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1992
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Annual M - t gt>
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. CITY OF WHEAT RIDGE,
COLORADO
1992
ADOPTED BUDGET
CITY OF WHEAT RIDGE, COLORADO
1992 ADOPTED BUDGET
-TABLE OF CONTENTS-
Pages
Title Page
Table of Contents........................................i-iii
City Administrator's Budget Message......................iv-xv
Financial Summaries -
1992 Citywide Budget by Major Funds......................xvi
General Fund History/Projections........................xvii
Revenue Summaries................................... xviii-xx
Expenditure Summaries................................xxi-xxv
Summary of Indebtedness..........................xxvi-xxviii
GENERAL FUND
NON-DEPARTMENTAL
Department Summary....................................
Ci ty Council........................................
Mayor. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
City Administrator/Personnel........................
Ci ty Attorney... . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Wheat Ridge Festival................................
CITY CLERK
Department Summary....................................
Detail. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
MUNICIPAL COURT
Department Summary....................................
Detail. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
OTHER MISC. ACCOUNTS
Department Summary....................................
Reserves. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
General Operations..................................
i
1
2- 4
5- 7
8-10
11-13
14-16
17
18-20
21
22-24
25-26
27-28
29-30
Table of Contents (cont'd)
TREASURY
Department Summary....................................
Treasurer/Accounting................................
Budget/Sales Tax....................................
Purchasing. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Data Processing.....................................
PLANNING & DEVELOPMENT
Department Summary....................................
Administration. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Planning/Zoning. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Building Inspection.................................
Building Maintenance................................
Code Enforcement....................................
Civil Disaster......................................
POLICE
Department Summary....................................
Police Chief........................................
Administrati ve Services.............................
A.P.E.O. ...........................................
Communications. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
D.A.R.E. ...........................................
Records. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Training. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Operations. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Operations (Patrol).................................
Criminal Investigations.............................
Operations (Traffic)................................
Special Investigations..............................
Emergency Operations................................
Civil Disaster......................................
PUBLIC WORKS
Department Summary....................................
Administration. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Engineering. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Street Maintenance..................................
Traffic Maintenance.................................
Fleet Maintenance...................................
PARKS AND RECREATION
Department Summary....................................
Administration. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Recreation. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Parks Maintenance & Forestry........................
II
Pages
31
32-34
35-37
38-40
41-43
44
45-47
48-50
51-53
54-56
57-59
60-61
62
63-65
66-68
69-71
72-74
75-77
78-80
81-83
84-86
87-89
90-92
93-95
96-98
99-101
102-103
104
105-107
108-110
111-113
114-116
117-119
120
121-123
124-126
127-129
Table of Contents (cont'd)
CAPITAL PROJECTS FUND
Pages
Capital Projects Fund................................. 130-131
OTHER FUNDS
Park Acquisition Fund.................................
Police Investigation Fund.............................
Open Space Fund.......................................
Conservation Trust Fund...............................
Senior Center Fund....................................
Building RepairiOemolition Fund.......................
Sales Tax Revenue Bond Fund...........................
Special Improvement District 1987-1 Fund..............
APPENDIX
Resolution Adopting 1991 Budget.......................
Resolution Certifying Mill Levy.......................
List of Officials.....................................
1992 Budget and Financial Policies....................
Enhanced Sales Tax Incentive Program (ESTIP)..........
1992 Requests for Donations...........................
General Fund Capital Outlay Requests..................
Schedule of Capital Leases............................
Fleet Replacement Schedule............................
1992 Salary Schedule..................................
1992 Budget Preparation Calendar......................
Glossary of Terms.....................................
iii
132
133
134-135
136-137
138
139
140
141
142-143
144
145
146-169
170
171
172-174
175
176-180
181-183
184
185-187
P.O. BOX 63B TELEPHONE 303/237-6944
7500 WEST 29TH AVENUE . WHEAT RIDGE. COLORADO 800~3
The City of
~heat
GRidge
BUDGET MESSAGE
November 19, 1991
Mayor Winger and Members of City Council
City of Wheat Ridge
Wheat Ridge, Colorado
Honorable Mayor and Members of City Council:
Attached you will find the revised 1992 Budget. All changes have
been incorporated into this document, based upon our review
sessions.
Should you have any questions or need for clarification, do not
hesitate to contact any of us.
Sincerely,
4~ Cwv/
Patty cqew
Personnel Assistant
f)
1lI~/~
William Powell
Budget/Finance Assistant
~
~~
Glen Gidley
Planning and Development
Robert Goebel
Public Works Director
~~
Chief of Police
Jj ;J~
Gar~dle
Parks and Recreation
iv
HThe Carnation City"
POBOX 638 TELEPHONE 3031237.6944
7500 WEST 29TH AVENUE . WHEAT RIDGE, COLORADO 80033
The City of
BUDGET MESSAGE
~heat
GRidge
September 27, 1991
Mayor Wilde and Members of City Council
City of Wheat Ridge
Wheat Ridge, Colorado
Honorable Mayor and Members of City Council:
I am pleased to
Annual Budget.
objectives that
would offer our
submit for your consideration the proposed 1992
In order to provide a clear understanding of the
were considered as this budget was prepared, I
following guidelines.
1. Maintain and enhance all service levels.
2. Provide for more emphasis of our human resources.
3. Continue with program and plans to meet equipment and
technology needs.
4. Continued planning for the community's and
organization's future.
We have continued to be accurate and conservative in our revenue
and expenditure estimates. The format has been revised to
support program and financial summaries from detail financial
information. We have also included appendices similar to 1991
showing changes proposed in the budget and an update on our
current status. We will be making a number of presentations to
the Council in order to help focus these issues. However, major
reconstruction projects such as an addition for the Municipal
Building and a new recreation center are not included.
We oftentimes forget how complex a multi-million dollar operating
budget can be. Please feel free to ask any questions about
service levels or other areas of confusion.
Finally, thanks to the staff who worked long and hard to make
this budget a reality. I especially want to thank Patty Crew for
stepping in and taking over the responsibility of collecting and
coordinating all of the information. Another special thanks goes
to Pat Dildine who was able to assist in data processing.
Sincerely,
Michael J. Smith
City Administrator
v
PPThe Carnation City"
APPENDIX 1
SUMMARY OF PROPOSED CHANGES
REVENUES
There are no increases in the property tax mill levy for 1992.
All other tax and fee rates are proposed to remain at their
current levels. All revenue projections are based upon
historical or best information that we have at this time.
The recommended fund balance will continue to remain at
approximately 15% of projected revenues.
EXPENDITURES
Citv Council
Increase the out-of-state trip allowance to $1,500 per trip from
the current $1,250. It has been a number of years since there
has been any adjustment. All out-of-state trips are included.
Mavor
No major adjustments.
City Administrator
Shifted the expense for the Annual Report to account 654 in the
Administrator's budget. It is now in the same account as the
quarterly newsletter. No additional funds have been added for
the Annual Report.
Increased line items associated with recruitment because of
turnover and cost increases. We have also included an amount for
third party exit interviews.
Several capital items are included. These range from a work
station for the Personnel secretary, a laser printer and a
personal computer to be shared by all staff in the office.
Citv Attornev
No major adjustments.
City Clerk
With the acquisition of the election equipment, there is a
reduction in account 809.
A new desk and typewriter has been requested for the Deputy City
Clerk.
vi
Municioal Court
Salary increases are proposed for all contractual employees,
including probation and judges. Also included are FICA
expenditures per Federal mandate.
Additional training has been requested for Court staff.
Several small capital items are included to replace worn out
equipment and include service levels.
Treasurv--Accounting
No major adjustments.
--Budget and Sales Tax
Funds are provided to continue contract sales tax auditors for
out-of-state firms.
Annual financial audit costs have been increased because of
potential change in auditors.
A lap top computer for the sales tax auditor is included. This
will replace an existing model which will be used for back-up.
--Purchasing
Contingent upon the NCR 9300 being replaced, funds are included
for purchasing software.
Electronic postage scale and replacement of an existing PC is
included.
--Data Processing
No change.
Planning and Develooment--Building Maintenance
Funds are included to furnish a workshop.
Planning and Develooment--Administration
No major changes.
--Planning and Zoning
Funds are included for the continuation of the graphic
information system and development of the data base.
Funds are included for the re-publishing of the Comprehensive
Plan.
vii
--Building Inspection
Vehicle replacement per the vehicle replacement plan.
--Code Enforcement
Continued funding for the summer clean up program as well as on-
going Code Enforcement activities.
Police Department
Police Department has reorganized their budget into 13 new
sections.
--Police Chief
Extra duty pay for officers that are retained by private firms.
In the past this has been strictly a matter between the police
officer and the contractor. The City will act as the contractor.
An offsetting revenue has been included.
Funds have been included for the communications system
engineering project under professional services.
--Police Administrative Services
All photocopying and printing expenses for the department have
been included in this budget.
Funds have also been included for the Jefferson County Sheriff's
office remote booking system to reduce duplication and arrest
procedures.
Victim assistance programs have increased slightly.
--Animal Parks enforcement
Two trucks are due for replacement per the fleet replacement
program.
--Communications
Funds are included for the removal and installation of existing
radios and other emergency equipment when new vehicles are
acquired.
other capital items include the replacement of headsets and a
motorcycle radio.
--D.A.R.E. Program
No major changes.
viii
--Police Records
Funds are included for all general contract maintenance for all
data processing systems within the Police Department.
Funds are included for the computerization of aging card files.
--Police Training
Training funds have been increased in the police Department.
--Police Operations Administration
No major changes.
--Police Patrol
Overtime has been increased to more accurately reflect historical
patterns.
Seven patrol cars are due to be replaced per the four year fleet
plan.
--Criminal Investigations
New equipment includes an Argon Light Latent Print Developer.
--Traffic Unit
Replacement of motorcycle equipment and one motorcycle is
included.
--Special Investigations Unit
Leases for undercover cars and pagers are included.
--Emergency Operations
No major changes.
Public Works Deoartment--Administration
A replacement printer for the secretary and portable telephone
for the Director is included.
--Engineering
A full-time temporary survey laborer position is included to
complete a number of on-going projects. Licensed copies of
existing software has been included.
ix
--street Maintenance
A tandem dump truck per the fleet replacement plan is also
included.
--Traffic Maintenance
A replacement vehicle has been included per the four year plan.
--Shops
Replacement of existing City-wide radios is included.
Miscellaneous other small equipment has been included.
Parks and Recreation--Administration
Additional staff training and development of a departmental logo
are included.
A replacement computer for the department secretary is included.
--Recreation
other programs costs have been increased for the corresponding
increase in revenues. A number of small capital items have been
included to replace scoreboards, provide for additional workout
equipment and various small items for the Community Center.
--Parks Maintenance
Funds are included for the planters and their maintenance on 38th
Avenue. An additional summer staff person has been included to
also be responsible for planting materials along 44th Avenue and
Wadsworth. A half-ton pickup truck is to be replaced per the
four year program.
Miscellaneous other small items including those required for the
improvement of 38th Avenue are also included.
--Carnation Festival
No major changes.
Reserves
All dedicated reserve amounts have remained the same for 1992.
Money for salary adjustments are no longer inCluded in Reserves.
General Ooeration Exoenditures
Monies for 1992 salary adjustments have been included in General
Operations.
x
APPENDIX 2
WHEAT RIDGE'S CURRENT STATUS AND FUTURE IMPLICATIONS
1. Population:
A. Currently: The population of Wheat Ridge has remained
relatively constant. It is unlikely it will change dramatically.
Future Implications: Without an increase in population, we need
to understand and anticipate changes within our existing
population.
B. Currently: Although there appears to be a significant
senior population in the eastern end of Wheat Ridge, the highest
average age lies in the Wadsworth to Kipling area. Wheat Ridge's
population is 19% over 65 while Jefferson County is 8%.
Future implication: We will see a wave of population aging
moving from east to west.
C. Currently: We are seeing an increase in younger families
and ethnic minorities moving into the area east of Wadsworth.
Future implication: These new residents bring cultural
differences that must be addressed through all of our municipal
services. The Police Department, the Court, Parks and
Recreation, and Planning will all be affected.
These new residents may bring a different set of issues to the
community or they may reflect the larger population as a whole.
We are specifically concerned about affordable child care, teen
and young adult activities to provide alternatives to drug and
gang activities, and youth and adult fitness. Our newest
residents may not have the financial resources to pay for all of
the services. Therefore, we must revisit the issue of funding
and subsidies for recreational activities.
2. Wheat Ridge Housing:
A. Currently: There are over 14,000 housing units in Wheat
Ridge and in 1990 were 93% occupied. Wheat Ridge has a lower
percentage of single family dwellings (53%) than the average for
Jefferson County (66%). The median value of owner occupied homes
in Wheat Ridge is close to the average for the Denver
metropolitan area but approximately 10% lower than Jefferson
County. Wheat Ridge has the greatest population density in
Jefferson County with the exception of Mountain View and
Edgewater.
Future implications: With a limited amount of available space
and developers' interest in maximizing utilization and profit, it
is likely that residential land development will occur at a
higher density. Large apartment complexes may not be prevalent
but single family, two family and small multiple dwelling
xi
buildings may be more the norm.
developments will place greater
open space and park land.
These potential high density
pressure upon the City to provide
3. Employment:
A. Currently: 11,600 persons work in the City of Wheat
Ridge. However, 14,800 residents are employed; this indicates an
out migration of over 12,000 Wheat Ridge citizens each day.
Fewer than 2,500 (17%) live and work in the City.
Future implications: With the increasing number of 2 working
adult household and other non-traditional family units may
forecast a shrinking pool of volunteers. It will/may become more
and more difficult to secure Board and Commission candidates.
Efforts at community involvement may become difficult as
competing interests assume a greater role in the resident's life.
However, another view is a larger senior population may increase
our volunteer pool.
4. Economic Indicators:
A. Currently: Retail sales have been the backbone of the
Wheat Ridge tax collections. Growth in sales have mirrored the
metropolitan area and Jefferson County area on a per capita
basis. Retail sales in Wheat Ridge were $16,700 per person in
1986, well above the $9,800 per person in Jefferson County and
$12,700 for the Denver metropolitan area.
Future implications: Although Wheat Ridge has enjoyed a very
strong retail environment, there is little land left for
expansion of the retail base. Even with the filling of remaining
vacant space, minimal impact would be felt to the City.
Therefore, redevelopment of retail space to maintain current
competitiveness is important. Nonetheless, it is not clear how
much increased retail activity would be generated even through
redevelopment.
5. Community Assets:
A. Currently: During the past 11 years, approximately 29
million dollars has been spent on street and drainage projects.
Approximately 4.2 million dollars has been spent on park land
acquisition and development. Almost since the time of
incorporation, the greatest amount of emphasis and effort has
been spent on bringing the community assets up to standard.
Future indicators: Within the next decade, it is likely that all
remaining sub-standard streets, drainageways, and park lands will
be completed. The challenge for the future is the maintenance
and preservation efforts. The maintenance of existing facilities
is far more labor and equipment intensive than the initial
construction or reconstruction. The City must determine what
xii
level of service is desirable in order to protect its assets.
Current efforts are likely to fall short of these standards.
B. Currently:
However, there has
Plan.
The land regulations have been reviewed.
not been a revisiting of the Comprehensive
Future indicators: As all of these changes and issues are
considered in the next decade, it will be vitally important to
revisit the Comprehensive Plan. Standards and expectations have
changed and the Plan should be amended to reflect those. Of
particular importance will be the encouragement or discouragement
of development and redevelopment in the North 1-70 area,
revitalization of Wadsworth and 38th Avenue. It is likely the
State will face increased pressures for the expansion and
widening of Wadsworth Boulevard. Our Comprehensive Plan must be
able to reflect this change as well as preserving and protecting
the neighborhoods and businesses that may be affected.
1. City Government:
Currently: Several revisions to the City Charter are being
placed before voters to improve governance and operations.
Future indicators: Monitor these efforts and continue to seek
ways to improve.
2. City Organization:
A. Currently: While City services have remained virtually
unchanged since incorporation, pressures are mounting to make
some significant and some minor modifications. These changes may
come from shifting community attitudes to legal mandates.
Future indicators: As mentioned above, as there is a de-emphasis
in the construction and acquisition of new facilities, there must
be a greater emphasis placed on maintenance and preservation of
existing facilities. This will require additional resources of
equipment and manpower.
B. Currently: A substantial investment has been made in
electronic technology for the City. However, it must be viewed
as an item that must be replaced.
Future indicators: There will be enhanced computerization of all
services. The equipment and technology will continue to change
at a dramatic pace. The City organization must be constantly
vigilant in seeking more cost effective and efficient ways of
providing services. It will be important not to be lured by new
technology alone, but the positive impact that technology will
have on services. Of particular concern is the repair, upkeep
and maintenance on the City's fleet. With ever-increasing costs
xiii
of replacement and repair of older vehicles, we may wish to
explore more creative options, such as leasing.
C. Currently: city facilities are ill-equipped to face the
changes in services and technology.
Future indicators: The expansion of City Hall should take a
relatively high priority. We have limited space to accommodate
Police, Engineering, and general storage needs. The Federal and
state requirements on adult and juvenile holding facilities are
likely to mandate significant changes in our structures and
operations. A recently completed architectural report provides
specific recommendations.
Recreational facilities will need to find a better and more
permanent home. The Anderson Building has been outgrown.
Increased pressures by younger families in search of leisure time
activities may dictate the investment in a community center for
recreation. The adopted 1991 Parks and Recreation Master Plan
provides for such a recommendation implementing strategies needed
to be developed.
D. Currently: Wheat Ridge has entered into a number of
intergovernmental agreements with its neighbors and special
districts. However, larger regional issues have not been
addressed.
Future indicators: The regionalization of activities and
services will take on a greater importance. It is likely the
organization will be forced into cooperative agreements on a
number of issues. These are likely to be in the area of
communications, overlapping maintenance efforts, and the City's
role with special districts.
E. Curcently: The City does not have a compensation policy.
Future indicators: The increased skill requirements to perform
the responsibilities outlined above in the future will demand a
better paid and trained work force. Turnover rates in excess of
5% to 7% are indicators of a loss of productivity and
performance. It is strongly urged that a longer term view be
considered and that the articulated policy of the City be adopted
to one that encourages employees to develop a community and
organizational loyalty.
3. Tax Structure:
A. Currently: Wheat Ridge citizens enjoy a very low tax
rate and cannot be made to meet expectations for service.
Future Indicators: Not surprisingly, projections indicate
significant shortfalls in the next five years. The challenge for
the community is to define its future and fund it.
xiv
B. Currently: Fees and charges for services policies have
not been discussed for several years.
Future Indicators: A consistent pOlicy statement is necessary.
For example, senior citizens as a percent of population and
income are increasing. Should we continue to offer discounts to
that group at the expense of others?
xv
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CITYWIDE REVENUE
SUMMARY BY FUND
ACTUAL
1990
REVENUE SOURCE
TAXES
Real Property Tax
Liquor Occupation Tax
Vehicle Ownership Tax
Sales Tax
Use Tax
PSC Franchise Tax
Telephone Occupation Tax
Lodger's Tax
Admission/Amusement Tax
Total Taxes
LICENSES & PERMITS
Amusement Machine Tax
Arborist License
Contractor's License
Liquor License Fees
Building Permits
Street Cut Permits
Cable TV Permits
Elevator Inspection Fees
Business License Fees
Total Licenses & Permits
INTERGOVERNMENTAL REVENUE
Cigarette Tax
County Road & Bridge
Highway User's Tax
Motor Vehicle Registration
st of Colo Hwy Safety Grant
Total Intergovernmental Rev
CHARGES FOR SERVICES
Zoning Application Fees
Liquor Hearing Fees
Parks & Recreation Fees
Swimming Pool Fees
Weed Mowing/Cleanup
Police Records Fees
Insurance Continuation
Extra Duty
Total Charges For Services
FINES & FORFEITURES
Total Fines & Forfeitures
OTHER REVENUE
Interest Earnings
Richard/Hart Est. & Duplex
Miscellaneous Income
Total Other Revenue
TRANSFERS IN
CARRYOVER FUND BALANCE
TOTAL GENERAL FUND REVENUES
567,756
51,879
47,208
2,730,931
1,185,551
724,078
127,050
262,648
39,479
5,736,580
6,650
1,225
47,595
11,537
162,476
18,955
53,732
3,500
26,830
332,500
197,242
416,602
646,842
102,209
34,783
1,397,678
3,481
300
135,502
72,570
8,745
14,874
104
o
235,576
396,718
141,883
18,963
72,463
233,309
759,997
1,607,991
BUDGET
1991
568,301
50,000
43,000
2,900,000
1,050,000
735,000
127,050
225,000
42,000
5,740,351
8,500
750
35,000
10,000
80,000
20,000
45,000
6,000
25,000
230,250
175,000
421,000
616,454
100,000
o
1,312,454
5,000
1,000
168,000
68,000
5,000
10,000
o
o
257,000
410,000
130,000
12,400
29,700
172,100
760,000
2,400,226
ESTIMATED
1991
568,301
50,000
50,000
2,900,000
1,300,000
730,000
127,050
240,000
40,000
6,005,351
8,500
750
35,000
10,000
150,000
20,000
45,000
6,000
26,000
301,250
190,000
437,592
616,454
100,000
13,567
1,357,613
5,000
1,000
154,000
82,000
5,000
15,000
o
o
262,000
350,000
130,000
16,000
50,000
196,000
786,000
2,400,233
PROPOSED
1992
568,301
50,000
45,000
2,975,000
1,100,000
735,000
127,050
240,000
42,000
5,882,351
8,500
750
35,000
10 , 000
120,000
20,000
45,000
6,000
25,000
270,250
175,000
440,000
660,000
100,000
o
1,375,000
5,000
1,000
188,000
72 , 000
5,000
10,000
o
51,216
332,216
403,600
125,000
16,000
30,000
171, 000
746,000
2,525,023
10,700,349 11,282,381 11,658,447 11,705,440
vu;;;
CITYWIDE REVENUE
SUMMARY BY FUND (Cont'd)
REVENUE SOURCE ACTUAL BUDGET ESTIMATED PROPOSED
1990 1991 1991 1992
------------------------ ---------- ---------- ---------- ----------
CAPITAL PROJECTS FUND
Sales Tax
Interest
C/G/S-Citizen Match
Carryover
MISCELLANEOUS
Total Capital Projects
PARK ACQUISITION FUND
Subdivision Fees
Interest
Carryover
Total Park Acquisition
POLICE INVESTIGATION FUND
Court Disbursements
Interest
Carryover
Total Police Invest.
OPEN SPACE FUND
Jefferson County
Jeffco Joint Venture
Carryover
Total Open Space Fund
SENIOR CENTER FUND
Miscellaneous
Interest
Carryover
Total Senior Ctr Fund
CONSERVATION TRUST FUND
State of Colorado
Interest
Carryover Fund Balance
Jeffco Joint Funding
Total Conserv. Trust
BUILDING REPAIR/DEMOL.
Interest
Carryover
Total Bldg Repair/Demo
2,754,972
210,702
24,316
1,355,552
123,465
2,900,000
150,000
25,000
305,574
o
2,900,000
150,000
25,000
914,000
o
2,975,000
150,000
25,000
25,419
o
4,469,007
---------- ---------- ---------- ----------
3,175,419
1,125
1,196
21,600
23,921
11,030
450
13,720
25,200
1,740,898
o
o
1,740,898
6,182
446
7,699
14,327
118,547
13,849
101,328
o
233,724
1,018
16,317
17,335
3,380,574
700
50
o
750
10,000
500
o
10,500
1,765,428
o
o
1,765,428
6,000
400
9,600
16,000
107,396
7,500
84,390
20,000
219,286
900
17,192
18,092
xix
3,989,000
13,650
75
1,383
15,108
15,000
530
8,430
23,960
636,636
o
1,124,652
1,761,288
9,351
400
10,549
20,300
110,000
9,000
134,546
56,264
309,810
800
15,167
15,967
700
400
15,108
16,208
15,000
530
8,575
24,105
645,631
101,000
1,155,551
1,902,182
7,000
350
10,500
17,850
110,000
7,500
87,104
o
204,604
800
15,967
16,767
REVENUE SOURCE
SALES TAX REVENUE BONDS
Transfers In
Interest Earnings
Carryover
SPECIAL IMP DIST #1987-1
Special Asmnt.
Interest Earnings
Carryover
TOTAL ALL FUNDS
CITYWIDE REVENUE
SUMMARY BY FUND (Cont'd)
ACTUAL
1990
BUDGET
1991
210,910
3,533
o
210,925
5,000
o
ESTIMATED
1991
210,925
5,000
47,175
PROPOSED
1992
210,925
5,000
o
--------- ---------- ---------- ----------
214,443 215,925 263,100 215,925
164,538
16,410
o
167,000
10,000
o
167,000
10,000
55,453
167,000
10,000
o
---------- ---------- ---------- ----------
180,948 177,000 232,453 177,000
17,620,152 17,085,936 18,289,433 17,455,500
xx
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xxii
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CITYWIDE EXPENDITURE
SUMMARY BY FUND
DEPARTMENT/PROGRAM ACTUAL BUDGET
1990 1991
ESTIMATED PROPOSED
1991 1992
GENERAL FUND
----------------------- ----------- ----------
NON-DEPARTMENTAL
City Council
Mayor
City Admin/Personnel
City Attorney
Wheat Ridge Festival
Total Non-Dept.
CITY CLERK
MUNICIPAL COURT
TREASURY
Treasurer/Accounting
Budget/Finance/SalesTx
Purchasing
Data Processing
Total Treasury
PLANNING & DEVELOPMENT
Administration
Planning/Zoning
Building Inspection
Building Maintenance
Code Enforcement
Civil Disaster
Total Plan. & Devel.
POLICE
Police Chief
Police Admin. Services
Animal/Parks Enforce
Communications
D.A.R.E.
Police Records
Police Training
Police Oper Admin
Police Patrol
Police Criminal Invest
Traffic Program
Special Invest Unit
Emergency Operations
Civil Disaster
Total Police
79,138
31,229
183,369
127,500
14,021
89,081
33,686
214,598
135,000
14,350
87,648
34,240
213,216
136,000
13,985
93,219
34,638
235,308
126,500
13,350
--------- ---------- ---------- ----------
435,257
107,933
155,108
113,876
139,817
44,236
77,237
375,166
80,243
115,398
113,933
78,387
74,164
2,568
464,693
211,841
897,071
1,807,185
221,232
23,935
o
o
o
o
o
o
o
o
o
3,161,264
486,715
123,646
190,216
121,871
168,165
43,122
80,949
414,107
80,449
162,144
114,003
86,879
94,103
o
537,578
249,946
952,584
1,931,514
230,048
36,912
o
o
o
o
o
o
o
o
5,000
3,406,004
485,089
123,124
184,925
123,013
173,558
45,319
83,141
425,031
84,817
158,963
115,142
88,169
92,389
o
539,480
224,816
1,051,190
1,974,777
197,406
38,930
o
o
o
o
o
o
o
o
5,000
3,492,119
503,015
116,282
201,146
124,332
175,098
53,758
83,654
436,842
86,277
148,416
121,017
91,936
103,546
o
551,192
220,489
236,653
177,463
308,986
36,753
280,509
73,700
187,120
1,265,442
568,475
188,954
132,075
4,950
o
3,681,569
CITYWIDE EXPENDITURE
SUMMARY BY FUND (Cont'd)
DEPARTMENT/PROGRAM ACTUAL BUDGET ESTIMATED PROPOSED
1990 1991 1991 1992
GENERAL FUND
PUBLIC WORKS
Administration
Engineering
Street Maintenance
Traffic Maintenance
Fleet Maintenance
88,588
463,537
752,395
199,232
355,306
Total Public Works
1,859,058
PARKS AND RECREATION
Administration
Recreation
Parks Maintenance
91,317
429,359
599,729
Total Parks & Recr.
1,120,405
OTHER MISC. ACCOUNTS
Reserves
General Operations
1,556
626,008
86,287
469,084
820,047
169,813
382,229
1,927,460
98,045
512,659
653,493
1,264,197
1,530,531
724,142
Total Misc. Accts.
627,564 2,254,673
TOTAL GENERAL FUND
8,311,977 11,282,381
OTHER FUNDS
CAPITAL PROJECTS FUND 4,438,152
PARK ACQUISITION FUND 23,917
POLICE INVESTIGATION FUND 16770
OPEN SPACE FUND 616,246
SENIOR CENTER FUND 3,777
CONSERVATION TRUST FUND 92,531
BUILDING REPAIR/DEMO FUND 2,168
SALES TAX REVENUE BONDS 211,425
SPECIAL IMP DIST #1987-1 436,971
3,380,574
750
10,500
1,765,428
16,000
219,286
18,092
215,925
177,000
85,105
459,572
772,043
169,135
372,913
1,858,768
102,342
500,243
644,154
1,246,739
30,529
733,149
93,573
482,754
813,420
191,034
385,689
1,966,470
100,224
572,247
673,107
1,345,578
1,743,704
1,159,642
763,678 2,903,346
9,133,424 11,705,440
3,963,581
o
15,385
605,737
9,800
222,706
213,425
156,468
o
3,175,419
16,208
24,105
1,902,182
17,850
204,604
16,767
215,925
177,000
TOTAL ALL FUNDS
14,153,934 17,085,936 14,320,526 17,455,500
xxiv
DEPARTMENT
SUMMARY
FUND
DEPT.
GENERAL
EXPENDITURES BY CLASSIFICATION
CLASSIFICATION
-------------------------------------------------------------------------
PROPOSED
1992
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
Non-departmental
City Clerk
Municipal Court
Treasury
Planning & Development
Police
Public Works
Parks & Recreation
Other Misc. Accounts
Total Personal Service
MATERIALS & SUPPLIES
Non-Departmental
City Clerk
Municipal Court
Treasury
Planning & Development
Police
Public Works
Parks & Recreation
Other Misc. Accounts
Total Materials & Supp
OTHER SERVICES & CHARGES
Non-Departmental
City Clerk
Municipal Court
Treasury
Planning & Development
Police
Public Works
Parks & Recreation
other Misc. Accounts
Total Other Services
CAPITAL OUTLAYS
Non-Departmental
City Clerk
Municipal Court
Treasury
Planning & Development
Police
Public Works
Parks & Recreation
Other Misc. Accounts
Total Capital Outlays
TOTAL EXP. BY CLASS
347,396
70,354
134,188
278,945
391,815
2,840,549
1,047,438
759,206
203,523
364,599
71,732
143,806
315,358
431,671
2,933,807
1,075,187
861,874
220,000
366,264
72,080
143,515
326,582
444,480
3,051,806
1,084,008
860,509
220,689
362,175
74,582
163,318
336,293
447,149
3,144,386
1,156,587
936,931
233,301
6,073,414
---------- ---------- ---------- ----------
6,854,722
7,828
6,080
7,385
19,303
19,564
45,299
324,682
101,018
5,761
6,418,034
8,741
4,464
7,057
20,064
23,857
56,146
392,156
108,744
2,000
6,569,933
9,065
4,464
7,057
20,004
23,475
55,632
365,560
103,244
2,000
16,015
5,300
6,925
20,621
26,475
72,885
404,827
124,899
2,000
536,920
---------- ---------- ---------- ----------
679,947
79,624
31,499
13,084
63,494
50,319
178,351
258,959
183,338
423,809
1,282,477
409
o
451
13,424
2,995
97,065
227,979
76,843
o
419,166
8,311,977
623,229
112,875
35,550
35,785
68,841
78,050
246,854
310,283
194,510
2,680,835
3,763,583
500
11,900
3,568
9,844
4,000
169,197
149,834
99,069
29,623
477,535
11,282,381
XXV
590,501
109,260
34,780
30,785
67,281
67,525
216,240
291,495
194,260
524,443
1,536,069
500
11,800
3,568
11,164
4,000
168,441
117,705
88,726
31,017
436,921
9, 133,424
118,925
34,400
26,985
71,928
67,368
349,087
299,956
212,710
2,634,021
3,815,380
5,900
2,000
3,918
8,000
10,200
115,211
105,100
71,038
34,024
355,391
11,705,440
SUMMARY OF INDEBTEDNESS
Since incorporation in 1969, Wheat Ridge's policy regarding
long-term debt has been on a "pay-as-you-go" basis. During 1988,
Wheat Ridge entered into its first two bond issuances. The
first, Special Assessment Bonds for $1.25 million, was passed to
improve a section of 48th Avenue between Kipling Street and Ward
Road. A Special Improvement District was created and the
property owners were assessed for a portion of the total project
cost. The assessment attached as a lien on the property and the
owners will be required to pay their portion of the cost over a
ten year period as installments on their property tax billing.
