HomeMy WebLinkAbout2006
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WVI e CI t RL r).. g e
2006 Adopted Budget
Creating a Sustainable City Government . City Prepared for Growth and Opportunity
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Strong Partnership Between City and Community
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Adopted Annual Budget for the Fiscal Year
JanuaJ:V 1, 2006 to December 3], 2006
Citv Council
Jerry DiTullio. Mayor
Karen Berr~. Council Member, District I
Terry Womble, Council Memher, District I
Dean Goke~, Council Mcmber. District II
Wanda Sang, Council Memher, District II
Karen Adams, Council Member, District III
Mike Stites, Council Memher. District III
Lena Rotola, Council Memher, District IV
Larr~ Schulz, Council Memher. District J\
Pam Anderson, City Clerk
Mary Cavarra, City Treasurer
Cih ~taff
Randy \oung, City Manager
Patrick Goff, Deputy City Manager
Dan Brennan. Police Chief
Joyce rVlanwaring, Director of Parks and Recreation
Tim Paranto, Director of Public \'orks
Alan White, Director ofCommunit) Development
Contents and Production
Patrick Gotland Dcbble Meixner
Departmcnt Budl!cl (ontacts
elt)' Treasurer -l\1ary (a\arra
Finance - LlOda 'ilengel
City Clerk s Of1icc, Legislative - Pam AndeNlT1, ('hrista Jones and Janice ';mothers
MUl1lclpal ( ourt - Kersten Am1strong
Admlllstrative <;ervcies. (itv rVlanager's Ollice, Cll) Attorney - Patrick GojTand Debbie Meixner
('ommunity Development- "'Ian While and I\.ath) Field
Police Department - Joe Cassa, Michelle :-.todden and .Iud) 'iullivan
Public \\orks Department - Tim Paranto, Steve Ngu)en and (ireg Knudson
Parks and Recreation Department - Joyce Manvvanng, Julie Brisson, Toni Crocker, (arol Mullin
MISSION
Our mISSIOn ]s to provIde
PERSONALIZED SERVICE at
a HIGH STANDARD OF EXCELLENCE
crcatmg a FINANCIALLY SUSTAINABLE CITY
WE PROTECT LIVES AND PROPERTY,
SHAPE WHEAT RIDGE'S FUTURE,
ENRICH OUR CITIZEl\'S' LIVES,
and ENGAGE OUR CITIZENS
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OUR BUSINESSES
Emergency Response
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FaClhtatmg EconomIc I:xpanslOn
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Laws, RegulatIons and Code ComplIance
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Land Use and Development RegulatIOn
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Pubhc Infrastructure and FaClhtles
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Commul11ty and NeIghborhood Bmldmg
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CIVIC EducatIOn and Govemance
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LeIsure Facihtles and ServIces
CORE BELIEFS
We S ervc }(Jl[
lie Are E flieicnt
Ite Take R esponsihi/ity
l1e Add V a/lie to Ollr Citizens' Lives
We Aet With I ntegritl'
lie Are A C ooperative Team
Ite Have E mpathvfor Others
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City of Wheat Ridge
Organizational Chart
CITIZE'S OF" H1.-\"1 H.II)(~E
(1'1\ TRE\SlRER
J\I.\\OR oS. ('1'1\ COl'\CIL
." unh:ip\l\ YroHtution
. \\ uniciplll t (!urt
(lmmonih Support
. [((lno", il' n~"l'lll"m ('Ill
PO Lie [
\nimal/Park ( nUL' Enl'urn'n1cnt
PlIHLIC' \\OHh.S
. (()mmunication~
. RtclJrds
. En~int'ning
. Patrol
. Optrutiulls
. InH.~ti~a(i()n'
. Traffic Enftlfccml'nt
. Eml'rgl'nC\ Opn:ltilln~
I{ [Cln: ,TI(l'
C () \1 .\ll NIT' DE \ F: IOr.\1 E 1'\ 'I
. Rl'Cfl'utiun
. Plannin!!
. Parks 1\1 aintl'flanl'l'
. F Ofl'stf'
Opl'n S!)UCl'
. Building
(~\'ncra' Prtl~rann
. Sl'niorlCommunil\ C,'oh'T
. Ruihlillg Maintenanu'
Recreation Center Operations
(,IT\ (Lt:Rh.
BO.\RDS &: CO.\lJI\IISSIO'\S
\Ilimal \\ dfarl' and ('ontrol ('oDlrni\"iun
. Board of '\'dju,tml'nt
. Building (ndl' \{Jyi,un Buard
. Cultural (' ummh,iun
E ll'i:tiull <- om m is,jun
II uusing .\ lIthorit\
. Liquur Lkl'n,,;in~ Authllrit\
Park, &. Rl'Cfl'atjoll Commission
Planning ( ommi"ion
. ~l'niur Program \d\'json Committl'l'
. l rhan H.{'nt'" Oil \ uthorit\
." hl'at Ritlg(' Fuundatioll
<\UJ\1I'\ISTR.\TI\ E SEW.\ ILES
. BlIdgl't
. FinanCl'
. Sa(n 1'a).
. Human Rl'Hlllrcl'\
. RiSk :\'1 anaji:l'ml'nt
. PUH'hasing and ('on trading
. Informatiun Tl'chntllog~
TABLE OF CONTENTS
Budl!et Messaoe
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Budget 111 Bnef
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StrategIC Plan
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Commul11ty Profile & Budget Process
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Revenues & Expenditures Summary
Budget Summary By Fund
General Fund Revenues.
General Fund Expenditures
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General Government
LegIslatIve
( It) Attomey
Central Charges
Community Development
AchmlllstratlOn
Plannll1g
Building .....
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lOX
II ()
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CIty Treasurer ..
City Clerk's OHiec .
City Manager
City Manager's Of lice
EconomIC Development
Commul11ty SUppOl1
MUlllclpal C0U11
AdmllllStral1ve ServIces
Admll11stratlve Services
Finance
Human Resources
Sales Tax
Purchasmg and Contractmg
InttlIlnatIoIl Technolob'Y
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Pollee Department
Admll11stratlon
Commul1lty Sen'lees Lll1It
Communlcatlons
School Resourcc Officcr
Records .
Trmmng
Patrol..
Investlgatlons
Traffic Enforcement
SpecIallnvestlgatJOns
Emergency OperatlOns
Public \\orks
Adl11l1l1Stratlon
Engmeenng
OperatIons
Parks and RecreatIon
Adm 1111 StratI on
Reereatlon
Parks Mamtenance
forest!)
Open Space
Anderson Buildmg
AthletlCs
General Programs
Outdoor Pool
Senior:('oml11ul1lty Center
BuiIdmg Mamtenance
RecreatIon Center t und
Faelhty Operatlon
AquatJcs
FitJ1ess
Marketmg
Speelal Revenue Funds
Pollee [nvestlgatlon t und
Open Space Fund
MUlllclpa[ Court Fund
RIChards Hart Estate Fund
TABLE OF CONTENTS
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Ill)
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TABLE OF CONTENTS
SenHJr Fund ..
Conser\atHJn Trust Fund
HoteLfvlote] Fund
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CapItal Investment Program
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Statting
2006 Compensation Plan
2006 Compensation Plan Benefited POsitIons
2006 CompensatIon Plan Intem11ttant Part Time and Seasonal POSlllons
Staffing Table
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2006 Fee Schedule
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Lllle Item Accounts
CltyTreasurer(OI-IOI)
Legls]atlve (01- I (2)
Flllance (0 I-I (3)
EconomIc Development (01-105)
ell) Manager (() I - I (6)
CIty Attomey (01-107)
City Clerk's Of1ice (() 1-1 ()g)
Mumclpal Court (0 I - I (9)
Admllllstratlve ServIces - Admllllstratlon (0 I-II] )
Human Resources (01-1 12)
Commumty Support (0 1-113)
Sales Tax (01-1 15)
Purchasmg and Contractmg (01-116)
InformatIon Technology (0] -] 17)
BUlldll1g Mamtenance (01-118)
C ommumt) Development - Admllllstratlon (0 I -] 20)
Plannll1g (0 1- 12 1).
BUlldll1g (01-122)
Police - Admll11Stratlon (01 -20 1)
Commul1lty ServIces Ul1lt(()]-203)
CommUl1lCatlons (0 I -204)
School Resource Officer (0 1-2(5)
Records (01-206)
Tra1l1111g (01-207)
Patrol(01-21 I)
InvestIgatIons (0 I -212)
Traffic Enforcement (01 -213)
Specml InvestlgatJons (0 1-214)
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TABLE OF CONTENTS
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Emergency Oreratlons (0 1-215)
PublIc Works - A.dlTIllllstratwn (01-30 I)
Engmeermg (01- 3(2)
Operations (01-303)
Park;, & Recreatllln - Admll1lstratlon (0 l-flO I)
Recreatllln (01-602)
Parks r'vlarntenance (0 l-fl(3)
F ore'itry (0 1-6(4)
Open Space (0 l-h(5)
Central Charges (01-610)
Anderson Buildrng (0 1-(20)
AthlctlCS (01-621 )
General Programs (01-622)
Outdoor Pool (01-623)
SemoriC ommumty Center (01-624)
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Specml Revenue Funds
Pollee InvestlgatlOn Fund ( I 7)
Open Space Fund (32)
rVlulllclpal Coun Fund (33)
RJChards Hart btate Fund (35 )
Semorrund(53)
ConservatIOn Trust r und (541
Baugh House Fund (62)
HoteL Motel Fund (63)
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RecreatlOl1 Center OperatlOm, Fund (64)
Faclhtles (64-602)
A.quatlcs (M-h04)
FItness (64-605)
Marketmg (64-607)
Therapcutlc RecreatIon (64-608)
General Programs (64-609)
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Glossary and Investment Poky
Glossary
Investment PolIcy
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BUDGET MESSAGE
November 29,2005
Dear Mawr DiTulho and CouncIl Members,
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I am pleased to present to the Mayor and City CouncIl the 2006 Adopted Budget. TIllS budget pro\'ldes the
framework for provldll1g serVlces and programs to the clt1zens of Wheat R1dge for the year 2006 ThIS budget
document mcludes the General rund.l apllallnvestment Program (ClP) Fund and all SpeClal Revenue Funds,
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\Vheat Rldge's total General Fund operatll1g budget f(}r 20061S S25,t\ 11 ,941, whIch lllcludes a S3,450,000
transfer to the eIP Fund and a S 1.000.000 contnbut1on to WR2020 The Cll1''s total 2006 operatll1g budget
exdudll1g transfers and contributIOns, represents a 4000 lllcrease compared to the adJusted 2005 Budget.
When you ll1clude the contributIon to WR2020 the 2006 operatmg budget lllcreases by X 90'0 compared to the
adJusted 2005 Budget.
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The proJected 2006 General Fund endmg limd balance IS S5,679,47t\ or 22,00 0 ofexpemhtures, The adopted
total Clly budget lor 2006, WhICh mcludes the General Fund. elP and SpeCIal Revenue Funds 1S $34,595.082
excludmg h,msfers,
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WHEAT RIDGE GOAL~ 2010
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The Mayor. CIty CounCll and statlha\ e \vorked tLlgether Llver the last t\\ 0 years tLl devclLlP a strateg1c plan
mcludmg a VISIon, plan and actJon agenda to move the C 1t1' tCllward, The goals that willmf1uence every dec1s1on
Council and staff wIll conSIder m the next five years arc'
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C reatmg a Sustamable Govemment
C 1ty Prepared for Growth and Opportumtles
Strong Partnersh1p between CIty and Commul1lty
1-70 COlTHJor as a Ma]or CommerCIal Center
Better QualIty Housmg Stock
Redevelopment of Wheat RIdge City Center
LeIsure Amel1l11es for Famihes
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ThIS budget reflects the Mayor and CouncIl 's VISIOn and goals by "illl'csting in the juwre uj the' CitI "The
adopted 2006 Budget contmues to develop and bmld on the govemmenta!, CIVIC, and finanCial foundatIons
needed for the Clly of Wheat RIdge to be successful now and m the future and to be "A Great Place to LIve'"
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The City was fortunate enough to successtully pass a 1 percent ll1crease ll1 the sales and use tax rate wh1ch
became effectIve January 1.2005 Although retaIl sales have been decreasmg m 2005 compared to 2004, the
CIty 1S proJected to realIze an addlllOnal $6,0 ImllIon m new sales and use tax revenues 1112005 compared to
2004
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Budget Me,ssage
This budget proposes to mvest these new dollars m the future ofthe CIty by buIldmg on those foundations
necessalV for success. TIllS buduet mcludes, but IS not lImIted to, the followml': ll1vestments,
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Capital dollars for mfrastmcturc Improvements to Improve trattic t10w to the proposed Cabela's de-
velopment and other potentIal developments,
Fundll1g fix economIC devclopmcnt opportumtIes lllcludll1g busll1ess retent]on and the creation of
WR2020
CompetitIve yvage and bcnefit packagc to retam and recrUit employees who can help thc Mayor and
Council meet their goals. -
AddltlOnal stat1'to assist ll1long tem1 plannll1g, pubhc safety, quahty ofhfe and cmployee retentIon and
accomplIshing the goals set fm1h by Mayor and Council.
Infl)1111atlon tcchnology Improvcmcnts to gIve employees the tools they need to be successful.
REYENlfESAND EXPENDITURES
The total adopted 2006 Budget IS 534,595,082 excludlllg transfers ofS3,450.000 hom the General Fund to
the eIP Fund The budget IS based on prolected revenues of$28JC6.975 excludll1g transfers. In addltJon, the
begmmng fund balance fix 2006 IS projected at 513.853,098 which brlllgs the total avaIlable funds to
$42.680.073 TlllS wIll provldc for a projected endmg fund balancc of58.084.991 DetaIled revenue and
expendlh]re tables are presented III the Revenue and Expendnure Summary sectlOn ofthls Budget.
General Fund
General Fund revenue]s projected at 524.733.759 whIch I:' a -0 10(1 decrease compared to 2005 e:,t]mated
revenues. Startmg m2006. the General Fund wdlnot recelVe an annual transfer from the Open Space Budget
to offset open space mamtenance expenses. Howey er, those expenses WIll be budgeted dIrectly m the Open
Space Budget as was recommended by thc Cny 's mdependent audItors. In adchtlOn. the begmnmg fund bal-
ance for 2006 IS projected at S(-,,757.660 whIch bnngs the total avaIlable funds for the General Fund to
S31,491,419
General fund expemhtures total $25,811,94]. whIch mcludes a S3,450,OOO transfer to the CIP Fund and a
51,000,000 contIibutlOn to WR2020 General Fund expenditures, exdudmg transfers and conl1ibut]ons. rep-
resent a 4 00'0 mcrease compared to the adjusted 2005 Budget and an X.30,0 l11crcase compared to the estI-
mated 2005 Budget. TIllS w]1I provIde fur a projected endmg fund balance of$5.679,4n or 22.00'0 ofexpen-
dltures. The General Fund budget will expenence an mcrease in 2006 pnmarily due to the followmg new
expendItures or expendIture mcreases.
. Workers' CompensatlOn Insurance
Employee Salanes
SWO!11 POSItIons
Civihan PosHions
New Employee PosItIons
Info!11mtlOn Technolol:,'y
Fucl and Energy Expenses
$ 72 .444
S400.000
$3XO.000
S540.000
$200.000
$XO.OOO
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Rudget Messuge
Capital Investment Program Fund
liP hmd revenue IS projected at S3,X30,000 winch lS a 27.20" decrease compared to the 2005 estImated
revenue of~4,X71.400 In additIon, the begmnll1g fund balance for 2U06 IS projected at S3,lJ45.990 winch
bring, the total avaIlable funds for the CIP Fund to $7,775,990 The CIP Fund Wlll experience a decrease III
revenues 1l120()6 compared to 2()05 because a one-t1l11e trunster of$1 ,275,()OO \vas made fi'om the General
Fund to the ( I P I-und III 2U()5 for the Youngfield Street wldelllng project. The project Wlll not start III 2005 so
the funds will carryover mto the 2000 CIP Budget.
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The 20Uo CIP Budget mcludes major ~treet Improvement proJects at 32nd and Youngtlcld Street, 3Xth Avenue
to 44th Avenue on Youngfield Strcet, and 46th Avenue to 1-70 between Estes and Carr In additIon, funds are
budgeted for annual CIP proJects including drainage and street lInprovements, street light IIlstallatlOn, traflic
Signal Improvements, buildmg IIlti'astmcture and parkll1g lot Improvements, GIS updates and a contributIon to
the Wheat RIdge Busll1ess DistriCt. Cl P expendItures total S7, 765,000 which IS a II.X"" ll1crease compared to
the adJusted 2005 Budget and about a 109.500 IIlcrease compared to the estimated 2005 Budget. ThIS wIll
proVide for a projected endll1g fund balance ofS I U,990
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Open Space Fund
Open Space revenue IS projected at S900.250 whIch IS a 20 XO" decrease compared to the 2005 estImated
revenue ofS I ,OX7 .250 In additIon, the beglnl1lng fund balance for 2006 IS proJected at S257,652 whIch
brings the total available funds for the Open Space Fund to S I , 157,902.
