.Municipal Corporatlone § 1303 et ^`��d See west's California Code Forms, Streets and IIigbweys. seq . � yq 4. Library References 11 i Notes of Decisions r i.;t. 5 Municipal Corporations Ga570(1-7). C.7.S, bfunicipal Corporations 15G4 $$ - 1 1571. L Construction and application The Improvement Act of 1011, $ 31, ne method to collect cost of repairs from all in 1035, now incorporated in §§ property owner, and iutposes on nbuttiagi� .III ;(310-5618, making it ate duty of shutting owner a duty owed to city to keep else- ''��;5*', '.; § rj62'J, Effect of rccordatiml of lien notice; inclusion of separate property owner to maintain sidewalks in walks in repair but does not impose linbil- '.%'�.. I safe condition and parcels in one notice; statute of limitations; enforce- I providing tlm[ repairs ity on owner, either to travelers or to "`; ;Y I� not made by owner upon notice shall be city, for injuries incurred by reason of mnde by city and cost thereof assessed defective sidewalk. Schaefer v. Leunhan ,''�' meat of Bell ' I i against owner merely provides statutory `•>' y 0049)1•fG[t2d 0-1,(3 C.A.2d 324. ,,, From and after the date of the recording of the notice of lien, all i rr <' persons shall be deemed to have had notice of the contents thereof. § 5626. Notice of lien ' The notice of lien may include claims against one or more separate T11e superintendent of streets may file in the office of the county ,; parcels of property, whether contiguous or not, together, with the I' ; .,' amount due,res ctivel from each such parcel. The statute of limi- I I recorder of the county in which the parcel of property is located, a `c'• W. Yt g I' certificate substantial) tation shall not run against the ri ht of the city to enforce the pay- recorder yin the following form,to wit: F i l meat of the lien. If any such lien is not paid the city may file and NOTICE OF LIEN „ {�, maintain an action to foreclose such lien in the same manner and un- '� 4g der the same procedure, so far as applicable, as that under which de- Pursuant to the authority vested in me by the Improvement Act a g linquent bonds are foreclosed under this division. j of 1911,I did,on the day of ,19_,cause the sidewalk, (i P parking strip, bulkheads, retaining walls or other Added by Stats.1941, c.79,p. 876, § 1J curb, or ark or % {-' '' ° ( ^ y;�. ^, 150, § 3; Stats. ';.i,G;' i� Derivation: Stnts.1911, c. 397,P•748, $ 3-, State.1035,c.T71, P• - i I work: (as the case may be) in front of the real property hereinafter de- I' 1939,c.508,P.1888,§2• `I scribed, to be repaired and improved, and the legislative body of said k Library References city (county, or city and county) did, on the clay of �_�' O.T.S. bluuiclpnl Corporatlone § 3564 ct �) .?� t bfunicipnl Corporation e F�510(1)• Bert• :II III 19-,by Resolution No. assess the cost of such repair upon the real property hereinafter described, and the same has not been paid i j t; nor;any part thereof, and the said city (county, or city and county), u does hereby claim a lien on said real property in the sum of dol- r;: § 5628. Collection with regular taxes; procedure tI lars�($ ), and the same shall be a lien upon said real property t, �I As an alternative method of collection of the amount of the lien, until the said sum, with interest at the rate of 6 percent per annum, c.`3'1 Y the legislative body, after confirmation of the report of the superin- from the said day of 19_(insert date of confirmation =-' tende t of streets, order the notice of lien to be turned over to of assessment),has been paid in full and discharged of record. art the assessor and the tax collector of the city, whereupon it shall be {t G� 'The real property hereinbefore mentioned and upon which a lien t the duty of those officers to add the amount of the assessment to the is claimed, is that certain piece or parcel of land lying I) P P y' g and being in r ,1 next regular bill for taxes levied against the lot or parcel of land. If S j the {name of city,or city and county) the county of ,State of city taxes are collected Uy the county officials,the notice of lien shall and particularly described as follows;to wit: ,, ; €1 } sr be delivered to the county auditor, who shall enter the amount there- auditor, of on the county assessment book opposite the description of the par- (Description of property) sr- ticular property and the amount shall be collected together with all y Dated this day of 19_ y s{~" other taxes thereon against the property. The notice of lien shall be f . delivered to the county auditor before the (late fixed bylaw for the .y t 3 ' deliver of the assessment boot( to the county board of equalization. 1 (� Superintendent of streets. r y (Added by Stats.1941, c. 79, p. 875, § 1.) s, (Added by Stats.1941, c.79,P. 876, § 1.) 2151, § 4; Stats. u Gz t.i 'Y':�"'" Derivation: Stnte.1971, C. 397, p•740, § 37; Stnts.1935, a 7T1, p. ri 1 Derivation: Stnta.1911,c. 397, P. 748, $ 32; Slnis.l9,';5,c. 771, p.2150. § 3; Stnts. #t= ' 19:30,c.508,p.18&8,§2• a t,l y �. 1930,c.008,P.1889,13. 1 1 y Library References `. Cross References , , 1 bfunicipal Corporations DIIudcipnl Corporations § 1566. I:Ip RePnir .tsscssments, notice of interest, applicntion of this section,see § 0029.1. 