The second bond issuance was for Sales Tax Revenue Bonds in
the amount of $2.99 million. Sales tax revenues budgeted in the
Capital Projects Fund for 1988 were invested in U.S. Government
Securities, maturing on a scheduled basis to meet bond interest
and principal payments over the next ten years.
These two bond issuances are both tax exempt municipal
bonds. The Wheat Ridge City Charter, Section 12.7, specifies
what types and limits of long-term indebtedness are allowed by
the City.
The debt service schedules for both of these bond issuances
are presented here for informational purposes. The bond interest
and prinCipal payments due to be paid in 1992 are budgeted in the
"Other Funds" section of this document.
xxvi
DATE
12/15/88
6/15/89
12/15/89
6/15/90
12/15/90
6/15/91
12/15/91
6/15/92
12/15/92
6/15/93
12/15/93
6/15/94
12/15/94
6/15/95
12/15/95
6/15/96
12/15/96
6/15/97
12/15/97
6/15/98
12/15/98
6/15/99
12/15/99
CITY OF WHEAT RIDGE
SALES TAX REVENUE BONDS - SERIES 1988
DEBT SERVICE SCHEDULE
PRINCIPAL INTEREST
96,088.06
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
105,462.50
930,000.00 105,462.50
73,145.00
1,000,000.00 73,145.00
37,895.00
1,060,000.00 37,895.00
Total 2,990,000.00
Accrued Int.
Net Cost
2,216,493.06
24,022.01
2,990,000.00
2,192,471.05
xxvii
PERIOD TOTAL ANNUAL TOTAL
96,088.06 96,088.06
105,462.50
105,462.50 210,925.00
105,462.50
105,462.50 210,925.00
105,462.50
105,462.50 210,925.00
105,462.50
105,462.50 210,925.00
105,462.50
105,462.50 210,925.00
105,462.50
105,462.50 210,925.00
105,462.50
105,462.50 210,925.00
105,462.50
105,462.50 210,925.00
105,462.50
1,035,462.50 1,140,925.00
73,145.00
1,073,145.00 1,146,290.00
37,895.00
1,097,895.00 1,135,790.00
5,206,493.06
24,022.01
5,206,493.06
5,182,471.05
5,206,493.06
DATE
4/01/89
10/01/89
4/01/90
10/01/90
4/01/91
10/01/91
4/01/92
10/01/92
4/01/93
10/01/93
4/01/94
10/01/94
4/01/95
10/01/95
4/01/96
10/01/96
4/01/97
10/01/97
4/01/98
10/01/98
CITY OF WHEAT RIDGE
SPECIAL IMPROVEMENT DISTRICT #1987-1
DEBT SERVICE SCHEDULE
PRINCIPAL
275,000.00
80,000.00
85,000.00
90,000.00
100,000.00
105,000.00
115,000.00
125,000.00
130,000.00
145,000.00
Total 1,250,000.00
Accrued Int.
Net Cost
1,250,000.00
INTEREST
75,850.00
45,510.00
36,916.25
36,916.25
34,316.25
34,316.25
31,447.50
31,447.50
28,297.50
28,297.50
24,672.50
24,672.50
20,735.00
20,735.00
16,278.75
16,278.75
11,278.75
11,278.75
5,981. 25
5,981.25
541,207.50
5,815.17
535,392.33
xxviii
PERIOD TOTAL ANNUAL TOTAL
75,850.00
320,510.00 396,360.00
36,916.25
116,916.25 153,832.50
34,316.25
119,316.25 153,632.50
31,447.50
121,447.50 152,895.00
28,297.50
128,297.50 156,595.00
24,672.50
129,672.50 154,345.00
20,735.00
135,735.00 156,470.00
16,278.75
141,278.75 157,557.50
11,278.75
141,278.75 152,557.50
5,981.25
150,981.25 156,962.50
1,791,207.50
5,815.17
1,791,207.50
1,785,392.33
1,791,207.50
CITY OF WHEAT RIDGE,
COLORADO
FUND
GENERAL 01
DEPARTMENT
SUMMARY
NON-DEPARTMENT 00
DEPT.
CLASSIFICATION
PERSONAL SERVICES
MATERIALS AND SUPPLIES
OTHER SERVICES & CHARGES
CAPITAL OUTLAYS
TOTAL DEPARTMENT
POSITION TITLE
Mayor (elective)
Councilmembers(elective)
City Administrator
Personnel Assistant
Executive Secretary
Senior Secretary
CONTRACTUAL SERVICES
City Attorney
City Prosecutor
AUTHORIZED PERSONNEL
ACTUAL
1990
347,396
7,828
79,624
409
435,257
PERSONNEL
SCHEDULE
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
364,599
8,741
112,875
500
362,175
16,015
118,925
5,900
503,015
366,264
9,065
109,260
500
486,715
485,089
AuthjGradeSALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
1 770jmonth 1 770jmonth
8 330jmonth 8 330jmonth
1 4,583/month 1 4,583/month
1 15 2768-3875 1 15 2768-3875
1 10 2150-3010 1 10 2150-3010
1 5 1530-2142 1 5 1530-2142
1
1
4
56,000
39,000
56,000
39,000
1
1
4
1
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
City Council
PROGRAM DESCRIPTION
The City Council serves as the legislative and policymaking body of the
City of Wheat Ridge.
PROGRAM OBJECTIVES
1. Increase the City Council's knowledge of pOlicy issues through
council meetings and study sessions.
2. Consider ordinances and resolutions and act upon them.
3. Provide legislative leadership, respond to electorate and govern
the City.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Council Meetings Held 35 36 36
Ordinances Scheduled/
Acted On 39 40 40
Resolutions Scheduled/
Acted On 60 70 70
2
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
NON-DEPARTMENTAL
CITY COUNCIL
00
102
-------------------------------------------------------------------------
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
31,967
31,966
MATERIALS & SUPPLIES
121
765
32,833
765
34,104
765
OTHER SERVo & CHGS.
47,050
56,350
54,050
58,350
CAPITAL OUTLAYS
TOTAL DIVISION/DEPARTMENT
79,138
89,081
87,648
93,219
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
-------------------------------------------------------------------------
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Counci1members(E1ective) 8
330/month
8
330/month
TOTAL AUTHORIZED PERSONNEL
o
o
3
FUND GENERAL
DEPT. NON-DEPARTMENTAL
DIV. CITY COUNCIL
DIVISION
DETAIL
01
00
102
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget
1991
Estimated Proposed
1991 1992
600
-----------------------------------------------------------------------
619 Cant. Temporary Personnel
620 FICA Expense Employer
625 Medicare Portion FICA
31,680
o
287
31,680
o
286
31,680
1,010
143
31,680
2,424
o
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
34,104
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
655 Postage Costs
31,967
56
54
11
31,966
265
300
200
32,833
265
300
200
265
300
200
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
765
700
702 Conference & Mtg. Exp.
706 Dues, Books & Subscrp.
712 Annual Apprec. Dinner
716 Legislative Memberships
740 Auto Mileage Reimburse.
759 Telephone Expense
798 Management Contingency
799 Misc. Services & Charges
121
12,669
o
6,867
22,853
5
o
4,018
638
765
15,500
50
8,500
25,000
300
o
6,000
1,000
765
15,500
50
8,500
24,500
300
200
4,000
1,000
17,500
50
9,000
25,000
300
o
6,000
500
TOTAL OTHER SERVo & CHGS.
---------- --------- --------- ---------
58,350
------TOTAL CITY COUNCIL
47,050
79,138
4
56,350
89,081
54,050
87,648
93,219
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
Mayor
PROGRAM DESCRIPTION
The Mayor is the elected Chief Executive Officer of the City. The Mayor
appoints and supervises the City Administrator, and is the head of the
City for legal and ceremonial purposes.
PROGRAM OBJECTIVES
1. The Mayor is the recognized head of City government for all legal
and ceremonial purposes. The Mayor's signature must accompany all
contracts binding the City.
2. The Mayor appoints and supervises the City Administrator in
accordance with Section 3.4 of the City Charter.
3. The Mayor shall have the power to veto any ordinance passed by the
City Council in accordance with procedures set forth in Section
5.14 of the City Charter.
5
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
NON-DEPARTMENTAL
MAYOR
CLASSIFICATION
ACTUAL
1990
PERSONAL SERVICES
28,103
315
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
2,811
CAPITAL OUTLAYS
TOTAL DIVISION
31,229
PERSONNEL
SCHEDULE
00
BUDGET
1991
28,086
350
5,250
o
33,686
104
o
ESTIMATED
1991
29,040
450
4,750
34,240
PROPOSED
1992
29,238
400
5,000
o
o
34,638
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Mayor(E1ective)
Executive Secretary
1
.5
10
AUTHORIZED PERSONNEL
.5
770/month
2150-3010
6
1
.5
10
.5
770/month
2150-3010
FUND GENERAL
DEPT. NON-DEPARTMENTAL
DIV. MAYOR
DIVISION
DETAIL
01
00
104
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget
1991
Estimated Proposed
1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
655 Postage Costs
TOTAL MATERIALS/SUPPLIES
700
702 Conference & Mtg. Exp.
706 Dues, Books & Subscrp.
740 Auto Mileage Reimb.
759 Telephone Expense
798 Management Contingency
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
TOTAL CAPITAL OUTLAYS
------TOTAL MAYOR
24,694
1,930
863
616
28,103
61
254
315
1,547
6
77
32
836
313
2,811
31,229
7
24,743
1,893
831
619
28,086
150
200
350
2,500
50
150
50
1,500
1,000
5,250
o
33,686
25,486
1,947
960
647
29,040
150
300
450
2,000
50
150
50
1,500
1,000
4,750
o
34,240
25,538
1,954
1,096
650
29,238
150
250
400
2,750
50
150
50
1,500
500
5,000
o
o
34,638
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
City Administrator/
Personnel
PROGRAM DESCRIPTION
The City Administrator has the responsibility of providing overall
direction for the City in accordance with the pOlicies and directives
established by City Council. The Personnel Office reports directly to
the City Administrator and has the responsibility for employment and
employee relations, and also all City related insurance.
PROGRAM OBJECTIVES
1. Maintain a high level of communication with City Council and
citizenry. Implement target issues established for 1991-92 through
goal setting sessions with City Council.
2. Continue to be involved with the development and growth of Wheat
Ridge.
3. Maintain a high level of communication with employees.
4. Continue to be responsive to claims filed against the City.
PERFORMANCE INDICATORS
INDICATOR
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
Complaints/Service
Requests Processed
Response Time to Citizen
Complaints
Citizen Newsletters
Distributed
Meetings with Employee Groups
and Department Heads
Employee Turnover
City Notes - No. of Issues
100
100
100
.5 hrs
.5 hrs
.5 hrs
""
'-'
3
3
100
10%
52
100
15%
52
100
15%
52
8
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
NON-DEPARTMENTAL
CITY ADMIN.jPERSONNEL
00
106
-------------------------------------------------------------------------
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES 152,334 162,547 162,391 165,833
MATERIALS & SUPPLIES 7,392 7,626 7,850 14,850
OTHER SERVo & CHGS. 23,234 43,925 42,475 48,725
CAPITAL OUTLAYS 409 500 500 5,900
------------ --------- ---------- ----------
TOTAL DIVISION 183,369 214,598 213,216 235,308
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
-------------------------------------------------------------------------
POSITION TITLE
AuthjGrade SALARY RANGE AuthjGrade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
City Administrator
Personnel Assistant
Executive Secretary
Senior Secretary
1
1
.5
1
15
10
5
4,583jmonth 1
2768-3875 1
2150-3010 .5
1530-2142 1
15
10
5
4,583jmonth
2768-3875
2150-3010
1530-2142
AUTHORIZED PERSONNEL
3.5
3.5
9
FUND GENERAL
DEPT. NON-DEPARTMENTAL
DIV. CITY ADMIN./PERSONNEL
Object Account Classification
600
602 Salaries and Wages
604 Deferred Compensation
606 Auto Allowance
610 Overtime & Premium Pay
617 Temp. Personnel-Hourly
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
655 Postage Costs
660 Operating Supplies
TOTAL MATERIALS/SUPPLIES
700
702 Conference & Mtg. Exp.
706 Dues, Books & Subscrp.
723 Tuition Reimbursement
724 Pre-Employment Physicals
726 Recruitment & Advertising
728 Training
740 Auto Mileage Reimb.
750 Professional Services
759 Telephone Expense
776 Other Equipment Maint.
798 Management Contingency
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
802 Office Furniture & Equip.
DIVISION
DETAIL
01
Actual
1990
127,033
2,750
3,000
o
147
9,425
7,085
2,894
152,334
1,526
4,677
1,086
103
7,392
1,717
728
o
2,219
6,439
300
61
10,922
248
93
361
146
23,234
TOTAL CAPITAL OUTLAYS 409
409
------TOTAL CITY ADMN/PERSONNEL 183,369
In
00
Budget
1991
134,696
3,037
3,000
800
o
9,927
8,097
2,990
162,547
1,700
4,576
1,000
350
7,626
3,000
700
10,000
2,000
6,000
2,000
100
16,000
250
375
2,500
1,000
43,925
500
500
214,598
106
Estimated Proposed
1991 1992
134,480
3,037
3,000
800
o
10,021
8,151
2,902
162,391
1,700
4,500
1,300
350
7,850
3,000
700
6,500
2,500
7,500
2,000
150
16,000
250
375
2,500
1,000
42,475
500
500
213,216
135,652
3,037
3,000
500
o
10,877
9,770
2,997
165,833
1,700
9,100
3,700
350
14,850
3,250
700
10,000
3,000
8,000
2,500
150
17,'iOO
250
375
2,500
500
48,725
5,900
5,900
235,308
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
City Attorney
PROGRAM DESCRIPTION
Responsible for planning, organizing, and directing the legal programs
and activities of the City. The City Attorney is the legal advisor and
attorney for the City, the City Council, the City Administrator and
Department Heads in matters relating to the official operations of the
City.
Advises City Council, Boards and Commissions, City Administrator,
Department Heads on legal implications of contemplated policy and
administrative decisions and determines legal means to implement City
policies. Prepares or reviews all City ordinances and contracts.
PROGRAM OBJECTIVES
1. Provide legal services in a manner consistent with the contractual
agreement between the City and the City Attorney.
2. Provide services of a prosecutor for Municipal Court cases and
have supervisory responsibilities for the actions of the
Prosecuting Attorney.
PERFORMANCE INDICATORS
INDICATOR
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
Trials Set
Trials Held
Arraignments
36
39
39
20
(Estimate)
548
72
5,744
36
40
40
10
36
40
40
10
Attend Council Meetings
Prepare Ordinances
Review Ordinances
Meet with Department Heads
500
50
5,700
575
90
6,000
11
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
NON-DEPARTMENTAL
CITY ATTORNEY
00
107
-------------------------------------------------------------------------
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
125,907
MATERIALS & SUPPLIES
o
133,000
o
133,000
o
124,000
o
OTHER SERVo & CHGS.
1,593
2,000
CAPITAL OUTLAYS
o
o
3,000
o
2,500
o
TOTAL DIVISION
127,500
135,000
136,000
126,500
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
-------------------------------------------------------------------------
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
CONTRACTUAL
City Attorney
Prosecuting Attorney
1
1
56,000
39,000
1
1
85/hour
30,000
AUTHORIZED PERSONNEL
o
o
12
DIVISION
DETAIL
FUND GENERAL
DEPT. NON-DEPARTMENTAL
DIV. CITY ATTORNEY
01
00
107
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget
1991
Estimated Proposed
1991 1992
-----------------------------------------------------------------------
600
------
640 Outside Personal Service 125,907 133,000 133,000 124,000
---------- -------- -------- --------
TOTAL PERSONAL SERVICES 125,907 133,000 133,000 124,000
650
------
TOTAL MATERIALS/SUPPLIES 0 0 0 0
700
------
702 Conference & Mtg. Exp. 100 0 0 0
706 Dues, Books & Subscrp. 0 2,000 2,000 2,000
799 Misc. Services & Charges 1,493 0 1,000 500
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 1,593 2,000 3,000 2,500
800
------
TOTAL CAPITAL OUTLAYS 0 0 0 0
------TOTAL CITY ATTORNEY 127,500 135,000 136,000 126,500
13
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
Wheat Ridge Festival
PROGRAM DESCRIPTION
This program funds the City of Wheat Ridge's contribution to the annual
Wheat Ridge Festival.
PROGRAM OBJECTIVES
In 1992, the 23rd Annual Wheat Ridge Festival will be held for three
days in August. This Festival is a celebration of the Wheat Ridge
community that features a parade and a wide variety of other
activities. City monies are used to pay City personnel assigned to the
Festival, and to provide other goods and services used for the
Festival. Wheat Ridge will also be celebrating its 23rd year as a
City.
14
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
NON-DEPARTMENTAL
WHEAT RIDGE FESTIVAL
00
606
CLASSIFICATION
------------------------------------------------------------------------
PROPOSED
1992
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
------------------------------------------------------------------------
PERSONAL SERVICES
9,085
o
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
4,936
CAPITAL OUTLAYS
TOTAL DIVISION
14,021
PERSONNEL
SCHEDULE
POSITION TITLE
AuthjGrade
No.
AUTHORIZED PERSONNEL
o
o
9,000
o
9,000
5,350
4,985
o
14,350
13,985
SALARY RANGE AuthjGrade
1991 No.
o
15
o
9,000
o
o
4,350
o
13,350
SALARY RANGE
1992
DIVISION
DETAIL
FUND GENERAL
DEPT. NON-DEPARTMENTAL
DIV. WHEAT RIDGE FESTIVAL
01
00
606
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
610 Overtime Pay 9,085 9,000 9,000 9,000
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 9,085 9,000 9,000 9,000
650
------
TOTAL MATERIALS/SUPPLIES 0 0 0 0
700
------
714 Legals and Publishing 224 350 350 350
799 Misc. Services & Charges 4,712 5,000 4,635 4,000
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 4,936 5,350 4,985 4,350
800
------
TOTAL CAPITAL OUTLAYS 0 0 0 0
------TOTAL WHEATRIDGE FESTIVAL 14,021 14,350 13,985 13,350
16
DEPARTMENT
SUMMARY
FUND
GENERAL
01
DEPT.
CITY CLERK
01
CLASSIFICATION
ACTUAL
1989
BUDGET
1990
-------------------------------------------------------------------------
PROPOSED
1991
ESTIMATED
1990
-------------------------------------------------------------------------
PERSONAL SERVICES
70,354
71,732
MATERIALS AND SUPPLIES
6,080
4,464
OTHER SERVICES & CHARGES
31,499
35,550
11,900
123,646
CAPITAL OUTLAYS
o
TOTAL DEPARTMENT
107,933
72,080
4,464
34,780
11 , 800
123,124
74,582
5,300
34,400
2,000
116,282
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
City Clerk(Elective)
Deputy City Clerk
Clerk-Typist
24,833/year
1778-2489
1160-1624
1
1
. 5
7
2
AUTHORIZED PERSONNEL
1.5
17
1
1
.5
7
2
1.5
26,400/year
1778-2489
1160-1624
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
City Clerk
PROGRAM DESCRIPTION
The City Clerk maintains a public file of all ordinances and all codes
adopted by reference and all official City records, deeds and titles.
Along with the mayor, certifies all City ordinances within forty-eight
hours and maintains a book thereof. Acts as custodian of the City
seal. Publishes ordinances and legal notices, keeping citizens
informed on council actions and attesting to publication. Conducts
City Elections. Issues licenses. Prepares City Council agendas and
minutes.
PROGRAM OBJECTIVES
1. Keep citizens informed of all City Council actions through
publication of legal notices, minutes, and agendas.
2. Make available all city records, ordinances, resolutions,
contracts, building codes, city code of laws, charter, agenda
items, city council minutes and audio/video tapes of council
proceedings to the citizens of Wheat Ridge.
3. Conduct a regular City election.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Voter Registrations 112 150 150
Legal Publications 270 300 300
City Council Meetings 35 36 36
Budget Work Sessions 5 5 5
Liquor Licenses (new) 1 "7 12 12
~ ,
Liquor License
Transfer of Ownership 8 5 5
Liquor License Renewals 66 80 80
Resolutions Distributed 60 70 70
Ordinances Distributed 39 40 40
Codification Supplements 4 4 4
18
FUND
DEPT.
DIV.
GENERAL
CITY CLERK
CITY CLERK
DIVISION
SUMMARY
01
01
108
CLASSIFICATION
-------------------------------------------------------------------------
PROPOSED
1992
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
70,354
6,080
31,499
107,933
71,732
4,464
35,550
o
11,900
72,080
4,464
34,780
11,800
123,124
74,582
5,300
34,400
2,000
116,282
-------------------------------------------------------------------------
POSITION TITLE
City C1erk(E1ective)
Deputy City Clerk
Clerk-Typist
AUTHORIZED PERSONNEL
PERSONNEL
SCHEDULE
123,646
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
1
1
.5
7
2
1.5
24,833/year
1778-2489
1160-1624
19
1
1
.5
1.5
7
2
26,400/year
1778-2489
1160-1624
DIVISION
DETAIL
FUND GENERAL
DEPT. CITY CLERK
DIV. CITY CLERK
01
01
108
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget
1991
Estimated Proposed
1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 58,746 58,846 60,476 61,123
620 FICA Expense Employer 4,488 4,502 4,587 4,676
622 Health and Life Insurance 4,866 6,030 4,582 6,582
630 Retirement Expense 2,254 2,354 2,435 2,201
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 70,354 71,732 72,080 74,582
650
------
651 Misc. Office Supplies 1,778 1,200 1,200 2,000
654 Photocopy and Printing Ex 3,149 1,764 1,764 1,800
655 Postage Costs 1,153 1,500 1,500 1,500
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 6,080 4,464 4,464 5,300
700
------
702 Conference & Mtg. Exp. 1,895 2,500 2,500 3,250
706 Dues, Books & Subscrp. 1,485 500 500 500
708 Election Expenses 12 4,400 4,400 3,000
714 Legals and Publishing 17,935 20,000 20,000 20,000
715 Recording Fees 1,500 1,500 1,500 1,500
728 Training 319 300 30 300
740 Auto Mileage Reimb. 118 300 300 300
750 Professional Services 6,950 5,000 5,000 5,000
759 Telephone EXj:Jf.nse 27 50 50 50
776 Other Equipment Maint. 1,258 1,000 500 500
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 31,499 35,550 34,780 34,400
800
802 Office Furn. & Equip.
809 Other Major Equipment
TOTAL CAPITAL OUTLAYS
0 300 200 2,000
0 11 , 600 11,600 0
---------- --------- --------- ---------
0 11,900 11,800 2,000
107,933 123,646 123,124 116,282
')(\
------TOTAL CITY CLERK
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
MUNICIPAL COURT
MUNICIPAL COURT
109
02
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
134,188
7,385
13,084
143,806
7,057
35,785
3,568
190,216
143,515
7,057
30,785
3,568
184,925
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
451
TOTAL DIVISION
155,108
163,318
6,925
26,985
3,918
201,146
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Chief Court Clerk 1 8 1900-2660 1 8
Deputy Court Clerk 2 2 1160-1624 2.75 3
Clerk Typist .75 2 1160-1624
Contractual Services:
Presiding Judge 1 15,241/year 1
Assistant Judge 1 9,940/year 1
Probation Officer 1 15,000/year 1
Probation Assistant 1 3,500/year 1
Day Court 10,100/year
Total Contractual Services 53,781/year
AUTHORIZED PERSONNEL
3.75
3.75
21
1900-2660
1283-1796
16,765/year
10,934/year
16,500/year
16,100/year
12,301/year
72,600/year
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
Municipal Court
PROGRAM DESCRIPTION
Processes all City Ordinances and City Traffic Code Violations through
the rules of procedures adopted by the Supreme Court of the State of
Colorado.
PROGRAM OBJECTIVES
1. Administer justice in a fair and impartial manner for all people
who appear before the Wheat Ridge Municipal Court.
2. Update and modify the automated system designed for the Court to
include financial and probation programs and applications by
December, 1992.
3. Promote the attendance and participation in the Colorado Municipal
Judges Association and the Colorado Association for Municipal Court
Administration to keep informed of current Court rules and
procedures by attending at least two seminars each during 1992.
4. Prevent recidivism through the probation program.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Summons processed: 7,156 5,240 7,500
Traffic 5,708 4,100 6,000
General 1,029 800 1,100
Animal 96 40 100
Code 48 40 50
Sales TQX 80 85 85
Parking 195 175 200
Jury Trials 9 12 12
Warrants 1,257 975 1,300
22
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
MUNICIPAL COURT
MUNICIPAL COURT
109
02
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
134,188
7,385
143,806
7,057
35,785
3,568
190,216
143,515
7,057
30,785
3,568
184,925
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
13,084
CAPITAL OUTLAYS
451
TOTAL DIVISION
155,108
163,318
6,925
26,985
3,918
201,146
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Chief Court Clerk 1 8 1900-2660 1 8
Deputy Court Clerk 2 2 1160-1624 2.75 3
Clerk Typist .75 2 1160-1624
Contractual Services:
Presiding Judge 1 15,241/year 1
Assistant Judge 1 9, 940/year 1
Probation Officer 1 15,000/year 1
Probation Assistant 1 3,500/year 1
Day Court 10,100/year
Total Contractual Services 53,781/year
AUTHORIZED PERSONNEL
3.75
3.75
23
1900-2660
1283-1796
16,765/year
10,934/year
16,500/year
l6,100/year
l2,301/year
72,600/year
FUND GENERAL
DEPT. MUNICIPAL COURT
DIV. MUNICIPAL COURT
DIVISION
DETAIL
01
02
109
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
610 Overtime Pay
617 City Temporary Personnel
619 Cant. Temporary Personnel
620 FICA Expense Employer
622 Health and Life Insurance
625 Medicare Portion FICA
630 Retirement Expense
640 Outside Personal Service
65,909
537
2,204
33,448
5,101
7,054
149
1,764
18,022
62,664
1,640
3,160
37,482
5,161
8,557
200
2,142
22,800
63,923
1,640
3,160
37,482
7,070
5,873
125
1,442
22,800
64,399
1,000
3,160
40,000
10,989
8,871
o
2,299
32,600
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
163,318
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
655 Postage Costs
660 Operating Supplies
134,188
2,026
2,530
1,447
1,382
143,806
2,625
1,232
1,800
1,400
143,515
2,625
1,232
1,800
1,400
2,625
1,300
1,800
1,200
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
6,925
700
702 Conference & Mtg. Exp.
706 Dues, Books & Subscrp.
740 Auto Mileage Reimb.
750 Professional Services
758 Rentals and Leases
759 Telephone Expense
776 Other Equipment Maint.
783 Drug Coalition Grant
792 Drug Coalition Expense
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
802 Office Furn. & Equip.
808 Capital Leases
TOTAL CAPITAL OUTLAYS
------TOTAL MUNICIPAL COURT
7,385
2,851
312
619
650
o
21
477
o
6,850
1,304
13,084
451
o
451
155,108
24
7,057
3,000
250
200
2,750
o
50
707
o
23,000
5,828
35,785
2,000
1,568
3,568
190,216
7,057
3,000
250
200
2,750
o
50
707
o
18,000
5,828
30,785
2,000
1,568
3,568
184,925
4,250
250
200
4,000
o
50
707
10,000
1,500
6,028
26,985
2,350
1,568
3,918
201,146
CITY OF WHEAT RIDGE, COLORADO
1991 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Non-Departmental
other Misc. Accounts
PROGRAM DESCRIPTION
This program accounts for two divisions, Reserves and General
Operations, which are not accounted for in any other area.
PROGRAM OBJECTIVES
1. A capital depreciation reserve account has been
established to account for the future depreciation
of fixed assets. At the present time, the City
does not depreciate fixed assets.
2. Compensated absences reserve account covers all
unpaid vacation and holiday pay due employees by
the City.
3. The self-insurance reserve line item was set-up
for future use as a pool to provide either
employee benefits and/or property casualty
insurance for the City.
4. Contingency reserve monies are set aside to cover
unexpected expenses that may occur throughout the
budget year.
5. Unallocated fund balance is the difference between
budgeted revenues and budgeted expenditures
whereby additional revenues have not been
appropriated for a particular purpose.
6. General Operations includes citywide operations
expenditures such as utilities and insurance.
25
DEPARTMENT
SUMMARY
FUND
GENERAL 01
DEPT.
OTHER MISC. ACC 09
CLASSIFICATION
ACTUAL
1990
BUDGETED
1991
REVISED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
203,523
5,761
418,280
o
MATERIALS & SUPPLIES
OTHER SERVICES & CHARGES
CAPITAL OUTLAYS
TOTAL DEPARTMENT
627,564
220,000
2,000
2,003,050
29,623
2,254,673
220,689
2,000
509,972
31,017
763,678
233,301
2,000
2,634,021
34,024
2,903,346
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGEAuthjGrade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
AUTHORIZED PERSONNEL
o
26
o
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
OTHER MISC. ACCOUNTS
RESERVES
09
607
CLASSIFICATION
------------------------------------------------------------------------
ACTUAL
1990
BUDGETED
1991
ESTIMATED
1991
PROPOSED
1992
------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
1,556
CAPITAL OUTLAYS
TOTAL DIVISION
1,556
o
o
o
1,530,531
o
1,530,531
o
o
30,529
o
30,529
o
o
o
o
1,743,704
o
1,743,704
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
------------------------------------------------------------------------
AuthjGrade
No.
SALARY RANGE AuthjGrade
1991 No.
SALARY RANGE
1992
------------------------------------------------------------------------
AUTHORIZED PERSONNEL
o
27
o
DIVISION
DETAIL
FUND
DEPT.
DIV.
GENERAL
OTHER MISC. ACCOUNTS
RESERVES
01
09
607
-------------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-------------------------------------------------------------------------
600
TOTAL PERSONAL SERVICES
o
o
o
o
650
TOTAL MATERIALS/SUPPLIES
o
o
o
o
700
--------
779 Capital Depreciation 0 100,000 0 100,000
788 Compensated Absences 0 250,000 0 250,000
789 Self Insurance 0 100,000 0 100,000
794 Contingency Reserve 0 758,275 0 797,492
795 Una110cated Fund Balance 0 8,256 0 396,212
796 Emergency Reserve 0 100,000 5,529 100,000
797 Salary Reserve 1,556 214,000 25,000 0
--------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 1,556 1,530,531 30,529 1,743,704
800
TOTAL CAPITAL OUTLAYS
o
o
o
o
--------TOTAL RESERVES
1,556 1,530,531
30,529 1,743,704
28
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
OTHER MISC. ACCOUNTS
GENERAL OPERATIONS
09
610
CLASSIFICATION
------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
------------------------------------------------------------------------
PROPOSED
1992
PERSONAL SERVICES
203,523
MATERIALS & SUPPLIES
5,761
OTHER SERVo & CHGS.
416,724
CAPITAL OUTLAYS
o
TOTAL DIVISION
626,008
220,000
2,000
220,689
2,000
479,443
31,017
733,149
233,301
2,000
890,317
34,024
1,159,642
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
472,519
29,623
724,142
POSITION TITLE
AuthjGrade
No.