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Open Space projects for 2006 IIlclude open space Improvements, park mamtcnance proJects, Randall Park
lITIgatIOn replacement. Prospect Park ballfield lights, opcn space sIgn fabncatlOn, Kendall Park deSign, and
bleacher replacement. Open Space expendItures total S I , 14X, I 15 whIch b a 2.00'0 decrease compared to the
adJusted 2005 Budget and a 6 X~ u IIlcrease compared to the estImated 2005 Budget. TIllS wIll proVIde for a
projected endmg fund balance ofS9, IX7 Startlllg 1Il 2006, the Open Space Fund will no longer make a
transfer to the General Fund to cover open space expendItures. However, the Open Space Fund wlll budget
those expenses dIrectly 111 ItS budget as recommended by the City 's mdependent audltor
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Conservation Trust Fund
ConservatIOn Trust re\ enue IS prOjected at $3 IX.OOO. whIch IS a 32 6" 0 IIlcrease compared to the 2005
estImated revenue of$285,000 In acldltlOn, the bcglllnlllg fund balance for 2006 lS proJected at S250,855
whlch brings the total aVaIlable funds for the ConservatIon Trust Fund to S62~.X55
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ConservatlOn Tmst projects for 200611lclude Stevens Elementary plan, 'found. CreekSIde Park restraom and
callceSSlon buildlllg, CreekSIde Park dugout roofs, faclhty Improvements, LOUlse Tumcr Park playground
lmpravcments. Panorama Park sewer lllle replacement, and curb and gutter at Panarama Park. Randall Park
and Rlchm'ds Hart estate. ConservatIon Trust expendItures total $465,000 whIch IS a 6.5" 0 decrease cum-
pared to the adJusted 2005 Budget and a 446",,, lIlcrease compared to. the estlmated 2005 Budget. Thls will
provlde for a proJected endlllg fund balance ofS I 63J:\55
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Recreation Center Operations f~und
RecreatlOn Center Operatlans revenue tor 2006 lS proJected at $2,087,766, whlch lS a 2.70'0 decrease com-
pared to the 2005 estllnated revenue ufS2, 144,1)31) In addltlOn, the beglllnlllg fund balance far 2006 lS
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Budget Message
pro)ectcd at $2,402,4 70 whIch bnngs the total avaIlable funds for the RcereatlOn Ccnter OperatIons Fund to
$4,490,236
Recreation center expcl1lhtures total $2,330,964. whIch IS a 0600 decrease compared to the adjusted 20()5
Budget and a 1 90 olllcrease 0\ er the estimated 2005 Budget. This WIll prOVIde for a pnlJected endmg fund
balance ofS2.150,272. of WhICh S205,OOO wIll be set aSIde as a reserved mamtenance fund balance for
Recreation Center eqUipment replacement and buildmg ma1l1tenance
Miscellaneous Special Revenue Funds
Several other mIscellaneouo SpeCial Revenue hmds are also lIlcluded Il1 thiS Budget to track revenues and
expenditures that are legally restricted for speCIfic purposes or to SImplIfY the budgetmg process. Those funds
mclude Police Investigation, MU111C1pal ( our!, RIchards Hart Estate, Sel1lor and Hotel/Motel. Detailed revenue
and expendIture mfonnatlOn for these funds can be found m the SpeCIal Revenue Funds and the L1I1e Item
Accounts sectIons of the Budget.
STAFFING
Personnel-related expenses account for the largest portion of the CIty's budget. therefore. mamtalllll1g tillS
mvestment IS a hIgh pnonty Through a penodlc compensatIon reVle\\ proceso, a surv'ey ofthe 2005 pay scales
for the ell) 's posltlons was conducted it)r the purpose of detennll1g what wages are generally pervailmg Il1
sImilar CItIes wnhm the Denver metropolitan area. The final analYSIS of the market companson mdlcated that the
2005 pay range mmm1ums and maXImums warrant adjustment m order to be competlllve m the market.
As a result of the data receIved pertmillng to tbe la\\ enforcement (swom) posItIons, efTecl1ve July 2,2005. tbe
Clty adopted a new pay plan that encompassed the posltIons. PolIce ReCl'ult, PolIce Oflicer, PolIce Sergeant,
and Pollce Commander. The ne\\ plan IS a SlX (()) step pay plan that mamtamo the salanes fix these posItlOns at
the 70th percentIle ofthe market range.
The adopted 2006 Budget mcludes a ne\\ compensatIon plan for all clvllian (non-swom) posltlOns to become
effectIve January I. 200h The new compensatlon plan costs approxlInatel) $3~0.000 and mcludes tbe fal-
lowmg changes:
AssIgnmcnt of each pOSItIon to an appropnate '~lob-li:l1nil)" categOlY SImilar to Equal Employment
Opponu111ty CommlsslUn placement.
The pay range for each posltlon WIll be market-based that mamtams the salanes far these posltlOns at
the 50th percentIle ofthe market range.
Employees will be elIgible for a 3.50 0 salary ment mcrease ("ExecutIve" claSSIfied employees WIll
receIve 4.50'0) on thelr anmversary date of employment Iftbey receIve satisfactory peIi()J111anCe evalu-
atIons.
The adopted 2006 CompensatIon Plan IS deSIi:,'l1ed to ma111ta111 competltlve relatlOnshIps wlth the market and
pnlVlde an unbIased rclatlOnsl11p 111 pay between posltJons and departments. You may find the complete Com-
pensatlOn Plan 111 the "Staffing" sectlOn of the Budget.
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Budget 'Hessuge
The adopted 2006 Budget lI1cludes a statling levcl of220,3XO FTL \ Il1 all Funds, an Il1creasc 01'6 0 FTE's
compared to the 20(J5 Budget. Statling lI1creases lI1clude the followll1g'
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I (J FTl: Senwr Planner (t ommut1lty Developmcnt)
I (J FTL: Mall1tenancc Workcr I (Parks and RecreatIon)
I 0 FTl: \ila1l1tenance Worker II (Parks and RecreatIon)
I 0 FTE Human Resources Technician (Admll1lstrative ServICes)
I (J FTL Court Marshal (Mul1lelpal COUl1)
- upgrade from two 04 FTE Court Marshals to two O.S FTE Court Marshals wIth
benefits
I 0 FTE (PolIce)
- police department IS proposll1g to trade 2,0 FTE PolIce Officer posItIons for 2.0 FTL
Pollee Support Clerks and I 0 FTE Pollee Sergeant for a net 1l1crease of I 0 FTE
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BllDGET TRANSFERS
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The CIP Fund will receIve S3,4S(),(JOO 111 revenue 111 the f0l111 o l' transfers from other funds to cover expenses
Il1cuITed for speCIal projects, reImbursements or operatmg costs LIsted below are the funds makll1g the
transfers, the amount of the transfer and a bnef.lustlficatlOn for the transfel"
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CIP Fund - transfers m
(,eneral Fund - S3,4S0,OO()
AI7I7//a/ tl'al7s(cl' 10 CO\'CI' capital CXpCI7SCS
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The 2006 Adopted Budget IS presented m greater detaJI1l1 each department section and m thc Lme Item
Accounts section of tins document. Please reter to thosc pages for addltlOnalll1fonnatlon.
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I would like to thank the Mayor, CIty Council and CIty Statftor then' leadershIp, dlrectlOn and patience dunng
thIS budget proce%. I would like to espeClellly thank the Dlrcctors and all of the Department budget contacts
who partICIpated Il1 tlllS budget process.
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Respectfully submItted,
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G~C>L>~
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Randy Young
CIt} Manager
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BUDGET IN BRIEF
211116 Total Expenditures
$34,595,082
(excluding transfers)
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(ieneral
CapItal Imcstment Program
RccreatlOn Ccntcr
Opcn ~pace
CunservatIon Trust
Hntel Motcl
Richards Hart Estate
MunKIpal Cuurt
S,el11or
PolIce InvestIgatIOn
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S25,R 11.941
"7765,000
52,~~9 964
"1 14S.115
"465.000
$~5U,67
S65 J)OO
S62,lOO
SnJOO
'-ix,7Y5
2006 General Fund Expenditures
$21.361,941
(excluding transfers)
70% of (Jencral Fund expendIturcs arc
for pcrsonnel cxpenscs lIlcludmg salaries.
wagcs and bcncfits for full-tnTIc. part-
timc. and tcmporary work, lIlcludlllg
ovcrtImc and similar compcnsatIon,
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PolIcc
PublIc Works
Parks and RcercatIon
Central Chargcs
Admllllstrativc Scrvices
(Iencral Govcrnmcnt
C Om111Ul1lty Dcvclopmcnt
MUl1lClpal Com1
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Ending Fund Balan, c
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S7.~5R,4M
S3.4c).um
S3.0S9.656
52.547.1 OS
S2.247.586
S1.359.750
S754.07R
S600,462
5'5,679,4:'1\
General
67,8%
Hotel/Motel
0,9%
CIP
117%
Police Inv
0,02%
0,2%
Public Works
16%
Parks and
Recreation
14%
Adm
General Gov't
6%
Police
34%
Personnel
Services
70%
Capital
Outlay
4%
Materials &
Supplies
5%
Other
Services &
C ha rges
21%
7
Budget ill Briel
AII/lllal Citr Tax Receipt
City of Wheat Ridge Budget Office
7500 Viest 20th Avenue
Wheat RIdge. Colorack, xoo:n
Taxpayer
Name:
Address.
\our mone~ is spent on:
Communif:\ Development
Police Services
Public Works
Parks and Recreation
Capital I nvestments
Municipal Court
Elected Officials, Cit~
Manager, & Legal Counsel
General Government
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Annual Ci(l' Tax "Receipt"
City Taxes Dlle*
$
Averaue ReSIdent
Wheat Rldlie
526
*Ineludes saks tax 11 ()(I",,). property tox II Sill) millsl.
and open Sp3Cl' 1;1\ (O.500'f) l.
Which provides for:
Lluddlllg, Planmng, Lonlllg and L ude Enforcement
Patrol. '] rame. Investigations, ( ode Lnt()rcement, Animal
Conlrol. 911 ServIL'c
'>trect and Sidewalk mainlenanee. snow removal. stred
c1eanlllg, correctll1g dnunagl:' issue~
ProVllle and maintalll recreational amenilies Illcllldlllg
recreation t'lcilitles, pools, parks, open space, trails
Preventative 111uinlenancc and drainage projects, street
improvements, tramL signal and streetlight Jlnprovemenls
i\djudicate InIsdellleanors. tralIic. juvenile. domestIc
vi"lence and ordinance vIOlations
City (ouncd, Lily Clerk. L ity Treasurer, (ity
l'vlanagclnent and legal services
FinallL'e, I Illman Resources, Information
Technology emplovee benetits,liabilitv and workers'
COIn cnsation insurance
Cit) Spending in Fiscal Year 2006
Total
Capital
Investment
26%
General
Governmenl
16% Court
2%
Parks &
Recreation
15%
Community
Development
2%
Legislative &
Management
4%
Public Works
11%
Police
24%
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Cit~ Cost 'ou
Per Resident Paid
$24 SIO
$230 $126
$106 $58
$147 $80
$242 $137
$19 $10
$42 S21
SI50 S84
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I $\)6011 $5261
Budget in Brief'
Gel/eral Fund Revenues
General Fund Revenues
2UU6 General Fund Revenues
$24,733,759
Bn:inning Fllnd Balan('(' \(', ~5~ f>Mi
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Sa les Tax
l'sc Tax
Other Taxes
I ntergovc1ll11lcntal
LlCenscs
Fmcs
Propcrty Tax
~cr\' ICCS
Other
Interest
S] 5.2iQ.232
52.500.00()
S2.020.0()O
S 1.5'143()2
SX15.00()
S7()(J.700
S7(){J.(IOO
St1hS.525
'i273.()O(J
C;lXO.OOO
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li;/al Al ailahfe Fllnds
\'31,41)/41<)
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Sales Tax
62%
Interest
1%
Use Tax
10%
Fines
3%
Intergov
6%
Licenses
3%,
Sales Tax Distribution
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Count~
0.5<
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/
Cit, of
Wheat
Ridge
3c
The total sales tax rate ll1 the CIty
of Wheat RIdge IS 7 6uu. For cvery
dollar you spcnd on retaIl purchases.
you pay 7 6 ccnts ll1 sales tax, Only
3 cents of this goes back to the
CIty of Wheat Ridge
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t~) , "
, ~4W ._'JO. ~~,'tate
!7~~~,...,,-::;I]
2.ge
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Property Tax Distribution
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Most people will be surpnsed to know
that for every dollar Jefferson County
receIves ll1 property taxes from Wheat
RIdge resldcnts, only 3 cents goes
baek to the City of Wheat RIdge
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Special
Dist riets
17"
Cities
and
Towns
3"
Schools
53<
County
27c
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BudKet in Brief
Capifalllll'eslmenf Program Fund
Captial Investment Program (CIP) Fund
2006 CIP Revenues
$3,830,0110
He',;il1l1il1g rlll1d 3"lal1(,c 53, 'N5 I)I)()
Sales Tax (transi'er)
Loug:er's Tax
Commul1lty Development
Block. Cranl (CDB(i)
Interest
M Isce llaneous
S3A50J)OO
~170,OOO
~160,000
TU/III 'lhlilahlc FIII/d,
I\~ 77'i I)I)()
2006 CIP Expenditures
$7.765,000
Youngfielu 3i\th to 44th wKlenmg
Street reslIrtilCmg, concrete rehah
and crack sealmg
Estes-CalT slreet reconstructl'}]]
32ml & Youngtlelu nnprmements
M III or street improvements
Clly Hall maintenance
Klpl1l1g peuestnan1ll1provements
(JIS mapping
Lena (Julch Study Llpdate
PubhL improvement projects
Parks & Rcc park1llg lots
Clly Hall security upgrades
Wheat Rluge Bus1lless Dlstnct
Nelghhorhoou tramc management
Street hghh
El1dil1g Fund Ba/al1ce
10
S40,OOO
S lO.OOO
S3,60U.00U
S 1.200.00()
S9()0,OUO
$600,OUO
$360,000
5345,000
S200,000
5200,UOO
SXO,OOO
\XO,OOO
$~m.ooo
S50,O()0
$40,000
$25,000
S5,000
$ f() <N()
Sales Tax
(transfer)
91%
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4%
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Drainage
1%
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Streets
89% -
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1%
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Budget in Brief
Recrelltion Center Operations Fund
Recreation Center Operations Fund
2006 Recreation Center
Operations Reyenues
$2,087,766
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Bcginning Fllnd BalO/I< e ~2 4()2,4 7()
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F~Clh(y ()per~tlon
Fit11es,
Interest
AL]U~(ICS
S1751.300
"1 ~:-I.34h
S~OJ)O()
Sh:-l.120
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Tolal '11 ailaMc Fllnds
~4 4()(),23o
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2(11I6 Recreation Center
Operations Expenditures
$2,339,964
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Faelllly 0)1erat1011
'\L]ual1es
Fitness
Marketmg
S 1.294.003
"1127,417
S333.~7~
S~4.h 71
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Rnen'('(l ,'vfaintellance FE ~2()-, (J(J()
Emling Fllnd Bal,II7,'e S 1, <)4 -' 2"2
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Wheat Rid'>!;l' RecrI.'(I!;cm (('me!"
Facility
Operation
84%
Aquatics
3%
Facility
Operation
51%
General
Programs
6%
The Wheat Ridge Recreatioll Cemer is a state-oj'
Ihe-arl f(/('ilill located ill Ihe heart of rVhea!
Ridge The l enter Has estahlished throllgh a
voleI' approved temporan increase ill the sales
and use lax rate to pal' for the cOllstructioll of
Ihe Centcr Hhhh opened in Fenman 2()()()
II
Budget il/ Briel
Opel! Space Fund
Open Space Fund
2006 Open Space Revenues
$900.250
Be'!illllillg F/llld Balwl,'e
~25;' (,52
Open Space Tax
Je1Tco Jomt Venture Grant
Interest
$S50,OOO
~50.00U
5250
1'0101 AI'ai/aNe F/lllds
Sf,157 (j(J2
2U06 Open Space Expenditures
$1,148.115
Personnel
Prospect Park ball field lIghts
Randall Park lrrigatlon
Kendall Park Design
Park mamtenance
Open Space Improvements
Bleacher replacement
(Ipen 5pacc Slgnage
S506 115
~275 000
$125.000
"SO.\KlO
S50.00()
'i50.0()0
$47.()()()
$\5.000
Eneling Fund Balant e
$') 7 /I' ~
H(>s! La/.;.(
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Ope n Space
Tax
94%
Interest
0.03%
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Park Design
7%
Bleachers
4%
Personnel
45%
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Ball Field
Lights
24%
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Irrigation
Projects
11%
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TYilhin Ihe nine siluare miles or Wheal Ridge, Ihe
Cill' mailllains 23 parks (lml 250 acres or o/,en
Ipaee. Ihe Wheal Ridge Greenhell The li\'c mile
rcgional Clear Creek Trail rullS Ihrough Ihe
Greenhell cOllneeling 10 Irail ,ITSlems Oil Ihe cosl
and wC\1 The Grecnhell ,'onla;lIs liJl/r lakes a
Ihrec-mile crusher line Irail Ihrough a consen'a-
lion area and a lii/h oUlfillcd playground liJl' Ihe
phvsit 0111 challenged
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Budget ill Brief
COllsel'l'utio1/ Trust FU1/d
Conservation Trust Fund
2006 Cunservation Trust Revenues
$378.000
Beginning FlInd Bo/uncc
f;250,855
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l olOl'ado Lotter)
e ount) Jomt Venture Grant
GUe U Grant
lntcresl
5275.000
550 000
550000
53000
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7i;lo/ 'Imi/oh/c r IInd\
S628855
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2()()6 Conservatiun Trust Expenditures
$465,O()()
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Cn:ekslde Park restroom eOlJeeSSlon
Ste\ens Elementary Playground
Panorama Park sewer lme
Park eurb and gutter
LouIse Tumer Park playground
FaClllty Improvements
e reeks Ide Park dugout roofs
S200.000
575000
550.000
S500QO
S35.000
S3(J.OOU
S25.00(J
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Ending FlInd B%nce
Sj(J3,855
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4ndl'rso}l Park P/m'\!found
Lottery
73%
GOCO Grant
13%
1%
County Grant
13%
(;urb If, Gutter
11%
Facility
Improvement
6%
Sewer Lines
11%
Cree ks ide
Park
Improvement
48%
The eill or Wheal Ridge has receivcd m'er $3
mi/lion in rcvcnllC fmm Ihe (,%rodo Lo!ler] since
1')92 H'hich has hcen liS I'd fin- park and recreation
lonstrlle/ion and maintenance projects
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Budget in Brief'
Hlltel/Mlltel Fund
Hotel/Motel Fund
2111I6 Hotel/Motel Revenues
$23 7 ,51111
Beginnillg Fund Ea/anul
$114,536
Lodgers Tax
No Proof of Insurance Fl11es
Interest
S230,OOO
'S5,()()()
"2.5()()
Tolul Al ai/uh/e Funds
\'35;;,03!)
