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07/15/2015
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07/15/2015
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Last modified
12/28/2018 10:06:04 AM
Creation date
9/8/2015 4:26:32 PM
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Meetings
Meeting Type
Budget
Document Type
Agenda Packet
Meeting Date
07/15/2015
Meeting Body
Board of County Commissioners
Subject
Budget Workshop
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Special Revenue and Capital Projects Funds <br /> All current Street Lighting and M.S.B.U. District rates will remain unchanged for the 2015/2016 <br /> fiscal year. The county will be adding three additional M.S.B.U.'s for 2015/16. They are Oslo Park <br /> Street Lighting, Oceanside Street Lighting and Oceanside road resurfacing. <br /> The county will hold publichearings to establish rates for these districts later this summer, so they <br /> have not been included in the proposed budget at this time. <br /> The Optional Sales Tax (OST) Fund budget is $18,340,679, a decrease of $20.6 million or <br /> (53.0%) from the current year. This decrease is due largely to the fluctuation in capital projects <br /> from year to year. It should be noted that the OST is set to expire in 2019. This revenue has been <br /> crucial in funding the county's infrastructure needs and keeping property taxes low. <br /> Golf Course <br /> The proposed Golf Course budget totals $2,781,600, a decrease of $27,679, or (1.0%). No <br /> change in rates is proposed. The golf course interfund loan used to retire the bond issue will be <br /> paid off at the end of 2015/16. <br /> Building Division, <br /> The proposed budget is $2,447,555, an increase of $311,936 or 14.6% (page 46). Three (3) <br /> additional positions are proposed to assist in keeping up with the increased workload for the <br /> department. Building Department revenues are up by approximately 21.7%from last year through <br /> the end of April 2015. Therefore, permit revenues should be sufficient to fund the increase in <br /> positions. Staff anticipates that additional positions may be needed during next year to maintain <br /> and potentially enhance the level of service provided to customers. It is important to maintain <br /> appropriate staffing levels to provide responsive service to contractors at all times, so mid-year <br /> adjustments may be needed here. <br /> Utilities <br /> The Utility Services recommended budget is $38,897,022, an increase of $1,140,928, or 3.0% <br /> (page 47). Two (2) additional positions have been added here to improve operations and <br /> maintenance of the system. No rate increases are included in this budget. Based upon the <br /> Utility's'continued positive cash flow and lack of borrowing needs, staff plans to pay off a portion of <br /> the Series 2005 bonds at their first available call date on September 1, 2015 from fund reserves. <br /> GIS/Computer Services Fund <br /> The total proposed budget for the GIS/Computer Services Fund is $1,332,727, a decrease of <br /> $74,374 or(5.3%). The decrease is primarily due to the carryover of projects from the prior fiscal <br /> year. Additional resources may be needed here in the long run to keep pace with ever-changing <br /> technology in the digital arena. <br /> 13 <br />
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