------------------------------------------------------------------------
SALARY RANGE Auth/Grade
1991 No.
------------------------------------------------------------------------
SALARY RANGE
1992
AUTHORIZED PERSONNEL
o
29
o
FUND GENERAL
DEPT. OTHER MISC. ACCOUNTS
DIV. GENERAL OPERATIONS
DIVISION
DETAIL
01
09
610
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
619 Temp. Personnel Non-Hour
620 FICA Expense Employer
621 Worker's Compensation
623 Unemployment Insurance
TOTAL PERSONAL SERVICES
650
652 Central Stores Revolving
653 Postage Revolving
TOTAL MATERIALS/SUPPLIES
700
713 School Crossing Guard Ex.
721 Jeffco Animal Shelter
750 Professional Services
759 Telephone Expense
760 Utilities
780 Outside Agency Contrib.
781 Personal & Property Liab.
782 Uninsured Losses
784 Jeffco Treas Collect Fees
797 Salary Adjustment
799 Misc. Services & Charges
o
o
194,610
8,913
203,523
3,129
2,632
5,761
13,955
10,925
o
66,163
56,299
o
175,207
47,724
5,677
o
40,774
800
TOTAL OTHER SERVo & CHGS. 416,724
802 Office Furn. & Equip.
805 Communications Equipment
808 Capital Leases
TOTAL CAPITAL OUTLAYS
------TOTAL GENERAL OPERATIONS
626,008
30
o
o
215,000
5,000
220,000
1,000
1,000
2,000
17,000
10,954
15,000
41,736
57,000
o
185,000
100,000
5,829
o
40,000
472,519
o
o
o
o
o
29,623
o
29,623
724,142
o
689
215,000
5,000
220,689
1,000
1,000
2,000
17,000
10,614
15,000
49,000
57,000
o
185,000
100,000
5,829
o
40,000
479,443
1,393
o
29,624
31,017
17,000
1,301
210,000
5,000
233,301
1,000
1,000
2,000
o
8,966
o
42,908
64,891
40,000
190,000
100,000
6,000
437,552
o
890,317
o
2,200
31,824
34,024
733,149 1,159,642
DEPARTMENT
SUMMARY
FUND
GENERAL
01
DEPT.
TREASURY
03
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
MATERIALS AND SUPPLIES
19,303
20,064
326,582
20,004
336,293
20,621
PERSONAL SERVICES
278,945
315,358
OTHER SERVICES & CHARGES
63,494
68,841
67,281
11,164
71,928
CAPITAL OUTLAYS
13,424
9,844
414,107
8,000
TOTAL DEPARTMENT
375,166
425,031
436,842
PERSONNEL
SCHEDULE
POSITION TITLE
AuthjGrade SALARY RANGE AuthjGrade SALARY RANGE
No. 1991 No. 1992
City Treasurer(E1ected) 1 26,400jyear 1 26,400/year
Accountant 1 10 2150-3010 1 10 2150-3010
Accounting Technician 1 5 1530-2142 1 5 1530-2142
Accounting Clerk 1 2 1160-1624 1 2 1160-1624
Finance Assistant 1 15 2768-3875 1 15 2768-3875
Sales Tax Auditor 1 9 2025-2835 1 9 2025-2835
Sales Tax Technician 1 5 1530-2142 1 5 1530-2142
Switchboard Operator 1 2 1160-1624 1 2 1160-1624
Purchasing Agent 1 14 2643-3700 1 14 2643-3700
Data Systems Analyst 1 15 2768-3875 1 15 2768-3875
AUTHORIZED PERSONNEL
9
9
31
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Treasury
Treasurer/Accounting
PROGRAM DESCRIPTION
The accounting staff is responsible for the daily processing of
receipts, the expenditure of budgeted funds through a purchase order
encumbrance system and the processing of a bi-weekly payroll. This
division is also responsible for the accounting of all financial
transactions and the preparation of monthly budgetary reports for
management. The Accounting Division provides accounting and clerical
support to the Purchasing Division, as well as computer operation
support for user departments. The Accounting Division provides daily
cash flow information to the City Treasurer who analyzes future cash
needs and through a bid process, invests idle funds.
PROGRAM OBJECTIVES
1. To receipt and deposit revenues from all City sources on a daily
basis for the utilization of cash for expenditures and investment.
2. To process purchase orders and accounts payable checks on an
established time-table. To provide computer operation support to
City departmental users.
3. To process a bi-weekly and a monthly payroll to all regular and
contractual employees. To administer and process payment of
employee insurance benefits, retirement and taxes. To provide
accurate and timely financial and budgetary reports.
4. To monitor the City's cosh flow on a daily basis for the prudent
investment of funds with consideration given to future cash needs,
safety, liquidity and the highest interest yield available.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Receipts Entered 6,051 6,100 6,200
Disbursement Checks Issued 4,682 4,700 4,800
Payroll Checks Issued 7,203 6,150 6,250
Interest Earned on
Investments $446,998 $320,000 $300,000
32
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
TREASURER
TREASURER/ACCOUNTING
03
103
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
104,703
3,483
3,690
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
2,000
TOTAL DIVISION
113,876
PERSONNEL
SCHEDULE
108,877
4,444
8,550
o
121,871
110,388
4,250
8,375
123,013
o
114,707
4,250
5,375
o
124,332
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
City Treasurer(E1ected) 1
Accountant 1
Accounting Technician 1
Accounting Clerk 1
10
5
2
AUTHORIZED PERSONNEL
3
26,400/year 1
2150-3010 1
1530-2142 1
1160-1624 1
33
10
5
2
3
26,400/year
2150-3010
1530-2142
1160-1624
FUND GENERAL
DEPT. TREASURY
DIV. TREASURER/ACCOUNTING
DIVISION
DETAIL
01
03
103
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
602 Salaries and Wages
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
87,495
6,644
7,283
3,281
89,792
6,869
8,624
3,592
92,202
7,047
8,297
2,842
92,587
7,083
11 , 334
3,703
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
114,707
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
655 Postage Costs
104,703
1,323
332
1,828
108,877
1,600
344
2,500
110,388
1,600
150
2,500
1,600
150
2,500
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
4,250
700
702 Conference & Meeting Exp.
706 Dues, Books & Subscrp.
728 Training
740 Auto Mileage Reimb.
750 Professional Services
759 Telephone Expense
776 Other Equipment Maint.
799 Misc. Services & Charges
3,483
1,605
542
674
185
352
27
263
42
4,444
1,000
300
500
200
6,000
100
400
50
4,250
1,000
300
450
200
6,000
75
300
50
2,750
300
500
200
1,200
75
300
50
TOTAL OTHER SERVo & CHGS.
---------- --------- --------- ---------
5,375
800
802 Office Furn. & Equip.
3,690
2,000
8,550
8,375
o
TOTAL CAPITAL OUTLAYS
---------- --------- ---------
o
------TOTAL TREASURER/ACCTG.
2,000
113,876
34
121,871
123,013
o
o
o
o
124,332
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
Treasury
PROGRAM
Budget/Finance/Sa1estax
PROGRAM DESCRIPTION
Responsible for annual budget of the City, monitoring current and
projected revenues and expenditures, and developing the annual audited
financial statements into the Comprehensive Annual Financial Report.
Promote effective sales and use tax collections and enforcement through
auditing and taxpayer education. Establish a friendly image of the City
through contact with the public at the reception area and through
switchboard communications. Performs distribution of incoming mail, and
processing of outgoing mail.
PROGRAM OBJECTIVES
1. Completion of balanced 1992 budget document in an efficient and
timely manner.
2. Produce accurate and informative financial reports including the
Comprehensive Annual Financial Report.
3. Enforce sales and use tax compliance through more extensive
auditing and taxpayer education.
4. Conduct all switchboard calls and contact with the public in a
pleasant, effective, and courteous manner.
5. Process incoming/outgoing mail in an accurate and timely fashion.
PERFORMANCE INDICATORS
INDICATOR
Comprehensive Annual
Financial Report
Annual Budget Document
Sales & Use Tax Audits
Sales & Use Tax Accounts:
In Wheat Ridge
Out of Wheat Ridge
Delinquency Notices Issued
Liens Issued Against Personal
Property
Summons Issued for Tax Code
Violations
Tax Reporter Newsletter
Average Daily Switchboard
Calls Received
Average Monthly Postage
Processed
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
1
1
24
1
1
64
1
1
75
1,469
1,965
1,386
7
1,575
2,016
1,198
1,600
2,000
1,200
10
7
217
1
200
1
200
1
450
250
250
$1,250
$1,522
$1,600
35
FUND
DEPT.
DIV.
DIVISION
SUMMARY
GENERAL 01
TREASURY
BUDGETjFINANCEjSALESTAX
CLASSIFICATION
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
POSITION TITLE
ACTUAL
1990
93,900
8,258
37,659
o
139,817
PERSONNEL
SCHEDULE
03
BUDGET
1991
124,495
8,450
34,020
1,200
168,165
115
ESTIMATED
1991
129,840
8,494
34,060
1,164
173,558
PROPOSED
1992
133,898
8,750
30,450
2,000
175,098
AuthjGrade SALARY RANGE AuthjGrad SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Finance Assistant
Sales Tax Auditor
Sales Tax Technician
Switchboard Operator
AUTHORIZED PERSONNEL
1
1
1
1
15
9
5
2
3
2768-3875
2025-2835
1530-2142
1160-1624
36
1
1
1
1
15
9
5
2
4
2768-3875
2025-2835
1530-2142
1160-1624
FUND
DEPT.
DIV.
GENERAL
TREASURY
BUDGET!FINANCE!SALESTAX
DIVISION
DETAIL
01
03
115
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
602 Salaries and Wages
603 Longevity
619 Temp.Personne1/Non-Hour
620 FICA Expense Employer
622 Health & Life Insurance
630 Retirement Expense
78,388
1,167
o
6,063
5,234
3,048
98,017
1,168
5,000
7,558
9,691
3,061
104,140
1,219
5,000
8,442
8,371
2,668
105,561
1,219
5,000
8,169
10,727
3,222
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
133,898
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
655 Postage Costs
93,900
1,390
1,823
5,045
124,495
1,250
1,200
6,000
129,840
1,170
1,300
6,024
1,250
1,300
6,200
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
8,750
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
728 Training
740 Auto Mileage Reimb.
750 Professional Services
758 Rentals and Leases
759 Telephone Expense
776 Other Equipment Maint.
799 Misc. Services & Charges
8,258
445
28,627
111
o
214
6,575
1,509
78
65
35
8,450
620
22,500
220
250
400
8,000
1,500
280
250
o
8,494
550
22,500
100
250
400
8,000
1,500
160
600
o
550
14,000
200
250
400
13,000
1,500
150
400
o
TOTAL OTHER SERVo & CHGS.
---------- --------- --------- ---------
30,450
800
802 Office Furn. & Equip.
37,659
34,020
o
1,200
34,060
1,164
2,000
TOTAL CAPITAL OUTLAYS
---------- --------- --------- ---------
2,000
------TOTAL BUDGET/SALES TAX
139,817
17
o
1,200
168,165
1,164
173,558
175,098
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Treasury
Purchasing
PROGRAM DESCRIPTION
The Purchasing Division evaluates and manages the procurement of
supplies, materials, professional services and contracts necessary to
operate an effective and efficient City government. Competitiveness is
encouraged by employing practicalities in specifications, realism in
economics, good faith in legal considerations, and high professional
ethics in personal relations. Suitability, appropriate quality,
reliable vendor performance while providing efficient and professional
procurement ensures the best quality in purchasing at the most economic
level.
PROGRAM OBJECTIVES
1. Pursue professional excellence in communications with user
departments, administration and vendors.
2. Assist in development and preparaton of standards, proposals and
specifications, designating what is needed and promoting fair and
quality competition, therefore, purchasing without prejudice and
seeking to obtain the maximum value for each dollar expended.
3. Manage acquisition process; prepare invitation for bids, including
contractual provisions; solicit bids; evaluate responses and award
contracts.
4. Establish and initiate inventory management program involving
purchasing, storage/distribution, quantity requisitioning, and
disposition of surplus property.
5. Coordinate with and assist in accounting functions to minimize
delinquencies and contract problems, and assure prompt payments.
6. Pursue cooperative buying with other governmental jurisdictions to
obtain the lowest possible price through quantity purchases.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Number of Bids, Quotes,
and Proposals 82 90 95
Number of Purchase
Requisitions 15,466 17,425 18,800
Number of Purchase
Orders Written 3,772 4,250 4,750
38
FUND
DEPT.
DIV.
GENERAL
TREASURY
PURCHASING
CLASSIFICATION
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
POSITION TITLE
Purchasing Agent
AUTHORIZED PERSONNEL
DIVISION
SUMMARY
01
ACTUAL
1990
40,088
794
1,078
2,276
44,236
PERSONNEL
SCHEDULE
03
BUDGET
1991
41,251
266
1,605
o
43,122
116
ESTIMATED
1991
43,343
410
1,566
o
45,319
PROPOSED
1992
44,284
621
5,853
3,000
53,758
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1922
1
14
1
2643-3700
39
1
14
1
2643-3700
FUND GENERAL
DEPT. TREASURY
DIV. PURCHASING
DIVISION
DETAIL
01
03
116
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
660 Operating Supplies
TOTAL MATERIALS/SUPPLIES
700
702 Conference & Meeting
706 Dues, Books & Subscrp.
728 Training
740 Auto Mileage Reimb.
755 Computer Software
759 Telephone Expense
776 Other Equip. Maint.
TOTAL OTHER SERVo & CHGS.
800
802 Office Furn. & Equip.
TOTAL CAPITAL OUTLAYS
------TOTAL PURCHASING
34,098
2,601
2,291
1,098
40,088
177
601
16
794
148
603
o
286
o
41
o
1,078
2,276
2,276
44,236
40
34,127
2,611
3,148
1,365
41,251
210
56
o
266
472
315
262
525
o
31
o
1,605
43,122
36,011
2,743
3,155
1,434
43,343
210
200
o
410
489
315
262
450
o
50
o
1,566
o
o
45,319
36,042
2,757
4,043
1,442
44,284
221
400
o
621
496
331
275
551
4000
100
100
5,853
o
3,000
o
3,000
53,758
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Treasury
Data Processing
PROGRAM DESCRIPTION
Coordinates, reviews and makes recommendations for the purchase of
communications and data processing equipment, services and software.
Performs operational tasks as needed to enhance operation of existing
communication and data processing equipment. Provides internal
consulting services to other departments regarding data processing and
communications services, software and equipment. Maintains and develops
necessary data processing programs for other departments.
PROGRAM OBJECTIVES
1. Provide support to other departments for office automation, data
processing and communications services including, advice and
answers about technical issues, and installation and training
support for other departments. Write computer programs for citywide
use.
2. Continue plan initiated in 1989 to provide the City direction in
keeping abreast with constantly evolving computer technology. start
moving to new technology allowing for increased productivity and
efficiency. Continue to review and update this plan annually in
light of new needs, technology and/or other consideration.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Short-Term Service Requests 75 25 50
Hours to Complete 700 450 700
Long-Term Service Requests 3 3 3
Hours to Complete 1,500 1,600 1,300
Training Classes 4 3 4
No. of Persons Trained 20 10 20
41
FUND
DEPT.
DIV.
GENERAL
TREASURY
DATA PROCESSING
DIVISION
SUMMARY
01
03
117
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
40,254
6,768
21,067
9,148
77,237
40,735
6,904
24,666
8,644
80,949
43,011
6,850
23,280
10,000
83,141
43,404
7,000
30,250
3,000
83,654
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE AuthjGrade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Data Systems Analyst
AUTHORIZED PERSONNEL
1
15
1
2768-3875
42
1
15
1
2768-3875
FUND GENERAL
DEPT. TREASURY
DIV. DATA PROCESSING
DIVISION
DETAIL
01
03
117
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
660 Operating Supplies
TOTAL MATERIALS/SUPPLIES
700
702 Conference & Meeting Exp.
706 Dues, Books & Subscrp.
728 Training
740 Auto Mileage Reimb.
750 Professional Services
755 Computer Software
759 Telephone Expense
776 Other Equipment Maint.
TOTAL OTHER SERVo & CHGS.
800
809 Other Major Equip.
TOTAL CAPITAL OUTLAYS
------TOTAL DATA PROCESSING
34,107
2,601
2,291
1,255
40,254
5,749
215
804
6,768
o
261
o
110
25
1,106
27
19,538
21,067
9,148
9,148
77,237
43
34,127
2,611
2,632
1,365
40,735
6,000
104
800
6,904
900
250
o
100
900
3,456
60
19,000
24,666
8,644
8,644
80,949
36,175
2,753
2,643
1,440
43,011
6,000
50
800
6,850
900
250
o
100
1,500
1,500
30
19,000
23,280
10,000
10,000
83,141
36,175
2,767
3,015
1,447
43,404
6,090
110
800
7,000
900
250
1,400
150
1,500
6,000
50
20,000
30,250
3,000
3,000
83,654
DEPARTMENT
SUMMARY
FUND
GENERAL
DEPT.
PLANNING & DEVELOPMENT
01
04
CLASSIFICATION
ACTUAL
1990
-------------------------------------------------------------------------
PROPOSED
1992
BUDGET
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
391,815
19,564
50,319
2,995
464,693
MATERIALS AND SUPPLIES
OTHER SERVICES & CHARGES
CAPITAL OUTLAYS
TOTAL DEPARTMENT
431,671
23,857
78,050
4,000
537,578
444,480
23,475
67,525
4,000
539,480
447,149
26,475
67,368
10,200
551,192
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
-------------------------------------------------------------------------
POSITION TITLE Auth/GradeSALARY RANGE Auth/GradeSALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Director of Planning
and Development 1 22 3633-5086 1 22 3633-5086
Senior Secretary . 5 5 1530-2142 .5 5 1530-2142
Planner II 1 11 2272-3181 1 11 2272-3181
Planner I 1 10 2150-3010 1 10 2150-3010
Senior Secretary . 5 5 1530-2142 .5 5 1530-2142
Secretary . 5 3 1283-1796 .5 3 1283-1796
Chief Building Inspector 1 15 2768-3875 1 15 2768-3875
Building Inspector 1 10 2150-3010 1 10 2150-3010
Clerk-Typist 1 2 1160-1624 1 2 1160-1624
Bldg. Maint. Supervisor 1 10 2150-3010 1 10 2150-3010
Bldg. Custodian 1 2 1160-1624 1 2 1160-1624
Code Enforce. Off. II 1 9 2025-2835 1 9 2025-2835
Code Enforce. Off. I .75 5 1530-2142 .75 5 1530-2142
Secretary .5 3 1283-1796 .5 3 1283-1796
AUTHORIZED PERSONNEL 11. 75 11. 75
44
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Planning & Development
Administration
PROGRAM DESCRIPTION
The Director is responsible for the efficient and effective management,
administration and overall direction of the Planning and Development
Department. The primary mission of the Department is to provide service
to the community in Planning, Code Enforcement, Zoning Administration,
and Building Inspections. The Department serves and maintains
harmonious and continuous relationships with the Planning Commission,
Board of Adjustment, Building Advisory Committee, and City Council.
PROGRAM OBJECTIVES
1. Update, amend and reprint the Comprehensive Plan so that it is a
current data base, and accurately reflects the current policy on
long range issues.
2. Continue to implement and administer the land development
regulations of the City, and provide suggestions for updating those
regulations where needed.
3. Improve upon methods for bOlstering community pride to reduce the
need for Code Enforcement action.
4. Improve upon the record of court convictions of Code violators
where other compliance methods have failed.
5. Continue to provide a high level of service to the building
community by maintaining current Building Codes and providing
timely inspection services.
6. Continue to automate Department data and procedures so as to become
both more efficient and effective in delivery of services to the
City.
7. Continue to serve as a coordinator and facilitator to accomplish a
wide range of goals, objectives and projects City-wide, both
interdepartmental and inter-jurisdictional in scope.
45
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PLANNING & DEVELOPMENT
ADMINISTRATION
04
120
-------------------------------------------------------------------------
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
MATERIALS & SUPPLIES
825
81,392
825
82,552
825
PERSONAL SERVICES
76,204
416
76,924
CAPITAL OUTLAYS
3,623
o
2,700
o
2,600
o
2,900
o
OTHER SERVo & CHGS.
TOTAL DIVISION
80,243
80,449
84,817
86,277
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
-------------------------------------------------------------------------
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
Director of Planning
and Development
Senior Secretary
1
.5
22
5
3633-5086
1530-2142
1
. 5
22
5
3633-5086
1530-2142
AUTHORIZED PERSONNEL
1.5
1.5
46
DIVISION
DETAIL
FUND GENERAL
DEPT. PLANNING & DEVELOPMENT
DIV. ADMINISTRATION
01
04
120
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 62,646 62,243 65,979 65,495
604 Deferred Compensation 2,044 2,053 2,160 2,160
606 Auto Allowance 2,400 2,400 2,400 2,700
620 FICA Expense Employer 4,871 4,760 5,392 5,382
622 Health and Life Insurance 3,808 5,031 5,004 6,355
630 Retirement Expense 435 437 457 460
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 76,204 76,924 81,392 82,552
650
------
651 Misc. Office Supplies 119 125 125 125
654 Photocopy & Printing Exp. 15 100 100 100
655 Postage Costs 0 100 100 100
660 Operating Supplies 282 500 500 500
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 416 825 825 825
700
------
702 Conference & Mtg. Exp. 2,704 1,500 1,500 1,750
706 Dues, Books & Subscrp. 248 300 300 300
759 Telephone Expense 125 250 150 200
776 Other Equipment Maint. 140 300 300 300
799 Misc. Services & Charges 406 350 350 350
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 3,623 2,700 2,600 2,900
800
------
TOTAL CAPITAL OUTLAYS 0 0 0 0
n----TOTAL P&D ADMINISTRATION 80,243 80,449 84,817 86,277
47
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Planning & Development
Planning & Zoning
PROGRAM DESCRIPTION
Performs professional planning work in both long range and operational
planning. Provides research, analysis, and reports on various long and
current planning proposals in order to achieve implementation of the
Comprehensive Plan. Develop Master Plans and Comprehensive Plan
Amendments to further refine or reflect changing public policy.
Provide staff support to City Council, Planning Commission, Board of
Adjustment and various other planning related committees or task
forces.
PROGRAM OBJECTIVES
Insure that the Comprehensive Development Plan serves as a meaningful
guide for decision making, and that an adequate legal and
administrative basis exist for effective implementation of the Plan.
1. Continue the overall review and update of the Comprehensive
Development Plan for the entire City.
2. Develop brochures and guideline publications for distribution to
the general public and developers relating to rules, regulations
and processes which effect development and use of land in the City.
3. Continue the computerized mapping program which uti1itizes
computerized data collected by the Public Works Department as part
of their monumentation program. Thematic and topical data will be
combined with digital base map information to produce a Geographic
Information System for the City.
4. Maintain a high level of service in processing land use and
development applications.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Public Meetings Staffed 74 72 72
No. Planning Commission Cases 27 40 40
No. City Council Cases 71 70 70
No. Board of Adjustment Cases 29 25 25
Building & Miscellaneous
Permit Reviews 674 490 500
48
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PLANNING & DEVELOPMENT
PLANNING & ZONING
04
121
CLASSIFICATION
-------------------------------------------------------------------------
PROPOSED
1992
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
99,652
6,959
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
8,787
CAPITAL OUTLAYS
TOTAL DIVISION
115,398
118,262
6,932
o
34,450
2,500
162,144
124,338
7,800
24,325
2,500
158,963
122,066
9,400
14,750
2,200
148,416
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Planner II
Planner I
Senior Secretary
Secretary
1
1
. 5
.5
11
10
5
3
AUTHORIZED PERSONNEL
3
2272-3181
2150-3010
1530-2142
1283-1796
49
1
1
.5
.5
11
10
5
3
3
2272-3181
2150-3010
1530-2142
1283-1796
FUND GENERAL
DEPT. PLANNING & DEVELOPMENT
DIV. PLANNING & ZONING
DIVISION
DETAIL
01
04
121
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
o
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
610 Overtime Pay
617 City Temporary Personnel
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
655 Postage Costs
660 Operating Supplies
TOTAL MATERIALS/SUPPLIES
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
718 Ordinance Enforcement
728 Training
730 Uniforms & Proto Clothing
740 Auto Mileage Reimb.
750 Professional Services
755 Computer Software
758 Rentals & Leases
776 Other Equipment Maint.
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
809 Major Equipment
TOTAL CAPITAL OUTLAYS
------TOTAL PLANNING/ZONING
70,724
914
13,290
6,344
5,962
2,418
99,652
1,303
1,874
2,186
1,596
6,959
2,197
-500
1,733
o
280
o
25
2,500
o
o
2,161
391
8,787
115,398
so
80,336
1,000
19,500
6,949
7,264
3,213
118,262
1,000
1,632
1,800
2,500
6,932
7,500
10,000
1,650
o
300
o
200
1,000
10,000
o
3,200
600
34,450
o
2,500
o
2,500
162,144
84,561
1,000
20,000
8,012
7,429
3,336
124,338
1,000
2,000
1,800
3,000
7,800
7,500
o
1,500
o
300
o
225
1,000
10,000
o
3,200
600
24,325
2,500
2,500
158,963
84,685
1,000
15,000
8,085
9,909
3,387
122,066
1,200
3,000
2,000
3,200
9,400
5,000
o
1,200
o
1,500
o
250
1,000
1,500
o
3,800
500
14,750
2,200
2,200
148,416
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Planning & Development
Building Inspection
PROGRAM DESCRIPTION
We enforce the Uniform Building, Plumbing, Mechanical and Fire Codes.
We also enforce the National Electric Code and A.N.S.I. Elevator Code.
We issue permits for all types of construction, perform inspections for
conformance to the Codes and issue Certificates of Occupancy.
PROGRAM OBJECTIVES
1. Continue to serve the public with the same level of inspection.
2. Complete the computerization of building division record system.
3. Continue with ongoing training.
PERFORMANCE INDICATORS
1991
ESTIMATED
1992
PROJECTED
INDICATOR
1990
ACTUAL
Permits Issued
Inspections Completed
Dollar Value
2,636
2,566
$15.94 MiL
2,500
2,700
$16.0 MiL
2,700
3,000
$18.0 MiL
51
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PLANNING & DEVELOPMENT
BUILDING INSPECTION
04
122
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
100,814
MATERIALS & SUPPLIES
2,420
7,704
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
2,995
TOTAL DIVISION
113,933
101,853
2,550
9,600
114,003
o
103,042
2,500
9,600
o
115,142
106,049
2,600
10,368
2,000
121,017
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Chief Building Inspector 1
Building Inspector 1
Clerk-Typist 1
15
10
2
AUTHORIZED PERSONNEL
3
2768-3875
2150-3010
1160-1624
52
1
1
1
15
10
2
3
2768-3875
2150-3010
1160-1624
FUND GENERAL
DEPT. PLANNING & DEVELOPMENT
DIV. BUILDING INSPECTION
DIVISION
DETAIL
01
04
122
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
602 Salaries and Wages
603 Longevity
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
83,277
1,962
6,545
6,265
2,765
82,492
1,958
6,460
7,643
3,300
84,400
1,958
6,606
7,179
2,899
84,938
2,059
6,655
8,999
3,398
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
106,049
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
655 postage Costs
660 Operating Supplies
100,814
365
1,560
454
41
101,853
800
800
800
150
103,042
750
800
800
150
800
800
850
150
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
2,600
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
728 Training
730 Uniforms & prot Clothing
750 Professional Services
776 Other Equipment Maint.
799 Misc. Services & Charges
2,420
90
5,963
360
714
150
o
317
110
2,550
200
6,500
450
1,000
150
500
650
150
2,500
200
6,500
450
1,000
150
500
650
150
300
6,768
850
1,000
150
500
650
150
TOTAL OTHER SERVo & CHGS.
---------- --------- --------- ---------
10,368
800
802 Office Furn. & Equip.
805 Communication Equipment
7,704
2,995
o
9,600
9,600
o
o
o
o
o
2,000
---------- --------- --------- ---------
o
2,000
TOTAL CAPITAL OUTLAYS 2,995
------TOTAL BUILDING INSPECTION 113,933
53
114,003
o
115,142
121,017
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Planning & Development
Building Maintenance
PROGRAM DESCRIPTION
Maintenance of the Municipal Building and equipment. Provide daily
custodial service.
PROGRAM OBJECTIVES
1. Continue with preventative maintenance on all equipment within the
building and provide custodial service.
2. Repair or replace any equipment that might fail.
54
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PLANNING & DEVELOPMENT
BUILDING MAINTENANCE
04
118
CLASSIFICATION
-------------------------------------------------------------------------
PROPOSED
1992
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
60,583
6,689
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
11,115
CAPITAL OUTLAYS
TOTAL DIVISION
78,387
61,579
9,000
o
14,800
1,500
86,879
63,669
8,500
14,500
1,500
88,169
64,436
9,000
15,500
3,000
91,936
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Bldg. Maint. Supervisor 1
Bldg. Custodian 1
10
2
AUTHORIZED PERSONNEL
2
2150-3010
1160-1624
55
1
1
10
2
2
2150-3010
1160-1624
DIVISION
DETAIL
FUND GENERAL
DEPT. PLANNING & DEVELOPMENT
DIV. BUILDING MAINTENANCE
01
04
118
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 50,729 50,040 53,020 52,268
619 Cont. Temporary Personnel 0 1,000 1,000 1,000
620 FICA Expense Employer 3,866 3,905 4,073 4,075
622 Health and Life Insurance 3,995 4,632 3,495 5,002
630 Retirement Expense 1,993 2,002 2,081 2,091
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 60,583 61,579 63,669 64,436
650
------
660 Operating Supplies 6,689 9,000 8,500 9,000
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 6,689 9,000 8,500 9,000
700
------
704 Contractual Services 3,976 5,000 4,700 5,000
774 Facility Repair & Maint. 7,104 9,500 9,500 10,000
799 Misc. Services & Charges 35 300 300 500
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 11,115 14,800 14,500 15,500
800
------
803 Tools & Work Equipment 0 1,500 1,500 3,000
--------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 0 1,500 1,500 3,000
-------TOTAL BUILDING MAINT. 78,387 86,879 88,169 91,936
56
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Planning & Development
Code Enforcement
PROGRAM DESCRIPTION
To respond to the needs of the citizens and of the City by vigorously
enforcing the zoning, flood plain, sign, weed and trash, nuisance and
CFC codes, and to cause violations to be quickly abated while applying
extensive public relations. To continue to strive for a sense of pride
in Wheat Ridge so that it remains a fine City. To proactive1y instill
a sense of neighborhood.
PROGRAM OBJECTIVES
1. Educate citizens as to the related codes and ordinances so that
fewer violations occur.
2. Serve the citizens of Wheat Ridge in a fast and efficient manner.
3. Continue to implement a more effective Code Enforcement Program to
decrease violations and recurring violations.
4. Continue a close working relationship with the Municipal Court in
order to impose penalties that result in fewer violations in the
future.
5. Provide Wheat Ridge with an efficient overall weed management
program that will satisfy state and local requirements.
6. Coordinate the City-wide summer trash cleanup program with
participating City departments, trash hauling companies and
citizens.
7. Implement enforcement procedures for newly adopted codes and
ordinances.
8. Coordinate in-house training seminars for staff.
PERFORMANCE INDICATORS
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
INDICATOR
General Code Inspections
Weed Complaints/Inspections
Weed Cuttings
Court Appearances
1,726
328
69
55
2,054
950
63
60
2,100
1,000
65
60
57
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PLANNING & DEVELOPMENT
CODE ENFORCEMENT
04
123
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
54,562
3,080
16,522
74,164
73,053
4,550
16,500
o
94,103
o
72,039
3,850
16,500
92,389
o
72,046
4,650
23,850
3,000
103,546
-------------------------------------------------------------------------
POSITION TITLE
PERSONNEL
SCHEDULE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Code Enforce. Off. II
Code Enforce. Off. I
Secretary
AUTHORIZED PERSONNEL
1
.75
.5
9
5
3
2
2025-2835
1530-2142
1283-1796
58
1
.75
.5
2.25
9
5
3
2025-2835
1530-2142
1283-1796
FUND GENERAL
DEPT. PLANNING & DEVELOPMENT
DIV. CODE ENFORCEMENT
DIVISION
DETAIL
01
04
123
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
610 Overtime Pay
617 City Temporary Personnel
618 Court Pay
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
42,536
1,307
o
2,507
3,417
3,627
1,168
49,466
2,500
7,670
2,000
4,180
5,367
1,870
51,367
2,500
8,170
1,200
4,838
3,424
540
51,353
2,500
6,000
2,000
4,732
3,407
2,054
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
72,046
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
655 postage Costs
660 Operating Supplies
54,562
176
1,173
511
1,220
73,053
500
1,250
700
2,100
72,039
400
1,250
700
1,500
400
1,250
1,500
1,500
TOTAL MATERIALS/SUPPLIES
--------- --------- --------- ---------
4,650
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
718 Ordinance Enforcement
728 Training
730 Uniforms/Protect. Cloth.
740 Auto Mileage Reimburse.
776 Other Equipment Maint.
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
TOTAL CAPITAL OUTLAYS
------TOTAL CODE ENFORCEMENT
3,080
120
8,174
205
7,611
190
95
o
125
2
16,522
74,164
59
4,550
200
5,000
200
9,000
200
700
o
1,000
200
16,500
o
94,103
3,850
200
5,000
200
9,000
200
700
o
1,000
200
16,500
o
92,389
400
12,000
200
9,000
600
350
100
1,000
200
23,850
o
3,000
103,546
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PLANNING AND DEVELOPMENT
CIVIL DISASTER
04
124
-------------------------------------------------------------------------
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
o
o
o
o
MATERIALS & SUPPLIES
o
o
o
o
OTHER SERVo & CHGS.