2006 Hotel/Mutel Expenditures
$351,867
Per-;onnel ServIces
MaterIals 8:: ~upphes
Uther Services & Charges
S33X,5h 7
SX,95()
S4J5()
Em/in", Fund Ba/an('('
$169
If'heLl! Ridgt Polio.;' Utlicer
1-1
Lodger's Tax
97%
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2%
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Personnel -
Se rvice s
96% -
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Other
Se rvice s
1%
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Materials &
Supplies
3%
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T,)ten approved a 5"" increase ill Ihe lodgen
tax in Vo\'emher 19<)8 (,()"" or Ihis tux is 10
he used fill' police and code enforcement
actil'ilies wilhin lhe Cin
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Budget iI/ Brief
Other Special Rel'el/ue FUl/ds
Other Special Revenue Funds
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· Police Investigation
Beginning Balance $14,045
Revenues $100
Expenses $8,795
Ending Balance $5,350
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l/1II7iciJ1.:l1 ( IIl1r{ Room
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· Senior
Beginning Balance
Revenues
Expenses
Ending Balance
$16,046
$12,600
$27,300
$1,346
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Rid/llnh fldrJ LShile
Poilu DCj!or{!Jlcn! L'l'idL'lIu Room
· Municipal Court
Begmning Balance $38,880
Revenues $39,500
Expenses $62, 100
Ending Balance $16,280
.)'(-,!1ior/C Ol1llllllJ/in ({'Illcr
· Richards Hart Estate
Beginning Balance $54,964
Revenues $57,500
Expenses $65,000
Ending Balance $47,464
15
Budget ill Briel
Sta./fillg
16
Staffing
Changes in Staffing 2003-2006
Full-Time Equivalents (All Funds)
200
180
160
140
120
100
2003 2004
Authorized Authorized
o General
o Hotel/Motel
2005 2006
Authorized Proposed
III Recreation Center
o Open Space
2006 Staffing by Department
Municipal Court
Parks & Recreation
48 13
2900
102 00
10 00
1700
45
10 20 30 40 50 60 70 80 90 100
Public Works
Police
Community
Development
Administrative
Services
General
Government
o
(Jcneral (J()\'t!lmlt'l1/ includes Cif'" AIu1IJ'.!,cr s Of/it (' and ( ill' Clerk \ Ot!iC(
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Strategic Plan 2005 - 20 I 0 - 2020
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Mayor and City Council
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February 1005
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Lyle Sumek AssocIates, Inc
1514 St, Edmunds Place
Heathrow, FL 32746
Phone (407) 77 I -4 I 95
Fax (407) 771-4197
E-mail sumekassoc((L:aol com
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Copyrighl <b 2004 Lyle Sumek Associales, Inc.
February 2005
J7
Strategic Plan 2005 - 20W - 2020
Table of Contents
Strategic Planning for Wheat Ridge
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Wheat Ridge Vision 2020
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Plan 2005-2010
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Action Agenda 2005
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Action Outlines 2005
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This report and all related materials are copyrighted. This report may be duplicated for distribution to appropriate
parties as needed. No unauthorized duplication is allowed, including for use in training within your organization or
for consulting purposes outside your organization. All requests for duplication must be submitted in writing.
Copyright '92004 Lyle Sumek Associates, Inc.
February 2005
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Stratexic Plan 2005 - 20 I 0 - 2020
STRATEGIC PLANNING FOR
WHEAT RIDGE
February 2005
19
Copyright l!;1 2004 Lyle Sumek Associates, Inc.
Strategic Plan 2005 - 2010 - 2020
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VISION
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"What We Want to Become-
Our Preferred Future as Defined in Value-Based Principles."
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PLAN
"Our Road Map for 2010 - How to Realize Our Vision with Achievable
Goals Defined Through Objectives, Meaning to Our Citizens,
Challenges and Opportunities, Actions 2005, Major Projects 2005 and
Actions on the Horizon."
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EXECUTION
"Actions to Implement the Plan - A Work Program for 2005 with a
"To Do" List for Mayor, City Council and Management - To be
Completed with Accountability for the Results."
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MISSION
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"Purposes of City Government - Determined in Service Businesses
Defined in: Operating Elements, Business Successes, Challenges and
Opportunities and Service Improvements 2005."
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BELIEFS
"Our Core Beliefs Which are the Foundation for Our City
Government - Creating a Corporate Culture of Action and
Accountability, the Primary Value, as Defined in Performance
Standards to Guide Behaviors and Actions."
HOW WE CONDUCT OUR BUSINESS
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February 2005
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Copynght 192004 Lyle Sumek Asso<:iates, Inc.
Strategic Plan 2005 - 2010 - 2020
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WHEAT RIDGE
VISION 2020
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Strategic Plan 2005 - 2010 - 2020
WHEAT RIDGE VISION 2020
WHEAT RIDGE
is R~~ ~~~~~~(A)
'-.~~~~~,~'-~~~~~~~ (B)
with a range o~~~~~ ~~~~~,(C)
mixed us~~~""~~~~~ (D)
an~~~~~ '-.~~'-(E)
serving our residents and serving as unique
regional destinations.
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Our residents havA'-.~~ ~~~~~ (F)
to Denver and the mountains,
enjoy an~~'~~ ~~~~'-~, (G)
share~~~'-~'~~ ""~'-~~~ (H)
and tak.R~~~ ~ ~~'-.~~~~~''''~, (I)
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WHEAT RIDGE -
A GREAT PLACE TO LIVEI
Copynght '<':' 2004 Lyle Sumek Associates. Inc.
February 2005
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Stratexic Plan 2005 - 20 J 0 - 2020
PRINCIPLE A
FAMILY ORIENTED
~ Means
I. All Generations are VII elcome
2 Young Famlhes Want to LI';e Here
3 ServIces and Amellltles are Readily Available for Famlhes
4 FamilIes Feel Safe and Secure Any Place m the CIty
5 Quality Pubhc Schools are Available to ChIldren and Open for Commumty Use
6 CIty FacilItates Commulllty Involvement Il1 the Schools
PRINCIPLE B
RESIDENTIAL COMMUNITY
~ Means
People Want to Move To and LIve In Wheat RIdge for the Sense ofCommulllty
Values
Wheat RIdge IS CompetitIve wIth Other CItIes
The CIty IS Neat and Clean, as well as EnvIronmentally SensitIve
People Have Choices for Types of Housmg and Types of NeIghborhoods
Housmg IS AVailable for a Range of Income Levels
Wheat RIdge is a DIVerse, InclUSIve Commumty
The Wheat RIdge Commumty has Up-to-Date Infrastructure and Utllltles, Includmg
TechnologIcal Access to the World, Water and Wastewater
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4
5
6
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Copyrighl @ 2004 Lyle Sumek Associales. Inc.
February 2005
23
Strategic Plan 2005 - 2010 - 2020
PRINCIPLE C
QUALITY HOMES
~ Means
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Homes are Well MaIntaIned and AttractIVe
HomeownershlP IS EmphaSIzed
A Vanety of Homes EXIst from Condos, Townhomes and Urban Cottages to Suburban
and "Ranchettes"
Homes are AvaIlable at a Range ofPnces from Affordable Dollars to MultllmllIons of
Dollars
Older Homes Have Been Upgraded and ModernIzed
Homes are DesIgned for AccessibIlIty
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PRINCIPLE 0
URBAN VILLAGES
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MIxed-Use CommerCIal and ResIdentIal Developments are at Major CorrIdor
IntersectIOns (Belmar Type)
2. CIty Hall IS Located In an Urban VIllage
3 Villages are Pedestnan Fnendly
4 ResIdents Have Convel1lent Access to Amel1ltles and ServIces
5 VIllages are AttractIve WIth NIce Pubhe Spaces and Pubhc Art
6 Quality HIgh-DensIty Development IS AvaIlable In the Commul11ty
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February 2005
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StrateKic Plall 2005 - 2010 - 2020
PRINCIPLE E
QUALITY RETAIL
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ResIdents and Employees Can Shop for Their BasIc Needs 111 Wheat RIdge
RegIOnal ResIdents Come to UnIque RetaIl DestInatIons
More Retall Ch01ces are AVailable m Wheat RIdge
More ResIdents and Employees are Shopp1l1g 111 Wheat RIdge Keepmg Sales Tax
Dollars m the City
RetaIl Stores are Incorporated 111 Mlxed-Use Developments
Strong Partnershlps EXlst Between the City and Busmesses
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GREAT ACCESS
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ResIdents Can Get to the Amel1ltles of Denver Withm 15 MInutes
ResIdents Can Get to the Mountams QUlekly
ResIdents Have ConvenIent Access to Major HIghways and Interstate System
ResIdents Have ConvenIent Aecess to FasTracks, LIght RaIl and PublIc
TransportatIon
ResIdents Have ConvenIent Access to ShoppIng, Health ServIces, LeIsure Amel1ltles
and Government ServIces
Coord1l1ated Multlmodal Transportation Systems FacilItate Regional Access
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PRINCIPLE G
ACTIVE LIFESTYLE
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ResIdents Have Choices of LeIsure ActIvIties
TraIls are Used for Blkmg, Hikmg, Walkmg and Joggmg
RecreatIOn Programs are Available for All GeneratIOns
Top-Quahty Parks and RecreatIOnal FaClhtles EXIst m Our COmmU11ltles that are
Integrated with NeIghborhoods and Retail Areas
ResIdents have ChoIces of Quahty Restaurants and Entertamment
Walkmg IS Promoted by Pedestnan-Fnendly COmmUl1ltles
An ActIve Arts Community Supports the Arts and Culture
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SMALL-TOWN VALUES
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NeIghbors Know and Help NeIghbors
2 Development IS 111 Scale with the NeIghborhoods
3 ResIdents ReceIve "Personal" ServIces 111 Our Busll1esses
4 People are Fnendly and Involved
5 Hlstoncal Roots are Respected and Valued
6 Pubhe and Commul11ty Gathenng Spaces EXIst for Bnngll1g People Together
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PRINCIPLE I
COMMUNITY PRIDE
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ResIdents Take Pnde In Saymg, "I am from Wheat RIdge"
Commumty and NeIghborhood Events Bnng People Together
CIty Govelllment IS Respected and CIty Leaders are Trusted
ResIdents are Involved In Planmng for the Future and m PolIcy Development
ResIdents are ActIvely Involved 111 CIVIC AffaIrs
Wheat RIdge IS Recogmzed as a Strong RegIOnal Leader
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PLAN 2005-2010
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Wheat Ridge
Goals 2010
Creating a Sustainable City Government
City Prepared for Growth and Opportunities
Strong Partnership between City and Community
1-70 Corridor as a Major Commercial Center
Better Quality Housing Stock
Redevelopment of Wheat Ridge City Center
Leisure Amenities for Families
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Strategic Plan 2005 - 20 I 0 - 2020
GOAL 1
CREATING A SUSTAINABLE CITY GOVERNMENT
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Ob,jective 1 I Well-Mamtamed and Replacement of CIty FaCIlitIes and Infrastructure
Ob,jective 2 I Adequate Revenues to Support Defined ServIces and ServIce Levels
Objective 3 I More DIverse Rcvenue Base
Objective 4 I ProductIve, HIghly MotIvated Workforce wIth CompetItIVe CompensatIon
Ob,jective 5 I Strong FmancIaI Reserves ConsIstent wIth FmancIaI Pohcles
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Timely Response m an Emergency
Value for TheIr Tax Dollars
ServIces ResponsIve to TheIr Changll1g Needs
Rehable ServIces
Services That Support TheIr Quahty of Life
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I Expenses Outpacll1g Revenues
2. Catchll1g Up on Infrastructure Mall1tenance and Replacement
3 CItIzen Understandmg of CIty and CIty Fll1ances
4 Reliance on Sales Tax WhIch IS Fragile and Expandmg Sales Tax Base
5 Changll1g Technology and Impact on ServIce Dehvery
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~ Actions 2005
Polin' Agenda
CapItal Investment Plan (CIP) and Fundmg Strategy lncludmg Storm
Water UtIllty
2 EconomIc Development Goals - Strategy, Structure and rund1l1g
Management Agenda I
3 Salcs Tax Budget Amendments and PublIc EducatIon/Market1l1g
Program
PRIORln
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InformatIOn Technology StrategIc Plan and IT Manager
Employee CompensatIon Pohcy and Plan
AlternatIve Revenue EvaluatIOn Study
Ne~ Sales Tax Software ImplementatIon
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Top Priority
II igh Priority
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2. Customer Fncndly ServIce Program for Clty Government
3 Flre,'Clty Adm1l11stratlon RelatIOnshIp
4 Weed Program DIrectIon and ActIons
5 Healthcare Cost Conta1l1ment Strategy and Plan
6 Parks and RecreatIon Orgal1lzatlon and Management AudIt
7 CIty Bus1l1cSS LIcense Inventory and EducatIon Program
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Strategic Plan 2005 - 2010 - 2020
GOAL 2
CITY PREPARED FOR GROWTH AND OPPORTUNITIES
~ Objectives
I Objective 1
I Objective 2
I Ob,jective 3
I Objective 4
I Objective 5
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I VISIOn Clearly Defined and Used m Plannmg, Policy Dcvelopment and
DecIsIon Makmg
I StrategIc Plann1l1g Established as an Ongomg Process
I ComprehensIve Plan Rcflccts the CIty's viSlon and Goals
I Clearly Defined Development Standards and GUIdelines Used m Plannmg
and DecIsIOn Makmg
I Development Process Clearly Defined wIth Predlctable Time Frames
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EffiClent Use of CIty Resources
2 CIty IS Focusmg on Wheat RIdge's Futurc
3 PredIctable Future Development
4, Improved Quality of LIfe m the ruture
5 Plans That are ReaL Plans That arc Implemented Through ActJOns
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I Changmg the Commul11ty" Wheat Rldge Image and ReputatIon
2 Definmg Proccss for Incorporatmg the Commumty m the Plannmg Process
3 Overcommg Our ResIstance to Change
4 PolitIcal Will and Courage
5 Use of VISIOn and Goals
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~ Actions 2005
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ComprehensIve Plan KIckoff
Zonll1g Ordll1ance EvaluatIOn and RevIsIOn
Zomng Overlay DIstrIcts Concept and DIrectIon
Town Center IdentIfication and Plan
Annexation PolIcy and ActIon Steps
High Pnonty
High Priority
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Development and Pern11ttll1g Process
GIS Development and Fundll1g
TransIt OrIented Development AnalYSIS and ApplIcatIon to Wheat RIdge
LIghts Pohcy DIrectIOn
InternatIOnal Buildll1g Code EvaluatIon of ApplIcatIon to Wheat RIdge
SIgn Ordmance Revle'W and ReVISIon
CommerCIal Code Enforcement Enhancements
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GOAL 3
STRONG PARTNERSHIP BETWEEN CITY AND
COMMUNITY
~ Objectives
Ob,jective I I City Government Perceived as More Bus111ess Fnendly
Objective 2 I Open and Transparent City Government
Objective 3 I Increased Cltlzen (onfidence and Trust 111 City Government and Leaders
Objective 4 I Citizens Appropnately Involved 111 PolIcy Development and Project
Plann111g
Objective 5 I Mayor-CIty CounCIl-City Management Workmg Together as a Team
Objective 6 I CItizens Well Informed on City PolICies, Servlces, Programs, Issues and
F 111ances
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Bemg Well Informed
City government IS Open and Accessible and Wants to Listen to Your Ideas
Open Processes m City Government
Greater Confidence 111 City OffiCials
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I "How To" Commul1lcate wlth People
2. Boards and CommlSSlons ApplIcations
3 RelatIOns and Commul1lcatlons With RegIOnal Partners
4 Evaluation of PartnershlP Surveyor Other Mechal1lsms
5 CItizen Apathy and Non-Involvement
6 Developmg Future CIV1C Leaders
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~ Actions 2005
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ReglOnaLNatlOnal OrganIzatIons PartIcIpatIon - DIrectIon and Fundmg
') Lobbymg Program. State and Federal Government
3 CItIzen OversIght CommIttee Development
Alatla/(ement A/(enda I
4 City Government Busmess Image
5 Candldates/Ne\\! CouncIl OnentatlOn Program
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High Priority
High Priority
High Priority
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CltlzeI1/Busmess Survey
Pubhc InformatIon Program and CommUnIcatIons Upgrade
eGovernment RegIstratIon for Rec Program, CredIt Cards
Webslte Development
Channel 8 Enhancement
Dlstnct Meetmgs
CitIzen CIVIC Academy Development
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GOAL 4
1-70 CORRIDOR AS A MAJOR COMMERCIAL CENTER
~ Objectives
Objective 1 I Development of Ul1lque RetaIl Destmatlon for the RegIOn
Objective 2 I Development of Coors/I-70 Propcrty and AdJacent PropertIes
Objective 3 I Redevelopment ofWard/I-70 Area
Objective 4 I More QualIty Retail and Restaurants Attracted to the Area
Objective 5 I Improved Access to 1-70 All Interchange
Objective 6 I Expanded Tax Base; Increased Propcrty Values
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More Restaurant ChOIces
More Lodgmg ChOIces
Better Acccss to 1-70
Enhanced Property Values
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I Workmg WIth COOT, Jcffcrson County and Other Partners on 1-70 Interchange
Improvements
Not Tappmg EconomIc Development Potential
Property Owners and OwncrshlP Fragmented and Confllctmg Land Use ConflIcts
Inadequate Comprehenslve Plan
Gettmg Investment Dollars
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~ Actions 2005
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Polin' AKenda
1-70/Cabela's Project and Devclopmcnt
NeIghborhood Revllahzatlon Study Fund111g and ImplementatIon
1-70 Corndor VISIon and Master Development Area Plan
1-70 and HIghway 58 Interchange
Hotel/Motel Substandard Strategy
PRIORIH
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Ward and 1-70 Truck Stop Redevelopment
Applewood Center Upgrade Plan
Jolly Rancher Redevelopment
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Strategic Plan 2005 - 2010 - 2020
GOALS
BETTER QUALITY HOUSING STOCK
~ Objectives
