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FOOTNOTES FOR SELECTED FUNDS <br />(As requested by Finance Committee) <br />(A) Detail of projected General Fund balance as of June 30, 2005: <br />General Fund <br />Undesignated <br />Economic Uncertainty <br />Major Emergencies <br />Capital Improvements <br />Advances to other funds <br />Fire Equipment Acquisition <br />Reserved for long term notes/loans receivable <br />Internship program <br />Computer purchase program <br />Asset seizure <br />Total General Fund <br /> Estimated <br />Actual 06/30/05 <br />Beginning Total Total Ending Fund <br />Fund Balance Revenue Expenditures Balance <br />$ 555,364 $ 68,913,020 $ 69,315,916 $ 152,468 <br />7,971,760 - 3,205,30D 4,766,46D <br />5,000,000 - - 5,000,000 <br />114,998 - 50,000 64,998 <br />16,686,379 - - 16,686,379 <br />1,549,727 - 450,000 1,099,727 <br />2,135,863 2,135,863 <br />50,000 SD,OOD <br />225,000 225,000 <br />371,697 - 19,970 351,727 <br />$34,660,788 $ 68,913,020 $ 73,041,186 $ 30,532,622 <br />The adopted budget included a $3.2 million draw on the use of Economic Uncertainty reserves to cover public safety <br />cast increases in 2004-05. The projected reserves available for economic uncertainties and emergencies as of <br />June 30, 2005 are $9.8 million, or 14% of the General Fund operating expenditures. Additional cost containments and/or <br />use of reserves must be planned to offset the loss of revenue anticipated with the passing of Measure DD. <br />The adopted budget also includes a $450,000 draw on the fire equipment acquisition reserve far.the year ended <br />June 30, 2005. <br />(B) General Fund Capital Improvements <br />The Capital Improvement fund did not receive any contribution from the City's General Fund in fiscal year 2004-05. <br />The proposed appropriations are funded by Developer Fees for Street Improvements (DFSI) Fund, Measure B Fund, <br />Community Development Block Grant (CDBG) Fund, grants, and Enterprise Funds. <br />(C) Shoreline Fund <br />Expenditures for the Shoreline Fund include Capital Improvement Project Carry-Aver from 2D03-2004 of $2.7 million <br />for the fallowing projects: Dredge Disposal; Neptune Drive Bridge Protection; Maintenance Dredging; Rebuilding Fuel <br />Dock and other miscellaneous projects. Excluding capital costs, shoreline's operating costs are projected to be <br />$317,000 in the black. <br />(D) Redevelopment Capital Improvements <br />Expenditures for the Plaza Redevelopment Project Fund include Capital Improvement Project Carry-Over from <br />2003-2004 of $3.6 million for the following projects: Downtown and Davis/East 14th Street Light & Pedestrian <br />Improvements and West Estudillo (TLC) Pedestrian Connection. Expenditures for the West San Leandro/MacArthur <br />Redevelopment Project Fund include Capital Improvement Project Carryover from 2003-2004 of $1.9 million for the <br />following projects: MacArthur Streetscape; Davis/Doalittle Intersection Improvements and Doolittle Drive City <br />Entryway. <br />