2,568
o
o
o
CAPITAL OUTLAYS
o
o
o
o
TOTAL DIVISION
2,568
o
o
o
PERSONNEL
SCHEDULE
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
AUTHORIZED PERSONNEL
o
o
NOTE: The Civil Disaster Division was transferred from Planning &
Development to Police in 1991.
60
DIVISION
DETAIL
FUND GENERAL
DEPT. PLANNING & DEVELOPMENT
DIV. CIVIL DISASTER
01
04
124
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
TOTAL PERSONAL SERVICES
o
o
o
o
650
TOTAL MATERIALS/SUPPLIES
o
o
o
o
700
------
704 Contractual Services 2,505 0 0 0
799 Misc. Services & Charges 63 0 0 0
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 2,568 0 0 0
800
------
805 Communications Equipment 0 0 0 0
807 Fleet Replacement 0 0 0 0
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 0 0 0 0
------TOTAL CIVIL DISASTER 2,568 0 0 0
NOTE: The Civil Disaster Division was transferred from Planning &
Development to Police in 1991.
61
FUND
GENERAL
DEPT.
POLICE
DEPARTMENT
SUMMARY
01
05
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS AND SUPPLIES
OTHER SERVICES & CHARGES
CAPITAL OUTLAYS
TOTAL DEPARTMENT
2,840,549
45,299
178,351
97,065
3,161,264
2,933,807
56,146
246,854
169,197
3,406,004
3,051,806
55,632
216,240
168,441
3,492,119
3,144,386
72,885
349,087
115,211
3,681,569
-------------------------------------------------------------------------
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Chief of Police 1
Division Commander 2
Police Lieutenant 5
Police Sergeant 6
Senior Police Officer 3
Police Officer I & II 41
Senior Secretary 3
Emergency Services Spec. 9
Police Records Supervisor1
Police Records Clerk 7
Animal/Park Enforcement 1
Supervisor
Animal/Park Enforcement 4
Officer I
Communications Supervisor1
Secretary 1
AUTHORIZED PERSONNEL
23
20
18
14
11
9-10
5
5
9
3
9
6
9
3
85
3756-5258
3385-4739
3138-4393
2643-3700
2272-3181
2025-3010
1530-2142
1530-2142
2025-3010
1283-1796
2025-3010
1653-2314
2025-3010
1283-1796
62
1
2
5
6
3
41
3
9
1
7
1
23
20
18
14
11
9-10
5
5
9
3
9
4
6
1
1
9
3
85
3756-5258
3385-4739
3138-4393
2643-3700
2272-3181
2025-3010
1530-2142
1530-2142
2025-3010
1283-1796
2025-3010
1653-2314
2025-3010
1283-1796
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Police
Police Chief
PROGRAM DESCRIPTION
Provides active, functional leadership, command, direction and control
over pOlice services for the City of Wheat Ridge. The Police Chief has
the responsibility to provide the most professional, up to date
community policing services possible, while maximizing these services
in the most cost effect~ve manner available within resource
limitations.
PROGRAM OBJECTIVES
1. Accurately determine needed resources to accomplish program goals
and objectives.
2. Through active participation in community affairs, continue to
improve communications to citizens regarding the function of the
Police Department, and solicit input from the community on the
improvement of police services.
3. Continue emphasis on automation to improve police efficiency in the
areas of investigative support, personnel allocation, records
processing, dispatch assistance, and overall officer and citizen
safety.
4. Continue to update and professionally compile policy directives for
all divisions and sections of the department.
5. Coordinate and facilitate delivery of services between divisions
within the department and the various programs.
63
FUND
DEPT.
DIV.
GENERAL
POLICE
POLICE CHIEF
DIVISION
SUMMARY
01
05
201
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
122,546
5,910
82,443
942
211,841
122,446
7,783
105,700
14,017
249,946
115,149
5,800
89,800
14,067
224,816
147,589
6,400
66,500
o
220,489
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Chief of Police
Police Officer II
Senior Secretary
AUTHORIZED PERSONNEL
1
1
1
23
10
5
3
3756-5258
2150-3010
1530-2142
64
1
23
1
5
2
3756-5258
1530-2142
FUND GENERAL
DEPT. POLICE
DIV. POLICE CHIEF
DIVISION
DETAIL
01
05
201
Object Account Classification
-----------------------------------------------------------------------
Actual Budget
1990 1991
Estimated Proposed
1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
604 Deferred Compensation
605 Extra Duty
606 Auto Allowance
610 Overtime & Premium Pay
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
633 Police Retirement Expense
100,928
2,000
o
2,400
843
5,683
6,943
920
2,829
100,381
2,008
o
2,400
935
5,883
7,222
934
2,683
94,133
2,112
o
2,400
935
6,142
6,825
971
1,631
77,385
2,120
51,216
2,700
o
5,920
7,273
975
o
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
147,589
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
655 Postage Costs
660 Operating Supplies
662 Vehicle & Equip Parts
122,546
807
471
2,405
2,227
o
122,446
1,383
o
2,000
2,600
1,800
115,149
1,200
o
2,000
2,600
o
1,400
o
2,200
2,800
o
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
6,400
700
702 Conference & Mtg. Exp.
706 Dues, Books & Subscrp.
728 Training
741 Uniform Allowance
750 Professional Services
755 Computer Software
759 Telephone Expense
776 Other Equipment Maint.
799 Misc. Services & Charges
5,910
1,748
3,758
20,082
600
6,720
o
4,352
45,059
124
7,783
4,500
4,600
20,700
600
21,600
o
7,200
46,200
300
5,800
4,300
4,600
19,200
600
7,600
o
7,000
46,200
300
2,300
2,300
o
o
52,800
1,000
7,200
600
300
TOTAL OTHER SERVo & CHGS.
---------- --------- --------- ---------
66,500
800
802 Office Furn. & Equip.
807 Fleet Replacement
809 Other Major Equipment
82,443
942
o
o
105,700
517
12,000
1,500
89,800
517
12,000
1,550
o
o
o
TOTAL CAPITAL OUTLAYS
---------- --------- --------- ---------
o
------TOTAL PD- CHIEF
942
211,841
65
14,017
249,946
14,067
224,816
220,489
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Police
Administrative Services
PROGRAM DESCRIPTION
To provide the Police Department and the City of Wheat Ridge with
quality services in the areas of written policy updates, internal
affairs investigations, updated field training, state accreditation and
background investigations on new hires. To provide polygraph
examinations for new hires as well as for ongoing criminal
investigations wi thin the Department. Provide assistance as needed
wi thin other areas in the Police Department and encourage increased
community involvement in Police Department Programs.
PROGRAM OBJECTIVES
1. Develop new Policy Directives, and update out directives as needed
according to state accreditation mandate.
2. Conduct Internal Affairs Investigations as assigned by the Chief of
Poi1ce or his designee.
3. ContinuOUSly update the current Field Training Manual used by the
Department according to Field Training Evaluation Program
specifications.
4. Conduct bi-weekly Field Training Officer meetings.
5. Achieve State Accreditation.
6. Conduct extensive background investigations on new hires for the
Police Department.
7. Administer polygraph examinations to new hires and to subjects
involved in ongoing criminal investigations as needed.
8. Assist other divisions within the Police Department as needed.
9. Implement a Community Oriented Policing approach to Law
Enforcement.
10. Initiate Community Programs to provide improved communication
between the citizens and police.
66
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE
ADMIN.SERV. SUPPORT
05
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
PERSONAL SERVICES
836,994
22,687
871,809
19,814
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
16,180
44,631
CAPITAL OUTLAYS
21,210
16,330
TOTAL DIVISION
897,071
952,584
202
ESTIMATED
1991
972,404
18,630
44,709
15,447
1,051,190
PROPOSED
1992
183,615
22,793
24,020
6,225
236,653
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
------------------------------------------------------------------------
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
SALARY RANGE
1992
------------------------------------------------------------------------
Division Commander 1 20 3385-4739
Police Lieutenant 1 18 3138-4393
Police Sergeant 2 14 2643-3700
Senior Police Officer 2 11 2272-3181
Police Officer II 9 10 2150-3010
Police Records Supr. 1 9 2025-2835
Senior Secretary 1 5 1530-2142
Police Records Clerk 7 3 1283-1796
Secretary 1 3 1283-1796
AUTHORIZED PERSONNEL 25
67
1
1
1
20
18
14
1
4
5
3385-4739
3138-4393
2643-3700
2272-3181
2150-3010
2025-2835
1530-2142
1283-1796
1283-1796
DIVISION
DETAIL
FUND GENERAL 01
DEPT. POLICE 05
DIV. POLICE ADMINISTRATIVE SERVICES
202
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
603 Longevity
610 Overtime Pay
614 Standby Pay
618 Court Pay
620 FICA Expense Employer
622 Health and Life Insurance
625 Medicaid Portion FICA
630 Retirement Expense
633 Police Retirement Expense
640 Outside Personal Service
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
655 Postage Costs
660 Operating Supplies
662 Vehicle & Equip Parts
659,683
14,379
35,016
6,217
7,363
12,125
48,151
o
5,008
49,052
o
836,994
3,384
11,314
17
7,972
o
682,249
14,669
29,435
6,375
6,119
14,155
62,607
o
6,035
50,165
o
871,809
3,500
8,229
o
4,685
3,400
771,606
12,517
33,800
3,500
5,300
23,854
67,029
100
9,788
44,910
o
972,404
2,900
7,100
o
5,230
3,400
150,180
4,727
298
o
100
1,482
12,372
o
775
13,081
600
183,615
600
17,955
o
248
3,990
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
22,793
700
702 Conferences & Meetings
704 Contractual Services
706 Dues, Books & Subsciption
728 Training
730 Uniforms/Protect. Cloth.
741 Uniform Allowance
750 Professional Services
758 Rentals and Leases
759 Telephone Expense
776 Other Equipment Maint.
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
802 Office Furn. & Equip.
804 Engr. & Photo Equip.
805 Communications Equipment
807 Fleet Replacement
808 Capital Leases
809 Other Major Equipment
TOTAL CAPITAL OUTLAYS
------TOTAL SUPPORT SERVICES
22,687
o
o
o
o
o
8,850
o
1,728
o
2,761
2,841
16,180
3,427
o
5,547
10,752
o
1,484
21,210
897,071
68
19,814
o
o
o
o
1,090
3,600
6,060
25,997
o
4,084
3,800
44,631
5,655
1,425
4,400
o
2,900
1,950
16,330
18,630
o
o
o
o
1,052
6,600
6,060
25,997
o
2,500
2,500
44,709
5,410
1,100
4,183
o
2,900
1,854
952,584 1,051,190
15,447
1,000
3,700
1,000
600
o
1,800
8,130
4,800
2,590
100
300
24,020
o
o
o
o
o
6,225
6,225
236,653
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
Police
PROGRAM
A.P.E.O.
PROGRAM DESCRIPTION
To provide the citizens of Wheat Ridge with proactive patrol of the
City to include the City's parks, open space areas, trails, lakes, and
enforcing the City Ordinances as appropriate.
To provide protection and monitor the natural resources. To provide
interpretive programs, speeches, and tours for various community groups
regarding the parks, open space areas, and animal care and safety.
PROGRAM OBJECTIVES
1. Patrol the City including City parks, open space areas and trails
via vehicle, bicycle or foot.
2. Continue emphasis on impounding dogs and other animals which are
vicious, running at large, or abandoned and pose a danger to the
community.
3. Investigate all animal bites that are reported.
4. Enforce violations of City ordinances as appropriate i.e., animal
cruelty cases, public animal complaints, rules and regulations
governing parks, greenbelt, and recreation areas.
5. Confine and transport sick or injured animals to a veterinarian.
6. Assist the shelter in euthanizing and disposing of animal
carcasses.
7. Monitor wildlife and design wildlife management programs. Trap and
relocate/dispose of problem wildlife in a humane manner.
8. Prepare and present public education programs concerning nature
presentations, animal care and safety, and historical sites. This
includes tours and hikes for school groups, social groups and
citizens.
9. Inspect and issue kennel licenses and exotic animal permits.
10. Return lost pets to their rightful owners.
11. Expand our volunteer program regarding the Animal/Parks Enforcement
Unit in areas of nature hikes and tours.
PERFORMANCE INDICATORS
INDICATOR
Animal Impoundments
Violation/Warnings Issued
Animals Released to Owners
Animal Bites Investigated
Animal Carcasses Disposed Of
Traps Loaned to Citizens
Summons' Issued
Tours/People
1990
ACTUAL
431
428
436
79
273
91
147
34/974
69
1991
ESTIMATED
475
475
350
50
300
100
200
60/1500
1992
PROJECTED
500
500
450
75
300
100
200
60/1500
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE 05
ANIMAL/PARKS ENFORCEMENT
203
CLASSIFICATION
------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
------------------------------------------------------------------------
PERSONAL SERVICES
1,666,782
10,297
58,247
71,859
1,807,185
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
1,698,173
20,548
81,431
131,362
1,931,514
1,747,007
27,902
68,429
131,439
1,974,777
134,538
3,915
8,285
30,725
177,463
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
------------------------------------------------------------------------
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
SALARY RANGE
1992
Division Commander 1 20 3385-4739 3385-4739
Police Lieutenant 4 18 3138-4393 3138-4393
Police Sergeant 3 14 2643-3700 2643-3700
Police Officer I & II 27 9-10 2025-3010 2025-3010
Animal/Park Enforce- 1 9 2025-2835 1 8 1900-2660
ment Supervisor
Animal/park Enforce- 4 6 1653-2314 4 6 1653-2314
ment Officer I
Communications Spvsr 1 9 2025-2835 2025-2835
Emerg Services Spec 9 5 1530-2142 1530-2142
Senior Secretary 1 5 1530-2142 1530-2142
AUTHORIZED PERSONNEL 51 5
70
FUND GENERAL
DEPT. POLICE
DIV. APEO
DIVISION
DETAIL
01
05
203
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602
603
610
614
618
620
622
625
630
633
640
650
Salaries and Wages
Longevity
Overtime Pay
Standby Pay
Court Pay
FICA Expense Employer
Health and Life Insurance
Medicare Portion FICA
Retirement Expense
Police Retirement Expense
Outside Personal Services
1,346,105
16,058
39,644
o
24,335
23,908
98,859
7,089
8,934
101,850
o
1,355,069
15,779
35,497
o
23,107
23,682
121,633
7,027
12,105
103,044
1,230
1,357,763
17,033
85,414
1102
23,750
15,666
117,465
8,500
5,327
114,777
210
106,561
o
1,500
o
720
8,267
13,626
o
3,864
o
o
---------- --------- --------- ---------
TOTAL PERSONAL SERVICSS 1,666,782 1,698,173 1,747,007
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
660 Operating Supplies
662 Vehicle & Equip Parts
TOTAL MATERIALS/SUPPLIES
700
704 Contractual Services
706 Dues, Books & Subscript.
720 Veterinary Services
728 Training
730 Uniforms/Protect. Cloth.
741 Uniform Allowance
743 Volunteers
750 Professional Services
755 Computer Software
758 Rentals & Leases
759 Telephone Expense
776 Other Equipment Maint.
796 Emergency Reserve Exp
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
802 Office Furn. & Equip.
805 Communications Equipment
807 Fleet Replacement
809 Other Major Equipment
811 Building Improvements
1,436
3,694
5,167
o
10,297
o
o
413
o
9,811
20,675
o
3,266
o
o
o
22,102
1,867
113
58,247
790
2,067
66,419
723
1,860
1,568
4,835
4,755
9,390
20,548
2,994
o
275
665
13,057
30,210
o
5,250
2,400
o
o
21,580
4,500
500
81,431
500
3,150
99,051
27,817
844
2,850
8,100
7,100
9,852
27,902
2,994
o
275
o
13,980
22,800
o
2,400
1432
1840
o
17,500
4,500
708
68,429
500
3,150
99,128
27,817
844
134,538
250
o
1,390
2,275
3,915
o
100
300
3,075
3,410
800
500
o
o
o
100
o
o
o
8,285
o
o
28,000
2,725
o
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS
------TOTAL OPERATIONS
71,859 131,362 131,439
1,807,185 1,931,514 1,974,777
71
30,725
177,463
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Police
Administrative
(Communications)
PROGRAM DESCRIPTION
Provide the citizens of the community with a professionally staffed
Communications Center that utilizes highly skilled and dedicated
personnel to provide dispatch operations for police, fire, emergency
medical service and animal/parks enforcement.
PROGRAM OBJECTIVES
1. Receive and dispatch calls for service in a timely, orderly and
expeditious manner when necessary.
2. Provide referral and direction to callers requiring information or
resources other than police, fire, medical or animal control.
3. Perform computer information inquiries and entries for department
personnel. Monitor and update as necessary, information into the
computer aided dispatch system.
4. Support department personnel by providing information obtained from
computerized, manual and telephone methods.
5. Maintain numerous computer data base accounts, insuring they
contain accurate and current resource information.
6. Increase the overall efficiency of Communications through
automation and mechanization.
7. Promote and maintain effective working relationships within the
department and adjacent agencies.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Department Reports for
Service Handled 23,985 24,500 25,000
Incoming/Outgoing
Telephone Calls 71 , 000 72,500 73,000
Emergency Calls Received/
Dispatched < 1 min. < 1 min. < 1 min.
72
FUND
DEPT.
DIV.
GENERAL 01
POLICE
COMMUNICATIONS
DIVISION
SUMMARY
05
204
CLASSIFICATION
------------------------------------------------------------------------
PROPOSED
1992
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
195,815
4,217
18,879
2,321
221,232
210,217
5,001
7,342
7,488
230,048
184,618
260,060
3,975
30,140
14,811
308,986
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
300
5,000
7,488
197,406
POSITION TITLE
------------------------------------------------------------------------
SALARY RANGE
1992
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
------------------------------------------------------------------------
Police Sergeant 1
Sr. Police Officer 1
Police Officer I & II 3
Communication Spvsr.
Emerg. Services Spec
AUTHORIZED PERSONNEL
14
11
9-10
5
2643-3700
2272-3181
2025-3010
1
9
9
5
10
73
2643-3700
2272-3181
2025-3010
2025-2835
1530-2142
DIVISION
DETAIL
FUND GENERAL
DEPT. POLICE
DIV. COMMUNICATIONS
01
05
204
Object Account Classification Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 159,460 157,877 137,498 205,568
603 Longevity 3,466 3,471 1,717 0
610 Overtime Pay 4,256 5,796 5,796 5,900
614 Standby Pay 0 8,037 8,037 0
618 Court Pay 2,273 6,174 6,174 300
620 FICA Expense Employer 0 0 0 16,200
622 Health and Life Insurance 10,643 13,074 11,481 25,594
630 Retirement Expense 0 0 0 6,498
633 Police Retirement Expense 15,717 15,788 13,915 0
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 195,815 210,217 184,618 260,060
650
------
651 Misc. Office Supplies 276 300 0 250
654 Photocopy & Printing Exp. 1,500 2,391 0 0
660 Operating Supplies 2,441 2,010 0 3,725
662 Vehicle & Equip Parts 0 300 300 0
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 4,217 5,001 300 3,975
700
------
706 Dues, Books & Subscript. 0 0 0 160
728 Training 217 0 0 2,400
730 Uniforms/Protect. Cloth. 1,819 2,610 0 0
741 Uniform Allowance 3,000 3,000 3,000 0
755 Computer Software 0 790 0 0
759 Telephone Expense 0 0 0 2,800
772 Fleet Repair/Mtce. 12,788 0 1,000 0
776 Other Equipment Maint. 1,055 942 1,000 24,580
799 Misc Services & Charges 0 0 0 200
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 18,879 7,342 5,000 30,140
800
------
802 Office Furniture & Equip. 0 0 0 650
805 Communications Equipment 0 0 0 6,661
807 Fleet Replacement 0 6,000 6,000 0
809 Other Major Equipment 2,321 1,488 1,488 7,500
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 2,321 7,488 7,488 14,811
------TOTAL COMMUNICATIONS PROG 221,232
230,048 197,406 308,986
74
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Police
Administration
(D.A.R.E. )
PROGRAM DESCRIPTION
Provide the opportunity for elementary aged children to be exposed to,
and participate in, a professional, nationally recognized Drug Abuse
Resistance and Education program. Maintain the program in the 1991/1992
school year by providing one specifically trained D.A.R.E. Officer to
coordinate the program, and operate the program with adequate and
appropriate resources from both public funding and private donations.
PROGRAM OBJECTIVES
1. Provide the necessary resources, equipment, facilities and properly
trained staff to establish a quality, professional D.A.R.E. program
in Wheat Ridge elementary schools.
2. Provide the initial D.A.R.E. program in all six Wheat Ridge public
elementary schools, with possibilities for expansion into parochial
and junior high schools.
3. Develop and maintain a network of citizen volunteers and assistants
to perpetuate the program throughout the community.
4. Maintain the Wheat Ridge D.A.R.E. Foundation, which provides
necessary private funding resources and fund raising support.
5. Conduct visitation and follow up visits to classes not currently
involved in D.A.R.E. classes.
6. Initiate family involvement and information workshops for school
involved in the D.A.R.E. Program.
7. Implement Community Oriented Policing into the D.A.R.E. Program and
family involvement.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Total Schools Served 3 6 6
Total Students
Completing Program 725 900 1,050
Meetings with D.A.R.E.
Foundation 10 12 12
Follow up visitations 0 18 24
Involvement/Information
Workshops 7 12 18
Community Programs 0 0 12
7S
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE
D.A.R.E. PROGRAM
05
205
------------------------------------------------------------------------
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
------------------------------------------------------------------------
OTHER SERVo & CHGS.
2,750
32,628
3,000
3,302
33,053
PERSONAL SERVICES
18,412
31,162
MATERIALS & SUPPLIES
2,188
3,000
1,355
2,602
2,345
CAPITAL OUTLAYS
733
o
o
o
TOTAL DIVISION
23,935
36,912
38,930
36,753
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
------------------------------------------------------------------------
POSITION TITLE
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
SALARY RANGE
1992
------------------------------------------------------------------------
Police Officer II
1
10 2150-3010
1
10
2150-3010
AUTHORIZED PERSONNEL
1
1
NOTE: The D.A.R.E. Program was created in 1990.
76
DIVISION
DETAIL
FUND GENERAL
DEPT. POLICE
DIV. D.A.R.E. PROGRAM
01
05
205
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 15,723 25,670 27,174 27,212
610 Overtime Pay 265 800 900 800
618 Court Pay 0 0 0 200
622 Health and Life Insurance 941 2,125 1,847 2,120
633 Police Retirement Expense 1,483 2,567 2,707 2,721
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 18,412 31,162 32,628 33,053
650
------
651 Misc. Office Supplies 1,340 500 500 100
654 Photocopy & Printing Exp. 848 2,000 2,000 0
660 Operating Supplies 0 500 500 255
662 Vehicle & Equip Parts 0 0 0 1,000
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 2,188 3,000 3,000 1,355
700
------
702 Conference & Meeting Exp. 0 1,500 1,500 500
706 Dues, Books & Subscr. 0 150 150 425
728 Training 0 200 200 500
741 Uniform Allowance 150 150 600 600
759 Telephone Expense 0 750 750 100
772 Fleet Repair/Mtce. 1,399 0 39 0
776 Other Equipment Maint 0 0 0 20
799 Misc Services & Charges 1,053 0 63 200
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 2,602 2,750 3,302 2,345
800
------
TOTAL CAPITAL OUTLAYS 733 0 0 0
------TOTAL D.A.R.E. PROGRAM 23,935 36,912 38,930 36,753
NOTE: The D.A.R.E. Program was created in 1990.
77
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
PROGRAM
DEPARTMENT
Police
Records
PROGRAM DESCRIPTION
The Records Bureau is the record repository and public service agency
for the Wheat Ridge Police Department. Retains, corrects, verifies and
updates the CCIC/NCIC/WRCIC data base. Provides records information,
data analysis and management information for various agencies and the
public.
PROGRAM OBJECTIVES
1. Process and maintain all police reports and related documents.
2. Provide the public, government, other criminal justice agencies and
in-house personnel with police reports, management information, on-
line computer information and other related services.
3. Perform bonding functions for all law enforcement agencies and all
bookkeeping/billing functions for appropriate municipal ordinances.
4. Process all Wheat Ridge Municipal and Jefferson County warrants for
service.
5. Continue to develop and implement improved automated procedures to
provide accurate data for crime analysis and records processing.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATORS ACTUAL ESTIMATED PROJECTED
Report Requests:
Paid 2,119 2,400 2,500
CJA 1,852 1,900 1,950
CCIC/NCIC entry/query 22,850 22,600 22,750
Reports Processed 23,985 24,000 24,200
Warrants 2,082 2,117 2,189
Bonding 269 280 300
Alarm Bookkeeping 1,173 1,200 1,230
Alarm Billings 124 130 134
Microfilming (# of documents) 42,300 42,890 42,270
Citizen Fingerprinting 22 250 250
78
FUND
DEPT.
DIV.
GENERAL 01
POLICE
POLICE RECORDS
DIVISION
SUMMARY
05
206
CLASSIFICATION
------------------------------------------------------------------------
BUDGET
1992
ACTUAL
1990
BUDGET
1991
REVISED
1991
------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
o
o
o
o
o
o
o
o
o
o
o
190,701
1,548
72,010
o
o
o
16,250
o
280,509
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
Auth/Grade
No.
Pol. Records Super
Pol. Records Clerk
AUTHORIZED PERSONNEL
o
SALARY RANGE Auth/Grade
1991 No.
79
1
7
8
9
3
SALARY RANGE
1992
2025-2835
1283-1796
FUND GENERAL
DEPT. POLICE
DIV. POLICE RECORDS
DIVISION
DETAIL
01
05
206
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
610 Overtime Pay
617 Temp. Personnel - Hourly
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
660 Operating Supplies
TOTAL MATERIALS/SUPPLIES
700
728 Training
730 Uniforms/Protect. Cloth.
750 Professional Services
752
755 Computer Software
759 Telephone Expense
776 Other Equipment Maint.
TOTAL OTHER SERVo & CHGS.
800
808 Capital Leases
809 Other Major Equipment
TOTAL CAPITAL OUTLAYS
------TOTAL POLICE RECORDS
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
147,903
1,510
1,950
11,579
21,843
5,916
--------- --------- --------- ---------
80
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
190,701
o
o
1,000
548
o
1,548
o
o
o
o
o
o
o
2,095
250
9,536
1,440
3,895
100
54,694
o
72,010
o
o
2,900
13,350
o
16,250
o
280,509
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
Police
PROGRAM
Training
Uniforms/Equipment
Public Information
PROGRAM DESCRIPTION
To provide for the basic, field and advanced
civilian members of the police department.
the uniforms and equipment necessary to
assigments. To provide information to the
the Wheat Ridge Police Department.
training of both sworn and
To provide officers with
perform their respective
media on the activities of
PROGRAM OBJECTIVES
1. To provide police personnel with current training on new laws,
technological improvements and revisions in agency policy,
procedure, rules and regulations.
2. To provide retraining and recertification in areas requiring
demonstrated proficiency on a regular basis, such as CPR, first
aid, defensive driving, defensive tactics, use of force, firearms
and intoxi1izer.
3. To provide members with advanced training opportunities in
preparation for job rotation, or to enhance career development.
4. To provide training which will meet state requirements for
accreditation.
5. To provide basic level training for new recruits which meets
P.O.S.T. requirements for state certification as Peace officers.
6. To document all training provided.
7. To ensure that the best possible quality of uniforms and equipment
are purchased within the limitations of the budget.
8. To review equipment standards annually and redefine the standards
as necessary based on new technology and changing safety
considerations.
PERFORMANCE INDICATORS
INDICATOR
Total Training Hours
(In service and Advanced)
Average # of Hrs/Officer
Total In-Service Training
Total Other Adv. Training
Training Records Maintained
In-Service Training Classes
Provided to meet State
Accreditation Requirements
Advanced Training
Opportunities Provided
Recruits Attending Basic
Level Police Academies
Training Bulletins Produced
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
4,600
81
996
3,604
85
4,800
87
1,100
3,650
85
4,800
87
1,200
3,650
86
13
28
25
191
175
180
3
11
8
8
6
10
81
DIVISION
DETAIL
FUND GENERAL
DEPT. POLICE
DIV. POLICE TRAINING
01
05
207
-----------------------------------------------------------------------
Object Account Classification Actual Budget Estimated Proposed
1990 1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 0 0 0 28,441
610 Overtime Pay 0 0 0 2,043
618 Court Pay 0 0 0 193
622 Health and Life Insurance 0 0 0 2,134
633 Police Retirement Exp 0 0 0 2,844
--------- --------- --------- ---------
TOTAL PERSONAL SERVICES 0 0 0 35,655
650
------
651 Misc. Office Supplies 0 0 0 478
657 Department Range Supplies 0 0 0 6,240
660 Operating Supplies 0 0 0 647
-------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 0 0 0 7,365
700
------
728 Training 0 0 0 15,000
730 Uniforms/Protect. Cloth. 0 0 0 14,730
741 Uniform Allowance 0 0 0 600
759 Telephone Expense 0 0 0 100
776 Other Equipment Maint. 0 0 0 50
799 Misc Serices & Charges 0 0 0 200
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 0 0 0 30,680
800
------
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 0 0 0 0
---u-TOTAL POLICE TRAINING 0 0 0 73,700
82
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE
POLICE TRAINING
CLASSIFICATION
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
POSITION TITLE
Police Officer II
AUTHORIZED PERSONNEL
ACTUAL
1990
o
o
o
o
o
PERSONNEL
SCHEDULE
Auth/Grade
No.
o
05
BUDGET
1991
207
REVISED
1991
o
o
o
o
o
SALARY RANGE Auth/Grade
1991 No.
83
1
1
10
BUDGET
1992
o
35,655
7,365
30,680
o
o
o
o
o
73,700
SALARY RANGE
1992
2150-3010
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
Police
PROGRAM
Operations Division
PROGRAM DESCRIPTION
To provide the citizens of Wheat Ridge with responsive, proactive, and
professional law enforcement, through the utilization of a visible,
well equipped, highly trained, disciplined and motivated, uniformed
police patrol throughout the city, taking discretionary abatement
measures, and active enforcement action against those who violate the
laws, as required.
To respond to the public safety needs of the citizens of Wheat Ridge,
as partners, in maintaining a desired quality of life in our community.
To cause the accurate reporting of crimes and traffic accidents which
occur within the City of Wheat Ridge and to investigate them thoroughly
in an attempt to bring the perpetrator and/or violator of the law to
justice.
To provide the necessary police field support units which are
specifically trained in a wide variety of recognized police tactics to
quell any disturbance or situations which pose an immediate threat to
human life or property.
To provide the City of Wheat Ridge with skilled, motivated, well
trained and properly equipped criminal investigators (detectives), who
are capable of handling any type of reported or discovered criminal
activity.
To provide the City of Wheat Ridge with a state certified Reserve
Police Officers Unit to lend support to the paid police personnel, as
well as the citizens at a wide variety of public and civic events.
To provide the City of Wheat Ridge with an Emergency Preparedness
Program, which includes the specific training of city personnel to
respond to any emergency within the city and carry out the requirements
of the program.
PROGRAM OBJECTIVES
1. Development of middle managers and field supervisors to help them
accept their role in the organization.
2. Raise morale and performance levels through active involvement of
personnel in decision making.
3. Develop internal and individual discipline programs to reduce
incidents of pOlice/public conflict.