Objective 1
Objective 2
Objective 3
Ob,jective 4
Objective 5
Incrcased Homeownershlp
Upgraded and More Modem Homcs
More Young Families Purchasmg and Upgradmg Homes
PosItive Reputation among Rcaltors and Developers
Quality Infill Development Compatihlc with Neighborhood, VIsion and
Updated Comprehensive Plan
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ChOIces of Where to Live
Affordable Housmg A vmlable
Homes that Meet or Exceed Mmm1Um Standards
Infill and Ne\v Homes Consistent With the Commumty
ProtectIOn of Their Property Values
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I EXistence of Substandard Housmg Umts
2 Code ViolatIOns and Enforcement
3 Political Will and Courage Commumty Interests vs. Pnvate Rights
4 Out of Date Zonmg
5 Changmg Regulations and Codes
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Strategic Plan 2005 - 20 J 0 - 2020
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~ Actions 2005
Po/ie}' AKenda
Neighborhood RevitalizatIOn Strategy
') Rental Housing Standards Registration and InspectIOn Program
3 Agll1g, Substandard Apartment Complexes Program
MaflaKemenl AKenda I
4 Code Enforcement and Compliance Enhancements
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High Priority
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I st Time Homebuyers Incentives and Program
2. Neighborhood Clean Up Program and Fundll1g
3 Housmg Authonty Evaluation and Plan
4 MlI1lmal Housll1g Standards and Enforcement
5 Zonmg Code Update for Infill Development
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Strategic Plan 2005 - 2010 - 2020
GOAL 6
REDEVELOPMENT OF WHEAT RIDGE CITY CENTER
~ Objectives
Objective 1 1 44th and Wadsworth MIxed Use Development
Ob,jective 2 1 38th and Wadsworth MIxed Use Development
Ob,jective 3 1 38th and KIplIng MIxed Use Development
Objective 4 1 44th and Klplmg MIxed Use Development
Objective 5 1 38th Corndor Infrastructure Improvement and Busmess RevitalIzation
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Increased Property Values
Alternative New Housmg Developments and ChOIces
Greater Convemence for Shoppmg and Services
Opportumtles to Develop and Grow a Busmess m Wheat RIdge
Cleaner, Neater Commumty - More Attractive and Bcautlful
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I Developmg PublIc-Pnvate PartnershIps
2. Definmg CIty Center
3 Attractmg New Retail
4 Best Land Use vs. NeIghborhood NIMBY
5 Fmdmg Developers to Invest
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Urban Renewal Authonty EvaluatIOn and DirectIOn
38th and Wadsworth Mixed Use Plan
Wadsworth Boulevard EvaluatIOn and Plan
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Streetscape on Klplmg Project
38th Streets cape Project (Harlan West)
Busmess Improvement Dlstnct for 44th
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Strategic Plall 2005 - 2010 - 2020
GOAL 7
LEISURE AMENITIES FOR FAMILIES
~ Objectives
Objective 1 I AddItIOnal FacIlItIes and Programs for Youth
Ob,jective 2 I AddItIOnal FacIlItIes and Programs for Semors
Ob,jective 3 I LeIsure Time OptIons and ChOIces ResponsIve to ResIdents' Needs
Objective 4 I Improved QualIty of Parks Amemtles, Mamtenance Level and Safety
Ob,jective 5 I Development of Expanded TraIl System
Objective 6 I More Restaurants and Entertamment Venues
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C onvement Thmgs to do m Your LeIsure Time
') Convement Access
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ActIvItIes for All FamIly Members
ActIve and PassIve Thmgs to Do
Access to Great Parks and RecreatIOn FaCIlItIes
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I Need for an Overall Parks Master Plan
') Agmg Parks
3 Parks Mamtenance ServIce Level
4 Youth Sports and RecreatIOn Pattems
5 Outdated SWlmmmg Pool RcquIrlng RenovatIon and Replacement
6 Changmg RecreatIon and LeIsure Patterns
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~ Actions 2005
pone)' Agenda
Greenbelt RecreatIOnal Development and Clean Up
Management Agenda I
') Master Plan for Parks and RecreatIOn (lncludmg Nceds Assessment)
3 Youth RecreatIon and Sports l::valuatlOn
PRIORln
I H igh Priorit~
~ Actions on the Horizon
Anderson Park EvaluatIOn
2 RecreatIon Center ExpansIOn Study
3 Semor Center FeasibIlity Study
4 Outdoor SWlmm111g Pool Replacement/RenovatIon DIrectIon
5 Parks and RecreatIOn Orgal1lzatlon and Managcmcnt Audit
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StrateKic: Plan 2005 - 2010 - 2020
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ACTION AGENDA 2005
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Policy Agenda 2005
TOP PRIORITY
Economic Development Goals - Strategy, Structure and Funding
Neighborhood Revitalization Study Funding and Implementation
1-70/Cabela's Project and Development
Capital Investment Plan (CIP) and Funding Strategy Including
Storm Water Utility
1-70 Corridor Vision and Master Development Area Plan
HIGH PRIORITY
Comprehensive Plan: Kickoff
Zoning Ordinance Evaluation and Revision
Rental Housing Standards Registration and
Inspection Program
Lobbying Program: State and Federal Government
Regional/National Organizations Participation-
Direction and Funding
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Strategic Plan 2005 - 20 I 0 - 2020
Management Agenda 2005
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Education/Marketing Program
Police Strategic Plan: Implementation
Code Enforcement and Compliance Enhancements
Employee Compensation Policy and Plan
Information Technology Strategic Plan and IT Manager
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City Government Business Image
Alternative Revenue Evaluation Study
Candidates/New Council Orientation Program
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ACTION OUTLINES 2005
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Strategic Plan 2005 - 2010 - 2020
Action Outlines 2005
Policy
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TARGET Economic Development Goals - Strate2v. Structure PRlORln
and Fundin2 Policy - Top
Kel' Issues Actions Tilllc
I Goals Defimtlon I Dcvelop Short Term Strategy, 06/2005
.., Targeted B usmess for AttractIOn Consultant Contract for
3 City Poilcy' EconomIc IncentIves ServIces
4 RetaIl Busmess Type .., Devclop SpecIfic Work Tasks wIth 06/2005
AttractIon Process Defined Responslbliltlcs and
5 Structure Short Term Tlmcframe
Long T enn 3 Develop Mechal11sm for Reportmg 06/2005
6 Overall Strategy to Mayor and CouncIl on
7 Benchmarks Outcome ActIvItIes
8 Busmess RetentIon and Growth 4 Evaluate Long Ternl Structure 12/2005
Strategy OptIons - Development
9 Land Uses at StrategIc LocatIOns Strategy, Include Goals,
Benchmark Measures,
Targeted Busmesses for
Attraction, Busmess RetentIon
Program
5 RevIew Approaches Used by Other 12/2005
CitIes - Best PractIces
6 Develop RecommendatIon (Long 12/2005
Term) for Mayor and CIty
CounCIl
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Strategic Plall 2005 - 2010 - 2020
TARGET Neh!hborhood Revitalization Studv Fundillf.! and PRIORln
Implementation Po/iq - Top
Kel'/ssues ActiollS Timc
I CIty's Role I Complete Focus Groups 04/2005
2. Tools Pohcy Framework 2 Prepare Report WIth 06/2005
3 Emment Domam PolIcy DIrectIon RccommendatlOns (by
4 RecommendatIons. Pnonty Consultants)
ActIons 3 CouncIl Study SessIon ReVIew 06/2005
5 Targeted LocatIOns Pnonty for Report
ActIon 4 Detenmne DIrectIOn, ActIon 07/2005
6 Fundmg and Resources Pnontles
5 Develop SpeCific ActIOns WIth 08,'2005
Resource RecommendatIOns
I Responsiblhty Barb I
TARGET 1-70/CabeIa's Proiect and Development PRIORIT\
Po/iq - Top
Kel' Isslle.~ Actio11S Timc
I AnnexatIon I Dcclde on AnnexatIons 02/2005
") O.D.P ") Determmc Intenm Zonmg/Revle\\- OS/2005
3 Traffic SolutIon ActIons o D.P
3 Complete COOT 160 I Process [TBA]
4. Final Zonmg, Outline
Development Plan (0.0 P ) 08/2005
5 Final Development Plan (F 0 P.) [TBA]
6 Complete NEPA Process 07/2006
I ResponsibIlity- Randy/Alan/Tim I
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February 2005
Strategic Plan 2005 - 20 I 0 - 2020
TARGET Capital Investment Plan (CIP) and Fundin2 Strate2v PRIORln
Includin2 Storm Water Utilitv Poliq - Top
KCI'Issues Actions Time
I Project Pnonty I Revle\\< Sales Tax Revenues for 1'\ 04/2005
') rundmg for Projects Quarter
3 Storm Water Utllily 2. Conduct Pubhc Heanng on Stonn 06/2005
4 Service Level Street Mamtenance Water UtilIty
5 Direction and Fund111g' Major 3 Decide on Stom1 Water Utlhty 06/2005
Street Projects 4 Deten111ne Direction and Fundmg 06/2005
on Master Dramage Study
5 Update 10 Year Capital Plan with 09.'2005
SpeCific RecommendatIons for
2006, Includ111g Major Street
Projects and Current Pnontles
6 Dcclde on Streetscape ExtensIOn 092005
West of Harlan (LmK to
Capital Plannll1g
I Responslbllily' Tim/PatncK I
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TARGET 1-70 Corridor Vision and Master Development PRIORln
Area Plan Policy - Top
Kcl' Issues Actions Timc
I City'S Role I RevIew and Evaluate NRS 07/2005
2 Boundary for Area RecommendatIOn for 1-70
3 VIsion Comdor, Includmg Definmg
4 Land Uses and Zonmg the 1-70 Comdor Boundanes
5 Process Steps 2. Design VIsl0111ng and Plannmg 07/2005
6 Level of CitIzens, Busmesses and Process with Fundmg/
Property Owner PartIcIpatIon Resource RecommendatIOns
3 Inventory Current Economic 09/2005
Dcvelopmcnt ProJccts and
Pnvate Sector ActivitIes
(c g. Jolly Rancher)
4 Develop VISIOn 09/2005
5 Develop Area Plan to GUide 03/2006
Future Development
I Responsibl IIty' Alan I
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Strategic Plan 2005 - 20 I 0 - 2020
TARGET Comprehensive Plan: Kickoff PRIORIT\
Policy - High
Kel'Issues Actions Time
I Process for Level and Approach for I RevIew NRS and the Impact on a 08/2005
CItIzen Involvcmcnt ComprehensIve Plan
2 Defimtlon. Scope of ProJect Use of ') Develop the ComprehensIve Plan 08/2005
Stecnng CommIttee Process WIth Steps and
Tlmeframes, Costs and
Fundmg
3 F mailze the Planmng Process 09/2005
4 Create a Steenng CommIttee 09/2005
5 ImtJate the Process 10/2005
I ResponsibllIty' Alan I
TARGET Zonin2 Ordinance Evaluation and Revision PRIORIT\
Poliq' - High
Ket'lsslIe.\" Actions Time
I Approach Walt for I Staff Revle", Current ZOllmg 06/2005
ComprehensIve or SpecIfic Ordmance and IdentIfy
ReVISIOn Conf1lcts, Problcm Areas
') Problem Pnonty ') Present Staff ReVIew at a CouncIl 07'2005
Study SeSSIOn, CouncIl
IdentIfy Areas ofConcem and
Problems
3 Detenmne DIrectIon. 07/2005
a. Wait for ComprehensIve
Plan
b Address SpeCIfic Issues
4 Dependmg on DIrectIon, Develop [TBA]
a Process, Timeframe and
Resources
I Responsibl i1ty' Alan I
Copyright l(" 2004 Lyle Sllmek Associates, Inc.
F ehrllary 2005
51
Strategic Plan 2005 - 2010 - 2020
TARGET Rental Housim! Standards Re2istration and PRIORITY
Inspection Pro2:ram Policy - Hi!:"
KeJ' Issues Actions Time
I Goals I Review "Best PractIces" Used by 04/2005
1. City's Role Other CitIes and Their
3 RegIstratIOn or License PotentIal ApplIcatlOn to Wheat
4 InspectIOn Level/Scope Ridge
Frequency ") Incorporate DISCUSSIon 111 N R.S OR/1005
5 Fee Level . Issues
6 Enforcement . Problems
7 PenaltIes . Goals
. Parameters
3 Develop Report and PolIcy 09/2005
Framework
4 RevIew and DIrection by Mayor 09/2005
and Clty CouncIl 02/2006
5 Develop Specific program and
Implementation Steps,
Detemlme Resources,
Revenues and Budget 03/2006
6 Develop Community EducatlOn
Program [TBA]
7 Implement Program
I ResponsibIlIty' Alan I
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TARGET Re2ional/National Or2anizations Participation - PRIORIT\
Direction and Fundin2 PolilJ' - Hi!:"
Kel' Issues Actions Time
I Attendance at NatlOnal Conference I Conduct a Study SessIon (Type I) 07/2005
2 Budget Amendment wIth Mayor and CIty CounCll
3 CrIterIa. Which Conference to . Goals
Attend . Level of ParticipatIOn
4 Use by Council (Frequency) . Issues
5 Reportll1g Reqmrements . Parameters
2 Develop RecommendatIons, OR/1005
Budget and Policy GUldelll1es
on PartIcipation 08/2005
3 DeCIde on Direction
I ResponsibIlity' Pam I
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Strategic Plan 2005 - 20 I 0 - 2020
TARGET Lobbvine Proeram: State and Federal Government PRIORln
Po/iq - High
Kel' b;.\'ues J.f1i!1!!.5. Tillie
I Approach State I lnventoryiJdentlfy PotentIal 08/2005
2 Approach. Federal LegIslatlVe Issues
."I Legislative Agenda a. State
4 Budget and Resources b Federal
'1 Develop a Leglslal1ve Program 08,'2005
With Recommended Pohcy
POSitIons for the Clty of Wheat
Ridge
a. State
b Federal
3 Detem1me Goal, Approach and 0912005
Budget
a. State
b Federal
4 Detem11l1e DlrectlOn
5 Coordmate Our LegIslatlve 10'2005 "
Program With Jefferson 11/2005
County, Other Cltles, and
CML
I Responsibil1ty- Patnck/Pam I
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February 2005
53
SI/'ale~ic Plan 2005 - 20 I 0 - 2020
Action Outlines 2005
Management
TARGET Sales Tax: Bud2:et Amendments and Public PRIORITY
Education/Marketin2: Pro2:ram Mgllll ~ Top
Kel' IsslIes A clions Timc
I Budget Amendments I Develop a MarketIng CampaIgn 07/2005
for New I~
') Develop PublIc EducatIOn 07/2005
Program on Sales Tax,
SpecIfic ActIOns, Impact on
CItIzens' QualIty of LIfe Staff
Develops SpeCIfic Budget
Recommendations
3 Staff Develops SpecIfic Budget 09/2005
RecommendatIOns
4 Council DecIdes on 10/2005
Rccommendatlons
I ResponsibIlIty' PatrIck I
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TARGET Police Strate2:ic Plan: Implementation PRIORIT\
Mgml - Top
A clions Timc
I Develop PolIce StrategIc Plan OS/2005
') RevIew StrategIC Plan and ActIon 06/2005
Steps from Study SessIOn
(T ype lll)
3 Refine the "Commul11ty PolICIng 09/2005
PhIlosophy," IncludIng Core
Values and ActIon Steps
4 Il11tmte Selected ActIons [On GOIng]
5 Address PolIce CompensatIon 04/2005
I Responsibility- Dan I
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Slralegic Plan 2005 - 2010 - 2020
TARGET Code Enforcement and Compliance Enhancements PRIORITY
Hgllll - Top
Kel' IsslIes A ('(ions Time
I Change Codes I Staff Report Identlfymg Concerns, 07/2005
') Enforcement Level Problems, SpecIfic LocatIons,
3 CouncIl CommItment and Support SpecIfic Landlords
4 Degree of ProductIvIty ') Conduct counCIl Study SessIOn 08/2005
(Type I) to Focus Concerns,
IdentIfy SpecIfic Problem
Areas, ProvIde Overall
DlrectlOn
3 Staff Develops SpecIfic 08/2005
RecommendatIOns
4 Conduct CouncIl Study SessIOn 09/2005
BrIefing RecommendatIOn
(T ype III)
5 Implement RecommendatIOns 01/2006
I ResponsibIllty' Dan/Kersten I
TARGET Emplovee Compensation Policy and Plan PRIORITY
Mglllt - Top
Ker IsslIes Actions Timc
I CompensatIOn PolIcy I ReVIew CompensatIOn and Place 07/2005
') Budget In the Market
2 Develop Recommendation on 07/2005
Changes.
a. Polley
b. Plan
3 ReVIew RecommendatIon WIth 09/2005
Mayor and City CounCIl
4 DecIde on PolIcy and Budget 10/2005
I Responsibility' Patnck I
Copynght @ 2004 Lvle Sumek Associales. Inc
February 2005
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Stralegic Plan 2005 - 2010 - 2020
TARGET Information Technolo2:V Strate2:ic Plan and IT PRIORln
Mana2er iHglllt - Top
Kel' /sslles Actions Time
I Budget I HIre IT Manager 04/2005
') Evaluate Current SltuatlOn and 08/2005
Assess Needs
3 Develop IT StrategIc Plan 09'2005
I ResponsibilIty' PatrIck I
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TARGET Master Plan for Parks and Recreation PRIORln
Mglllt-High
Ker /ss lies Actions Time
1 Parks Uses 1 DetermIne Scope of Master Plan 07,'2005
') Park LocatIon and Fundmg RecommendatIon
3 Youth RecreatIon 2. Conduct Study SessIOn to 08/2005
4 Program DIrectIon DeterImne DIrectIon, FundIng,
5 CIty'S Role Time LlI1e
3 Incorporate DIrectIon 111 Budget 10/2005
'06
I ResponsibIlIty' Joyce I
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TARGET City Government Business Ima2:e PRIORIT\
M~lIlt-High
Actions Time
I Conduct Study SessIon Type I 08/2005
IdentIficatlon of Problems
2. Determme DIrectIon 08/2005
3 Develop Action Plan 1 1/2005
I Responsibility- Barb I
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February 2005
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Strategic Plan 2005 - 2010 - 2020
TARGET Alternative Revenue Evaluation Study PRIORln
Mglllt - High
Actions Timc
I Present Revenue OptIons 111 Work 07/2005
SessIOn (Type)
') Determll1e DIrectIon on Revenues OK'2005
3 Develop a "De BruclI1g" Plan 03/2006
I ResponsibIlIty PatrIck I
TARGET Candidates/New Council Orientation Pro2:ram PRIORITY
Mglllt-High
Ker /sslIes Actions Time
I Electlons Procedures for CandIdates I ElectIOn Calendar and Candldate 08/2005
') TransltIon and ContInUIty for New OrIentatIon
CouncIl ') Coordll1ate WIth Departments 09/2005
3 New CouncIl OrIentatIon Series 11'2005
4 New Council Retreat: StrategIc 01/2006
Plan/VlslOn
I RcsponsibIllty' Pam I
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February 2005
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Strategic Piau 2005 - 20 I 0 - 2020
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COMMUNITY PROFILE & BUDGET PROCESS
The CIty of Wheat Ridge mall1tall1S a rIch history that
began 147 years ago WIth the Gold Rush of I X5G In
I X59, \;Vheat RIdge servcd as a respIte for mll1ers on
theIr way to seck. theIr fortunes 111 the gold msh bo-
nanza oft cntral CIty and Georgetown. Millers would
stop 111 thls area to rcst before their bIg push mto the
mountall1 gold camps. Scnator Ilenry Lee rcmarkcd
that when travelers passcd through our area along thc
Overland TraIl, they passed through rIdgcs whcre
wheat was 1:,rrown. Hence, the deSIgnation of our Clt) 's
name - Wheat Rldge When unable to "strIke 1t1lch,"
the gold I11mers returned to theIr roots as fanners.
and moved to the area to hl1ln the rIeh, fertile soil
The establIslIment ofa permanent commumty bcgan
'Nlth the orgalllzatlon ofa school dIstrIct 111 Wheat
RIdge Il1 I X67 School records Il1dlCale Ihat there were
approxnnately 20 resldents at thIS tl1lle. As the com-
mUl11ty 1:,rrew and wheat tields were converted to fnut
orchards and vegetable tie Ids, rcsldents ti'om Denver
would Joumey west Il1 the fall to purchase theIr pro-
duce at renowned frUIt and, egetable stands. As the
years pro1:,rressed \vheat, orchards and vegetable hmn-
mg gave way to the estabhshl11ent of1:,rreenhouses and
the largest productIon ofcarnatlOns 111 the world, hOIll
whIch came the deSIgnatIOn "CarnatIon City" All car-
natlOlb grown1tl the area were patented and recog-
nlLed world WIde tlW theIr mtense cmnamon essence.
