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<br />STAFF REPORT <br /> <br />APPROVED AND <br />FORWARDED TO <br />CITY COUNCIL <br /> <br />CITY OF SAN LEANDRO <br /> <br />DATE: May 15, 2007 <br /> <br /> <br />TO: John Jermanis, City Manager <br /> <br />FROM: Jesse Baloca, Finance Dire~ <br /> <br />SUBJECT: Matter of Proposed Adjustments to City Fees, Service Charges, and <br />Taxes for Fiscal Year 2007-08 <br /> <br />SUMMARY AND RECOMMENDATION <br /> <br />Staff recommends that City Council approve the proposed adjustments to City user fees and <br />service charges for Fiscal Year 2007 -08. Staff also recommends adjustment to the Emergency <br />Medical Services Tax and the Business License Tax, in accordance with the San Leandro <br />Municipal Code. <br /> <br />BACKGROUND AND DISCUSSION <br /> <br />The City conducts a review of its user fees and service charges as part of its annual budget <br />preparation process. In accordance with the Council approved Financial Values Statement, City <br />user fees and service charges are based on a variety of criteria including comparable fee levels in <br />surrounding cities; changes in the local Consumer Price Index; and the cost to provide the <br />associated service. As a general rule, the fees and charges are designed to recover as much ofthe <br />cost of providing the services as possible while remaining comparable with similar fees and <br />charges in surrounding cities. If approved by the City Council, the following proposed <br />adjustments to the City's user fees and service charges would be effective July 1,2007. <br /> <br />Attached to this report is the City of San Leandro Fee Schedule that provides detail of current <br />fees and proposed adjustments to those existing fees as well as the additions of four new fee <br />proposals: two from the Police Department, one from the Recreation and Human Services <br />Department and two from the Public Works Department. The proposed charges and new fees are <br />in the right hand column and are printed in bold and italics. <br /> <br />FISCAL IMPACT <br /> <br />Staff estimates that the proposed changes will generate the following additional revenues: <br />$268,945 to the General Fund; $9,250 to the Shoreline Enterprise Fund; $333,048 to the Water <br />Pollution Control Plant Enterprise Fund; $21,372 to the Environmental Services Fund; $7,577 to <br />the Development Fees for Street Improvements (DFSI) Fund; $5,315 to the Park Development <br />Fees Fund, and $4,043 to the Capital Improvement Project Funds. <br />