4. Upgrade the City of Wheat Ridge Emergency Preparedness Plan.
5. Provide for the professional administration and management of all
components of the Police Department Operations Division.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Turnover Rate 11% 23% 15%
Management Training
Presented/Attended unk 6 12
Presentation of Emergency
Plan Document N/A Draft Plan Final Plan
84
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE 05
OPERATIONS ADMINISTRATION
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
210
REVISED
1991
BUDGET
1992
------------------------------------------------------------------------
PERSONAL SERVICES
o
MATERIALS & SUPPLIES
o
OTHER SERVo & CHGS.
o
CAPITAL OUTLAYS
o
TOTAL DIVISION
o
o
o
o
o
o
o
147,044
11,310
28,766
o
o
o
o
o
187,120
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
------------------------------------------------------------------------
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
SALARY RANGE
1992
------------------------------------------------------------------------
Division Commander
Police Lieutenant
Senior Secretary
AUTHORIZED PERSONNEL
o
85
1
1
1
3
20
18
5
3385-4739
3138-4393
1530-2142
FUND GENERAL 01
DEPT. POLICE
DIV. POLICE OPERATIONS ADMIN
Object Account Classification
DIVISION
DETAIL
Actual
1990
05
210
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
603 Longevity Pay
610 Overtime Pay
620 FICA Expense Employer
622 Health and Life Insurance
630 CCOERA Retirement Exp
633 Police Retirement Exp
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
660 Operating Supplies
662 Vehicle & Equipment PR
TOTAL MATERIALS/SUPPLIES
700
702 Conferences & Meetings
706 Dues, Books & Subscript
730 Uniforms/Protect. Cloth.
741 Uniform Allowance
750 Professional Services
758 Rentals & Leases
759 Telephone Expense
776 Other Equipment Maint.
799 Misc Serices & Charges
TOTAL OTHER SERVo & CHGS.
800
TOTAL CAPITAL OUTLAYS
------TOTAL OPERATIONS ADMIN.
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
118,836
4,723
750
1,865
10,449
975
9,446
--------- --------- --------- ---------
86
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
147,044
o
o
o
4,200
6,910
200
o
11,310
o
o
o
o
o
o
o
o
o
1,500
1,901
8,315
1,200
7,500
2,150
4,700
1,000
500
o
28,766
o
o
o
187,120
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
Police
PROGRAM
Operations -
(Patrol)
PROGRAM DESCRIPTION
To provide the citizens of Wheat Ridge with the highest quality of law
enforcement possible.
PROGRAM OBJECTIVE
1. Continue to provide emergency response times not to exceed three
and one-half minutes and non-emergency response not to exceed
fifteen minutes.
2. Promote and re-deve1op our Police Peserve program.
3. Develop our mid-level managers and street supervisors to help
accept their role in current organizational structure.
4. Continue to improve upon our Community Oriented Policing ideals and
promote better, more personal interaction between the police
officers and the citizens/businesses of Wheat Ridge.
5. Review and improvement of our current specialized units, with
continued emphasis on training and practical exercises.
6. Promote team building, by involving department personnel in the
problem solving and decision making process, thereby raising the
morale and performance of personnel.
7. Become more pro-active towards suspicious and criminal activities.
8. Provide professional assistance during crisis/critical situations
with specially trained personnel (i.e. Tactical Unit, Traffic Unit,
Reserve Unit).
9. Effectively deploy and utilize our personnel to best meet the needs
of the citizens of Wheat Ridge and the police department, through
research of our deployment assessment needs.
PERFORMANCE INDICATORS
INDICATOR
Number of Calls for
Services Handled
Number of Accidents Investigated
Arrests - Bookings/Cites
DUI Cases
Traffic Citations
Suspicious Persons Contacted
Emergency Response Times
Overtime (Hours)
Citizen/Business Contacts
1990
ACTUAL
23,985
1,186
3,846
536
8,434
1,100
2:50 min
2,824
-0-
87
1991
ESTIMATED
24,180
1,200
3,200
408
6,372
1,000
3:30 min
2,900
-0-
1992
PROJECTED
25,200
1,200
3,700
450
8,000
1,300
3:30 min
2,500
2,500
FUND
DEPT.
DIV.
GENERAL
POLICE
POLICE PATROL
CLASSIFICATION
01
ACTUAL
1990
DIVISION
SUMMARY
05
BUDGET
1991
211
REVISED
1991
BUDGET
1992
------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
POSITION TITLE
Police Lieutenant
Police Sergeant
Police Officer I & II
AUTHORIZED PERSONNEL 0
o
o
o
o
o
PERSONNEL
SCHEDULE
Auth/Grade
No.
o
o
o
o
o
SALARY RANGE Auth/Grade
1991 No.
88
2
3
27
18
14
9-10
32
o
1,203,521
6,841
27,380
27,700
o
o
o
o
1,265,442
SALARY RANGE
1992
3277-4587
2760-3864
2114-3103
FUND GENERAL
DEPT. POLICE
DIV. POLICE PATROL
DIVISION
DETAIL
01
05
211
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
603 Longevity Pay
610 Overtime Pay
618 Court Pay
622 Medical/Dental Insurance
625 Medicare Portion FICA
633 Police Retirement Exp
TOTAL PERSONAL SERVICES
650
660 Operating Supplies
662 Vehicle & Equipment PR
TOTAL MATERIALS/SUPPLIES
700
741 Uniform Allowance
776 Other Equipment Maint.
TOTAL OTHER SERVo & CHGS.
800
804 Engineering & Photo Equip
805 Communications Equip
807 Fleet Replacement
809 Other Major Equip
TOTAL CAPITAL OUTLAYS
------TOTAL OPERATIONS
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
925,510
9,320
44,400
23,328
99,912
8,500
92,551
--------- --------- --------- ---------
o
o
o
o
o
o
o 1,203,521
o
o
2,741
4,100
-------- --------- --------- ---------
89
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
6,841
o
o
23,400
3,980
o
27,380
o
o
o
o
1,000
360
17,000
9,340
o
27,700
o 1,265,442
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT PROGRAM
Police Criminal Investigations Bureau
PROGRAM DESCRIPTION
To provide for the thorough investigation of all felony crime reports,
including around the clock response, investigation and scene processing
of serious crimes at the request of the Patrol Watch Supervisor. To
identify, arrest and successfully prosectue those persons committing
crimes in Wheat Ridge and recover stolen property and contraband. To
locate and arrest fugitives. To provide for the collection, storage
and processing of evidence of criminal activity.
PROGRAM OBJECTIVES
1. To continue to clear at least 40% of all cases assisgned to the
Investigations Bureau.
2. Recover property equal in value to 40% of the reported property
loss value.
3. To maintain a high rate of fugitive apprehension.
4. Maintain crime scene technical expertise through training.
5. Improve crime lab capabilities and technical expertise through
training and acquisition of updated equipment.
PERFORMANCE INDICATORS
INDICATOR
Cases Assigned to Inv.
Cases Cleared
Case Clearance Rate
Value Property Loss
Value Property Recovery
Recovery Rate
Fugitive Cases Assigned
Fugitive Apprehensions
Warrant Clearance Rate
1990
ACTUAL
2,000
912
46%
$1,776,561
$776,038
44%
2,190
1,961
90%
1991
ESTIMATED
2,050
980
48%
$3,000,000
$1,350,000
45%
2,140
1,985
93%
CRIME LAB. PROPERTY/EVIDENCE SECTION
Lab Tests (Prints/Drugs)
Lots of Evidence Processed
Fingerprint Services Rendered
206
1,284
300
90
175
1,200
325
1992
PROJECTED
2,050
980
48%
$2,000,000
$900,000
45%
2,140
1,985
93%
150
1,200
325
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE 05
CRIMINAL INVESTIGATIONS
212
CLASSIFICATION
------------------------------------------------------------------------
BUDGET
1992
ACTUAL
1990
BUDGET
1991
REVISED
1991
------------------------------------------------------------------------
PERSONAL SERVICES
o
o
MATERIALS & SUPPLIES
o
o
OTHER SERVo & CHGS.
o
o
CAPITAL OUTLAYS
o
o
TOTAL DIVISION
o
o
o
513,572
6,353
35,050
13,500
568,475
o
o
o
o
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
------------------------------------------------------------------------
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
SALARY RANGE
1992
------------------------------------------------------------------------
Police Lieutenant 1 18 3138-4393
Police Sergeant 1 14 2643-3700
Sr. Police Officer 2 11 2272-3181
Police Officer II 7 10 2150-3010
Secretary 1 3 1283-1796
AUTHORIZED PERSONNEL 0
12
91
DIVISION
DETAIL
FUND GENERAL 01
DEPT. POLICE
DIV. CRIMINAL INVESTIGATIONS
05
212
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 0 0 0 388,996
603 Longevity 0 0 0 9,339
610 Overtime Pay 0 0 0 22,375
614 Standby Pay 0 0 0 6,800
618 Court Pay 0 0 0 6,000
620 FICA Expense Employer 0 0 0 1,275
622 Medical/Dental Insurance 0 0 0 40,888
630 CCODERA Retirement Exp 0 0 0 667
633 Police Retirement Exp 0 0 0 37,232
--------- --------- --------- ---------
TOTAL PERSONAL SERVICES 0 0 0 513,572
650
------
660 Operating Supplies 0 0 0 5,153
662 Vehicle & Equipment PR 0 0 0 1,200
-------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 0 0 0 6,353
700
------
727 Expense Reimbursement 0 0 0 300
741 Uniform Allowance 0 0 0 7,200
750 Professional Services 0 0 0 6,860
758 Rentals & Services 0 0 0 20,190
799 Misc Serices & Charges 0 0 0 500
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 0 0 0 35,050
800
------
809 Other Major Equip 0 0 0 13,500
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 0 0 0 13,500
------TOTAL INVESTIGATIONS 0 0 0 568,475
92
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Police
Operations (Traffic)
PROGRAM DESCRIPTION
Provide the citizens of Wheat Ridge with the highest quality of Police
Traffic Enforcement in crash investigations, selective traffic
enforcement, traffic management and supervision. Reduce the number of
traffic occurring through the development and implementation of
appropriate selective traffic enforcement programs.
PROGRAM OBJECTIVES
1. Continue the Traffic Unit with emphasis on selective traffic
enforcement activities.
2. The Traffic Unit will continue to work to maintain the number of
traffic crashes, in line with the 1990 estimated figures; to
analyze data reference to high collision areas; and to continue
enforcement in those areas in an endeavor to reduce the number of
traffic crashes.
3. Enforce traffic violations through selective data received from
the STEP an WRCIC computer system and review of accident reports.
4. Continue to apprise the City Traffic Engineer of possible highway
engineering problems, whenever necessary.
5. Maintain traffic related education programs to improve driver
skills and enhance community traffic safety awareness.
6. Provide emergency response time not to exceed three (3) minutes
and non-emergency response not to exceed fifteen (15) minutes.
7. Improve our Operations Division Community Relations programs by
affording more direct citizen interaction with Division personnel
(i.e.: school and public presentations, ride-along programs,
tours, more neighborhood contacts and news media articles).
8. Review and improvement of the current Traffic Unit, with continued
emphasis on training.
9. Periodic truck weight inspections with the assistance from the
State of Colorado Port of Entry personnel.
10. Continue traffic enforcement in school areas when in session.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Traffic Accident Invest. 1,186 1,200 1,200
DUI Cases 536 408 450
Traffic Citations 8,434 6,372 8,000
Reduction in Traffic Crashes 10% 3% -0-
93
FUND
DEPT.
DIV.
GENERAL
POLICE
TRAFFIC UNIT
CLASSIFICATION
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
POSITION TITLE
Sr. Police Officer
Police Officer II
AUTHORIZED PERSONNEL 0
DIVISION
SUMMARY
01
ACTUAL
1990
o
o
o
o
o
PERSONNEL
SCHEDULE
Auth/Grade
No.
05
BUDGET
1991
213
REVISED
1991
o
o
o
o
o
SALARY RANGE Auth/Grade
1991 No.
94
1
3
4
11
10
BUDGET
1992
o
176,654
530
o
o
5,770
o
6,000
188,954
o
SALARY RANGE
1992
2373-3321
2114-3103
DIVISION
DETAIL
FUND GENERAL
DEPT. POLICE
DIV. TRAFFIC UNIT
01
05
213
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 0 0 0 127,882
603 Longevity 0 0 0 1,721
610 Overtime Pay 0 0 0 7,200
614 Standby Pay 0 0 0 6,800
618 Court Pay 0 0 0 6,350
622 Medical/Dental Insurance 0 0 0 13,912
633 Police Retirement Exp 0 0 0 12,789
--------- --------- --------- ---------
TOTAL PERSONAL SERVICES 0 0 0 176,654
650
------
662 Vehicle & Equipment PR 0 0 0 530
-------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 0 0 0 530
700
------
730 Uniforms & Protective Clo 0 0 0 2,620
741 Uniform Allowance 0 0 0 2,400
776 Other Equipment Maint 0 0 0 750
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 0 0 0 5,770
800
------
807 Fleet Replacement 0 0 0 6,000
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 0 0 0 6,000
------TOTAL TRAFFIC UNIT 0 0 0 188,954
95
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Police
Special Investigations Unit
PROGRAM DESCRIPTION
To provide for a pro-active approach to drug dealing/use and vice
related crimes occurring in the City of Wheat Ridge. To identify,
arrest and successfully prosecute those persons involved. To continue
our pro-active approach by seizing property used in the commission of
felony crimes and converting this property to Police Department use.
To gather intelligence and maintain files on criminal activity within
the city through mutual cooperation with other police agencies and more
effective use of informants.
PROGRAM OBJECTIVES
1. To continue to clear at least 95% of all cases assigned to S.I.U.
2. To adequately staff and maintain the S.I.U. in order to enable it
to accomplish unit objectives.
3. To continue to provide a pro-active approach to reduce unlawful
controlled substance sale and usage.
4. To improve intelligence gathering and disemination capabilities.
5. To continue a pro-active approach to vice related crimes.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATORS ACTUAL ESTIMATED PROJECTED
Cases Assigned to S. LU. 95 75 125
Cases Cleared 91 72 120
Case Clearance Rate 96% 96% 96%
Value Property Seized $8,575 $9,000 $15,000
96
FUND
DEPT.
DIV.
GENERAL 01
POLICE
SPECIAL INVEST UNIT
DIVISION
SUMMARY
05
214
CLASSIFICATION
------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
REVISED
1991
BUDGET
1992
------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
o
o
o
118,384
o
o
o
o
o
13,691
o
o
o
o
o
o
o
132,075
o
o
------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
------------------------------------------------------------------------
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
------------------------------------------------------------------------
SALARY RANGE
1992
Police Sergeant
Police Officer II
AUTHORIZED PERSONNEL 0
1
2
3
97
14
10
2760-3864
2114-3103
FUND GENERAL
DEPT. POLICE
DIV. SPECIAL INVESTIGATIONS
DIVISION
DETAIL
01
05
214
Object Account Classification
-----------------------------------------------------------------------
Budget Estimated Proposed
1991 1991 1992
Actual
1990
600
-----------------------------------------------------------------------
602 Salaries and Wages
603 Longevity
610 Overtime Pay
618 Court Pay
622 Medical/Dental Insurance
633 Police Retirement Exp
TOTAL PERSONAL SERVICES
650
0 0 0 90,202
0 0 0 1,789
0 0 0 4,875
0 0 0 2,400
0 0 0 10,098
0 0 0 9,020
--------- --------- --------- ---------
0 0 0 118,384
-------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 0 0 0 0
700
------
727 Expense Reimbursement 0 0 0 125
741 Uniform Allowance 0 0 0 1,800
758 Rentals & Leases 0 0 0 11,266
799 Misc Services & Charges 0 0 0 500
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 0 0 0 13,691
800
------
TOTAL CAPITAL OUTLAYS
------TOTAL SPECIAL INVEST UNIT
---------- --------- --------- ---------
o
o
o
o
o
o
o
132,075
98
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Police
Office of Emergency
Preparedness
PROGRAM DESCRIPTION
The Office of Emergency Preparedness is established to aid in the
coordination of the necessary elements of City, County, state and
Federal Government, in the event of a natural, man-made or nuclear
disaster, or wide spread civil disorder.
The Office of Emergency Preparedness prepares and updates a Disaster
Plan for the City of Wheat Ridge, and assists in the training of city
personnel so that if needed the plan could be carried out effectively.
PROGRAM OBJECTIVES
1. Develop and maintain a Comprehensive Disaster Plan for the City of
Wheat Ridge.
2. Provide for the training of city personnel and elected officials
on the implementation of the cities disaster plan.
3. Provide for the training of city personnel and elected officials
in the mitigation and recovery of a city wide disaster.
4. Develop a reliable method to alert the citizens of Wheat Ridge to
a pending Emergency and educate them on how to respond in the
event of an emergency or disaster declaration.
5. Recruit and develop civilian volunteers to assist with this
program.
PERFORMANCE INDICATOR
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Development of Written Fall Present
Emergency Plan N/A (Draft) Plan
Training Sessions
Held/Attended unk 2 6
Number of Volunteers
Recruited 0 1 2
99
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE
EMERGENCY OPERATIONS
CLASSIFICATION
ACTUAL
1990
05
BUDGET
1991
215
REVISED
1991
BUDGET
1992
------------------------------------------------------------------------
PERSONAL SERVICES
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
o
o
o
o
o
o
o
o
o
o
o
o
o
500
o
4,450
o
o
o
4,950
------------------------------------------------------------------------
POSITION TITLE
PERSONNEL
SCHEDULE
Auth/Grade
No.
SALARY RANGE Auth/Grade
1991 No.
SALARY RANGE
1992
------------------------------------------------------------------------
AUTHORIZED PERSONNEL 0
100
o
FUND GENERAL
DEPT. POLICE
DIV. EMERGENCY OPERATIONS
DIVISION
DETAIL
01
05
215
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
TOTAL PERSONAL SERVICES
650
654 Photocopy & Printing Exp.
TOTAL MATERIALS/SUPPLIES
700
704 Contractual Services
728 Training
799 Misc Services & Charges
TOTAL OTHER SERVo & CHGS.
800
TOTAL CAPITAL OUTLAYS
------TOTAL EMERGENCY OPERATION
o
o
o
o
o
500
--------- --------- --------- ---------
o
o
o
o
o
o
500
2,950
1,000
500
---------- --------- --------- ---------
o
o
o
4,450
---------- --------- --------- ---------
101
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
4,950
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
POLICE
CIVIL DISASTER
05
124
-------------------------------------------------------------------------
CLASSIFICATION
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
o
o
o
o
MATERIALS & SUPPLIES
o
o
o
o
OTHER SERVo & CHGS.
o
5,000
o
5,000
o
o
CAPITAL OUTLAYS
o
o
TOTAL DIVISION
o
5,000
5,000
o
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
-------------------------------------------------------------------------
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
AUTHORIZED PERSONNEL
o
o
NOTE: The Civil Disaster Division was transferred from Planning &
Development to Police in 1991.
102
DIVISION
DETAIL
FUND GENERAL
DEPT. POLICE
DIV. CIVIL DISASTER
01
05
124
------------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
TOTAL PERSONAL SERVICES
o
o
o
o
650
TOTAl MATERIALS/SUPPLIES
o
o
o
o
700
------
704 Contractual Services 0 4,750 4,750 0
799 Misc. Services & Charges 0 250 250 0
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 0 5,000 5,000 0
800
------
805 Communications Equipment 0 0 0 0
807 Fleet Replacement 0 0 0 0
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 0 0 0 0
------TOTAL CI\7IL DIS7l~'TER 0 5,000 5,000 0
NOTE: The Civil Disaster Division was transferred from Planning &
Development to Police in 1991.
103
DEPARTMENT
SUMMARY
FUND
GENERAL
01
06
DEPT.
PUBLIC WORKS
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
1,047,438
1,075,187
MATERIALS AND SUPPLIES
324,682
392,156
OTHER SERVICES & CHARGES
258,959
227,979
1,859,058
310,283
149,834
1,927,460
CAPITAL OUTLAYS
TOTAL DEPARTMENT
1,084,008
365,560
291,495
117,705
1,858,768
1,156,587
404,827
299,956
105,100
1,966,470
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Director of Public 1 23 3756-5258 1 23 3756-5258
Works/City Engineer
Senior Secretary 1 5 1530-2142 1 5 1530-2142
Senior Project Engineer 1 18 3138-4393 1 18 3138-4393
Civil Engineer 2 15 2768-3875 2 15 2768-3875
Engineering Technician III 13 2521-3529 1 13 2521-3529
Engineering Technician I 5 10 2150-3010 5 10 2150-3010
Engineering Assistant 2 5 1530-2142 2 5 1530-2142
Street Superintendent 1 16 2890-4046 1 16 2890-4046
Equipment Operator II 3 7 2150-3010 3 10 2150-3010
Equipment Operator I 3 5 1530-2142 3 5 1530-2142
Maintenance Worker 1&11 6 1-3 1049-1796 6 1-3 1049-1796
Traffic Control Supr. 1 14 2643-3700 1 14 2643-3700
Traffic Control Tech. 2 4 1407-1970 2 4 1407-1970
Fleet Supervisor 1 14 2643-3700 1 14 2643-3700
Lead Mechanic 1 8 1900-2660 1 8 1900-2660
Mechanic 1 5 1530-2142 1 5 1530-2142
Fleet Analyst 1 5 1530-2142 1 5 1530-2142
AUTHORIZED PERSONNEL 33 33
104
CITY OF WHEAT RIDGE, COLORADO
,
"
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Public Works
Administration
PROGRAM DESCRIPTION
Provides executive direction to the Engineering, streets, Traffic and
Shops divisions and maintains responsibility for all projects funded
by the Capital projects Fund. Provides recommendations to the City
Administration and City Council on future Public Works programs.
PROGRAM OBJECTIVES
1. Maintain coordination among Public Works divisions and other
departments of the City.
2. Provide long range decisions on work priorities, manpower
scheduling and division policies.
3. Monitor progress on all construction projects and maintenance
programs in the Public Works Department.
4. Respond to all citizen inquiries regarding Public Works Department
programs and problems with the street rights-of-way drainage
courses within the City.
105
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PUBLIC WORKS
ADMINISTRATION
06
301
CLASSIFICATION
ACTUAL
1990
BUDGETED
1991
-------------------------------------------------------------------------
PROPOSED
1992
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
84,162
1,292
2,214
920
81,062
MATERIALS & SUPPLIES
1,550
OTHER SERVICES & CHARGES
3,675
o
CAPITAL OUTLAYS
TOTAL DIVISION
88,588
86,287
81,380
1,850
1,875
85,105
86,548
o
1,900
3,925
1,200
93,573
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Director of Public
Works/City Engineer
Senior Secretary
1
23
3756-5258
1
5
1530-2142
AUTHORIZED PERSONNEL
2
106
1
23
1
5
2
3756-5258
1530-2142
FUND GENERAL
DEPT. PUBLIC WORKS
DIV. ADMINISTRATION
DIVISION
DETAIL
01
06
301
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
602 Salaries and Wages
606 Auto Allowance
610 Overtime Pay
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
640 Outside Personal Services
67,562
2,400
o
5,312
4,982
2,513
1,393
64,496
2,400
1,000
5,194
5,945
2,027
o
66,215
2,400
500
5,377
4,710
2,178
o
68,013
2,700
500
5,448
7,166
2,721
o
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
86,548
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp.
655 postage Costs
660 Operating Supplies
84,162
726
142
55
369
81,062
750
200
150
450
81,380
750
300
400
400
750
300
400
450
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
1,900
700
702 Conference & Mtg. Exp.
706 Dues, Books & Subscrp.
728 Training
740 Auto Mileage Reimb.
759 Telephone Expense
776 Other Equipment Maint.
799 Misc. S8-vices & ~}~rges
1,292
1,247
355
153
o
10
449
o
1,550
1,800
300
500
25
150
800
100
1,850
700
450
200
25
100
300
100
2,050
500
500
25
150
600
100
TOTAL OTHER SERVo & CHGS.
---------- --------- --------- ---------
3,925
800
802 Office Furn. & Equip.
809 Other Major Equipment
2,214
910
10
3,675
o
o
1,875
o
o
1,200
o
TOTAL CAPITAL OUTLAYS
---------- --------- --------- ---------
o
1,200
------TOTAL PW - ADMINISTRATION
920
88,588
107
86,287
o
85,105
93,573
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Public Works
Engineering
PROGRAM DESCRIPTION
Plan and administer the Capital Improvement Program; administer the
design, maintenance and construction of Capital Improvement proj ects
ei ther with staff personnel or consultants and contractors; provide
technical support to other departments of the City; administer and
monitor the street cut permit program; and, respond to needs and
concerns of elected officials and the public.
PROGRAM OBJECTIVES
1. Prepare the design of Capital Improvement and maintenance projects
through utilization of staff personnel and/or consultants.
2. Provide construction management for Capital Improvement and
maintenance projects with staff personnel and/or consultants.
3. Coordinante design and construction of federal funded projects with
Colorado Department of Highways.
4. Review Planning and Development referrals in accordance with
applicable regulations and policies.
5. Provide technical resources to other divisions, departments,
elected officials, citizens, and governmental agencies.
6. Prepare for and respond to federal mandated NPDES Permitting
Program.
PERFORMANCE INDICATORS
INDICATOR
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
Number of Projects Designed
Number of Contracts Administered
Number of Referrals
Number of street Cut Permits
Engineering Costs Reimbursed by
Capital Projects Fund
15
20
50
202
6
16
50
250
13
11
50
250
$500,000
$540,000
$540,000
108
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL
PUBLIC WORKS
ENGINEERING
01
06
302
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
408,765
7,142
17,996
29,634
463,537
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
396,050
7,552
47,710
17,772
469,084
398,732
7,150
35,897
17,793
459,572
438,063
7,850
35,841
1,000
482,754
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Senior Project Engineer 1 18 3138-4393 1 18 3138-4393
Civil Engineer 2 15 2768-3875 2 15 2768-3875
Engineering Technician III 13 2521-3529 1 13 2521-3529
Engineering Technician I 5 10 2150-3010 5 10 2150-3010
Engineering Assistant 2 5 1530-2142 2 5 1530-2142
AUTHORIZED PERSONNEL
11
lOq
11
FUND GENERAL
DEPT. PUBLIC WORKS
DIV. ENGINEERING
DIVISION
DETAIL
01
06
302
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
610 Overtime Pay
617 City Temporary Personnel
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
293,533
12,229
44,730
26,851
20,613
10,809
299,794
10,000
25,000
25,612
23,983
11,661
316,770
10,000
16,000
21,650
23,688
10,624
317,468
12,000
40,000
28,264
27,688
12,643
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
438,063
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
655 postage Costs
660 Operating Supplies
TOTAL MATERIALS/SUPPLIES
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
728 Training
730 Uniforms/Protect. Cloth.
740 Auto Mileage Expense
750 Professional Services
755 Computer Software
758 Rentals and Leases
759 Telephone Expense
772 Fleet Repair/Mtce.
776 Other Equipment Maint.
793 Title Search and Reports
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
802 Office Furn. & Equip.
807 Fleet Replacement
809 Other Major Equipment
TOTAL CAPITAL OUTLAYS
------TOTAL ENGINEERING
408,765
484
1,162
356
5,140
7,142
910
8,100
835
912
1,066
10
1,628
o
o
52
15
3,766
540
162
17,996
863
19,806
8,965
29,634
463,537
110
396,050
750
200
700
5,902
7,552
1,000
10,000
800
1,000
1,000
75
24,886
3,000
2,672
50
o
2,227
500
500
47,710
1,641
12,500
3,631
17,772
469,084
398,732
750
400
500
5,500
7,150
910
9,000
800
1,000
1,000
10
14,478
3,000
2,672
50
o
2,227
250
500
35,897
1,642
12,500
3,651
17,793
459,572
750
400
700
6,000
7,850
1,000
11 , 000
1,000
910
1,000
75
4,000
10,000
2,756
100
o
3,000
500
500
35,841
1,000
o
o
1,000
482,754
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Public Works
street Maintenance
PROGRAM DESCRIPTION
Provide routine
storm drains,
rights-of-way.
and preventive maintenance service for streets, alleys,
and other miscellaneous features within the public
PROGRAM OBJECTIVES
1. Maintain 129 miles of City streets.
2. Maintain City built walkways on main streets.
3. Maintain 32 miles of storm drainage.
4. Provide snow and ice control on City streets.
5. Provide seasonal weed control within City rights-of-way.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATORS ACTUAL ESTIMATED PROJECTED
Miles of Storm Drains
Maintained 29 31 32
Tons of Asphalt Patching 2,339 3,000 3,500
Tons of Crack Sealant 15 15 15
Miles of streets Swept 700 700 700
Tons of Salt/Sand Mix 3,872 4,000 4,000
Miles of Walkways
Maintained 17.33 20.46 22.46
111
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PUBLIC WORKS
STREET MAINTENANCE
CLASSIFICATION
ACTUAL
1990
PERSONAL SERVICES
327,561
86,397
208,563
129,874
752,395
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
PERSONNEL
SCHEDULE
06
BUDGETED
1991
358,405
136,788
220,354
104,500
820,047
303
ESTIMATED
1991
357,489
120,300
220,254
74,000
772,043
PROPOSED
1992
379,357
139,988
221,575
72,500
813,420
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Street Superintendent 1
Equipment Operator II 3
Equipment Operator I 3
Maintenance Worker 1&11 6
16
7
5
1-3
AUTHORIZED PERSONNEL
13
2890-4046
2150-3010
1530-2142
1049-1796
112
1
3
3
6
16
10
5
1-3
13
2890-4046
2150-3010
1530-2142
1049-1796
DIVISION
DETAIL
FUND GENERAL
DEPT. PUBLIC WORKS
DIV. STREET MAINTENANCE
01
06
303
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 245,479 256,452 256,934 267,944
603 Longevity 1,986 1,982 2,030 2,091
610 Overtime Pay 8,340 17,000 11 , 000 17,000
614 Standby Pay 6,003 7,000 6,000 7,000
617 City Temporary Personnel 11,638 15,000 15,000 15,000
620 FICA Expense Employer 20,979 22,754 22,526 23,641
622 Health and Life Insurance 25,050 29,513 34,572 36,115
630 Retirement Expense 8,086 8,704 9,427 10,566
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 327,561 358,405 357,489 379,357
650
------
651 Misc. Office Supplies 213 200 200 200
654 Photocopy & Printing Exp. 105 100 100 100
660 Operating Supplies 86,079 136,488 120,000 139,688
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 86,397 136,788 120,300 139,988
700
------
702 Conference & Mtg. Exp. 680 550 500 550
706 Dues, Books & Subscrp. 87 100 100 100
728 Training 409 2,000 2,000 2,000
730 Uniforms/Protect. Cloth. 6,265 8,200 8,200 8,200
740 Auto Mileage Reimb. 488 375 375 375
758 Rentals and Leases 2,495 7,279 7,279 8,500
759 Telephone Expense 8 200 200 200
761 Street Lighting Utilities 196,765 200,000 200,000 200,000
776 Other Equipment Maint. 1,366 1,500 1,500 1,500
799 Misc. Services & Charges 0 150 100 150
--- - ~ -------- --------- - --------
TOTAL OTHER SERVo & CHGS. 208,563 220,354 220,254 221,575
800
------
807 Fleet Replacement 128,749 90,000 60,000 70,000
808 Capital Leases 0 12,000 12,000 0
809 Other Major Equipment 1,125 2,500 2,000 2,500
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 129,874 104,500 74,000 72,500
------TOTAL STREET MAINTENANCE 752,395 820,047 772,043 813,420
113
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
Public Works
PROGRAM
Traffic Maintenance
PROGRAM DESCRIPTION
Provides construction and maintenance services for installing,
replacing, and updating traffic control devices in accordance with all
legal and technical codes. Provides training for traffic control.
PROGRAM OBJECTIVES
1. Provide proper lane control markings on City streets.
2. Install and maintain regulatory warning and informational signing
on City streets.
3. Provide pedestrian crosswalks at all schools and high volume
pedestrian crossing areas.
4. Provide traffic count, vehicle classification and speed study data
on City streets as required.
5. Install and maintain safety devices such as guard rail, flashing
beacons and other warning devices.
6. Provide traffic signal maintenance, service and repairs.
7. Provide traffic control training to City employees and other
agencies.
8. Monitor actual "green" times at various intersections in an effort
to optimize signal timing.