DUrIng the 1':160 's. a bouquet oftresh carnatIons was
dclIvered to thc WhIte House m Washmgtlln, D C
e\ cry Monday mOf11mg and dlsplaycdm thc tront
toyer WIth a card statmg: "With complImcnts to our
natlon's capItal, Wheat RIdge Colorado, CamatlOn
CIty" The Camahon Festnal was establIshed 36 years
ago to celcbrate and honor thc mdush)' 's accomplIsh-
mcnts wIth1l1 the commumty
The City of Wheat RIdge covers nInC square 1111les
centrally located m the Dcnver Metro area. Thc CIty
of Lak.ewood IS located on thc south border, the CIty
and County of Denver IS on thc cast, the City of Arvad a
IS to the north. and to the west IS thc City ofCiolden.
The populatIon for the City llfWheat Ridge IS 32,022
resldcnts, and ser\es as the homc ofapproxnnately
1 ,XO_~ busmcsses. Smce 1990, tlIe total population of
Wheat Ridge has mcreased by approxnnately 9 per-
cent. The medIan age t(1t the City ofWhcat RIdge lS
40 wltlI 19 percent of the populatIon ovcr 65 Forthe
population 25 years and over, 55 percent lIave some
level of college education, With 25 perccnt hav1l1g a
bachelor's degree or higher The medIan household
mcome Il1 2000 was $3X,9X3 Thcrc arc approxI-
mately 14,160 houselIolds Il1 Wheat Rldgc, WIth 55
percenl ofthe households bCll1g owncr-occuplcd. The
a\erage sel1mg prIce for homes III Wheat RIdge III
2002 was approxImately 'l230.000
\Vheat Ridge and Bordering City Population
Demographics
Wheat Ridge Population
29
1970
19RO
1990
2004
City 1990 2004 1990-2004
Population Population Change
Anada S Q.2 35 I D2.6 5 5 13 10..0
Denver 467 biD 572.S62 IS 4 Oil)
Gold en 13 1\6 17.7 OX 25 1..)0'(1
Lakewood 126,4XI 145.532 13 I"
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Vv heal Ridge 29 419 "I' 022 X 10'0
SOllrce {'.5. ( ('IISIIS Bllreall, ( eliI'llI' ]()()(i
LJRl O(y ( Ol1ll1lllllill" Pmfiles
5'1
Community Pm/ill' & Budget PI'II(,l'ss
Median Household Income
",{'Iada pen>let
Golden ._e>llood \ Ridge
\.3" 'JII"e3
Race
..... 80%
:ii 60%
~ 40%
~ 20%
0%
O'/>
<:,,'15
'?'
",'
,,'"
<:)'"
"," d'
"c; ",0
(:,0 ",,'"
y'/>
f1>'"
~c;
w
",'"
~
lEI White 11II Black lEI Asian D Hispanic 11II Other
Age
80%
- 60%
t:
.,
u 40%
~
., 20%
a.
0%
0'1> i-
<!,'Ii ~
'?' Qru
ru~ 00 ~ru
2t<:> ~o 0C;
o t/tru ~
v ~,<:-ru
I lEI Under 5 11II5-19 lEI 20-44 1E145-64 11II65+ I
Source L .S. C el/SUs Bureau. Census 2()()(J
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Education (25+)
_ 80%
~ 60%
~ 40%
., 20%
a. 0%
O'/>
(>'Ii
'?'
ru'
,;.
,3<'
00
",0
~<O
",'Ii
<0"
"c;
(:,0
<0
0<:$
~
1>-
",<0
~
lEI No High School
D Some College
11II Grad Degree
11II High School
D BS/BA Degree
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LOCATION AND CLIMATE
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The CIty 's ccntrallocatlon allows for easy access to
three Intcrstatc hIghways, 1-25, 1-70 and 1-76 Wheat
RIdge IS l11mutes mvay frol11 Colorado \ state hIgh-
way systcm. Thc limon PacIfic Rail LlI1es 11m through
\Vheat Ridge\' lI1dustrIal area along the 1-70 comdor
'iupportmg easy raIlroad acccss to manufacturcrs.
Colorado \, Rocky Mountams arc Just ml11utes away
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Whcat Rldgc"s chmatc IS charactcrIzed as mIld and
sunny WIth 10\\ humidIty The CIty averages 1945
mches oframt:tll and ~5 X lI1ches ofsnowt:tll per ycar.
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LEISURE IN \\ HEAT RIDGE
\\; Ithll1 thc nmc square miles ofWhcat RIdge, the City
maIntams 23 parks and 250 acrcs of open spacc, the
\Vhcat RIdge Greenbelt. Thc fivc nule regional Clear
Creek trail runs through the grcenbelt conncctIng to
traIl systems on the east and west. The Greenbelt
contams four lakes, a three-mlle crusher fine traIl
through a conservation arca and a fully outfitted play-
ground for the phYSically challcnged.
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Wheat Ridge RecreatIon ('enter IS a 70,000 square
tcmt tacillty that proVIdes a varIety of am em tiCS to mcct
the needs ofa diverse conunul1lty All agcs arc able to
enJoy the leisure/lap pools, the titness area and take
part 111 a varIety of classes and programs. Busmesscs
and prIvatc partles are able to rent state-of-the-art
rooms at the RecreatIon Center
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COlllll/lmi(r Profile & BllIlgel Process
Sel110rs can take advantage of the spcCIal events, trIpS
and classes that arc offered at the Wheat RIdge Sc-
1ll0r(COmmumty Center ThIs facilIty also has rental
rooms aVaIlable to the publIc
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<\ regIstered histOrIC place. the RIchards Hart Estate
IS a beauuful1) restored VictorIan ManSIon Ideal for
meetmgs. company partIes and weddmg rcceptlClns.
The Estate IS located on three acres oflandscaped
gardens and park area.
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The CIt) IS also home to the u11lque Sod House and
museum located 111 thc \\!heal RIdge HIstOrIC Park
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Communit~ Event Calendar
Bike to Work Dav
CamatlOn FestIval
Chnstm<Ls Llghtlllg
Ceremony
June
August
Decembcr
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GOVERNMENT Al\D ORGANIZATlOl\
The CIty ofWhea\ RIdge was lIlcorporated 111 19h9
On November 2. 1976. the cItIzens of\Vhcat RIdge
voted for the creatIon of a Home Rule Charter Com-
mISSIon and select cd a dIverSIfied b'rouP of cItIzens to
draft a propo~ed Charter The twenty-one elccted
membcrs ofthe Chaner C ommlSSlon submItted to the
voter~ of the CIty then' proposed Home Rule Chaner
whIch Vla~ apprQ\ ed on Fcbruary 21, 197X
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[n 1996 thc chartcr was amended by the voters to
provldc for the CUlTent Council-Manager tom1 of go v-
emment. The Mayor preSIdes ovcr counCIl meeungs
and possesscs the power of\' eto The Mayor shall
be the rccogmzed head of the city govemmcnt fIX all
legal and ceremomal purposes and shall be the con-
servator of the peace
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The CIty Council IS estabhshed as the polIcy-makmg
legislatIve body ofthe CIty The Councd consIsts of
eIght members WIth two members clected from each
oftcJUr dlStrICtS. Thc Councd appomts CItizens to all
boards and commIssIons on an equal rcpresentatlOn
baSIS.
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The nghts of the people havc bcen retamed through
power~ ofrccalL mltmtlvc and refcrcndum.
EDUC \ TIONAL OPPORTLN 11'\
Wheat RIdge IS part ofthe Jefferson County School
"ystem. The Jefferson <. ounty R-I School Dlstnct IS
natIOnally recogl11zed for havmg some of the hIghest
eqtl1valency test scores m the nation for grades one
tlIrough twelve. TlIere IS one IIlgh schooL two middle
schools, and seven elemcntary schools servmg the
W11eat RIdge commumty
The Ul11verslty of Colorado at Boulder and Denver.
tlIe UmversIty of Denver. Colorado School ofMmes,
and C U Health SCIences C enter are wlth1l1 easy ac-
cess of Wheat RIdge Both the Red Rocks Commu-
tlIty College mam campus 111 Lakewood and the
Arvada campus are wIth1l1 mInutes onVheat RIdge.
WHEAT RIDGE'S ECONOMIC PROFILE
Independent commercIal development has been at the
core of Wheat RIdge 's eXI~tence stnce 1859 The
\Vheat RIdge Post Officc was cstablIshed m 1913 to
support the agrIcultural commerce and small busl-
ncsses m the area. \Vheat Ridge \ commercial suc-
cess has contll1ued to grovv and wIll bc the mamstay
ofthe commu11Ity for the future.
The Wheat Rldgc City CouncIl has recently mvested
111 two bcautlficatlOn proJects. Thc first IS on West
29th Avenuc and the second]s on West 38th Avenue
between Shendan and Harlan. The Council bcheves
that Its ltlvestment will proVIde a pertect el1Vlronment
for growth of establIshed bus messes and busmesses
lIlterested 111 movmg mto our area.
61
Commlllli(r Profile & Blld~et Process
Occupations of Wheat Ridge Residents
Other **
Wholesale Tradc 1100
Constmctlon
700
Manutacturmg
X" "
40'0
Retail
~
:no'o
Scrv Ices
4100
finance. Insumnce &
Real E,tatc
400
**(}rlk"" ognl'ldlllre IUI1lSPUr!dli()l1, l OllllHlInic ...l1imls,
pllhli( lftilif;cl,- (/~riclllrun' (~ mining and m;s{'cl!wICOl(s,
~()lIrce {.s. (ellSIIS Bureall. Celis liS :'Iilili
Major '''heat Ridge Employers
Wheat Rldge Cyclery and A.ppleJUck LIquors are
two natIOnally recogl1lzed busmesses located 111
Wheat RIdge Some top BIO Medical and other
technology compallles 111 thc Whcat Rldgc area
mclude UTI StargUldc, LJtc-Loc Inc. McKlllley
MedIcaL Pasco Laboratory. Rcsource Develop-
ment, The Industrial Laboratones, FClgcr Hcalth
Research Center, Forcc Equals Mass TUlles
Exceleratlon, GeneThera, Inc., Rocky Mounta1l1
Heart A.ssocratlOn, Western Urological AssoCIa-
tion, AUO, Arc Wireless. Starworks Technology,
Aspen Systems, Bycrs Peak and Geochcmlcal
TechnologIes Corp Wheat Rldge serves as home
base for the Exempla Lutheran Medical Center.
wInch has 420 lIcensed beds and sees approxl-
mately 21 ,000 mpatlents and 190,000 outpatIents
per year
Some of the largest employers wlthm the CIty of
Wheat RIdge 1I1elude' Exempla Lutheran MedI-
cal Center. Rocky Mounta1l1 Bottl1l1g Company,
Terracon, Inland Contamer CorporatIOn. M-E
Eng1l1eenng, V Structural, Arc Wireless, Gash
E1eetnc and KaIser Permanente
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TRANSPORTATIOl\
Wheal Rldge"s mass transit needs arc met by the
RegIOnal TransportatIon Dlstnct (RTD) The
Whcat RIdge park-n-Rlde IS located at 1-70 and
\vard Road. The park-n-Rlde allows commuters
casy access to downtown DCI1\ cr. the Dcnver Tcch
l enter and l30ulder
2005 BUDGET PROCESS
The City of Wheat Rldge's budget dcvelops thc
wadmap necessary for provldmg programs and
se!,\'lccs to the CItizens of Wheat Rldge The ( tty
CouncIl and City statl put a great deal of effort
and tlme mto preparIng thc annual budget. The
CIty annually develops a budget process that 1l1-
eludcs conSIderable staff partlclpatlOn from all
deparImcnts and CIty CounCIl dIrection and mput
concclTllllg key polIcy areas. The publIc has the
opportul1lty to partIClpate WIth comments, con-
cerns or budget requests durmg two publIc meet-
mgs and a public hear1l1g prIor to adoptIon of the
budget.
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Budget Calendar
The budget process spans a great portIon of the
year Thc followlllg summarIzes thc 2005 budgct
schedule
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Fc!JrUWT
CIty CouncIl StrategIc Plannmg Rctreat
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April
Departmcnt DIrectors and Imd-level manager's
strategIc plann1l1g workshop
JUlie'
. CIty Council, Department Directors and mld-
level managers' strateglc planl1lng workshop
DIstribute budget packet 111structions to depart-
ments
PublIc meetmg on 2006 budgct
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Jul\'
Pubhc meetlllg on 2006 budget
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CO/U/UI/lli(l' Profile & Blld);ct Process
ell/gl/st
Deadlll1e for ~llbmlttal of 2006 department
budgct requests and 200S budget estnnates
. Cltv Manager Budoet Officer rc\'l<;?\\ budget
'" ...... c '-
5,'cl'lciJ1hcr
DIstnbute proposed budget to CIty CouncIl
Public heanng on 2()()() proposed budget and
capItal pwgwl11
Oc!oher
2006 Budget Appropnatton ResolutIon Adop-
t 1l1l1
''l/o\'clIlher. Dccemher
fInalIze budget document for pnntmg
. DIstribute Budget to CIty CouncIl, et. a!.
Legal Requirements
The City ofWlIeat Rldge's CIty CouncIl and staff
adheres to the followmg legal reqUlrements pur-
suant to the CIty Charter (Chapter 10).
SectIOn 10 I The fiscal:, ear of the CIty and all
Its agencIes shall begm on the first day ofJanuary
and end on the thirty-first day of December of each
year
SectlOll 10.2 Pnor to the begmnmg of each fis-
cal year. the CIty admll1lstratlOn shall prepare and
submlt to the CouncIl a recommended budget for
the next fiscal year and an accompanymg mes-
sage.
Section 10.3 The City admtmstratlOn message
shall explam the budget both in fiscal tem1S and
111 tel111S of the work programs.
SectlOn 10 4 Thc budget shall provldc a com-
plete financIal plan of all mUl11clpal funds and ac-
tIvItles tor the next fiscal year and, except as re-
qUIred by ordmance or thIS charter, shall be m such
form as the CIty admmlstratlOn deems deSIrable
or the CounClI may reqUIre
SectIOn 10.5 Thc total of the proposed expendi-
tures shall not exceed the total of csttmated rev-
enue
Sectton I () 6 The (Ity adl11l11lstratlOn, wlth such
assIstance as the Counctl may dIrect, shall pre-
pare and submIt to the CouncIl a long-range capI-
tal program, simultaneously wlth the recom-
mended budget.
SectlOn 10 7 A public heanng on the proposed
budget and proposed capItal program shall be held
before ItS final adoptl(lll at such tnne and place as
the Counctlmay dIrect.
SectIon lOX After the publIc hcarIng, the Coun-
CIl may adopt thc budget WIth or WIthout amend-
ment
SectJon 109' Thc Councll shall adopt the budget
by resolutIOn on or before the tinal day establIshed
by the statute tor the certification oftbe next year's
tax levy to the county
SectlOn 10 10' AdoptlO1l of the budget by Coun-
cIl slIall constitute approprIatlolls of the amounts
speCIfied there1l1 as eXpendlnIreS from the funds
II1dieated and shall constItute a levy of the prop-
erty tax therem proposed.
Scctlon 10 II Dunng the month of July, and as
otten as the CounCIl may rcqum:, the admlll1stra-
hon shall present a budget statu~ and forecast re-
port to the CIty Counctl WIth any recommenda-
tIons for remedial actIon
SectIOn 10 12 Amendments after adoptIon.
SectIOn 10 13' Every appropnatIon, except an ap-
propnatlOIl for a capItal expendIture fund or spe-
CIal fund. shall lapse at the close of the fiscal year
to thc extent that lt has not been expended or en-
cumbered.
SectIOn 10 14 Coples of the budget and capital
program as adopted shall be publIc records and
shall be made avaIlable to the pubhc 111 the CIty
Clerk's ot1ice.