299 �( 298 '3+��U ' 7 MAINTENANCE Or SIDEWALKS § 5630§ 5628.1 THE IMPROVEIIIENT ACT Or 1911 Div. l �� ;��� _' rt. s it - I!' § 5628.1 Annual installment payments ::r p Ii (I P Yn Upon completion of such cash payment period, the superintendent of (( The legislative body shall have the power, in its discretion,to de- " streets shall file with the county recorder a certificate substantially termine that the payment of such assessments of one hundred dollars in the form set out in Section 5621,giving notice therein that interest I, I: + ($100) or more may be made in annual installments in any event not sr' Ili r_ is payable at a rate to be fixed upon file sale of bonds, which rate to exceed five, and that the payment of assessments so deferred shall b *' shall not exceed 6 percent per annum, and shall begin to run on the 31st day after the confirmation of the report. Thereafter the provi- ! bear interest on the unpaid balance at a rate to be determined by the "''` 'r sions of Part 5 of this division shall be applicable and payments on legislative body, not to exceed G percent• P per annum. Such interest ^: } assessments at bond shall be made as therein provided. Such bonds r I shall begin to run on the 31st clay after the confirmation of the as- '• �`e t• may be issued and sold as the legislative body directs and may be dat- I ;r' Y sessments by the legislative body. All such determinations shall be Y P y y t` ed at any time after the expiration of the cash payment period. expressed b resolution of the legislative body at any time prior to x +;(; the confirmation of the assessments. r (Added by Stats.1967,c.615,p.1964, §4J y (Added by Stats.1967, c.314, p,1500, § 2.) 't• Library References lit I -71� Historical Note +- ;.� Ct(unicipnl Corporations C—a S:n(-)• C.J.S. Municipal Corporations § ]953. , IFortner section 51 28.1, added by Stale. nuttily in certain eases, was repented by 1005, c. 1312, p. 32.55, § 1, relating to Stats.10107,c.31.1,p.1500,§1. payment of ttsscasnnents monthly or an. ;pit § 5630. Property and sidewalk in different territorial jurisdic- tions Library References i ! Whenever the property fronting on a sidewalk required to be Municipal Corporations 0=52:, C.J.S. D(unicipnl Corporations § 1573. maintained and repaired pursuant to the provisions of this chapter I�IiI •~K FL•! , tt § 5629. Time and manner of collection; penalties; foreclosure lies within one city or unincorporated territory of a county, and the j sidewalk required to be so maintained and repaired lies within an- procedure y other city or unincorporated territory of a county, the superintendent Thereafter the amount of the lien shall be collected at the same s"H• ' of streets of the city or county having jurisdiction over the sidewalk i! otices to repair and do all work time and in the same manner as ordinary city taxes are collected,and Y` shall have full authority to serve n ` shall be subject to the same penalties and interest and to the same P ,_ contemplated by Articles 2 and 3 of this chapter,notwithstanding the lei procedure under foreclosure and sale in case of delinquency as pro- "1'' fact that the property fronting on the sidewalk lies within another cif or unincorporated territory of a county. The legislative body of i�i }i vided for ordinary city taxes. All laws applicable to the levy, collet- Y p P i tion and enforcement of tit tax ' the city or county within which the sidewalk has been repaired ur- i y es and county taxes are hereby made �,r� ,. applicable to such special assessment taxes. _ °;': suant to the provisions of this chapter shall have jurisdiction to levy ; ? "'"• an assessment to pay the cost of any such sidewalk repairs against j (Added by Stats.1941,c. 79,p. 877, § 1.) I „z 1 Derivation: Stats.1011,c.397, Tao, State. the parcel of property fronting on said sidewalk, notwithstanding the 1030,C.508.P.1880,§3. P' § 33; Stnta.1035, c.771,P._151, § 4; . . :; l;' fact that said property lies within another city or unincorporated ter- ` ` ritory of a county and said assessment shall be a lien on said proper- Cross References (`, r " ty for the amount thereof until the assessment and all interest there- Chartered cities, ehango of time at Inx proccedhngs, sea Cnvornmmnt Codo § 43122. ! on is paid or until it is discharged of record. I City taxes, collodion at time and in nuuuwr of comity taxes, ace Government Code ' ' The provisions of Sections 5628 and 5629 of this code shall be ap- I4s000. <.; a£, f I County taxes, collecliun gmternily, see Revenue tall Taxntion Codo § 2001 et sect. G `}• p `', ~ plicable to the collection and enforcement of all liens levied ulsuant Library References =' ;; to the provisions of this section and the amount so collected shall be lid to the treasurer of the city or county as the case may be which ,l, P• t ' I i\Amicipal Corporations 2524. C.:(.S. Municipal Corporations § 157:1. conducted the proceedings. t l '•' § 5629.1 Ito')(]issue; tim m (Added by Stats.1945,c. 541, p. 1076, § 1.)e for crib payment; rate of interest ' £ ! Jf bonds are to be issued to represent the security of the unpaid library References C.S.S. D(nnicipnl Corporations §§ 1358, assessments, upon confirmation of the report by the legislative body lfunicipnl Corporations eaa33,5^_7. !t 157_. 157 1. ],SO, -. the`superintendent of streets shall give notice to pay by mail and by El {! publication substantial) (, Y in the manner provided by Sections 4320 and4:321 of this code. The period for Payment in cast(skated therein I ! ,• shat{ be 30 days following the clal.c of confirmation of the report. 300 301 'tl