PERFORMANCE INDICATORS
INDICATOR
Miles of Roadway Marking
New Signs Installed
Signs Serviced
Crosswalks Marked
Traffic Counts Taken
Flashing Beacons Serviced
Traffic Signals Serviced
Special Speed and Volume Counts
Traffic Signal Maint. Call Outs
Traffic Control Training Classes
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
104
79
567
136
130
14
31
50
162
6
104
150
500
136
65
14
32
50
160
6
104
182
592
136
65
14
32
50
160
6
114
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PUBLIC WORKS
TRAFFIC MAINTENANCE
06
304
CLASSIFICATION
-------------------------------------------------------------------------
PROPOSED
1992
ACTUAL
1990
BUDGETED
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
96,882
47,422
4,421
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
50,507
TOTAL DIVISION
199,232
103,957
57,066
4,890
3,900
169,813
106,222
54,560
4,503
3,850
169,135
108,055
59,939
5,740
17,300
191,034
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Traffic Control Supr.
Traffic Control Tech.
1
2
14
4
AUTHORIZED PERSONNEL
3
115
2643-3700
1407-1970
1
2
14
4
3
2643-3700
1407-1970
DIVISION
DETAIL
FUND GENERAL
DEPT. PUBLIC WORKS
DIV. TRAFFIC MAINTENANCE
01
06
304
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 68,173 69,206 72,603 72,663
603 Longevity 1,468 1,468 1,542 1,592
610 Overtime Pay 1,647 5,000 3,000 3,000
614 Standby Pay 4,620 6,000 6,000 6,000
617 City Temporary Personnel 6, III 6,200 6,200 6,200
620 FICA Expense Employer 6,179 6,676 6,839 6,843
622 Health and Life Insurance 5,969 6,639 7,147 8,850
630 Retirement Expense 2,715 2,768 2,891 2,907
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 96,882 103,957 106,222 108,055
650
------
651 Misc. Office Supplies 91 100 100 125
660 Operating Supplies 47,331 56,966 54,460 59,814
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 47,422 57,066 54,560 59,939
700
------
702 Conference & Mtg. Exp. 92 250 8 250
706 Dues, Books & Subscrp. 200 360 360 360
728 Training 943 1,800 1,800 1,800
730 Uniforms/Protect. Cloth. 1,883 1,500 1,500 1,500
758 Rentals and Leases 526 380 150 380
759 Telephone Expense 21 50 40 50
776 Other Equipment Maint. 677 450 645 1,300
799 Misc. Services & Charges 79 100 0 100
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 4,421 4,890 4,503 5,740
800
------
802 Office Furn. & Equip. 234 300 250 300
807 Fleet Replacement 42,902 0 0 17,000
809 Other Major Equipment 7,371 3,600 3,600 0
---------- --------- --------- ---------
TOTAL CAPITAL OUTLAYS 50,507 3,900 3,850 17,300
n----TOTAL TRAFFIC MAINTENANCE 199,232 169,813 169,135 191,034
116
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Public Works
Fleet Maintenance
PROGRAM DESCRIPTION
Provides preventative maintenance and repair of City Fleet. Responsible
for supplying fuel, lubricants and parts required to support City fleet
operations. Provides hazardous material and hazardous waste management.
PROGRAM OBJECTIVES
1. Provide cost effective repair and maintenance to all City owned
vehicles and equipment while ensuring the safety, dependability and
drivabi1ity of the fleet.
2. Operate 24 hour fueling station for City fleet, Wheat Ridge Fire
Department and Senior Wheels program
3. Ensure that all hazardous material handling, shop operations and
fleet vehicles comply with all applicable Federal, State and local
regulations.
4. Provide fleet analysis to all City Departments.
5. Maintain all maintenance records and registrations for all City
fleet.
6. Provide fleet and non-fleet related repairs, modifications,
fabrications and consulting to all City departments as necessary.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATORS ACTUAL ESTIMATED PROJECTED
Total Pieces ~ ~~tlj pl~lt nt
, L
Managed 219 214 214
Vehicles 130 125 125
Other Equipment 89 89 89
Work Orders Completed 1,608 1,426 1,600
Fuel Used (Gallons) 121,311 120,000 120,000
Fleet Analysis Reports 104 105 105
117
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL
PUBLIC WORKS
FLEET MAINTENANCE
01
06
305
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
130,068
MATERIALS & SUPPLIES
182,429
25,765
17,044
355,306
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
PERSONNEL
SCHEDULE
135,713
189,200
33,654
23,662
382,229
140,185
181,700
28,966
22,062
372,913
144,564
195,150
32,875
13,100
385,689
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
Fleet Supervisor
Lead Mechanic
Mechanic
Fleet Analyst
14
8
5
5
1
1
1
1
AUTHORIZED PERSONNEL
4
2643-3700
1900-2660
1530-2142
1530-2142
118
1
1
1
1
14
8
5
5
4
2643-3700
1900-2660
1530-2142
1530-2142
FUND GENERAL FUND
DEPT. PUBLIC WORKS
DIV. FLEET MAINTENANCE
DIVISION
DETAIL
01
06
305
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
610 Overtime Pay
614 Standby Pay
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
107,980
973
400
8,351
8,092
4,272
107,271
4,000
2,000
8,665
9,486
4,291
113,503
2,000
1,000
8,964
10,228
4,490
112,801
4,000
2,000
9,088
12,163
4,512
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
144,564
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
660 Operating Supplies
661 Gas and Oil
662 Vehicle and Equip. Parts
663 Hazardous Waste Disposal
130,068
193
367
10,976
76,739
92,977
1,177
135,713
200
100
11,100
76,800
98,000
3,000
140,185
300
150
10,850
76,800
92,000
1,600
300
150
12,000
78,300
102,400
2,000
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
195,150
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
727 Expense Reimbursement
728 Training
730 Uniforms/Protect. Cloth.
755 Computer Software
759 Telephone Expense
760 Utilities
774 Facility Repair & Maint.
776 Other Equipment Maint.
TOTAL OTHER SERVo & CHGS.
800
805 Communications Equip.
807 Fleet Replacement
808 Capital Leases
812 Shops Improvements
832 Tools & Work Equipment
182,429
8
7,771
386
-3449
341
1,577
510
54
10,256
6,495
1,816
189,200
250
9,779
465
o
700
2,000
200
60
14,000
4,900
1,300
181,700
250
6,400
465
-989
600
1,200
200
40
13,000
6,500
1,300
250
9,500
465
o
800
2,000
200
60
14,300
4,000
1,300
25,765
- - ------ ..- . ------ ---------- _. -- ----. ~
32,875
9,660
o
o
o
7,384
33,654
10,000
o
662
13,000
o
28,966
9,600
o
662
11 , 800
o
10,000
o
o
o
3,100
TOTAL CAPITAL OUTLAYS
---------- --------- --------- ---------
13,100
------TOTAL FLEET MAINTENANCE
17,044
355,306
119
23,662
382,229
22,062
372,913
385,689
DEPARTMENT
SUMMARY
FUND
GENERAL
01
DEPT.
PARKS & RECREATION
07
CLASSIFICATION
-------------------------------------------------------------------------
ACTUAL
1990
BUDGETED
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
759,206
101,018
183,338
76,843
MATERIALS AND SUPPLIES
OTHER SERVICES & CHARGES
CAPITAL OUTLAYS
TOTAL DEPARTMENT
1,120,405
861,874
108,744
194,510
99,069
1,264,197
860,509
103,244
194,260
88,726
1,246,739
936,931
124,899
212,710
71,038
1,345,578
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY
No. 1991
Auth/Grade SALARY
No. 1992
-------------------------------------------------------------------------
Director of Parks and
Recreation 1 21 3508-4911 1 21 3508-4911
Senior Secretary 1 5 1530-2142 1 5 1530-2142
Recreation Superintendent 1 16 2890-4046 1 16 2890-4046
Rec. Prog. Coordinator 3 10 2150-3010 3 10 2150-3010
Recreation Leader 1 5 1530-2142 1 5 1530-2142
Clerk-Typist .75 2 1160-1624 .75 2 1160-1624
Parks Superintendent 1 16 2890-4046 1 16 2890-4046
Ci ty .lI.rborist 1 10 2150-3010 1 10 2150-3010
Parks Maint. Crew Spvsr. 2 5 1900-2660 2 8 1900-2660
Forestry Technician 1 5 1530-2142 1 5 1530-2142
Parks Maint. Crew Leader 4 5 1530-2142 4 5 1530-2142
Small Engine Mechanic 1 3 1283-1796 1 3 1283-1796
AUTHORIZED PERSONNEL
17.75
120
17.75
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Parks and Recreation
Administration
PROGRAM DESCRIPTION
Provides executive direction
Works with the Parks and
recommendations to the City
by City Council.
to the Department of Parks and Recreation.
Recreation Commission in making policy
Council. Implements policies established
PROGRAM OBJECTIVES
1. Provide a system of parks and recreation activities which help fill
the social, leisure and health needs of the citizens of Wheat
Ridge.
2. Foster and maintain effective working relationships with other City
departments and related governmental agencies.
3. Attract and retain a competent and well trained staff to deliver
quality parks and recreation services.
4. Work with City departments and other agencies to achieve the City
Council goals and objectives for 1992.
5. Actively pursue funding for park improvement projects from Federal,
State and County sources when available.
6. Develop and update a five-year Capital Improvement Program for the
Parks and Recreation Department.
7. Accomplish the Capital Improvement Project for 1992.
121
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PARKS & RECREATION
ADMINISTRATION
CLASSIFICATION
ACTUAL
1990
PERSONAL SERVICES
83,907
2,957
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
1,941
CAPITAL OUTLAYS
2,512
91,317
TOTAL DIVISION
07
601
BUDGETED
1991
81,487
3,450
6,261
6,847
98,045
ESTIMATED
1991
86,800
3,450
6,011
6,081
102,342
PROPOSED
1992
87,958
3,450
3,750
5,066
100,224
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade
No.
SALARY
1991
Auth/Grade
No.
SALARY
1992
-------------------------------------------------------------------------
Director of Parks and
Recreation
Senior Secretary
1
1
21
5
AUTHORIZED PERSONNEL
2
122
3508-4911
1530-2142
1
1
21
5
2
3508-4911
1530-2142
DIVISION
DETAIL
FUND GENERAL
DEPT. PARKS & RECREATION
DIV. ADMINISTRATION
01
07
601
-----------------------------------------------------------------------
Object Account Classification
Actual
1990
Budget Estimated Proposed
1991 1991 1992
-----------------------------------------------------------------------
600
------
602 Salaries and Wages 65,911 62,700 67,343 66,459
603 Longevity Pay 2,252 2,221 2,358 2,354
604 Deferred Compensation 1,293 1,777 1,876 1,884
606 Auto Allowance 2,400 2,400 2,400 2,700
620 FICA Expense Employer 5,477 5,286 5,659 5,615
622 Health and Life Insurance 4,905 6,372 6,393 8,171
630 Retirement Expense 1,669 731 771 775
---------- --------- --------- ---------
TOTAL PERSONAL SERVICES 83,907 81,487 86,800 87,958
650
------
651 Misc. Office Supplies 699 700 700 700
654 Photocopy & Printing Exp. 796 1,000 1,000 1,000
655 Postage Costs 1,378 1,550 1,550 1,550
660 Operating Supplies 84 200 200 200
---------- --------- --------- ---------
TOTAL MATERIALS/SUPPLIES 2,957 3,450 3,450 3,450
700
------
702 Conference & Mtg. Exp. 1,143 1,800 1,800 2,150
706 Dues, Books & Subscrp. 295 250 300 300
728 Training 153 200 200 550
758 Rentals and Leases 1 100 50 50
759 Telephone Expense 173 450 200 100
776 Other Equipment Maint. 65 100 100 100
799 Misc. Services & Charges 111 3,361 3,361 500
---------- --------- --------- ---------
TOTAL OTHER SERVo & CHGS. 1,941 6,261 6,011 3,750
800
TOTAL CAPITAL OUTLAYS
2,512 250 250 1,900
0 6,597 5,831 3,166
---------- --------- --------- ---------
2,512 6,847 6,081 5,066
802 Office Furn. & Equip.
890 Rich/Hart Estate Improv
------TOTAL P&R ADMINISTRATION
91,317
98,045
102,342
100,224
123
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Parks and Recreation
Recreation
PROGRAM DESCRIPTION
Provide recreation programs and activities for the citizens of Wheat
Ridge.
PROGRAM OBJECTIVES
1. Provide a variety of different types of recreation programs and
services to youth, adults and senior citizens in the areas of
athletics, leisure arts, continuing education programs and seasonal
aquatics.
2. Operation of two community centers and one outdoor swimming pool.
3. Make these programs self-sustaining through user fees and charges.
PERFORMANCE INDICATORS
1990 1991 1992
INDICATOR ACTUAL ESTIMATED PROJECTED
Programs and Activities Offered 1,145 1,233 1,300
Number of Participants 89,902 94,306 96,660
Revenue $208,079 $236,000 $246,000
Revenue as a % of
Operating Expense 48.5% 48% 48%
124
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PARKS & RECREATION
RECREATION
07
602
CLASSIFICATION
ACTUAL
1990
-------------------------------------------------------------------------
PROPOSED
1992
BUDGETED
1991
ESTIMATED
1991
-------------------------------------------------------------------------
PERSONAL SERVICES
312,822
MATERIALS & SUPPLIES
41,918
69,968
4,651
429,359
OTHER SERVo & CHGS.
CAPITAL OUTLAYS
TOTAL DIVISION
377,118
45,254
68,310
21,977
512,659
365,187
44,754
68,310
21,992
500,243
415,421
58,469
80,525
17,832
572,247
-------------------------------------------------------------------------
PERSONNEL
SCHEDULE
POSITION TITLE
-------------------------------------------------------------------------
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
-------------------------------------------------------------------------
Recreation Superintendent 1
Rec. Prog. Coordinator 3
Recreation Leader 1
Clerk-Typist .75
16
10
5
2
AUTHORIZED PERSONNEL
5.75
2890-4046
2150-3010
1530-2142
1160-1624
125
1
3
1
.75
16
10
5
2
5.75
2890-4046
2150-3010
1530-2142
1160-1624
FUND GENERAL
DEPT. PARKS & RECREATION
DIV. RECREATION
DIVISION
DETAIL
01
07
602
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
610 Overtime Pay
617 City Temporary Personnel
619 Cont. Temporary Personnel
620 FICA Expense Employer
622 Health and Life Insurance
625 Medicare Portion FICA
630 Retirement Expense
640 Outside Personal Services
TOTAL PERSONAL SERVICES
650
651 Misc. Office Supplies
654 Photocopy and Printing Ex
655 Postage Costs
660 Operating Supplies
TOTAL MATERIALS/SUPPLIES
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
728 Training
730 Uniforms/Protect. Cloth.
740 Auto Mileage Reimb.
758 Rentals & Leases
759 Telephone Expense
760 Utilities
774 Facility Repair & Maint.
776 Other Equipment Maint.
799 Misc. Services & Charges
TOTAL OTHER SERVo & CHGS.
800
802 Office Furn. & Equip.
807 Fleet Replacement
808 Capital Leases
809 Other Major Equipment
TOTAL CAPITAL OUTLAYS
------TOTAL RECREATION
153,004
303
81,244
31,755
16,536
7,979
1,157
5,007
15,837
312,822
1,332
9,937
7,720
22,929
41,918
545
22,010
283
132
642
593
o
o
30,888
13,191
1,555
129
69,968
o
o
o
4,651
4,651
429,359
126
154,649
200
106,646
53,361
18,781
12,509
173
6,186
24,613
377,118
1,500
11,899
6,075
25,780
45,254
500
24,400
290
500
650
680
o
o
31,440
8,000
1,750
100
68,310
o
14,500
677
6,800
21,977
512,659
157,673
200
99,646
50,361
22,965
8,802
173
4,780
20,587
365,187
1,500
11,899
6,075
25,280
44,754
500
24,400
290
500
650
680
o
o
31,440
8,000
1,750
100
68,310
o
14,592
600
6,800
21,992
500,243
152,433
200
126,799
58,255
25,833
13,138
o
6,097
32,666
415,421
1,200
11,813
9,500
35,956
58,469
925
28,000
480
700
600
700
420
600
38,000
8,000
2,000
100
80,525
1,100
o
o
16,732
17,832
572,247
CITY OF WHEAT RIDGE, COLORADO
1992 PROGRAM SUMMARY
DEPARTMENT
PROGRAM
Parks and Recreation
Park Maintenance
and Forestry
PROGRAM DESCRIPTION
The Division of Park Maintenance and Forestry is responsible for the
development and maintenance of a system of parks, open space, greenbelt
trails, and urban forestry programs which will enhance the quality of
life for the citizens of Wheat Ridge.
PROGRAM OBJECTIVES
1. Maintain 17 acres of developed parkland on a yearly basis.
2. Maintain a 5 mile greenbelt trail system.
3. Maintain 40 acres of undeveloped parkland.
4. Maintain safe and healthy trees and shrubs on public rights-of-way
and in park system.
5. Provide adequate pest control including insect, disease and weeds
for right-of-way and parks trees in cooperation with the State
Forestry Service, the Colorado Department of Agriculture and
Colorado State University.
6. Licensing of commercial arborist and lawn care companies.
7. Reimburse $220,000 of Park Maintenance costs from the Jefferson
County Open Space program.
8. Renovate playgrounds at Ap1e-Backer and Richards-Hart Estate.
9. Construct playground at Rancho-deI-Sol.
10. Observe Arbor Day activities to promote tree awareness through
citizen participation.
PERFORMANCE INDICATORS
1990
ACTUAL
1991
ESTIMATED
1992
PROJECTED
INDICATOR
Cost per Acre to Maintain
Developed Parkland
Cost per Acre to Maintain
Undeveloped Parkland
Cost per Acre to Develop
Parkland
Trees & Shrubs Maintained
Trees & Shrubs Planted
Pesticide Applications
Arborist & Lawn Care License
3,100
400
3,150
400
3,200
425
44,000
26,000
3,500
3,500
55
44,000
29,500
3,500
3,700
65
44,000
33,500
3,500
3,100
65
127
DIVISION
SUMMARY
FUND
DEPT.
DIV.
GENERAL 01
PARKS & RECREATION 07
PARKS MAINTENANCE & FORESTRY
CLASSIFICATION
ACTUAL
1990
BUDGETED
1991
603
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
PERSONAL SERVICES
362,477
56,143
MATERIALS & SUPPLIES
OTHER SERVo & CHGS.
111,429
CAPITAL OUTLAYS
69,680
599,729
TOTAL DIVISION
PERSONNEL
SCHEDULE
403,269
60,040
119,939
70,245
653,493
408,522
55,040
119,939
60,653
644,154
433,552
62,980
128,435
48,140
673,107
POSITION TITLE
Auth/Grade SALARY RANGE Auth/Grade SALARY RANGE
No. 1991 No. 1992
Parks Superintendent 1 16 2890-4046 1 16 2890-4046
City Arborist 1 10 2150-3010 1 10 2150-3010
Parks Maint. Crew Spvsr. 2 5 1900-2660 2 8 1900-2660
Forestry Technician 1 5 1530-2142 1 5 1530-2142
Parks Maint. Crew Leader 4 5 1530-2142 4 5 1530-2142
Small Engine Mechanic 1 3 1283-1796 1 3 1283-1796
AUTHORIZED PERSONNEL
10
128
10
DIVISION
DETAIL
FUND GENERAL 01
DEPT. PARKS & RECREATION 07
DIV. PARKS MAINTENANCE & FORESTRY
603
Object Account Classification
-----------------------------------------------------------------------
Actual
1990
Budget Estimated Proposed
1991 1991 1992
600
-----------------------------------------------------------------------
602 Salaries and Wages
603 Longevity Pay
610 Overtime Pay
614 Standby Pay
617 City Temporary PersOnnel
618 Court Pay
620 FICA Expense Employer
622 Health and Life Insurance
630 Retirement Expense
640 Outside Personal Services
217,561
1,957
10,346
4,189
77,222
o
23,855
18,771
8,165
411
222,699
1,546
10,653
3,867
106,182
o
26,389
22,370
8,908
655
234,264
1,576
10,653
3,867
101,182
o
27,006
20,101
9,218
655
233,781
1,626
11,185
5,161
115,691
250
28,109
27,743
9,351
655
TOTAL PERSONAL SERVICES
---------- --------- --------- ---------
433,552
650
651 Misc. Office Supplies
654 Photocopy & Printing Exp
655 Postage Costs
660 Operating Supplies
362,477
663
549
130
54,801
403,269
420
680
130
58,810
408,522
420
680
130
53,810
420
680
130
61,750
TOTAL MATERIALS/SUPPLIES
---------- --------- --------- ---------
62,980
700
702 Conference & Mtg. Exp.
704 Contractual Services
706 Dues, Books & Subscrp.
718 Ordinance Enforcement
728 Training
730 Uniforms/Protect. Cloth.
740 Auto Mileage Reimb.
750 Professional Services
758 Rentals and Leases
760 Utilities
774 Facility Repair & Maint.
776 Other Equipment Maint.
799 Misc. Services & Charges
56,143
1,090
19,195
889
o
727
4,485
15
150
1,922
63,062
11,951
7,907
36
60,040
950
28,400
820
500
910
4,080
50
355
1,000
65,357
8,230
9,187
100
55,040
950
28,400
1,050
500
910
4,080
50
661
700
65,357
8,230
8,951
100
950
33,028
820
500
1,510
4,080
50
355
1,000
68,625
8,230
9,187
100
800
---------- --------- --------- ---------
128,435
TOTAL OTHER SERVo & CHGS. 111,429
802 Office Furniture & Equip
805 Communications Equip.
807 Fleet Replacement
809 Other Major Equipment
811 City Hall Improvements
812 Shops Improvements
861 Park Beautification
o
o
59,572
7,317
o
o
2,791
119,939
400
1,000
55,480
8,665
o
1,700
3,000
119,939
324
850
46,114
8,665
o
1,700
3,000
TOTAL CAPITAL OUTLAYS
---------- --------- ---------
------TOTAL PARKS MAINTENANCE
69,680
599,729
, .,,,
70,245
653,493
60,653
644,154
o
o
10,000
29,140
6000
o
3,000
48,140
673,107
CAPITAL IMPROVEMENT/PROJECTS FUND
1990 THROUGH 1991
REVENUES:
Sales Tax
Interest
C/G/Sidewa1k (Citizen Match)
Carryover
State Grants
Miscellaneous
Lakewood Match
TOTAL REVENUES
EXPENDITURES:
Drainage -
833 Drainage Improvements
885 48th (Mi11er-Robb)
882 30th & Jay
848 35th & Parfet
847 39th (Miller - Lena)
Total Drainage Expenditures
Street Maintenance -
840 Local Streets
842 Curb, Gutter & Sidewalk
883 Monumentation
884 Preventative Maintenance
845 32nd (Youngfie1d-Union)
850 32nd (Union-Kipling)
851 Misc. Street Projects
873 38th (Wads-Sheridan)
846 38th (Sheridan-Pierce)
855 38th (Dudley-Kipling)
879 Miller (48th - Ridge)
852 44th (Youngfield-Tabor)
Total Street Maintenance
Traffic Maintenance
843 Traffic Signal Replacement
Municipal Bldg. Improvements
861 Community Betterment
812 Building Improvements
Aerial Photography
Total Miscellaneous
890 Transfer to Debt Service Funds
891 Transfer to General Fund
795 Una110cated Carryover
TOTAL EXPENDITURES
ACTUAL
1990
2,730,931
257,760
23,125
2,294,076
o
o
45,260
5,351,152
91,098
o
o
507,498
634,942
1,233,538
95,569
98,250
46,811
136,510
10
199,936
42,957
735,177
3,084
o
o
46,673
1,404,977
48,752
o
52,280
o
52,280
184,000
540,000
974,605
4,438,152
130
REVISED
BUDGET
1991
---------
2,900,000
150,000
25,000
305,574
o
o
o
3,380,574
100,000
50,000
600,000
o
o
750,000
250,000
150,000
o
150,000
o
o
100,000
o
1,000,000
o
o
o
1,650,000
150,000
o
27,000
o
27,000
184,000
540,000
79,574
3,380,574
ESTIMATED
1991
2,900,000
150,000
25,000
914,000
o
o
o
3,989,000
o
o
600,000
o
o
600,000
o
100,000
o
150,000
o
o
o
207,658
2,064,923
o
o
o
2,522,581
90,000
o
27,000
o
27,000
184,000
540,000
25,419
3,989,000
REVENUES:
Sales Tax
Interest
C/G/S-Citizen Match
Carryover
state Grants
Miscellaneous
CAPITAL PROJECTS FUND
1992 THROUGH 1996
PROPOSED PROPOSED PROPOSED PROPOSED PROPOSED
1992 1993 1994 1995 1996
2,975,000
150,000
25,000
25,419
o
o
2,975,000
150,000
25,000
58,419
o
o
2,975,000
150,000
25,000
144,419
o
o
2,975,000
150,000
25,000
230,419
o
o
2,975,000
150,000
25,000
1,316,419
o
o
TOTAL REVENUES
3,175,419 3,208,419 3,294,419 3,380,419 4,466,419
EXPENDITURES:
Drainage -
833 Drainage Improvement
Harlan IV
885 48th (Mi11er-Robb)
882 30th & Jay
857 Clear Creek/Kipling
Total Drainage
100,000
o
o
100,000
Street Maintenance -
840 Local Street Imp. 250,000
842 Ped W1kway-C/G/S 100,000
851 Misc. Street Project 100,000
873 38th (Wads-Pierce) 0
846 38th (Pierce-Sherid) 0
875 38th (Wads-Cody) 1,060,000
855 38th(Cody-Holland) 100,000
874 38th(Ho11and-Kipling 0
881 Tabor (48th-Ridge) 0
879 Miller (48th-Ridge) 0
29th (Wads-Fenton) 0
44th & Field 20,000
884 Preventative Maint. 500,000
o
100,000
o
50,000
o
o
100,000
o
500,000
o
20,000
620,000
250,000
100,000
100,000
o
o
o
o
700,000
o
o
o
o
500,000
100,000
20,000
o
o
200,000
100,000
1,100,000
o
o
1,800,000
320,000 3,000,000
200,000
100,000
100,000
o
o
o
o
o
o
o
50,000
o
500,000
250,000
100,000
100,000
o
o
o
o
o
o
50,000
500,000
500,000
Total Streets
--------- --------- --------- --------- ---------
150,000
250,000
100,000
100,000
o
o
o
800,000
50,000
o
o
o
200,000
500,000
2,130,000 2,000,000 1,650,000
Traffic Maintenance-
843 Traffic Signal Rep1.
861 Community Betterment
811 Municipal B1dg Impro
Aerial Photography
Total Misc.
892 Transf. Debt Service
891 Transf. General Fund
795 Una110cated Fund Ba1
150,000
10,000
33,000
10 , 000
53,000
184,000
500,000
58,419
100,000
10,000
o
120,000
130,000
184,000
500,000
144,419
100,000
10,000
o
o
10,000
184,000
500,000
230,419
950,000 1,500,000
100,000
10,000
o
o
10,000
184,000
500,000
1,316,419
100,000
10,000
o
o
10,000
184,000
540,000
-867,581
TOTAL EXPENDITURES 3,175,419 3,208,419 3,294,419 3,380,419 4,466,419
131
REVENUES
Subdivision Fees
Interest
Carryover Fund Balance
TOTAL REVENUE
EXPENDITURES
Park Improvements
TOTAL EXPENDITURES
PARK ACQUISITION FUND
(Fund 11)
(Account 603-)
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
1,125 700 13,650 700
1,196 50 75 400
21,600 0 1,383 15,108
---------- --------- -------- ---------
23,921 750 15,108 16,208
23, 917
750
o
16,208
23,917
750
o
16,208
132
POLICE INVESTIGATION FUND
(Fund 17)
(Account 202-)
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
REVENUES
TOTAL REVENUE
11 , 030 10,000 15,000 15,000
450 500 530 530
13,720 0 8,430 8,575
---------- --------- -------- ---------
25,200 10,500 23,960 24,105
Court Disbursements
Interest
Carryover Fund Balance
EXPENDITURES
Investigation Outlays
Service Charge
16,740
30
10,500
o
15,300
85
24,020
85
TOTAL EXPENDITURES
16,770
10,500
15,385
24,105
133
OPEN SPACE FUND
Jefferson County
Jeffco Joint Venture
Carryover Fund Balance
TOTAL REVENUE
EXPENDITURES
Acquisition Projects -
Wheat Ridge Lumber
Culbertson
Other
Zarlengo
DiGiacomo
Other (Wide Horizons)
Development Projects -
P&R/Muge1e Master Plan
Paramount Park
Clear Creek Crossing
WR Park Rstrm/Cncssn
Master Plan Printing
Greenbelt Signs
RHE Improvement
Greenbelt Trail Imp.
WR Park Parking Lot
Prospect Park Imp.
Muge1e Park Dev.
Transfer to General Fund:
Park Maint. Chargeback
Una110cated Balance
TOTAL EXPENDITURES
ACTUAL
1990
1,740,898
o
o
1,740,898
328,844
20,702
7,500
2,350
1,900
o
BUDGET
1991
1,765,428
o
o
1,765,428
o
o
o
400,000
80,000
o
ESTIMATED
1991
636,636
o
1,124,652
1,761,288
o
o
o
o
80,000
o
(Fund 32)
(Account 601-)
PROPOSED
1992
645,631
101,000
1,155,551
1,902,182
o
o
o
o
o
300,000
361,296 480,000 80,000 300,000
20,000
o
o
14,950
o
o
o
o
o
o
o
34,950
220,000
o
o
o
o
130,000
5,000
5,000
30,000
o
o
o
o
170,000
220,000
895,428
o
28,724
79,000
128,104
5,000
5,000
33,909
o
o
o
o
279,737
246,000
o
o
o
o
o
o
5,000
150,000
o
250,000
45,000
450,000
246,000
o
906,182
616,246
--------- ---------- ---------- ----------
1,902,182
134
1,765,428
605,737
OPEN SPACE FUND
1993 THROUGH 1996
(Fund 32)
(Account 601-)
PROPOSED
1993
PROPOSED
1994
PROPOSED
1995
PROPOSED
1996
Jefferson County 645,000 645,000 645,000 645,000
Jeffco Joint Venture 0 100,000 0 0
Carryover 906,182 445,182 44,182 43,182
---------- ---------- ---------- ----------
TOTAL REVENUE 1,551,182 1,190,182 689,182 688,182
EXPENDITURES
------------
Acquisition Projects -
Zarlengo 0 400,000 0 0
DiGiacomo 0 0 0 0
Future Acq. Reserve 300,000 300,000 300,000 300,000
---------- ---------- ---------- ----------
300,000 700,000 300,000 300,000
Development Projects -
GB Trail Improvement 0 0 100,000 0
Clear Crk Crossing 0 200,000 0 0
Muge1e Park Dev 365,000 0 0 0
Neighborhood Pk, Gi11h 95,000 0 0 0
Develop Rancho-Del Sol 0 0 0 300,000
w R Park Parking Lot 100,000 0 0 0
--------- --------- --------- ---------
560,000 200,000 100,000 300,000
Transfer to General Fund:
Park Maint. Charge back 246,000 246,000 246,000 246,000
Unal10cated Balance 445,182 44,182 43,182 -157,818
--------- ---------- ---------- ----------
TOTAL EXPENDITURES 1,551,182 1,190,182 689,182 688,182
135
CONSERVATION TRUST FUND
REVENUES
State of Colorado
Interest
Carryover Fund Balance
Jeffco Joint Funding
TOTAL REVENUE
EXPENDITURES
Development Projects -
P1ygrnd MstrP1n Rancho
Panorama/Randall
Prospect Park Rstrm
41st & Yngf1d Parking
Johnson Park Imprvmnt
Ath1tc F1d Lgts Randall
Swimming Pool Study
P1ygrnd Apel-Bacher/RHE
Maintenance Projects -
Tot & Splash Pool Res.
Swim Pool Repair/Imp.
Historic Park Imp.