'Section 10.15 Anmdepcndent certJtlcd audIt shall
be madc of all (It) accounts annually, and more
frequently If deemed necessary by the counCIl
63
(ommuni(r Profile & BIIJ~et Process
2006 4dopted Budget
64
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RCI'l'llIleS & Expl'nditures Sum/ll/IIJ'
BudKet Summary By Fund
BUDGET SUMMARY BY FUND
Beginning Funds Fund
Balance + Rewnues Expenses Balance
Available
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Operating Fund<;
- (icncral $6.757.660 + $~4. 733. 759 S3 I .491 419 $25.X 11.'l41 $5,679,478
Total Operating Funds $6,757,660 + $24,733,759 $3 \,49 \,419 $25,811,941 $5,679,478
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Fund Balance Percl'llfUKC 22.()%
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- Capital Fund<;
Capitalln\cstmcnt Program $3.9459'lO + S3.X30.(X)O - $7 775 990 S7,765,OOO $10,990
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Total Capital Funds $3,945,990 + $3,830,000 $7.775,990 $7,765,000 $10,990
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- Special Rewnue Funds
Police Investlgation $14.ll45 + SIOO $14.145 $X.795 $5J'iO
- Opcn Spacc $257.652 + $900.250 ~ $1.157.902 $I.l4X,115 $'l.7X7
- \1unicipal Court $3X.XXO + $39.500 $7XJXO $62. ](Xl $16.2XO
Richards Hart Eslale $54.%4 + $57.500 $112.464 S65,O<Xl $47.464
- Scnior $16.(l46 $12.600 $~X.646 $27 JOO $1,346
+
- Conservallon Trust $~50.X55 + S37X,()()O $62X.X55 S465.000 $163,X55
Hotc1Motcl S114.536 + $23 7.500 $352J)36 S351.X67 $169
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Recreation l cntcr Opcrations S2.402.4 70 + $2.0X7.766 $4.490.236 $~,339.lJ64 $2.150.272
- Total Special Rewnue Funds $3,149,448 + $3,713,216 $6.862,664 54,468,141 $2~,94.523
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Total Operating Funds $6.757.660 + S24, 733. 75'l $31491.419 S25.X 11.941 $5.67'l47X
- Total Capital Fund<; S3.945,'l90 $3.X30.000 $7,775990 S7 765.000 $10.990
+
- Total Special Rewnue Fund<; $3 149,44X + $3.713.216 $6.X6~.664 $4.461-:.141 S2,394.523
(Less Transfers) SO + ($3.450.000) ($3.450.000) ($3.450,000) SO
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GRAl'Il) TOTAL $13.853,098 + $28,826.975 $42,680.073 $34,595,082 $8,084,991
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65
Rel'enlles & E\}Jenditllres SI/11//lIU1T
General rund Rel'enlles
GENER-\L FUND REVENUES
2004 2005 2005 2006
"-etual Adjusted Estimated Adopted
SALES TAXES
Sales Tax S5.012.377 SI5.901.932 S 14.687.232 S14.687232
Audil Revenue <;(J SO SI75.0(J(J S275.000
ESTlP S20.6(KI S75JKKI $70.0m S70.000
\VRURA S20161 S'IO(KK) S250 O(J(J S250.(KKI
TOTAL S5.053.138 S 16.066.932 S 15,1 82.232 S 15.282.232
OTHERT"-XES
Real Prope11y Tax S677.88'1 $675JXJO S690.0(J(J S7OO.()()()
Liquor Occupational Tax S67,606 S60.lXKJ S60.lllKI S61.()(J(J
Auto Ownership Tax S74.488 S78.lXKJ S70.000 S70.000
Xcel FranchIse Tax SI.062.1'13 SI.lX)O.OOO S l.200,O(XI S 12(XJ.OOO
Telephone Occllpalion Tax S248,824 $270.lXXJ S245.0m S245,OOO
Lodgers Tax S374.844 S375,(KKl S400JJ(XJ S4(K).mO -
Admissions Amusement Tax S45343 S45 (J(KI S44 om S44 (KK) -
TOTAL S2.551 187 S2.503.(J()O S2.70'l.OOO S2.720.000
USE TAXES
ProfessionaLRelall S567.550 SI200.lJ()O S I.lXJo.om S l,(X)().OOO
Building S318,312 $460.5(K) S500.0m <;4(K).lKXJ -
Aulo S820 386 SI275(J(JO S 1.170 O(K) S I 100 000
TOTAL Sl 706.248 S2.'I35.500 S2.670,OOO S2.5(J(l,OOO
LICENSE REVE:'IiUES
Amusement Machine License SIO,380 S'I700 $lO.4m S 10,800
Arborist License S2.330 SI7(J() S9m S1.6(J()
Contractors License S72,93I "58.0m S75.0(J() S65.(KKl
LIquor License Fee S12,638 "12.(KKl SI1.5oo SI2.lKK)
Building Pemlils S475.637 S315,( KKl S4(K).O(J(l S318,()(J(J
Street C ul Penmls S40.113 S47,(KJ() S50.(J(J(J S55,OOO
Cable TV Pennits S262.503 $250.(KK) S260.(J(Kl S260,<KKl
Elevalor Inspeclion Fecs S 13.5'16 SI4.5(K) SI2.0(KI SI7.600
Busmess License r ees S7I205 S72()(J(J $77.(J(J() S75 (X)()
TOTAL S96lJ33 $779l)(KI S896.8m S815.()(J(J
INTERGOVERNMENTAL REVENUE
CigarctIe Tax S 177,52'1 $165,()(J(J SI25.(J(XJ SI20.()(J(J
County Road and Bridge $467.191 $5(x).(xKl $475,{XXJ S475.0m
Highway Users Tax S916263 $914.lKK) S831.()(J(J S827.402
Motor 'vehicle Regislralion S 106,672 $I05.lXKl SIOx'()(J(J SIIO.(XJ(l
Wheat Ridge Fire Department S28,4OO S2K4(J() S28.4(X) S28.4(J()
Police - Bulletproof Vest Granl S2.090 S8.l122 SIO.()(J(J S3.5(J(1
Police - Get Connected Grant S777 SO $1,442 SO
PolIce - JAlBG Grant S14.704 $12243 $12234 9J
Police - LAS 1 Granl S3.011 SO 9J W
Police - HlDTA Granl $3.752 S lO.lXKJ S631 9J
Colorado Home Garden Grant SO S5.lJ(J() S5.(XK) ~l
Police - Bryne Grant ~) 9J S30.'I68 S30.000
PolIce - OCDEFT Speed Trap OT S3.822 9J $0 $0
Police - LLEBG S27.825 S 10.525 SO 9J
Scienllfic & Cultural Grant S78(J(J S38m SQ .:i:U
TOT <\I S1.75n36 S \.761.990 S 1.627,675 S \ .5l)4,302
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Revet/lies & Expel/ditures SlIlIImU/T
Gel/erul FlIl/d !level/lies
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
SERVICES
Zoning Applications M7.952 530,Om "160.000 S35,OOO
PlannIng Reimoursement Fees M,IXI 52.400 S4.(K1O S3.CKlO
Engineering Fees 512,953 514.(XX) SI5,(XXJ S14.500
Misc Zonmg Fees 52,632 5L5(KI S3.000 S l,5(X)
Plan Re\le'A Fees S120,673 S 1 00.000 SI50.(m SI20,(KXJ
Pavillon:Park Renlal Revenue S22.1XX S2 LOOO S2UXXl 52Lom
'\lhleties Revenue 5%,139 S113.035 5105,(KXI S!OO.OOO
Gcn. Prog. Revenue ~I SO $0 SX3.500
Anderson Building Revenue 5K3R3 S7,340 $7,340 5X,(XlO
P&R Damage 'Security Deposils \;46220 S452(Xl S40,OOO S42,(XJO
Communily l enter Revenue 5 102.ROR SI13,700 S99,X72 SIOO,275
Outdoor Swimming Fees MX,311 S53.447 546,1 m: 540.lKXl
Police Fces SI94 ~I SO SO
Police Report I-ees 514.661 514,500 S15,OOO SI5,(XXJ
Police Record Check Fees 5640 $500 5530 S450
- Pawn Shop LIcense Fees SlOmO 5 lO.OOO 5 lO,(KXJ $IO,(XKl
- Pawn Shop Ticket Fees 519,610 SIX,(XKI SI7.500 S17.500
Police Alarm Fees "2,350 S4 .9(x) SO SO
- Police Fingerprinl Fees 53,330 S3.000 S3,370 $3.400
- Sex (mender Regislralion 52. no SL900 S2,320 $2,700
Police Drug Destruclion Fees "RCKl <;4iX I S5(X) S5(XI
Insurance C onlinualion Fees S459 S400 Sl56 S2(XJ
- Police Duly Reimoursement S71 755 $50.000 540.000 S50,OOO
TOTAL S63K959 5605,222 S740,696 S661>.525
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- F1:\1ES& FORFEITURES
MUl11clpal Court Fines S522.653 snx,(XXJ S500,000 S700,OOO
- Handicap Parking Fees SI20 sno $6lXJ $7m
- TOTAL S522,773 5nKnO S5m,6m $700,700
- INTEREST
- Inleresl Earnings SI19X76 $] 10.000 $150 (xlO SIXO.OOO
TOTAL S119,X76 511O.0(x) SI50.000 S] XO.(XXJ
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OTHER
Cable Peg Fees S42.572 $42.(XXl S42.0(x) S40,OOO
- Pass porI Proccssmg Fee S2.676 S2,(XXl $R,OOO $X,OOO
- Miscellaneous Income 5225 563 5150000 5225 000 $225 (xlO
TOTAL S270$11 S194.000 S275,(lOO S273,()(lO
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- Total General Fund $13,584,161 $25,685,264 $24,752,003 $24,733,759
67
Revenues & Expenditures SUl1ll1lwy
General Fund Revenues
2004 2005
Actual Adjusted
Transfer Payments
FromCIP SI,9XO,467 9,)
hom Open Space S615 (XX) S579650
Total $2,595 467 S579.650
Total Rewnues (including transfers) $ 16. I 79.62R S26.264.914
Residual Transfers 9,) SO
Fund Balance Carryover S6 263 ~61 S5674,453
Total Carryover 5>6.263,261 $5,674.453
Total Funds Available S22.442.XX9 S31 ,939.367
2005
Estimated
$0
S579650
S579,650
$25,331.653
S45
5>5426,199
55.426.244
S30.757.XY7
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2006
Adopted
SO
.:i!!
$0
S24.733.759
so
$6 757,660
$6,757,660
5>31.491,419
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Revenlles & Er:penditllres SlIlI1l11l1r)"
(ieneral FlInd Er:l'enditllres
Legislative
LegislatI\e Services
Total
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City Mana::er's Office
CIty Manager
Economic Developmenl
C ommunily <'uppurt
Total
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Ci~ Attorney
City Attorney
Total
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City Clerk's Office
Cily Clerk
Total
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City Treasurer
C ily Treasurer
Total
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Central Charges
Central Charges
Total
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Municipal Court
Municipal Court
Total
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Administrative Services
Administration
Finance
Human Resources
Sales Tax
Purchasing and Conlracting
Information Technology
Total
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GENERAL FUND EXPENDITURES
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
5124.460 5160722 5159 022 $193207
"\124.460 5160.722 5159.022 $143207
$228.686 $263.942 5263.942 5310.477
$306,324 $562.505 S617255 5235.580
542,354 5166458 $157234 577 360
5627,364 $lJ92.905 51.038.431 5623.417
5n3214
5283214
S310 500
5310.500
5310500
5310.500
5300 500
$300.500
5176,314
5176,3 14
5203.466
5203.466
5193.466
5143466
5210233
5210.233
532119
5321]4
S31 794
531.744
532 239
532134
532393
532,393
52.142.908
52.142.908
52.454598
$2.454.598
52294.640
S2.244.640
$2547.108
$2.547. lOX
S483.IM
'483.1M
5538 714
5538.714
5528 122
5528.122
$600 46!
$600.462
$160.887
$]70.381
5333.621
5118.373
565.138
5858.314
$1,706,714
$173.644
$179.902
5327.1 84
5171.904
$68.098
$1.081.617
S2JlO2.354
<; 173.344
5179,902
5301.061
S170.193
$67.998
5lJ98 ()l)7
51.890,640
5203.652
5194.457
S385.M2
$187.959
573.851
51.202225
52147.586
69
Rel'enues & Expenditures SU11IfllUl:!'
General Fund Expenditures
2004 200S 2005 2006
Actual Adjusted Estimated Adopted
Community Development
Administralion 5160.401 5274.208 527 1,858 5234,642
Planmng 5177.615 51lJ5,873 518K848 52lJ8,838
Building 5232,{}lJlJ 5203 525 5203 525 5"0 5lJ8
Total 5570.115 5673.606 $664.231 $754.078
Police Department
Administralion 5724.226 5674,55lJ 5670j98 $733.860
Commumty ServIces Unit 5163,834 5179.211 5179.211 $243.574
CommunicatIons 5548.072 5840,688 5608,63lJ 5703.778 -
School Resource Officer 50 50 SO 5149.846 -
Records Seclion 5188.652 5224.987 5224.987 5248.745
Traming 5113.85lJ 5177.234 5177.234 5]92,371 -
Patrol 52J67,808 52,816,341 52.765.938 $3.088.268 -
InvestIgations 51,OI5.lJ43 $1.128.206 51,089.274 51.320.092
Traffic Enforcement $28lJ.539 5242.039 5226,092 5398.968 -
Speciallnvesligations 5230.394 5247.485 S234,340 5258,362 -
Emergency Operalions 518280 $29.479 529 479 S20 600
Total 55,660,607 56.560.22lJ 56.205.792 57.358.464 -
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Public "'orks Department -
Admmistration 51 ]9.980 S 125.062 5125.051 5142.886 -
Engineering 5724.503 5955,8] 3 5844,000 5925.357
OperatIOns 5 1.799 .135 52.433.312 5'.4'9312 52.336.594 -
Total <;2.643.618 <;3.514.1 87 53.3lJ8.363 53.404,837
Parks and Recreation Department -
Administration 5174.497 5]85,6]9 5184,809 5203,601
Recreation 5153.7]3 5188.791 5176.592 5200.525 -
Parks Maintenance 51,081.114 51.197,658 5 1,186,663 51,022.917 -
F oreslry 5222.449 5316.189 5306,851 5239.796
Open Space 5134.196 5160,915 S139,590 5115.297 -
Anderson Building 574.325 574,771 572.308 586.480
Athletics 5140.920 5174.535 5159.787 5169.743
General Programs SO 9) SO 5170.557
Outdoor Pool $66.751 51OlJ.040 587.936 599.417
Senior.'Communily Center 5306,833 5362.470 $358.426 $4 lO.858
Building Mamtenance 5299468 5330707 $336 829 $370,465
Total 52,654.266 53.100.695 53.009.791 53.089,656 -
Total General Fund 517.1 04,943 S20.543 ,770 5IlJ,725.237 521.361,941
Transfers 9) $4.275,000 54.275.000 S4.450.000
Total General Fund w/Transfers 517.104,943 $24.8] 8.770 S24,OOO.237 525.811.941
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LEGISLATIVE SERVICES
Overview:
Compnsed of the Mayor and elght nn Coun-
cil Members. two (. ouncIl iVlembers represcnt-
lllg cach geographic Councll DistrICt.
Serve as the legIslatIve and polIcy-makll1g
hody ofthc CIty of Wheat RIdge 1\1 a (. ouncll-
Manager form of gO\ emment.
Adopt laws, ordlllances and resolutIons
Appoll1t the City Manager, CIty Attorney and
MUl11C1pal Court Judges.
Appol\1t members of the commu11Ity h) CIty
Hoard and CommIssions and encouragc com-
mUl11ty outreach andmvolvemcnt.
Hold regular. special, and study sessIon meet-
lngs
Mayor sIgns all offiCIal documents and agree-
ments on behalf of the CIty
2005 Achievements:
Contmued to encourage publIc Il1volvement
through regular meetmgs, dlstnct meetmgs,
Boards and CommIssIons, Open House
Meetll1gs, and a Town MeetIng.
Ma111talned focus on rede\elopment
opportu111tles.
. Contll1ued to mamtam a vIsIon and strategIc
plan process.
Malllta1l1ed focus on redevelopment
opportul11tJes.
Completed Neighborhood ReVitalIzatIOn
Study, adopted 9 strategies and began
implemcntatlon of Wheat Rldgc l02l)
2006 Objectives:
Mamtam ViSIon and Strategle Plan process
goals and objectIVes.
Contmue implementatlOn of Wheat RIdge
2020 and strategy, structure and fundmg of
economic development goals.
Develop and lI11plement a CIty PolIcy Agenda
and Lobbymg Program.
TranSItion and OrIent newly elected Mayor and
Councll members.
Partlclpate 111 tra1l1111g, profeSSIOnal
development and nctworkmg opportu11ltles.
Contmue to facIlItate a strong partnershIp
between the CIty and Commumty
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $73.405 $72,857 $72,857 $72,857
Materials & Supplies $2,493 $3,940 $3,940 $3,143
Other Services & Charges $48,562 $83,925 S82,225 $117,207
Capital Outlay $0 SO $0 $0
TOTAL S 124,460 $160,722 $159,022 $193,207
71
Legislatil'e Sen'ices O/-[(J:!
Total 20116 Budget by Object
Other ServIces &
Charges
6()""
There are dozens of op-
portunitIes to particIpate
111 CJty government
through work on vanous
Boards and Commlssions
appol11ted by the Mayor
and CIty CouncIl.
72
Personnel Services
38"'"
MaterIals &
SupplIes
20'0
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CITY ATTORNEY
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0, erview:
Counsel and advIse the CIty CouncIl, CIty
Manager, Boards and CommlsslOns, and De-
partment Dlrcetors on the legal ImplIcatIOns
of contemplated polJcy and admll1lstratlve
decIsions.
Detem1InC legal means to Implement CIty polI-
cIes.
Represent the Cay Il1 lItIgatIon Il1 state and
federal courts and before local and state ad-
mmlstratlve ageneles.
Prepare and revIew Clty ordll1ances and con-
tracts.
Conduct legal trall1ll1gs and other cducatlOn
programs related to laWSUIt aVOIdance
Prosecute CIty Code VIOlatIons Il1 MUl11clpa]
Court.
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2005 Achkvcments:
Completed agreements for annexatlOn and
Il1ltlal zonll1g of the Cabela's proJect.
Created numerous ordmances on request,
II1cludll1g those addressll1g nOIse, no proof of
Il1surance, snO\\/Ice, and settmg an electIon to
amend the home rule charter.
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Prepared legal memoranda on request.
Defended lItIgatIOn 111volv111g the Clty,
Il1cludll1g that agall1st Wheat Rldge Urban
Renewal Authonty
FaCIlItated Councll 's regular reVlew ofthe CIty
Manager
ReVIsed CIty'S computer and E-maIl polICIes.
Conducted trall1ll1g for Board of Adjustment
and Plannll1g CommISSIOn.
Drafted varIOUS Il1tergovemmental agreements
on request, Il1cludll1g prIsoner transport; West
Metro, Wheat RIdge FIre Dlstnct.
Prosecuted enforcement of sales tax and
LIquor Authonty cases.
2006 Objectives:
ProVIde legal scrvlces wlthll1 budget.
. Conduct rcgular tra111111g for members of
Plann111g CommlSSlon and Board of
Adjustment.
Complete work necessary to finalIze PCD and
related financ111g agreements for Cabela's
development.
Conduct new CouncIl Member/Mayor
trall1ll1g.
. ASSIst WIth ImplementatlOn of the
NeIghborhood RevItalIzation ProJect,
II1cludll1g formatIon of nonprofit corporatlon.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $0 $0 $0 $0
Materials & Supplies $0 $0 SO $0
Other Services & Charges $283,214 $310,500 $3 10,500 $300,500
Capital Outlay $0 $0 $0 $0
TOTAL $2R3,214 $310,500 $310,500 $300,500
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73
City 4.uII/'Iley 0 I-I 0 ~
Total 2006 Budget b~ Object
Other ServIces &
Charges
10000
Gerald DahL City Attomey,
speab Spal11sh
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Central Charges 0/-6/0
CENTRAL CHARGES
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Overview:
Reflects medIcaL dental. hfe and dIsabilIty 111-
surance benefits for employees budgeted 111 the
Gcneral Fund.
Oversce expendIturcs of cItywIde general op-
eratIOn Items mcludmg but not lllmted to post-
age and delIvery scrvlces, photocopy and prmt-
II1g expenses, telephonc cxpenses and office
eqUlpment mall1tenance.
Oversee the Property and LIabIlity and the
Work.ers CompensatIon programs.
ProVIde fundmg for Employee Safety Com-
mIttee to provldc loss control and safety pro-
grams for all Clty employees.
Work WIth the Employee Wellness CommIt-
tee to admmlster a Wellncss Program.
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2005 Achievements:
MOllltored cltywlde general operatlon
expcndItures.
Conducted several Wellness Program cvents.
Completed first year of Safety Recog11ltlon
Program to asslst In ralsmg awareness of safety
Issues, reduce employee aCldents and m.lUrIes
and mstill proatlVe behaVIOrs that create a safe
workmg culture
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Conducted safety trall1mg opportU11ltles to all
CIty staff members.
Contmued development of FaCIlIty EvacuatIon
Plan for all cIty faCIlItIes.
2006 Objectives:
Contll1ue further development ofthe Wellness
Program mto a more comprehenSIve and
extensIve Wellness and FItness Program.
Implement Faclhty EvacuatIon Plan for all CIty
facilItIes.
Cont1l1ue mOllltonng CItYWIde general
operatIon expendltures.
Admmlster and mOl11tor CItYWIde medIcal and
dental expenscs.
ReVIse aCCIdent rcportmg forms and process.
Il11tlate officer ergonomIcs tramll1g program.
Total Budget bJ Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $1,540,643 $1,799,371 $1.731,290 $1,937,176
Materials & Supplies $63,156 $93,377 $75,000 $75,000
Other Services & Charges $515,498 $54R,445 $475,945 $522,527
Capital Outlay $23,611 $13,405 $12.405 $12,405
TOTAL $2,142,90R $2,454,598 $2,294,640 $2,547, I 08
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Central ('(/(/rges 0/-610
Olher Scrvices &
C hargcs
20.50'0
Total 2006 Budget b~ Object
CapItal Outlay
U 50'0
Matcrials &
Supphes ...../"
2 goo
76
Did you know...
The CIty receIved an
award hom CIRSA 111 2005
for the fewest vehIcle
aCCidents per mIles dnven
for the second year III a row
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CITY TREASURER
Overview:
Invest all City funds.
MOl11tor CIty's avaIlable cash on a daily baS1S.
SIgn all City checks.
Serve as City Internal Audltor.
2005 Achievements:
. Increased YIelds on 1I1vestments and managed
Investment to accommodate Clty's potentlal
cash reqUIrements.
ReVIewed the CIty's use offinancml1l1stltutIons
and serVlces provlded, assIsted wIth the
Request for Proposal and award of a 10ckbox
contract.
Made recommendatIons to CIty Manager to
expand the use of technology to Improve
financJaI controls and/or effiCIenCIes
RecommendatIons were accepted and are 111
varIOUS stages of ImplementatIOn.
Developed salcs and use tax reports to analyze
results ofthe addJtlOnal one-cent sales/use tax,
and revenue collected by types of bus1l1esses
(SIC Codes)
2006 Objectives:
MaXtmlZe Income from 1I1vestments by
ImprovlI1g cash flow analysls.
Orgal11ze a Fll1anclal AdVISory Commlttee to
revle\.\ 1I1vestment and 1I1temal audIt poltcles.
Follow-up on recommendatIons approved 111
2005
Analyze the current bus1l1ess lIcense structure
for serv lce companies and make
recommendatIOns that would slmpltfy the
process for the CIty and the compames.
Revle\, and amend Clty's Investment PolIcy
Cont1l1ue to work wIth sales tax software
vendor to resolve all rema1l1111g issues.
Total Budget by Object
2004 2005 2005 2006
Actual Adiusted Estimated Adopted
Personnel Services $31,459 $3 1,219 $3 1,2 I 9 $31,218
Materials & Supplies $0 $25 $20 $25
Other Services & Charges $760 $550 $ 1,000 $1,l50
Capital Outlay $0 $0 $0 $0
TOTAL $32,2 \ 9 $31,794 $32,239 $32,393
77
City Treasurer 01-/01
1'olal2006 Budgl't by Obj~ct
Personnel ServIces
964" 0
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Other SefVIccs & j
Charges
36"."
MaterIals &
Supplies
o I" 0
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The CIty has lsslIed 3,400
busmess lIcenses 1112004.
ApproXImately 950 ofthose
busmesses remIt monthly
sales tax, 1,000 arc quarterly
filcrs; and the remamdcr file
on an annual basis.
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CITY CLERK'S OFFICE
Overview:
Coordmate wlth Jefferson County for the CIty'S
electIon.
Attend and mamtam a pemlanent rccord of all
CIty Councll proceedmgs.
Ma1l1tall1 all records of CIty ord1l1ances,
resolutIOns, deeds, easements and offiCIal
documents, 1l1c1ud1l1g management ofMumclpal
Code supplements.
Overscc the publIcatIon of all notlccs,
proccedmgs, and matters of publIc record.
AdmInIster the fees, licenses and reqUIrements
ofthe CIty's liquor cstablIshments and scrvc as
clerk to the Wheat RIdge LIquor LIcense
Authonty
Adm1111ster the Amusement Llcens1l1g polICIes,
procedures and fees.
Coord111ate and adm1111ster the Office of the
Mayor and CIty CouncIl
Act as Passport Agents for the U.S Depmiment
of State.
2005 Achievements:
Adopted the Model MU111clpal RetentIOn
Schedule eity-wlde and Implemented a Records
Management CommIttee.
Coordmated and completed a CIty Clean-Up
Day whIch elImmated duplicate and obsolete
records.
Re-lI1stated a part-tIme reeeptlOl11st to better
serve customers that do bUS111ess with the Clty
Orgal11zed a cIty mall room and ncw postage
system.
Implemented and stream-lmed a ncw candIdate
and Councll onentatlon process.
Imtlated a charter amendment regardmg publIc
notIces to become more efficlent and
mformatlve
Installed a new dIgItal rccordmg system for
CouncIl Chambers.
Analyzed and computerIzed a detail cd hIstory
offomler and current Board and CommIssIon
members.
2006 Objectives:
Cont111ue progress wlth Records Management
CommIttee.
Develop a capItal proJect for a dlgltal database
for records management.
PartICIpate m advanced trammg m records and
customer serVlce
Develop and Implement a CJtlzens Academy
for CIty government.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $124,905 $144,366 $144,366 $151,083
Materials & Supplies $2,009 $2,500 $2,500 $2,550
Other Services & Charges $49,400 $56,600 $46,600 $56,600
Capital Outlay $0 $0 $0 $0
TOTAL $176,314 $203,466 $193,466 $210,233
79
City Clerk 01-108
Total 2006 Budget by Object
Personnel Services
71 9""
MaterIals &
SupplIes
1.200
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Other ServIces &
Charges
26900
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Staffing (Full-time Equivalent Employees)
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2003 2004 2005 2006
Authorized Authorized Authorized Authorized
City Clerk's Office 2 2 2.5 2.5
Total ') ~ 2.5 2.5
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City Clerk (Elected)
The CIty Clerk's
Office lS now a
Passport Acceptance
facihty for the U S
Department of State.
Deputy City Clerk
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Administrative Assistant
Receptionist (0 5)
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80
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CITY MANAGER'S OFFICE
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Overview:
ProvIde overall admmlstratlOn for CIty III
accordance wIth CJty CouncIl polICIes and
Issues.
Managc and supervIse departments, agencles
and offices to achIeve goals wlthm avmlable
resources.
ProvIde oversIght III preparatIOn and executIOn
of budget.
ProvIde dIrectIOn for redevelopment and
de\elopment programs wlthm the Clty
C oordl11ate te]ecommut1lcatlOn Is~ue~.
Coordlllate public mformatlon program.
Provlde effectIve commut1lcatlons WIth CIty
Counel1, cltlzens, and staff
Ensure orgall1zatlOnal expectatIOns are
mcorporated and practIced by all stafl
Manages speCIal proJects.
Track state & federal legIslatIOn lmpactmg the
City
(hersee adm1l11stratlOn of grant applications.
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2005 Achievements:
Coordmated the contmuatlOn of the Strategic
Plannmg process wlth consultant, staff and
CIty CounCIl resultmg m updates to StrategIc
Planl1lng documents and development of
MISSIon, Busmesses and Core BelIefs.
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Contmued negotIatIOns for largc retaIl
development at ]-70 West locatIOn mcludmg
coordmatlOn of nClghborhood meetmgs and
160 I proccss WIth Colorado Department of
TransportatIon.
Coordmated NeIghborhood ReVItalIzatIon
Strategy (NRS) cffort, approval by CIty
CounCIl and began plannmg efforts for Wheat
RIdge 2020 (WR2020)
Contlllued focus on economIc development to
encourage new bUSIness development.
2006 Objecthes:
Oversee nnplementatlon and eoordmatIon of
WR2020 and NRS
Coord111ate the completIon of polIcy and
management agendas outl111ed m the Strateglc
Plan.
Cont111ue to focus on economIc development
to encourage new bus mess development.
Manage final development of the Cabela's
retml center proJect.
Oversee completlOn of alternatlve revenue
evaluatIon study and polIcy dIrectIon.
Oversee thc completlon of the second bI-
annual CItIzen Survey
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $196,746 $216,427 $216,427 $212,392
Materials & Supplies $2,091 $1,750 $1,750 $1,900
Other Services & Charges $29,849 $45,765 $45,765 $94,585
Capital Outlay $0 $0 $0 $1,600
TOTAL $228,686 $263,942 $263,942 $310,477
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City Hal/llger 01-106
Total 211116 Budget by Object
Personnel ServIces
68 400
Materials &
SupplIes
0600
CapItal Outlay
0.50'0
Other ServIces &
Charges
30.500
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~taffing (.. ull-time Equivalent EmpIo) ees)
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2003 2004 2005 2006
Authorized Authorized Authorized Authorized
City Manager's Office 2 ') ') 2
Total ') ') ') 2
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A NeIghborhood ReVItal-
IzatIOn Strategy (NRS)
was completed and
adopted by CIty Councll
as gUldll1g pnnclples for
reVltalIzmg the CIty
City Manager
I
Assistant to the City Manager
82
Economic Development
granl.
Produced five economIC developmcnlnevis-
lctters.
ProVldcd oversIght III preparatIon Implemen-
tatIon of budget cnsunng fiscal responsIbIlIty
Developed marketlllg brochure professIOnal
ad\ ertlsemenr.
Successfully developed EconomIc Develop-
mcnt program aImed at rcvItalIzmg the cIty
and attractIng nc\\ buslIless
Contlllllcd focus on economIc development to
encouragc nc\v bus1l1ess dcvelopment.
Total Budget b) Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $0 $0 $0 $0
Materials & Supplies $6,1 82 $12,450 $11,700 $ \ 8,000
Other Services & Charges $300,142 $550,055 $605,555 $217,580
Capital Outlay $0 $0 $0 $0
TOTAL $306,324 $562,505 $617 ,255 $235,580
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O"erview:
Manage the Wheat RIdge bUSIness recnl1tment
and retentIon program
Promote commut11ty revltal1zatlOn.
Serve as IIlfOrmatlOl1 resource for bus1l1csses
Partncr wtth de\ elopers, busmess owners, and
Chambers of ( ommerce to recruIt ne\\ bUSI-
nesses.
Provldc assIstance WIth tra1l1mg and counsel-
mg to bus messes.
Adm1l11ster city IIlCentlve programs
Promote pOSlt]\ e Image of City
I'vlanage market1l1g of CIty
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2005 Achievements:
Increased commU11leatlons WIth busll1esses
through the Clty and cconomlc devclopmcnt
newslettcr
(onductcd bU~1I1ess award and luncheon pw-
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Development of bus1l1cSS dlrcctory
Developed work1l1g relatIOnshIps wlth police,
commul1Ity developmcnt and public \V orks
department to coordlllate customcr scrvlce to
bus messes.
Developed partnershIps WIth econOlmc devel-
opmcnt mdustnes, cIty. county orga11lZatlOns
and busmess orgamzatlOns. chambers.
. Increascd adv ertls1l1g to pWJ110te CIty Image
Coord1l1atcd tV\ 0 busllless cvents - arrrecJa-
tlon and bus mess forum.
Partnered ViltlI DMCAR to proVIde an onlmc
property search database
2006 Objectives:
Devclor marketmg materIals
Coordmale five busmess events mcludmg ap-
prCClatIon event and busmess forums.
(ontlllue focus on retentIOn eflorts to encour-
age busmess de\elopment
Partner WIth \vesl Chamber to develop and UtI-
lIze economIc garden1l1g program.
Develop commIttec to asslsl m rollmg out e-
sychromst retentIon system.
UtIlILe cIty and economIc development neViS-
lcttcr and \vebSIte as 1I1formatlon modcs.
Research bus1l1ess Il1fOrmatlon systems de-
SIgned for colkcllOn, managemcnl, analysb
and reportmg of bus1l1ess data and Ib Impact
on the CIty's economy
83
City Mil/laKe,.:, Oftia
Economic Del'elo[lllle1ll () J - J OS
Total 2006 Budget hy Ohject
Other ServIces &
Charges
92 400
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MaterIals &
SupplIes
76" 0
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Staffing (Full-time Equhalcnt Employees)
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2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Economic Development 0 0 0 0
Total 0 0 0 0
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The CIty has asslsted wlth
over 50 requests for
busmess development.
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Community Support
Overview:
Coordll1ate the publIc I11formatlon program
I11cludmg the government access channeL cIty
newslctter, and pnnted II1formatlon to the
publIc
Manage special proJects mcludmg the annual
CarnatIon FestIvaL HolIday Llghtll1g
Ceremony and Memonal Day celebratIon.
Manage vanous contracts and agreemcnts
mcludmg the cable franchIse agreement.
Managed electIon forum.
Managed \:Vest N Ilc v lrLlS MosqUito Control
contract and serVlCC~.
2005 Achievements:
Coordmated SlX City sponsored events.
Produced four program/mformatlon vldeos.
Produced 24 VIdeos of CounCll meetmgs.
Produced SIX Clty Connectlon Newsletters.
2006 Objectives:
Produce four commu111ty VIdeo programs.
Cont1l1ue focus on developIng publIc
Involvement programs.
Improve the Image and use of the clty
newsletter and government access channel
Producc SlX clty connectIOn newsletters.
Upgrade Channel ~ system to II1corporate
Jefferson County Schools.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $10,611 $IO,7g4 $0 $0
Materials & Supplies $33,792 $36,600 $35,500 $35,520
Other Services & Charges $47,951 $119,074 $121,734 S41,840
Capital Outlay $0 $0 $0 $0
TOTAL $92,354 S 166,458 S157,234 $77,360
liS
Cit)' Manu~er\ Otfice
COI1I11Ilt1li~1' Support 01-113
Materials &
Supplies
45 900
86
Total 2006 Budget b) Object
Other ServIces &
Charges
54 1"0
Did you know...
In 2005, the Clty
produced 28 vldeos
to build commu111ty
awareness.
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MUNICIPAL COURT
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Overview:
. AdjudIcate mIsdemeanors, traffic, juvenlle,
domcstic violence, and ordmance v101atlons.
Conduct 134 ( ourt sessIOns annually for
varIOUS hearIngs, arraIgnments, pre-trIals, trials
by judge, tnals by JUry, revocatIOn heanngs,
bond hearIngs, complIance heanngs, prIsoner
heanngs, restItutIon heanngs, sentencing
hearIngs, and Issue arrest warrants.
Process domestIc VIOlence VIOlatIOns on a fast-
track basIs.
MOl11tor complIance Wlth probatIon condltlons and
general sentencmg condltlons.
Collect revenues assoclated wIth fines, costs,
outstanding judgments, defaults, dIrect servIces,
and tllmg fees.
Collect and process escrow funds assocIated with
restItutIOn, jUry demands, and bonds.
Appomt attorneys for I11dlgent defendants 111
cnmInal cases.
CompIle, mamtam and dIstribute records.
Process prIsoners by VIdeo arraIgnment or m
Court as applIcable
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2005 Achievcmcnts:
Researched acceptance of credlt card payments
for tInes, costs, and bonds.
Revlewed strateglc plans, goals and gUldmg
pnnClples estabhshed by CJty CounClI
Implemented procedures and processed
abatements filIngs m MUl11clpal Court.
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Upgraded/improved Court computer system.
Improved and created varIOUS Court forms and
translated appropnate forms mto Spa111sh
CompIled appeal process instructIOnal packets
for defendants.
Conducted overall departmental study of Job
titles, dutles, and c lasslficatlOns.
Replaced PA system and lmproved sound
qualIty m courtroom Added aSSIsted audIO
feature.
Implemented dIgItal record111g system
lmprovmg qualIty, retneval and storage and
rcduced amount of staff tIme and costs
aSSOCIated WIth prevlOUS system.
Conducted quarterly meetmgs WIth ChIef of
Police
2006 Objectives:
Implcment uPb'Taded vldeo arraIgnment system.
Implement full-slze summons.
Implement new plea offer system utIllzmg
dnvmg record to determme fine amount
Increase accountabIlity for Court appearances
utllIzmg Court Marshals m enforcement of
active warrants.
Revlew avaIlable resources for collectlon of
outstandmg fines and fees.