Anderson Comm Ctr Imp
Ye 01de Firehouse Roof
Ballfield Light Test
Berbert Hse Landscape
Bleacher rp1cmnt/repair
Paint Interior Comm ctr
Una110cated Fund Balance
TOTAL EXPENDITURES
ACTUAL
1990
118,547
13,849
101,328
o
233,724
o
6,540
82,033
o
o
o
o
o
88,573
3,958
o
o
o
o
o
o
o
o
3,958
o
92,531
136
BUDGET
1991
107,396
7,500
84,390
20,000
219,286
o
o
o
40,000
50,000
20,000
5,000
o
115,000
o
15,000
1,700
12,500
10,000
5,000
20,000
o
o
64,200
40,086
219,286
ESTIMATED
1991
110,000
9,000
134,546
56,264
309,810
o
78,506
o
40,000
50,000
o
5,000
o
173,506
o
15,000
1,700
12,500
o
o
20,000
o
o
49,200
o
222,706
(Fund 54)
(Account 601-)
PROPOSED
1992
110,000
7,500
87,104
o
204,604
40,000
o
o
o
o
25,000
o
40,000
105,000
o
20,000
o
6,000
o
o
o
30,000
5,000
61,000
38,604
204,604
CONSERVATION TRUST FUND
1993 THROUGH 1996
(Fund 54)
(Account 601-)
-------------------------------------------------------------------------
PROPOSED
1993
PROPOSED
1994
PROPOSED
1995
PROPOSED
1996
-------------------------------------------------------------------------
REVENUES
State of Colorado
Interest
Carryover Fund Balance
Jeffco Joint Funding
TOTAL REVENUE
EXPENDITURES
Development Projects -
Athletic F1d Light Rpr
GB Trail Improvement
Neighborhood Pk. Dev.
Maintenance Projects -
Swim Pool Repair/lmpr
Tennis Court Resurface
Panorama/Randall Impr.
Una110cated Fund Balance
TOTAL EXPENDITURES
110,000
7,500
38,604
o
156,104
o
120,000
o
120,000
o
5,000
20,000
25,000
11,104
156,104
110,000
5,000
11,104
o
126,104
o
100,000
o
100,000
o
20,000
o
20,000
6,104
126,104
137
110,000
5,000
6,104
o
121,104
o
o
80,000
80,000
41,104
121,104
110,000
6,500
41,104
o
157,604
40,000
o
80,000
120,000
o
o
o
50,000
o
o
o
50,000
-12,396
157,604
SENIOR CENTER FUND
(Fund 53)
(Account 602-)
---------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED PROPOSED
1991 1992
---------------------------------------------------------------------
REVENUES
TOTAL REVENUE
6,182 6,000 9,351 7,000
446 400 400 350
7,699 9,600 10,549 10,500
---------- ---------- --------- ----------
14,327 16,000 20,300 17,850
Miscellaneous
Interest
Carryover
EXPENDITURES
Senior Center Purchases
3,777
16,000
9,800
17,850
--------- --------- --------- ---------
TOTAL EXPENDITURES
3,777
16,000
9,800
17,850
138
BUILDING REPAIR/DEMOLITION FUND
ACTUAL
1990
REVENUES
Interest
Carryover
1,018
16,317
TOTAL REVENUE
17,335
EXPENDITURES
Ordinance Enforcement
2,168
TOTAL EXPENDITURES
2,168
139
BUDGET
1991
900
17,192
18,092
18,092
18,092
(Fund 55)
(Account 122-)
ESTIMATED PROPOSED
1991 1992
800
15,167
15,967
800
15,967
16,767
o
16,767
o
16,767
SALES TAX REVENUE BONDS
(Fund 25)
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
REVENUES
Transf. from Capital proj
Transf. from Bond Reserve
Interest Earnings
Carryover Fund Balance
TOTAL REVENUE
EXPENDITURES
Bond Principal Payment
Bond Interest Payment
Other Expenditures
TOTAL EXPENDITURES
184,000
26,910
3,533
o
184,000
26,925
5,000
o
184,000
26,925
5,000
47,175
184,000
26,925
5,000
o
214,443
215,925
263,100
215,925
0 0 0 0
210,925 210,925 210,925 210,925
500 5,000 2,500 5,000
---------- --------- -------- ---------
211,425 215,925 213,425 215,925
140
SPECIAL IMPROVEMENT DISTRICT #1987-1
(Fund 26)
-------------------------------------------------------------------------
ACTUAL
1990
BUDGET
1991
ESTIMATED
1991
PROPOSED
1992
-------------------------------------------------------------------------
REVENUES
Special Assessment
Interest Earnings
Carryover Fund Balance
TOTAL REVENUE
EXPENDITURES
Bond Principal Payment
Bond Interest Payment
Other Expenditures
TOTAL EXPENDITURES
164,538 167,000 167,000 167,000
16,410 10,000 10,000 10,000
0 0 55,453 0
---------- --------- -------- ---------
180,948 177,000 232,453 177,000
355,000 104,000 85,000 111,000
79,826 70,000 68,633 63,000
2,145 3,000 2,835 3,000 -
---------- ---------- ---------- ----------
436,971 177, 000 156,468 177,000
141
RESOLUTION NO. 1275
Series of 1991
TITLE: RESOLUTION ADOPTING THE CITY BUDGET, AND APPROPRIATING
SUMS OF MONEY TO THE VARIOUS FUNDS AND SPENDING AGENCIES
IN THE AMOUNTS SPECIFIED BELOW, FOR THE CITY OF WHEAT
RIDGE, COLORADO FOR THE 1992 BUDGET YEAR.
WHEREAS, the City of Wheat Ridge Annual Budget for the
fiscal year 1992 has been established and public Hearings and
Meetings have been held after duly published public notices; and
WHEREAS, The Budget provides for revenues equal to or
greater than the total proposed expenditures as set forth in said
budget in the total amount of $ 17,455,500 which includes the
following funds:
1. General Fund.......................... $11,705,440
City Council.. ....... ....$
Mayor. . . . . . . . . . . . . . . . . . . .
City Admin./Personnel....
City Attorney........ ....
Wheat Ridge Festival. ....
City Clerk...............
Municipal Court..........
Treasury. . . . . . . . . . . . . . . . .
Planning & Development...
Police. . . . . . . . . . . . . . . . . . .
Public Works......... . . . .
Parks & Recreation.......
Reserve Accounts..... ....
General Operations.. .....
93,219
34,638
235,308
126,500
13,350
116,282
201,146
436,842
551,192
3,681,569
1,966,470
1,345,578
1,743,704
1,159,642
2. Park Acquisition Fund... ...... .......$
3. Capital Projects Fund................
4. Open Space Fund......................
5. Senior Center Fund.............. .....
6. Conservation Trust Fund..............
7. Building Repair/Demolition Fund... ...
8. Police Investigation Fund..... .......
9. Sales Tax Revenue Bond Fund.... ......
10. Special Improve. District Bond Fund..
142
16,208
3,175,419
1,902,182
17,850
204.604
16,767
24,105
215,925
177, 000
"
Page 2
Resolution No. 1275
NOW, THEREFORE, BE IT RESOLVED THAT the City of Wheat
Ridge total Budget as stated in this Resolution be hereby
approved, adopted, and appropriated for the fiscal period
beginning January 1, 1992 and ending December 31, 1992.
DONE AND RESOLVED this 25th day of November, 1991.
~~
' tv/,; It
~ inge:tr[Yiyor
Clerk
-'"
143
RESOLUTION NO. 1274
Series of 1991
TITLE: A RESOLUTION LEVYING GENERAL PROPERTY TAXES FOR THE YEAR
1991, TO HELP DEFRAY THE COSTS OF GOVERNMENT FOR THE CITY
OF WHEAT RIDGE, CJLORADO, FOR THE 1992 BUDGET YEAR.
WHEREAS, the City Council of the City of Wheat Ridge will
adopt the annual budget in accordance with the Local Government
Budget Law, prior to December 31, 1991 and;
WHEREAS, the amount of money necessary to balance the
budget for general operating expenses is $568,301, and;
WHEREAS, the 1991 valuation for assessment for the City of
Wheat Ridge as certified by the County Assessor is $210,683,130.
NOW, THEREFORE BE IT RESOLVED BY THE CITY COUNCIL OF THE
CITY OF WHEAT RIDGE, COLJRADO:
A. That the purpose of meeting all general operating
expenses of the City of vlheat Ridge during the 1992 budget year,
there is hereby levied a tax of 2.714 mills upon each dollar of
the total valuation for assessment of all taxable property within
the City for the year 1991.
B. That the Mayor of the City of Wheat Ridge is hereby
authorized and directed to immediately certify to the County
Commissioners of Jefferson County, Colorado, the mill levy for
the City of Wheat Ridge as hereinabove determined and set.
DONE AND RESOLVED THIS
25th DAY OF November , 1991.
/') -Ii
\0)~}i~:~;d' ~or
Clerk
...'
144
OFFICIALS
CITY OF WHEAT RIDGE
MAYOR
RAY WINGER
VANCE EDWARDS
KENT DAVIS
ELISE BROUGHAM
PHILLIP EDWARDS
CITY COUNCIL
DISTRICT I
DISTRICT II
DISTICT III
DISTRICT IV
RONALD SELSTAD
ANTHONY FLASCO
DONALD EAFANTI
WILLIAM SHANLEY
CITY CLERK
WANDA SANG
CITY TREASURER
JAMES O. MALONE
CITY ATTORNEY
JOHN E. HAYES
MUNICIPAL JUDGE
RANDALL J. DAVIS
CITY ADMINISTRATOR
VACANT
DIRECTOR OF PLANNING & DEVELOPMENT....................GLEN GIDLEY
DIRECTOR OF PARKS & RECREATION........................GARY WARDLE
CHIEF OF POLICE.....................................JACK A. HURST
DIRECTOR OF PUBLIC WORKS............................ROBERT GOEBEL
BUDGET/FINANCE ASSISTANT........................WILLIAM W. POWELL
PERSONNEL ASSISTANT.................................PATRICIA CREW
145
1992 BUDGET AND FINANCIAL POLICIES
FORM OF GOVERNMENT
The City of Wheat Ridge was incorporated in August, 1969, and
comprises a total area of 9.1 square miles. In 1976, Wheat Ridge
became a Home-Rule city, as defined by Colorado Revised Statutes,
Title 31.
The Charter for the City of Wheat Ridge provides for a
Council-Mayor-Administrator form of government. The executive
power is vested in a Mayor who appoints an Administrator, with
the approval of City Council, to run the daily affairs of the
Ci ty. The City Council is composed of eight members who are
elected bi-annually, two from each of the four districts. The
Mayor, City Clerk and City Treasurer are elected at large for
two-year terms each.
The rights of the people have been retained through the
powers of recall, initiative and referendum. The Charter is a
document of consensus and compromise. As provided by the
Charter, all the powers and the determination of all matters of
policy are vested in the Council except as otherwise provided.
The City Administrator, as provided by the City Charter, is
responsible to the Mayor and City Council for the proper
administration of all affairs of the City and to that end shall
have the power and be required to:
a) Be responsible for the enforcement of the laws and
ordinances of the City;
b) Hire, suspend, transfer and remove City department heads
under his/her jurisdiction;
c) Make appointments of subordinates on the basis of merit
and fitness;
d) Cause a proposed budget to be prepared annually and
submitted to the City Council and be responsible for the
administration of the budget after its adoption;
e) During the month of July, and as often as the Council
may require, prepare and submit to the Council a budget
status and forecast report with any recommendations for
remedial action;
f) Prepare and submit to the Council, as of the end of the
fiscal year, a complete report on the finances and
administrative activities of the City for the preceding
year and, upon the request of the Council, make written
or verbal reports at any time concerning the affairs of
the City under his/her supervision;
g) Keep the Council advised of the financial condition and
future needs of the City and make such recommendations
to the Council for adoption as he/she may deem necessary
or expedient;
h) Exercise supervision and control over all departments
under his/her jurisdiction;
146
i) Be responsible for the enforcement of all terms and
conditions imposed in favor of the City in any contract
or public utility franchise, and upon knowledge of any
violation thereof, report the same to Council, for such
action and proceedings as may be necessary to enforce
the same;
j) Provide engineering, architectural, maintenance, and
construction service required by the City;
k) Attend City Council meetings and participate in
discussions with the Council in an advisory capacity;
1) Perform such other duties as may be prescribed by the
Charter, by ordinance, or required of him/her by Council
and which are not inconsistent with the Charter.
BUDGET
On or before October 15th of each year, the Ci ty
Administrator shall submit to the Council a proposed budget for
the next ensuing budget year commencing the following January 1,
with an explanatory message. The proposed budget shall provide a
complete financial plan for each fund of the City and shall show
comparative figures for the last completed fiscal year,
comparative figures for the current year, and the City
Administrator's recommendation for the ensuing year.
The City Council sets times for public hearings, at which
time the public may comment on the proposed budget. After the
public hearings, and before the last day of December of each
year, the Council shall adopt the budget for the ensuing year.
In addition to the operating budget, a six-year Capital
Improvement Program is revised and extended annually. The City
Council adopts the program as a planning document, but does not
appropriate the multi-year expenditures. Annual installments to
the identified projects are appropriated in the annual operating
budget or by supplemental appropriations. Thus, major additions
to the infrastructure are normally accounted for through the
Capital projects Fund.
The budget document is prepared on a GAAP (Generally Accepted
Accounting Principles) basis, consistent with the accounting
records and annual financial statements of the City, in
accordance with the Colorado Local Government Budget Law.
Appropriations are controlled and the budget is only amended in
conformity with Colorado Revised Statutes. Supplementary budgets
and appropriations must be adopted by resolution at a City
Council meeting after publication of the proposed resolution in a
local newspaper.
147
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
The accounting policies of the City of Wheat Ridge conform
to generally accepted accounting principles as applicable to
governments. The following is a summary of the more significant
policies.
The basis of accounting refers to when revenues and
expenditures or expenses are recognized in the accounts and
reported in financial statements. Basis of accounting relates to
the timing of the measurement made, regardless of the measurement
focus applied.
All governmental funds are accounted for using the modified
accrual basis of accounting. Their revenues are recognized when
they become measurable and available as net current assets.
Those revenues susceptible to accrual
interest revenue, and grant revenue from
sources. Fines, permits and sales tax
susceptible to accrual because generally they
are property taxes,
state and federal
revenues are not
are not measurable.
148
GOVERNMENTAL FUNDS
General Fund -
The General Fund is the general operating fund of
is used to account for all financial resources
required to be accounted for in another fund.
the City. It
except those
Special Revenue Funds -
Special Revenue Funds are used to account for the proceeds of
specific revenue sources that are legally restricted to
expendi tures for specified purposes. Special Revenue Funds of
the City include the following:
Park ACQuisition Fund -
The Park Acquisition Fund was established to account for
funds received and designated for park improvements and the
acquisition of additional parklands.
Police Investigation Fund -
Colorado State Law allows seizure by, and forfeiture to, law
enforcement of property and funds which are associated with
Class 1 nuisance violations, C.R.S. 16-13-302, entitled
"Public Nuisance Policy". Seizure and forfeiture of property
is also allowed under Colorado Contraband Forfeiture Act,
C.R.S. 16-13-501. Any funds awarded pursuant to either of
these statutes shall be placed into a special budgetary
fund, hereafter referred to as the "Police Investigation
Fund", and shall be for the sole use of the Police
Department for purposes other than for meeting normal
operating needs. This fund was created beginning with the
1990 fiscal year.
Conservation Trust Fund -
The fund accounts for monies received and restric~ed as to
use in the acquisition, development and maintenance of new
conservation sites or for capital improvements or
maintenance for recreatioonal purposes on any public site,
pursuant to Colorado Revised Statutes, Title 138. Funds are
derived from distribution of 40% of the net proceeds of the
Colorado Lottery and is received on a quarterly basis.
Capital Projects Fund -
The Capital Projects Fund (formerly Capital Improvement
Fund) was established to account for monies received as a
resul t of a one percent (1%) increase in the City I S sales
tax starting March, 1976. The revenues of this fund are to
be used for capital proj ects ( i. e., drainage, street, and
traffic improvements, and major additions to City
buildings) . Proj ects are recommended by the Street
Committee, reviewed by the Planning Commission, and approved
by City Council through the annual budget process.
149
Open Space Fund -
The City of Wheat Ridge is committed to preserving valuable
remaining open space resources. The Jefferson County Open
Space program acquires land for public enjoyment (i.e.,
parks, playgrounds, lakes, trails, etc.) and then donates
the land to the City for use as public land. Open Space
funds are derived from a .5% sales tax collected by the
State for Jefferson County.
Senior Center Fund -
The Senior Center Fund
account for contributions
Center. The expenditures
activities of the Center.
was established during 1981 to
made to the Wheat Ridge Community
of this fund are used to support
Building Repair/Demolition Fund -
The Building Repair and Demolition Fund was established
during 1981, as a revolving fund. Structures are repaired
or demolished at City expense, and the property owner is
then billed for the cost of the repair or demolition.
Debt Service Funds -
Debt service funds are used to account for the accumulation of
resources for, and the payment of, general long-term debt
principal and interest. Both of the debt service funds were
created in 1988, and are included in the appropriated budget to
show the bond principal and interest payments due each year.
Special Improvement District No. 1987-1 -
The fund accounts for the principal and interest received
from special assessments levied on property owners located
in the District, and the semi-annual payment of principal
and interest towards the Special Assessment Bonds maturing
over the next ten years.
Sales Tax Revenue -
The fund accounts for the payment of principal and interest
towards the Sales Tax Revenue Bonds maturing over the next
ten years. The full amount of the bond issuance has been
invested in U.S. Government Securities which have been
scheduled to mature within thirty days prior to each semi-
annual interest and principal payment required.
150
REVENUES
Revenue Policy -
The City of Wheat Ridge strives to achieve and maintain the
most balanced revenue structure possible. Because Wheat Ridge is
a well established community, annual revenues are stabilized and
can be used year to year as a sound revenue base.
Annually the City reviews all fees for licenses, permits,
fines and other miscellaneous charges as part of the budget
process. Revenues are conservatively estimated and projected for
five years and are updated annually.
GENERAL FUND
TAXES -
Property Tax -
Property taxes are levied on December 31, and attach as an
enforceable lien on property as of January 1. Taxes are due as
of January 1, and are payable in full by July 31 if paid in
installments, or April 15 with a single payment. Taxes are
delinquent as of August 1. If the taxes are not paid wi thin
subsequent statutory periods, the property is sold at a public
auction. Jefferson County bills and collects the property taxes
and remits collections to the City on a monthly basis after
deducting a 1% collection fee.
It is the policy of the City to record the property tax
receivable in the year in which the taxes are levied and to
recognize the property tax revenues in the year in which the lien
attaches on the property. The receivable of $568,301 is based
upon budgeted taxes expected to be received in 1992.
Liquor Occupational Tax -
The City of Wheat Ridge levies an occupational tax on all
operators licensed to sell various classifications of liquor
wi thin the city limits. These operators are billed annually
based on the following schedule:
Classification
D - Retail Liquor store
E Drug Stores
F - Beer & Wine
G - Hotel & Restaurant (Extended)
Jl - 3.2 Package Beer Off Premises
J2 - 3.2 Beer On Premises
Tavern
Amount
$ 500
500
500
700
500
500
1100
The revenue derived from liquor occupational tax has
remained consistent over the past eighteen years with an increase
each time the rates are increased. The most recent increase was
151
effective the 1986 budget year. The City anticipates $50,000 in
revenues from this source for 1992.
Vehicle Ownership Taxes -
This is a tax paid by owners of motor vehicles, trailers,
semitrailers and trailer coaches in lieu of any ad valorem taxes.
The amount of the tax paid is a function of the class, age and
value of the vehicle. Generally, the amount of tax paid
decreases with the age of the vehicle.
Specific ownership taxes for Class A vehicles, which
includes any motor vehicle, truck, truck tractor, trailer or
semi trailer used to transport persons or property over public
highways for compensation, are paid to the State. The state
distributes this revenue among counties based upon the proportion
that state highway mileage in the county bears to the total state
highway system. There are no restrictions on the use of this
revenue.
All other classes of specific ownership are paid to the
county. The county treasurer then distributes this revenue based
upon the amount that the property tax collected by the county and
each political and governmental subdivision bears in relation to
all property taxes collected in that county.
The revenue derived from this source stays consistent each
year and a total of $45,000 has been budgeted for 1992.
Sales Tax -
The City of Wheat Ridge levies a 2% tax on all retail sales,
leases, and rentals, with one-half, or 1%, going into the General
Fund for operations, and the other 1% going into the Capital
proj ects Fund to finance capital improvements. Through a very
aggressive policy of prompt and efficient collection of sales and
use taxes, sales tax collections make up 45.75% of the City's
total General Fund revenue and 93.69% of the Capital proj ects
Fund revenue (excluding carryover fund balance).
The major sales tax revenue producers for Wheat Ridge are
public utilities, grocery stores, a department store and a liquor
store. Sales tax collections fluctuate based on weather or
holidays, but Wheat Ridge's major businesses are stable and
continue to provide a strong base for sales tax revenue.
Use Tax -
A 2%
property
sales tax.
use tax is levied upon the use of tangible personal
and taxable services not subject to the Wheat Ridge
This tax is strictly a General Fund revenue source.
152
Public Service Comoanv Franchise Fee -
A franchise payment is accepted by the City from the Public
Service Company of Colorado in lieu of all occupancy or
occupation and license taxes, and all other special taxes,
assessments or exercises on the right to do business. Revenues
are derived from a sum equal to 3% of the gross revenue from the
sale of gaseous fuel and electricity within the corporate limits
of the City. Public Service Company remits payments to the City
on a monthly basis, with an annual adjustment for the prior year
made on the last day of the first quarter of each year.
Telephone Occupation Tax -
There is levied on and against each telephone utility
company operating wi thin the City, a tax on the occupation and
business of maintaining a telephone exchange and lines connected
therewith in the City and of supplying local exchange telephone
service to the inhabitants of the City.
The annual amount of the tax levied is equal to 3% of gross
revenues, paid in twelve (12) equal monthly installments, each
installment to be paid on the last business day of each calendar
month.
Lodger's Tax -
Effective January 1, 1986, an excise tax was levied on the
price paid or charged for the lease, rental, or furnishing of
rooms or other public accommodations in any hotel, apartment
hotel, guest house, guest ranch, mobile home, auto camp, trailer
court or park, or any other place furnishing rooms or other
public accommodations. The tax levied and collected is at the
rate of five percent (5%) of the purchase price paid, and is in
lieu of City sales tax. The proposed amount of lodger's tax for
1992 is $240,000.
Admission/Amusement Tax -
An excise tax of four percent (4%) was also levied effective
January 1, 1986, on each person who pays to gain admission or
access to a performance of a motion picture or to the use of
lanes and pin setters for bowling balls in a bowling alley
located within the city limits of Wheat Ridge. Effective January
1, 1989, the City added miniature golf to the classification and
requires an admission tax to be levied. Due to Wheat Ridge not
having any motion picture theaters at the present time, and the
bowling alleys being well established, the City has budgeted
$42,000 for 1992.
153
LICENSES AND PERMITS -
Amusement Device Licenses -
This is an annual license fee for operating amusement
devices, for the purpose of promoting amusement facilities
providing a lawful and wholesome recreational outlet for young
persons, specifically and generally to the citizens of the City.
All establishments pay an annual fee of $50.00 per amusement
device. Applications for an arcade license shall pay a $50.00
investigation fee. All fees are paid in advance.
Arborist Licenses -
The Mayor of the City of Wheat Ridge issues Arborist
Licenses for the purpose of engaging in the forestry business
within the city limits, upon recommendation by the Arborist
Board. The application fee is $10.00, and the annual license fee
is $25.00. Wheat Ridge has been named Tree City U.S.A. for the
eleventh consecutive year, by the National Arborist Association.
Contractor's Licenses -
This is an annual license fee for all construction
contractors doing business within the corporate boundaries of the
City of Wheat Ridge. The fee is either $50.00 or $75.00 annually
based on the type of contractor being licensed.
LiQuor Licenses -
The State delegates the authority of issuing certain liquor
licenses to the Wheat Ridge City Council. The state Department
of Revenue allocates 85% of the license fee to be applied to the
Old-Age Pension Fund.
A fee of $450.00 is collected as a new license investigation
fee; transfer of ownership or location is $250.00; change in
managers is $75.00; new licenses require a $200.00 survey fee.
Annual license fees range from $3.75 to $78.75, based on class of
license.
Building Permit/Inspection Fees -
Within the city limits of Wheat Ridge it is unlawful for any
person, firm, or corporation to erect, construct, enlarge, alter,
repair, improve, remove, convert, or demolish any building or
structure regulated by the Uniform Building Code (UBC), or cause
the same to be done without first obtaining a separate permit for
each building or structure from the building official. Permit
fees are based on the dollar valuation of the work to be done.
If work authorized is not commenced within 60 days of issuance,
or if work is abandoned or suspended for 120 days, then a new
permit is required and the fee shall be one-half of the original
fee.
154
Building permits are budgeted based on economic trends in
our local area. The 1992 budget is calculated based on 1991
estimated figures.
street Cut Permits -
The Public Works Department issues street cut permits for
all street excavation, curb and gutter, sidewalk, cross pans, and
street or road construction work done within the city limits of
Wheat Ridge. Prior to 1987, water and/or sanitation districts
and public utilities were exempt from these permit requirements.
Cable Television Permits -
For the privilege of having a cable television permit, the
company shall make permit payments for the use of the streets and
other facilities of the City in the operation of the cable
television system. The company shall pay 3% of gross subscriber
revenues minus sales taxes and other subscriber based taxes every
six months. The permit fee may be increased or decreased by the
City at any time the company institutes a subscriber rate change,
pursuant to section 23 of the Municipal Code. Cable Television
permi t fees have remained stable due to little change in local
population.
Elevator Inspection Fees -
In December of each year, the business located in Wheat
Ridge that have operational elevators must be inspected for
safety. The City charges $65.00 for each elevator inspection.
Revenue from this source is very minimal and does not fluctuate
annually.
Business License Fees -
Effective December, 1986, the City imposed an annual
business license fee for all vendors doing business wi thin the
city limits of Wheat Ridge. A $5.00 first-time application fee
is charged for new businesses, and an annual renewal fee of
$10.00 is charged January 1 of each year and collected on the
January sales tax return form. At the present, over 2,800
businesses are licensed, bringing an estimated $25,000 in revenue
to the City.
INTERGOVERNMENTAL REVENUE -
State Cigarette Tax -
The state taxes wholesale distributors of cigarettes at the
rate of twenty cents per pack. State tax stamps are issued to
the distributors as evidence of payment.
Each year an amount of State funds equal to 27% of the
proceeds from the tax on cigarettes is distributed to counties
and municipalities that do not impose any fee, license or tax on
155
cigarettes. The amount received is based on the proportion of
state sales tax collected in each municipality and from the un-
incorporated area of a county.
The 1992 budget figure reflects the same amount of revenue
as the 1991 budgeted amount based on the amount of state sales
tax revenues collected by the state Department of Revenue, per
Colorado Municipal League estimates.
Jefferson Countv Road and Bridge Tax -
Each county in the state maintains a county road and bridge
fund for road and bridge construction, maintenance, and
administration, funded by a mill levy property tax. Each
municipality located in any county is entitled to receive half of
the revenue accruing to said fund, for the purpose of
construction and maintenance of roads and streets located within
the City's boundaries. Legally, this is the only use for these
funds. Jefferson County collects this tax and remits it to the
City quarterly. An estimated $440,000 is expected in income to
the City for 1992.
State Highwav Users' Tax Fund -
The Highway Users' Tax Fund is comprised of several revenue
sources. The first is the net revenues derived from imposition
of any license or registration fee, from any "ton-mile" or
"passenger-mile" tax, from penalty or judicial assessments, from
certain miscellaneous collections, and from excise taxes on
gasoline or other liquid motor fuel.
The second source is the additional revenues raised by
excise taxes on gasoline or other liquid motor fuel which
increased from 18 cents to 20 cents per gallon on August 1, 1989
through December 31, 1990. On January 1, 1991 the gas tax
increased to 22 cents per gallon.
The third source is an allocation from the "windfall" monies
in 1987-88 and a General Fund allocation from 1988-89 through
1990-91, which will be subjected to legislative appropriation
each year. This third source is a partial replacement for the
revenue loss due to the repeal of the Noble Bill provision in
1987.
Funds received from the base HUTF revenues may be used for
engineering, reconstruction, maintenance, repair, equipment,
improvement, and administration of streets and roads. No more
than 5% of these funds may be used on administration. Revenues
from the additional motor fuel taxes and the "windfall" and
General Fund monies may be used for new construction, safety
improvements, maintenance, and capacity improvements; none may be
used for administrative purposes.
The Colorado Municipal League has prepared a listing of the
amounts to be allocated to the various municipalities for 1991,
156
which was used as the basis for the 1992 budget.
$660,000.
This amount is
Motor Vehicle Registration Fees -
state law requires payment of an annual registration fee for
all vehicles. The amount of the fee is based on the class and
use of the vehicle. Out of each fee paid by the owner of the
vehicle, $2.50 is credited to the county within which the vehicle
is registered. In addition to the base fee, an additional fee of
$1.50 is paid for every motor vehicle, trailer, and semitrailer.
Both the $2.50 and the $1.50 fee collected by the county are
allocated among the county and cities and towns within the county
on the basis of the number of vehicles registered in each city
and town, for the county, and in the un-incorporated area of the
county. The revenue received by a county, city or town from
registration fees must be spent on the construction or
maintenance of roads and bridges.
The City of Wheat Ridge has budgeted $100,000 for motor
vehicle registration fees for 1992 based on prior years actual
receipts.
CHARGES FOR SERVICES -
Zoning Application Fees -
The City requires that an application fee be paid for all
rezoning requests and a site plan review fee be paid for all site
plan reviews. These rezoning requests must then meet posting,
publication, and public hearing requirements established by the
City. Per City Code, a fee of $200.00 per application is charged
for rezoning requests, and $150.00 per site plan review. Special
use permits and variances require $50.00 processing fees.
LiQuor Hearing Fees -
The City charges $50.00 per each new liquor license
location. This fee is for a public hearing and survey for
citizen's living in the vicinity of the new liquor establishment,
to whether they approve of the establishment being in their
neighborhood, or not.
Park and Recreation Fees
The Recreation Division has developed the
objectives in the establishment of its fee policy:
following
1) To provide a variety of different types of recreation
programs and services to youth, adults, and senior
citizens in the areas of athletics, leisure arts,
continuing education programs and seasonal aquatics.
2) Operation of two community centers and one outdoor
swimming pool.
157
3) To make these programs self-sustaining through fees and
charges, the Recreation Division should recover a
minimum of 46% of its total costs in revenues generated
through fees and charges.
Swimming Pool Fees -
Admission and lesson fees charged for the use of the City
swimming pool.
The 1992 budget shows an increase of $4,000 over the 1991
budget. This increase includes a raise in fees added before the
1990 swim season, and the additional volume of participants.
Concession stand revenue should also increase with the additional
swimmers.
Weed Mowing/Cleanup -
Revenue received from site cleanup and weeds that are mowed
at taxpayer expense are being accounted for in a separate line
item account. Prior to 1990, any money received was accounted
for as a reimbursement to the expenditure account where the cost
of mowing or cleanup was recorded.
Police Records/Search Fees -
These fees are to reimburse the City for costs related to
the release of records information. Based on number of annual
requests, these fees reimburse the City for approximately $10,000
annually.
FINES & FORFEITURES -
Municipal Court Fines -
All fines are set by the court for each violator, wi thin
legally set limits. Traffic tickets, summons, jury trials, and
forfeitures are received by the Treasurer's office from the
Municipal Court as City revenue. The amount received annually
had been approximately $130,000. With the addition of the State
Highway Safety Grant in 1988, an increase in traffic tickets
issued and fines received have boosted revenues above the yearly
average to an estimated yearly total of approximately $393,000.
The Wheat Ridge Coalition has been approved for a grant for 1992
totaling $10,000. Money from these grants is being used to
promote drug and alcohol prevention and abuse to high risk youth
in the Wheat Ridge area.
OTHER REVENUE -
Interest Income -
The City Treasurer is responsible for the prudent investment
of all City funds and schedule investments to insure that there
is as little idle cash as practical. Due to the decreasing
interest rates in 1991, estimated revenues from interest are
158
anticipated to be about $5,000 less than budgeted in 1991. The
rates and economic indicators show a decline in interest rates
for 1992.
Rent/Richards-Hart Estate -
The City of Wheat Ridge purchased the Richards-Hart Estate
in 1983, and in 1985 restored it to the late 1860's era, using
Open Space monies. The mansion is currently used for public
meetings and special events, and rent deposits are collected and
returned for its use in purchasing period pieces and antiquities.
The City also purchased a duplex located at the site and rents it
out to occupants for which we collect a nominal fee on a monthly
basis.
Miscellaneous Income
Revenue sources that are not easily categorized in the other
revenue accounts are accounted for under Miscellaneous Income.
This includes copy charges, auction proceeds, mineral severance
tax, and pension forfeitures.
TRANSFERS IN -
The 1989 budget provided for a transfer from the Capital
Improvement Fund of $500,000 to cover engineering and
administrative costs connected with capital improvements made by
the City. That amount has been decreased to $500,000 for budget
year 1992.
A separate fund was established in 1982 for Open Space
transactions. Jefferson County collects a .5% sales tax for the
Open Space Program. The county, cities and towns located in
Jefferson County may participate in the program. Expendi tures
and/or contract obligations must constitute purposes which are
authorized by the Program. These include: administration of
Open Space, planning for Open Space, acquisition of Open Space,
development of access to Open Space, development of paths and
trails on Open Space, construction of public trails, preservation
and/or maintenance of Open Space, protection of Open Space,
construction and acquisition of recreation capital improvements,
and, maintenance of recreation capital improvements. In 1988, an
estimated $220,000 for preservation and maintenance costs of City
parks was budgeted for reimbursement from Open Space to the
General Fund. In 1992, this amount is also budgeted at $246,000.
OTHER FUNDS
CAPITAL PROJECTS FUND -
Sales tax comprises 93.69% of the revenue for this fund.
The income (50% of sales tax received) is distributed monthly and
invested until needed to pay capital project contracts, usually
in the late Summer and Fall. The $25,000 miscellaneous income
159
amount is the citizens share of the curb/gutter/sidewalk program
which takes place every Summer and provides Wheat Ridge citizens
an opportunity to replace old, worn sidewalks with new ones at a
reduced cost. The carryover each year is based on unspent
appropriations, usually occurring when costs come in less than
anticipated. Large carryover balances are reallocated the
following year and a revised budget document is approved by City
Council, and the Division of Local Governments is notified per
Colorado Budget Law.
PARK ACOUISITION FUND -
When a new subdivision is approved for Wheat Ridge, the
developer is required to place a certain percentage of the
project cost into the park acquisition fund for future purchases
of additional parklands and park improvements. This amounts to a
very small contribution each year and the fund balance is being
carried forward until there is enough money available to acquire
additional parkland or make park improvements.
OPEN SPACE FUND -
All revenue to the Open Space fund is derived from the
Jefferson County Open Space Program sales tax collections.
Reimbursement can either be made on a pre-payment basis with the
approval of a contract agreement, or on a post-payment basis with
supporting invoices and actual charges. The City will be
expending $1.902 million in 1992, with 100% reimbursement
expected from Jefferson County Open Space.
SENIOR CENTER FUND -
Through the efforts of senior citizens in our community,
donations and fundraising events earn approximately $6,000
annually for acquisition of items to be used at the Wheat Ridge
Community Center. Purchases are made only after the funds have
been accumulated.
CONSERVATION TRUST FUND -
The Conservation Trust Fund statute governs how
municipalities can expend lottery proceeds. Each municipality's
share is based on population estimates from the prior year.
Because proceeds are distributed quarterly each year, budgeted
expenditures cannot take place until after the proceeds are
received. So, there is usually a carryover from one year to the
next for use of the proceeds, which fluctuate annually.
Colorado's expansion into the Lotto games will show a decline in
lottery proceeds for the next two years until the game becomes
established.
160
BUILDING REPAIR/DEMOLITION FUND -
Revenue for this fund is derived from seed money established
in 1981, for use as a revolving fund. structures are repaired or
demolished at City expense, and the property owner is then billed
for the cost of the repair or demolition. To date, this fund has
never been used.
POLICE INVESTIGATION FUND -
Beginning with the 1990 fiscal year, all proceeds from
seizures and forfeitures of property pursuant to C.R.S. 16-13-302
and 501 shall be placed in this fund and shall be used solely by
the Police Department for purposes other than for meeting normal
operating needs.
SPECIAL IMPROVEMENT DISTRICT 1987-1 -
A special improvement district was created in April, 1988
for the purpose of reconstructing the 1-70 Service Road North
from Kipling to Ward Roads. Property owners benefiting from this
reconstruction were assessed and the amounts due will be placed
as a lien on the property until paid. Jefferson County is
collecting these assessments and remitting them to the City to
make principal and interest payments towards the Special
Assessment Bonds maturing over the next nine years.
SALES TAX REVENUE -
Sales Tax Revenue Bonds were sold in August, 1988 for the
sole purpose of providing additional monies to construct capital
projects in 1988. The principal and interest on these bonds will
be paid from sales tax revenues received in 1988 and interest on
investment of this revenue over the next nine years.
161
EXPENDITURES
GENERAL FUND
The General Fund is comprised of nine different departments
and thirty-one divisions. Each division is broken down into four
classifications: Personal Services, Materials and Supplies,
Other Services and Charges, and Capital Outlays. These
classifications are then divided even further into object/line
items.
Personal Services include salaries, overtime pay, insurance,
retirement, and other related costs to the City for permanent and
hourly employees. The 1992 budget allocates $437,552 for salary
adj ustments. The City of Wheat Ridge has a compensation plan
that allows for progression through the salary ranges adopted by
City Council, that allows for recognition of extraordinary
performance by employees, and that is competitive in the
marketplace. Employees who exhibit high quality job performance
may be recommended for a performance increase within the assigned
salary range of the position. Such increase shall be determined
based upon evaluation by the appropriate supervisor, and based
upon a matrix. The percentage increases provided for in the
matrix are established by the City Administrator based on the
funding level approved by the City Council.
Materials and Supplies encompasses administrative costs,
such as office supplies, postage, and photocopy charges.
other Services and
books, subscriptions,
lease/rental payments,
charges, etc.
Charges contains such items
conference and meeting
training and safety programs,
as dues,
expenses,
telephone
Capital Outlays are fixed assets over $200 approved by
budget. A schedule of the 1992 General Fund Capital Outlays and
Capital Leases is included in the Appendix section of this budget
document.
OTHER FUNDS
Capital Projects Fund -
The City continues to operate under its existing Capital
Improvement Policy:
1) The City develops a multi-year plan for capital
improvements and updates it annually,
2) The City makes all capital improvements in accordance
with the adopted Capital Improvement Program,
162
3) The City identifies estimated costs and funding sources
for each capital project requested before it is
submitted to City Council, and
4) The City uses intergovernmental assistance to finance
only those capital improvements that are consistent
with the Capital Improvement Program and City
priorities, and whose operating and maintenance costs
have been included in the operating budget forecasts.
Capital expenditures are financed by one percent (1%) of the
City's two percent (2%) sales tax.
Park ACQuisition Fund -
No monies were spent from this fund in 1991.
Open Space Fund -
Open Space funds for 1992 will be used for park acquisition
and improvements, and a reimbursement to the General Fund for
expenses incurred in the maintenance of City parks.
Senior Center Fund -
Accumulated proceeds from fundraisers will be used to
provide needed items at the Wheat Ridge Community Center.
Conservation Trust Fund -
The Colorado Lottery distribution for 1992, plus
from 1991, will be used for various development
maintenance projects.
a carryover
and parks
Building ReQair/Demolition Fund -
Due to this being a revolving fund to provide monies to
repair and demolish buildings in Wheat Ridge, the full amount
budgeted is carried forward each year to fund expenses incurred.
Police Investigation Fund -
All expenditures in this newly created fund are in
conformance with C.R.S. 16-13-302 and 501. The Police Department
will be making purchases as necessary to enhance their job
performance.
Special Improvement District No. 1987-1 -
This debt service fund budgets for principal and interest
payments to payoff that portion of the bonds outstanding each
year for the ten year maturity schedule of those bonds.
163
Sales Tax Revenue -
Capital
invested into
meet interest
amounts due
expenditures.
Projects Fund sales tax revenue for 1988 was
securities and scheduled to mature semi-annually to
and bond payments over the next nine years. The
to be paid each year are budgeted for as
164
CAPITAL IMPROVEMENT PROGRAM
The City of Wheat Ridge is bounded on three sides by four
municipalities. The fourth side is unincorporated Jefferson
County, which we do not plan on annexing in the near future.
Even though Wheat Ridge was incorporated in 1969, this bedroom
community of Denver was established in the early 1900's, and the
citizens here strive to retain it's rural atmosphere.
Eighteen water and sewer districts lie within the City
limits of Wheat Ridge, with some districts overlapping into other
municipalities. Fire protection is also a special district
funded through property tax dollars. The City does not have a
library, nor a municipal airport or golf course, nor does it
provide garbage collection service for it's residents. Metro
Denver transportation is funded through a .6% sales tax collected
and distributed by the state. The Capital Improvement Program
and Fund encompasses streets, bridges, curbs and gutters,
drainage systems, and lighting system improvements and projects,
in Wheat Ridge.
Citizen Particioation -
It is the intent of the City Council to develop and
implement a program for soliciting citizen involvement and
participation through the formulation of a Capital Improvement
Program and the creation of the "street committee". The street
Committee has been instrumental in helping to prioritize capital
projects to be completed in the 1988-1992 Capital Improvement
Program. Citizen input is received through public hearings prior
to the adoption of the City's annual budget, when appropriations
for each year's expenditures are authorized. The City Charter
requires review of the annual capital budget by the Planning
Commission prior to the preliminary budget being submitted to the
City Council.
Capital Improvement Policv -
The City continues to operate under the following Capital
Improvement Policy:
1 )
2)
3)
4)
The City develops a multi-year plan for capital
improvements and updates it annually,
The City makes all capital improvements in accordance
with the adopted Capital Improvement Program,
The City identifies estimated costs and funding sources
for each capital project requested before it is
submitted to City Council,
The City uses intergovernmental assistance to finance
only those capital improvements that are consistent
with the Capital Improvement Program and City
priori ties and whose operating and maintenance costs
have been included in the operating budget forecasts.
165
Capital FinancinQ -
The Capital Improvement Fund is financed with a one-percent
(1%) sales tax approved by voters effective March, 1976. This
accounts for 93.69% of the revenue for this fund. The remainder
comes from interest earned on invested monies, and citizen
matching funds for the annual curb/gutter/sidewalk program. In
1988 and 1990, additional matching funds are anticipated for
joint street projects with the City of Lakewood. Sales tax
revenues have a strong impact on the proj ects scheduled for a
particular year, and the City upholds the policy of budgeting and
completing only those projects which have funding for that year.
Capital outlays for vehicles and equipment were funded with
Federal Revenue Sharing monies prior to 1987. When the program
ended, these items were incorporated into the General Fund
budget. Parks and Recreation capital proj ects are paid out of
the City's attributable share of Jefferson County Open Space
monies, derived from sales tax, and the Conservation Trust Fund
wi th proceeds from the State Lottery. Governmental facilities
are budgeted in and paid out of the General Fund. Economic
development is funded and administratively controlled by the
Economic Development and Revitalization Commission (EDARC),
formerly Urban Renewal Authority (URA), and funded through sales
and property tax, and interest proceeds.
Effective in 1987, the Capital Improvement Fund reimbursed
the General Fund for engineering costs associated with capital
projects. This included personal services only. The 1988 budget
expands this reimbursement to include personal services,
materials and supplies, and other services and charges.
166
INVESTMENT POLICY
Investment POlicv -
The City of Wheat Ridge makes use of pooled cash to invest
under the prudent investor rule. The prudent investor rule is that
investments shall be made with the exercise of that judgement and
care, under circumstances then prevailing, which persons of
prudence, discretion, and intelligence exercise in the management
of their own affairs, not for speculation but for investment,
considering the probable safety of their capital as well as the
probable income to be derived.
The City Treasurer is responsbile for investment of City funds
within the following guidelines and is directed to carry out the
investment procedures as follows:
1 )
Determine cash flow requirements from all
(Department Heads, Purchasing Division,
Council Minutes, etc);
sources available
Budget Officer,
2) Determine amount of idle cash and length of time money can
be invested to best fit City needs;
3) Request interest quotes for each investment from the entire
list approved by City Council. The results of such request
for quotes and also which quote was accepted shall be
forwarded to Council, as information, at the next regular
meeting;
4) Award investments according to highest quote and, if there
is a tie quote, preference of determination shall be based
on:
a) Local bank or savings and loan within the City limits,
and,
b) Distribution of funds made to the institution with the
lesser amount currently on deposit.
5) All funds of the City to be deposited with an eligible
public depository, as required by C.R.S. 11-47-105, 1973.
Per the Governmental Accounting Standards Board (GASB),
statement 3, footnote disclosure is required in the annual audit
report as regards to the deposit of public funds with financial
insti tutions. The City has adopted the policy of limiting the
dollar amount on all Certificates of Deposit to the maximum insured
amount by the F.D.I.C., $100,000. The City can also use Securities
of the U.S. Government and it's agencies, Repurchase Agreements,
the ColoTrust pool, the CSafe pool and the CenTrust pool.
167
DEBT POLICY
The City may borrow money for any municipal
herein and issue the following securities
indebtedness:
purpose as provided
to evidence such
a) Short-term notes,
b) General obligation bonds and other like securities,
c) Revenue bonds and other like securities,
d) Special or local improvement bonds and other like
securities,
e) Any other legally recognized security which the Council
may provide.
The City of Wheat Ridge will use debt financing when it is
appropriate. It will be judged appropriate only when the following
conditions exist:
1) When long-term capital projects are desired;
2) When it can be determined that future citizens will
receive a benefit from the improvement.
It is currently the policy of the City not to enter into debt
financing and to continue with a "pay-as-you-go" philosophy for all
capital outlays and improvements.
The City is currently using a lease/purchase plan to pay for a
large piece of equipment and also to pay for eight photocopiers.
The lease agreements specifically state that the lease/purchase can
be cancelled at any time if the City Council does not appropriate
funds for that purpose. Funds are budgeted and encumbered for that
year's payments only.
168
RESERVE POLICY
General Fund Reserve -
The City of Wheat Ridge strives to maintain unappropriated
reserves that total at least eight percent (8%) of the General
Fund operating budget.
This policy is carried out in the annual budget process. The
1992 budget reflects a reserve amount of $1,736,792, or (18.92%)
percent of the General Fund operating budget.
General Fund cash of $100,000 has been restricted by the City
Council for emergency situations affecting the lives and property
of the Wheat Ridge's citizens. Expenditures must be approved in
advance by the City Council, or in situations where members of
City Council cannot be contacted, the Mayor and the City
Administrator can approve emergency expenditures, provided a
subsequent report is made at the next City Council meeting.
169
CITY OF WHEAT RIDGE, COLORADO
ENHANCED SALES TAX INCENTIVE PROGRAM (ESTIP)
The Wheat Ridge City Council adopted Ordinance No. 758, May
23, 1988, creating the Enhanced Sales Tax Incentive Program
( ESTIP ). The purpose of the ESTIP program is to encourage the
establishment and/or substantial expansion of retail sales tax
generating businesses wi thin the city of Wheat Ridge with the
intent of stimulating the economy wi thin the City, providing
employment for residents of the City, and expanding the goods
available for purchase and consumption by residents of the City.
This program should also increase the sales taxes collected by
the City, which would enable the City to provide expanded and
improved municipal services to and for the benefit of the
residents of the City. The City Council adopted Ordinance #854,
November 24, 1990, which revised the ESTIP Program to apply to
smaller businesses.
Applewood Village Shopping Center (AVSC) was the first
participant in the program. An agreement was approved and signed
in March, 1989 between the City and Gerald M. Biehl, General
Partner. It was agreed between the parties to share sales tax
collections over and above a base amount 50/50, up to a maximum
amount of $2 million over a ten year period. A new participant,
Camping World has been added to the program in 1991, based upon a
similar arrangement.
The enhanced sales tax has already been used by the shopping
center to demolish an existing motel and restaurant, to perform
external reconstruction work and install new water lines. Future
work will include landscaping, signage and lighting at the
shopping center.
From April 1, 1989 through September 30, 1991 a total of
enhanced sales tax receipts has been collected in the amount of
$1,075,376 of which 50% or $537,688 has been escrowed for the
AVSC's use.
17r1
1991 BUDGET
SUPPLEMENTAL BREAKDOWN SHEET
GENERAL OPERATIONS - MISCELLANEOUS (01-610-780)
previously (01-610-799)
Difference
$ 40,000
61. 077
$ 21,077
Appropriations
Requests
TOTAL REQUESTS
25,075
12,007
800
10,000
2,000
9,695
1,000
$ 61,007
Seniors Resource Center
Jefferson Center for Mental Health
W.R. Art League
Arvada Center
Jeffco Self-Sufficiency Council
American Red Cross
RAQC
171
GENERAL FUND
CAPITAL OUTLAY REOUESTS 1992
CITY ADMINISTRATOR -
Workstation
Typewriter
Laser Printer
Personal Computer
PURCHASING -
Electronic Postage Scale
Personal Computer
$ 1,500
500
2,000
1,900
5,900
1,500
500
2,000
200
600
750
400
400
1.568
3,918
2,000
875
2.125
3,000
3,000
3,000
2,200
2,200
2.000
2,000
3,000
3,000
CITY CLERK -
Desk
Typewriter
MUNICIPAL COURT
Table
Chairs (2)
Work Stations
Printer
Receipt Printer
Photocopier lease/purchase
BUDGET & SALESTAX -
Lap Top Computer
DATA PROCESSING
Misc. Computer Hardward
PLANNING & ZONING -
Computer Periferals
BUILDING INSPECTION -
Portable Radios (2)
BUILDING MAINTENANCE -
Tools
CODE ENFORCEMENT -
Portable Radios (3)
172
POLICE ADMIN. SERVICES -
Transcriber
JCSO Remote Booking Program
POLICE ANIMAL/PARKS ENFORCEMENT
Trucks (1)
Light Bars, Camper Shell
POLICE COMMUNICATIONS -
Chair
Headsets, Radios (3)
Recording Tapes, Voice Repeater, VHS
Storage Cabinet
RECORDS -
Photocopier lease/purchase
Records Computerization, microfilm
reader/printer
PATROL -
Cameras
Communications Equipment
Patrol Cars (1)
Prisoner Shields, Overhead Light Bars,
Portable B.A. Equipment, Ballistic
Shields
CRIMINAL INVESTIGATIONS -
Argon Light Latent Print Developer
TRAFFIC UNIT -
Motorcycle
PUBLIC WORKS ADMIN -
Printer
ENGINEERING -
Misc. Equipment
STREET MAINTENANCE -
Tandem Dump Truck
Other Major Equip.
173
600
5.625
6,225
28,000
2,725
30,725
650
6,661
7.500
14,811
2,900
13,350
16,250
1,000
360
17,000
9.340
27,700
13,500
6,000
1,200
1,200
1,000
70,000
2.500
72,500
TRAFFIC MAINTENANCE -
Misc. Office Furniture
1 Ton Truck
FLEET MAINTENANCE
Radio Replacements
Distributorless Ignition Tester
Water Cooler
Misc. Tools
PARKS & REC. ADMIN. -
Computer
Richards/Hart Estate Improvements
RECREATION -
Chairs (2)
Laser Printer
Display Board
Outfield Fence
Lifecycle
Scoreboard (2)
Computer
Display Case (2)
Safe
PARKS MAINTENANCE & FORESTRY -
1/2 Ton Pickup
1 Ton Pickup
Backpack Blower/Vacuums (3)
Tailgate Lift
Move Hook Lift
Stake Bed
Golf Cart
Tuff Shed
Planters for 38th Ave.
Handicap Accessibility - Ye Olde Firehouse
Street Tree Planting
GENERAL OPERATIONS -
Telephone Expansion Cards
Photopier (3) and telephone lease/purchase
TOTAL CAPITAL OUTLAY REQUESTS - 1992
174
300
17,000
17,300
10,000
1,000
300
1.800
13,100
1,900
3.166
5,066
300
800
400
3,690
1,642
7,000
2,600
400
1.000
17,832
10,000
15,000
540
2,000
1,500
1,400
4,000
700
4,000
6,000
3,000
48,140
2,200
31,824
34,024
$355,391
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II <Il 'J> I-' VH1l{f).(J) " <n ..... I-' >-3
" '" 1-0 '" <{J)l'Vt-.,;IWw " '" ..... W 0
" '"' 10 '" I-"OO\OCJ1....,J " '" W .. ...
" - - - - - II :.-
" '" '"' '" 1,0 0 O'\U1o&:lro " .. '"' I-' t"'
" '" .. 0 \.ONotvN " .. .. ..... en
" '" en I-' 0'1 I--'.....J UlW " .. CC '"
" "
175
Police
Support:
Operations:
Admin. Svs.
1992 Fleet Replacement
Description
existing lease
payment for
vehicle
new patrol
cars
motorcycles
new APEO trucks
lease cars
Revised
Proposed
~riginally
?roposed
(7)$ 19,293
(7)$ 19,293
(0 )
o
{7; 105,000
auction fugative
transport vehicle
unit 24 (currently
99k miles) and re-
place with current
patrol unit 14
(proJected 120k
m~les) auction
current DARE unit
23 (currently 90k
miles) and replace
with unit 16.
(1)
(1)
8,000
8,000
replace unit 51
(projected 36k miles)
and keep as trainer.
(2) 35,000
(2) 34,912
auction unit 13
but keep existing
box (currently
108k miles) w/4x4
ext. cab & chasis.
transfer unit 367
(currently 76k
miles) to Park &
Rec. and replace
w/4x4 S-lO ext. cab.
( 2 )
(2 )
4,800
4,800
replace unit 16
which was transfered
to DARE acution unit
37 (currenlty 91k
miles)
============================
$ 67,093
$ 172.005
176
1992 Fleet ?eplacement
Public Works
Description
Engineering: existir.g lease
payment for
vehicle
Street Maint. Tandem dump
truck
Sidewall;
sweeper
Traffic:
new truck
177
Pevised
Proposed
(1)$ 2,756
(1)
70,000
replace unit 277
suffered cracked
:::-ame Gamage.
Can possibly be
~~ed ~~ Parks for
l.:.ght Guty as
1993 replacement.
(1 )
(1)
6,000
17,000
replace unit
259 (currently
170k mdes)
rusted floor-
boards.
utili ty bed
truck.
Originally
Proposed
(1)$ 2,756
(1) 70,000
(1) 30,000
(1) 17,000
=================================
$ 95,756
$119,756
Parks & Rec
Recreation:
Description
none
Maintenance: new truck
(1 ton)
new truck
(1/2 ton)
1992 Fleet Replacement
Revised
Proposed
$ 0
(1) 15,000
to add to fleet.
This truck will
be used to tow
show wagon and
current unit
towing show wagon
w1.1l be placed
into maintenance
service
(1) 10,000
to replace unit
368, will not
pass emissions
body is very
rough and rusted.
Originally
Proposed
$ 0
(1) 15,000
(1) 10,000
=G=============~=============
$ 25,000
178
$ 25,000
Plann::.ng &
Development
Plann::..ng
Building
inspectors
1992 Fleet Replacement
Description
lease staff car
r.ew truck
Revised
Proposed
s 0
keep unit 26
in servit;e
(currently 8Sk
miles)
s 0
'-:eep unit 100
::'984 Cavalier,
Goes not fit the
job ::.t's doing
very low ground
clearance. Should
be replaced wlth
truck in '93.
0rig inally
Proposed
(1)S 2,400
(1)$ 15,000
------------------------------
------------------------------
$ 0
179
$ 17,400
Summary of Departments
Revl.sed originally
Proposed Proposed Difference
Police 67,093 172,005 104,912
Public Works 95,756 119,756 24,000
Parks & Recreation 25,000 25,000 0
Planning & Development 0 17,400 17,400
Departments
:'87,849
334,161
:'36,312
increase fleet
maint. acct. 305-662
110,600
102,400
( 6,200)
==az::::cuza.
Total savings to budget
$136,112
180
1992 SALARY SCHEDULE
A. Pay grades and pay ranges for Merit and Civil Service
position classifications and for non-classified positions are hereby
established as listed below. Positions designated with the letter (E)
are professional, executive or administrative in nature and are,
therefore, exempt from overtime payments.
PAY GRADE
POSITION TITLE
PAY RANGE
1
Public Works Maintenance Worker I
1049 - 1469
2
Account Clerk
Building Custodian
Clerk Typist
Switchboard Operator
1160 - 1624
3
Deputy Court Clerk
Police Records Clerk
Public Works Maintenance Worker II
Secretary
Small Engine Mechanic
1283 - 1796 -
4
Traffic Control Technician
1407 - 1970
5
Accounting Technician
Code Enforcement Officer I
Emergency Services Specialist
Engineering Assistant
Equipment Operator I
Forestry Technician
Fleet Analyst
Mechanic
Park Maintenance Crewleader
Recreation Leader
Sales Tax Technician
Senior Secretary
1530 - 2142
6
Animal Park Enforcement Officer I
1653 - 2314
7
Deputy City Clerk
1778 - 2489
8
Chief Court Clerk (E)
Lead Mechanic
Park Maintenance Crew Supervisor
1900 - 2660
9
Code Enforcement Officer II
Communications Supervisor (E)
Police Officer I
Police Records Supervisor (E)
Sales Tax Auditor (E)
Animal Park Enforcement Supervisor
2025 - 2835
181
Salary Schedule
Page 2
PAY GRADE
POSITION TITLE
PAY RANGE
10
Accountant (E)
Building Inspector
Building Maintenance Supervisor
City Arborist (E)
Engineering Technician I
Equipment Operator II
Executive Secretary
Planner I (E)
Police Officer II
Recreation Program Coordinator (E)
2150 - 3010
11
Planner II (E)
Senior Police Officer
2272 - 3181
12
Land Surveyor
2396 - 3354
13
Engineering Technician II
2521 - 3529
14
Fleet Supervisor (E)
Police Sergeant (E)
Purchasing Agent (E)
Traffic Control Supervisor (E)
2643 - 3700
15
Budget/Finance/Sales Tax Assistant (E)
Chief Building Inspector (E)
Civil Engineer (E)
Data Systems Programmer/Analyst (E)
Personnel Assistant (E)
2768 - 3875
16
Park Superintendent (E)
Recreation Superintendent (E)
Street Superintendent (E)
2890 - 4046
17
18
Police Lieutenant (E)
Senior Project Engineer (E)
3014 - 4220
3138 - 4393
3261 - 4565
3385 - 4739
3508 - 4911
3633 5086
3756 - 5258
19
20
Police Division Commander (E)
21
Director of Parks & Recreation (E)
22
Director of Planning & Development (E)
23
Chief of Police (E)
Director of Public Works (E)
182
Salary Schedule
Page 3
City Administrator
5042
B. A combined clothing and cleaning allowance shall be
paid to all uniformed Police Officers of the City at the rate of $600
per calendar year per officer, and shall be disbursed on a quarterly
basis. The City will be responsible for the initial issuance of
uniforms for the Police Officers when they begin employment with the
department. This will be one complete issue of uniforms. Any subse-
quent uniform acquisition or replacement will be the responsibility of
the individual officer.
An officer will not be eligible for the first clothing
allowance until after completion of one year of service with the Wheat
Ridge Police Department, and for the balance of the second year, the
payment will be prorated for the period of time remaining in that
calendar year.
Animal/Park Enforcement Officers shall receive a
cleaning allowance of $200 per year payable quarterly from date of
hire and uniforms will be provided on an as-needed basis.
The City will provide work clothing for all designated
Public Works, Parks and Police Records personnel and such other
classifications as designated by the City Administrator.
c. Court pay shall be paid to employees for court
appearances when subpoenaed during off-duty hours.
D. It is expressly provided that the establishment of
the pay ranges as set forth herein shall not result in the automatic
increase in, or other modification to, any individual employee's base
salary from the base salary level paid to said employee during 1991,
except as is required to raise an individual employee's base salary to
the minimum level in that employee's applicable pay range as adopted
herein. For purposes of this Schedule and the 1992 budget for the
Ci ty of Wheat Ridge, increases in any individual employee's base
salary shall be accomplished solely in compliance with the provisions
of Sections 10, 36 and 37 of the Personnel Policies And Procedures of
the City of Wheat Ridge.
183
1992 BUDGET PREPARATION CALENDAR
June 3, 1991
June 10, 1991
June 12, 1991
June 12, 1991
June 28, 1991
July 10, 1991
July 15, 1991
August 2, 1991
August 15, 1991
August 20, 1991
October 3, 1991
October 7, 8, 9, 10, 15
November 20, 1991
November 25, 1991
November 25, 1991
City Administrator review major policy issues
with Council and approve 1992 budget
calendar
Council consider citizen input on 1992
budget issues
City Administrator/staff prepare goals and
objectives - establish time frames for
completion
Budget office distribute budget packets to
departments
Department program summary sheets due to
Budget office
Accounting distribute June 30 expenditure
reports to department heads
Budget office distribute budget worksheets to
department heads
Budget worksheets with departmental budget
requests for 1992 and end-of-year
expenditure estimates for 1991 due
Capital Improvement Program review by
Planning Commission
Final budget review - City Admin., Dept.
Heads, Budget Officer
1992 Preliminary Budget to City Council
Budget study session with staff and council
1992 Budget submitted to City Council
Public Hearing on proposed 1992 budget
1992 budget adopted, mill levy set
184
Account
Appropriation
Assessed Valuation
Assets
Budget
Capital Outlays
Charter
Contingency
Expenditures
Fiscal year
Fund
GLOSSARY OF TERMS
A record of a business transaction; a
reckoning of money received or paid.
The legal authorization by City Council
to make expenditures or incur
obligation for specific purposes.
To set an estimated value on personal
and real property for taxation. The
County Assessor determines the assessed
valuation of Residential and Commercial
Property as a percentage of its actual
value using an established base year
for calculating the property values.
All properties owned by a government,
including both current and fixed
assets.
The city's financial plan balancing
proposed expenditures for a certain
period of time to the expected income
or revenue for that same period.
Expenditures that result in the
acquisition of or addition to fixed
assets.
A document to guide local government
based on sound principles to meet the
present and future needs of its
citizens.
Funds appropriated to cover unexpected
expenses that may occur during the
budgeted year.
A decrease in net financial resources.
A twelve-month period of time to which
the annual budget applies and at the
end of which a governmental unit
determines its financial position and
the results of its operations.
An independent fiscal and accounting
entity with a self-balancing set of
accounts which are segregated for the
purpose of carrying on specific
activities or attaining certain
objectives in accordance with specific
regulations, restrictions, or
limitations.
185
Glossary of Terms
Page 2
Fund Balance
The excess or deficiency of the assets
of a fund over its liabilities and
reserves.
General Fund
The general operating fund of the city.
It is used to account for all financial
resources except those required to be
accounted for in another fund.
Inter-Fund Transfers
Amounts transferred from one account to
another account between different
funds.
Intra-Fund Transfers
Amounts transferred from one account to
another account within the same fund.
Lease Obligations
The city is obligated for certain
leases which have been capitalized. The
leases are subject to the annual
appropriation of funds.
Mill Levy
A rate applied to assessed valuation in
determining property tax revenue. A
mill is 1/10 of a penny.
Pay-As-You-Go Basis A term used to describe the financial
policy of the City in utilizing current
revenues to finance capital outlays.
Performance Indicators Identifiable functions performed by a
department. Used in setting goals and
determining effectiveness.
Personal Services Salaries and related costs of permanent
and hourly employees.
Preliminary Budget Proposed revenues and expenditures and
anticipated uses of fund balance and
working capital for the next year
submitted to the City Council.
Property Tax A tax levied on personal and real
property based on the County Assessor
assessed valuation and other factors,
and regulated by the Statutory Property
Tax Revenue Limits.
Projected An estimation of revenues and
expenditures based on past trends, the
present economic situation, and future
financial forecasts.
ISA
Glossary of Terms
Page 3
Reserve
Revenue
Sales Tax
Special Revenue Funds
Use Tax
An budgeted amount to be set aside in
an account for future use. City Council
must approve the use of these funds.
An inflow of assets, not necessarily in
cash, in exchange for services
rendered. Estimated sources of monies
to be appropriated.
The tax levied on all sales, leases,
and rentals at retail on the purchase
or sales price of tangible personal
property and specific taxable services.
Used to account for the proceeds of
specific revenue sources that are
legally restricted to expenditures for
specific purposes.
The tax levied upon the privilege of
using, storing, distributing, or
consuming tangible personal property
and taxable services which property or
service is purchased, leased, or rented
at retail and not subject to the Wheat
Ridge sales tax.
187
CITY OF WHEAT RIDGE,
COLORADO