. Improve work statlOns, compIle computer
needs assessment and upgrade computer to
access forms and letters through Court program.
Improve handlIng of juveniles found In Contempt
of Court.
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Total Budget by Objcct
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $463,666 $512,174 $502,582 $572,852
Materials & Supplies $6,348 $10,350 $9,650 $10,520
Other Services & Charges $13,130 $16,190 $15,890 $17,090
Capital Outlay $0 $0 $0 $0
TOTAL $483,144 $538,714 $528,122 $600,462
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87
Municipal Court 01-10<)
T()taI21106 Budget b) Object
Personnel ServIces
95 400
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Other ServIces &
Charges
2 80'0
Materials &
SupplIes
I 800
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Staffing (Full-time Equivalent Employees)
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2003 21104 21111S 211116
Authorized Authorized Authorized Authorized
Municipal Court 10 875 875 875
Total 10 875 875 875
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Presiding Judge
Appointed
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MU11lclpal Court has the
authOrIty to scntcnce otrcnd-
crs of domcstlc vlolcncc.
assault and harrassment to
up to one ycar 111 Jeffcrson
County Detention Ccntcr.
Court Administrator
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Deputy Court Clerk
16.75)
Probalion Officer
Court Marshall
110)
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ADMINISTRATIVE SERVICES
Oven ie\\ :
PerfOlTIl admll1lStratl'vC, supcrVlsory and profh-
sllmal \vork m plannmg. coordmatmg and dlrcct-
mg thc opcratIons ofthc Adn1l111strallvc SerVlCCS
Dcpartment 10 mcludc asslgncd office SUPPOl1 and
thc dlVISlons otTinance, Human Resources. Sales
Tax, Purchasmg and Contractll1g and Informa-
(!On Technology
Orgal1lLc and dIrect the CIty 's fisk managemcnt,
safety, wellnes~ and cmployce bcncfits programs.
Perf OrIn all dutIes related to budget preparatIOn
and admmlstratJon.
Assumc dutlcs of the CIty Managcr as dlrccted.
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2005 Achievements:
Coordmated the successful ballot ll1itJatlve to m-
crease the Clty 's sales and use tax rate mcreaSl11g
revenues by approXImately $6.0 millIon.
CoordInated thc establIshment of strategIc plan-
nl11g as an annual process WIth CIty Council and
staff Developed tools to ll1c1ude strategIc plan-
nll1g m daily operatIons such as a quarterly up-
date report, goal Icons, modIficatIon of Co unci 1
ActIon Forms, and marketmg materIals.
Completed first year of an cmployee Safety
IncentIve Probrram.
Asslstcd WIth Coordll1atlon ofa town hallmcet-
mg WIth over 250 attendees.
HIred a new IT Manager Improvmg the manage-
ment of the IT DIVISIOn and enhanCIng thc sup-
port proVIded by the DIVISIon and 1111tJated the
creatIOn of IT polICIes and procedures.
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ASSIsted wIth budgct reVISIons and Implemcnta-
tlon of changes m accordance WIth salcs and use
tax mcrease as approved by the Wheat Rldgc
voters.
C omplctcd Pay Plan upgrades f()!' swom and CI-
vilIan employecs.
Created a 5-year staffing plan to ldentlfY and plan
for future staffing needs.
Implemcnted MlcrosoJi Outlook as the CIty",
cmml and schedulIng software
Implemented a sales and use tax educatlOn pro-
b>ram and the mventory of Wheat RIdge busmesses
resultmg m the llcensmg of over 100 busll1esses
wIthout a busmess lIcense.
2006 Objectives:
l omplctc an bnergcncy ActIOn plan fix City fa-
CIlItIcs to coordmatc procedures to respond to
thrcats to employcc satCty'
RCVlC\\ the employee's pension plan forpossiblc
rcvlslons.
Devclop a RIsk Management PolICies and Pro-
cedures manual.
Conduct an alternatIve revenuc evaluatlon study
Develop a "de-Brucl11g" plan to exempt City rev-
enues from TABOR lImIts.
Develop a IcglslatlVe lobbymg program m coop-
eratIon WIth the CIty Clerk's Office.
Complete the lmplementatlon of procedures to
secure CIty Hallmcludmg IdentIficatIon badges
for employces and customers, securIty cameras,
and buildmg lockdown procedures.
Total Budget bV Object
.
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $952,271 $1,030,994 $1,029,100 $1,188,XOO
Materials & Supplies $15,444 $21,015 $2U47 $23.100
Other Services & Charges $525,605 $607,305 $526,853 $731.526
Capital Outlay $213,394 $343,ll40 $313,540 $304,160
TOTAL $1.706,714 $2,002,354 $1,890,640 $2,247.586
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4dmi/listrative Services
4dmi/li.,trmh'e Scrvices (II-III
Total 2006 Budget by Ohject
Materials & Supplies
1 0"0
Personnel Services
52.9'\,
Other Services &
Charges
32.5"0
CapltalOutlay
I3Suu
Staftlng (Full-time Equivalent Employees)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Finance 0 3 3 3
Administrative Services 3 ') 2 2
Human Resources ') 2 ') 3
Sales Tax 0 ') 3 3
Purchasing and Contracting 2 I I I
lnfonnation Technology 5 5 :; 5
Total 12 15 16 17
Deputy
City
Manager
xecuttve
Assistant
HR
Manager
Purchasing
& lont.
Agcnl
Accounting Sales Tax
Supervisor Auditor (2)
IT
Manager
HR
Rep
HR
Tech
Network
Admin
Sr IT
Support
Tcch (2)
Web &
Imaging
Tech
Accounting
Tech
Payroll
Tech
Sales Tax
Tech
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4dlllinistralh'e Services
4dlllinistrath'e Services 0/-111
Total Budget b~ Program
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2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Finance $170,3XI $179,902 $179,902 $194,457
Administrative Services $I6<Uj87 $173,644 $173,394 $203,652
Human Resources $333,621 $327,1X9 $301,061 $385,442
Sales Tax $118,373 $ I 7 I ,904 $170,193 $187,959
Purchasing and Contracting $65.l3X $6X,l)98 $67,99X $73,851
Infonnation Technology $858,3 14 $ L08 1,617 $9n,092 $1,202,225
Total $1,706.714 $2,002,354 $1,X90,640 $2,247,5X6
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TotaI2()()6 Budget h~ Pnlgram
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Purchaslllg and
Contractlllg
3.300
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Human
Resources -!
17 100
InformatIon
~Technology
53.500
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L Admllllstratlon
9 10'0
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Sales Tax
X 40'1
FlIlance
X 70"
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The Clty \vas awarded the
C1VlC Awareness Program
(CAP) award !i'om CML
for promoting C1VIC aware-
ness thruugh the Blue
RIbbon Panel process.
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4dminisfrative ..\'erl'ices
'ldministratil'e Services 01-111
Administrative Services
Total Budget h) Ohject
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $153,737 $164,354 $164,354 $180,275
Materials & Supplies $1.568 $2,750 $2,750 $3,000
Other Services & Charges $3,90~ $6,040 $5,7lJO $19,R77
Capital Outlay $ 1,674 $500 $500 $500
TOTAL $160,887 $173,644 $173,394 $203,652
Total 2006 Budget h~ Object
Capital Outlay
0.20'0
Personnel ServIces
R8.50 0
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Other ServIces &
Charges
9 RO,o
MaterIals &
SupplIes
I 50'0
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The Wheat Ridge voters
approved a 100 sales and
use tax rate mcrease etfec-
tlve January 1, :W05, the
first lllcrease Slllce 1976
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4dministratil'c Senices
2006 ./dopfed Budget
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Finance
Overview:
Rccelvc, proccss and deposit dady cash revenue
thm1 all CIty sources.
Process all purchasc rcqUlsItlons for the CIty
Enter budgctcd expenditures through a purchase
encumbrance system.
Process semI-monthly accounts pay ab lc
checks.
Manage the General Ledger aecountmg system.
Reconcde the Clty'S monthly purchasmg card
statement.
Respond to all vendor and department IllljUlr-
les m an expedIent manner
Process, create, reconctle and dell\ er bI-
weekly payrolllllcludlllg manual and electronic
chspos1llOn of all penSIOn, medlcal and tax
wlthholdmg.
Prepare quarterly and annual payroll reports.
monthly budgetary report and monthly finan-
CIal slatements
Prepare statement of( Ity\ fixed asseh.
Prepare year-end audIt work papers.
ASS1St outsIde aud1lor~ In completIon orC1ly 's
comprehenSIve annual JinancIaI report.
Responsible for on-golllg analYSIS and mternal
audIt 01'( Ity'S financlal records, momtor and en-
force financIal accountmg controls III place and
recommend adjustments as needed.
PrOVIde finanCIal II1formatlon to CIty dcpart-
ment~ to md deCISIon makmg.
ProVIde supp0l1 to Human Rcsourccs DIVISiOn,
Sales Tax DIVISIOn and Purchasll1g Dl\lslOn.
2005 Achievements:
Increased usage of purchasmg cards and
decreased usage of payable checks.
Prepared request for proposal for Lock. Box
ServIces and awarded bId.
Completed conversIon ofFinancm] Management
System to a wmdows based system.
Prepared request for proposal for AudIt ServIces
and awarded bId.
PartIcIpated m Clty Wide Records RetcntIon and
Clean Up Program.
2006 Objectives:
ImplementatIon of Lock Box ServIce
ImplementatIon ofGASB 40, relatlllg to depOSIt
and mvestment rIsk dIsclosure
Contmue to IdentIfy areas for Improvement III
finanCIal reportmg.
Implement new employee tImesheets.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $144,343 $150,512 $150,512 $162,1 17
Materials & Supplies $1,202 SIJ65 $1J 65 $1,200
Other Services & Charges $24)\36 $28,225 $28,225 $30,540
Capital Outlay $0 $0 $0 $600
TOTAL $170,381 $179,902 $179,902 $194,457
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4dmillis!rat;,'e Services
Finance O/-[()3
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Total 2006 Budget by Object
Personnel Services
X3 40'0
Materials &
SupplIes
060'0
CapItal Outlay
0.300
Other Services &
Charges
15 700
CIty Purchasmg Card
transactIons average 624
per month.
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-ldministratil'e Services
H/lman Reso/lrces 0/-112
Human Resources
Overview:
Oversee personnel functions such as resource ad-
m1t1lstratlon,job claSSIficatIon and compensation.
employee relatIOns, recrUltment, selectIon, and re-
tention of employees.
ProVide per~onnel pohcy development. adm1t1IS-
tratIon. directIon, and gUIdance to orgamzatlon.
ProvIde program dcvclopmcnt, adm1l1lstratlOn,
directIon and gUIdance for performancc sys-
tems, employee bcncfits and trall1l1lg.
Oversee adml11lstratlon of bcncfits, Worker's
CompensatIOn. Employee ASSIstance Program
and Employee Recognition Committee
Conduct compensatIon surveys (wages and
benefits) and provldc rccomll1Cndatlons based
on results of analysls.
Prepare clty-wllle budget 1t1forInatIon concern-
lIlg adjustments III ~alanes and benefits.
2005 Achievements:
. Completed analYSIS on 2005 salary market and
made reeommendatlons lIlcludlllg redeSIgn of
ClaSSIficatIOn/Compensation Plan and
reclaSSIficatIon of 22 pOSItIOns.
Perfomled analYSIS on health benefits package
IdentIfYlllg potentlal modIficatIons for cost-
effectIveness.
Revlsed and lmplemented selected Personnel
Policies for clarIficatIon and enSUrIng
complIance WIth revIsed federal regulatIOns.
ProVIded pay and benefit projectIons for 2006
budget.
ProVIded recrUltment servIces for 2005
Conducted trallllllg on polIcles, practlces and
form( s) appltcable to payroll processmg.
Contlllued mOllltonng and partlclpatmg 111
employment selectIon processes to ensure
exposure to rIsk lS m1l1lmIzed.
StreamlIned seasonal recrUItment process,
1l1Stltut1l1g "mvltatlon to rctum" techl11quc
Completcd CertIficatIOn Program for Human
Resourcc ProfeSSIOnals.
Responded to compla111ts 111volv111g
harassment, wrongful term111atlon and/or
dlSCrIm1l1atlon.
2006 Objectives:
Develop tra1l11l1g program on human resources
related tOpICS.
ReVIew Pay for Performance System for
possible ImplementatIOn
ReVIew retIrement programs for posslble
modIficatIOns ensunng competltlVeness and
effectlveness.
ReVIse and Implement Personnel PolICIes.
Contmue actIve partlclpatlon m Employee
Recogl11tlon CommIttee
Contmue mamta1l11l1g worker's compensatIOn
II1surance at lower rate
Cont1l1ue lmproV1l1g recrUItment practIces and
developmcnt ofhmng tech11lques.
ProVIde support wlth regard to personnel and
employment lssues and concems/complamts.
ProVIde pay and benefit prOjectlons for budget.
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Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $192,132 $174,790 $168,790 $232,143
Materials & Supplies $3,270 $2,400 $2,500 $2,500
Other Services & Charges $138,219 $149,999 $129,771 $150,049
Capital Outlay $0 $0 $0 $750
TOTAL $333,621 $327,lg9 $301,061 $385,442
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.tdmini.\trutil'e SelTices
HlImal/ Resollrces OJ-1I2
Personnel Services
60.2~0
Total 2006 Budget by Object
MaterIals &
SupplIes
0600
~I
CapItal Outlay
0.200
The HR employee lIbrary
houses 66 VIdeos and 53
books regardmg HR Issues,
safety & health, trainmg,
customer servIce.
supervIsory aSSIstance,
employment Issues, etc
Other Services &
Charges
38 900
97
AdmillistratiJ'e Sen'ices
Sales Tax IJI-1l5
Sales Tax
Overview:
Adn11l1lster l1eensmg procedure for ne\"\ busl-
ncsses, lIquor occupatIOn. temporary husll1esse~.
cxcmpt I11stltutlons. massage thcraplst and
parlours
Interpret and explall1 the legal provIsIons. regula-
tIons and procedures relatll1g to taxatIon fi.)f sales
and usc tax
Provide mforInatlon to general pubhl and \" cn-
dors on the methods ofcomplIancc and usc of
sales tax t(mns.
Process sales and use tax retUl11s.
Research and Imtmte tlIe collectl011 ofdelmqucl1t
sales and use tax accounts.
Ad11l1l11ster collectIOn oflodgcrs and admiSSIOns
taxes.
ImtIate summons process. act as court Itmson. and
Issue lIens on propertIes.
Track revenue and prepare rcports tor the ESTll'
and WRURA programs.
AsslSt AudItor \vlth selectIon ofhus1l1esses to
audIt
Insure complIance of sales tax ordlllance
through audit proccss.
2005 Achievements:
Produced and publIshed, pnnt and web-based
1I1formatlOnal gUIdes for general sales/use tax
and speCIfic tOpICS.
Produced and posted web-based on-demand
taxpayer educatlOnal programs for busllless
IIcensmg and use tax baslcs.
. Converted all Wheat RIdge tax accounts to
comply WIth postal ZIp code regulatlons.
Researched all lIcensed bUSInesses and
classlfied for "In" or "Out ofClty"
2006 Objectives:
Update account 1I1formatlOn for all lIcenses for
trade-name and ownershIp accuracy
EstablIsh analysls of miscellaneous sales tax
actlvlty to pursue l1eens1l1g complIance by
repeat filers.
Update tax publ1catlons and create addltlOnal
tOpIC sheets as necessary
. Screen accounts for proper payment reportll1g
penods.
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Total Budget b) Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $106,559 $160,598 $158,704 $166,849
Materials & Supplies S5,581 $7,950 $8,119 $7,R50
Other Services & Charges $3,496 $3,356 $3,370 $12,660
Capital Outlay $2,737 :i>0 SO $600
TOTAL $118,373 $171,904 $170,193 $187,959
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Admillistrat;.'e Sen'ices
Sules Tux OJ-lI5
Total 2006 Budget b~ Object
Personnel ServIces
XX 80'0 'I
CapltalOutlay
0.300
'I
Othcr Servlces &
Charges
6700
The Sales Tax office
lIcenses on average 30
new busmesses per
month.
MaterIals &
SupplIes
4.2'\0
99
4dlllinistrat;ve Servic.:cs
Pllrdlllsin~ and Contraclillf.: 01-116
Purchasing and Contracting
Overview:
AssIst statTon varIOUS mcthods ofpurchaslllg,
contractlllg and ~ourclllg.
Prepare and soliCIt bIds, requcsts for proposals
and requests tix mf0l111atlon.
Assist and educate supplIers and vendors on hO\v
to do busllless With the Cny of\Vheat Ridge
UtIl17e coopcratlv c bIds such as State Pnce
Agrecments. MAPO, WSCA, US COmmUl1ltles.
Conduct formal bid opel1lngs and momtor evalu-
atIOn proccss.
Prepare anclmollltor contract renewal agree-
ments.
Admllllster cltywlcle purchaslllg card program.
Manage the cltywldc copy rental program.
Oversee thc cItywide custodIal services agree-
ments.
Manage the cltywldc surplus and auctlon program.
C oncluct and coordlllatc month ly Accountmg
and Purchasmg meetmgs.
C oordmatc ycar-encl process With the Account-
mg Departmcnt.
Assist on speCIal projects
2005 Achievements:
NegotIated steep dIscounts for the new Video
System Upgrade.
Streamlmed the payment process by use of an
Aceountmg purchasll1g card.
Implemented Phase II of the Purehasmg Card
Management Program.
Prepared, solICIted and awarded over forty-
five (45) bIds and proposals.
Contmued provldmg a hIgh level of customer
servIce
Increased use of Blank.et Purchase Orders
(BPO) for better effiCIency
. PartIcIpated 111 the StrategIc Planl11ng
workshops.
PartJclpated on the Board for the Rocky
Mounta1l1 Governmental Purchas1l1g
ASSOCIatIon.
2006 Objectives:
Implement Phase III of the Purchasmg Card
Management Program.
Contmue to mcrease use of Blanket Purchase
Orders
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $62,537 $65,198 $65,198 $71,051
Materials & Supplies $329 $800 $700 $600
Other Services & Charges $2,272 :);2,100 :);2,1 00 $2,200
Capital Outlay $0 $0 $0 :);0
TOTAL $65,138 $68,098 $67,998 $73,851
100
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..fdl11illistratil'e Sen,ices
Purchasillg alld COlltractillg 01-116
Total 2006 Budget by Object
Personnel ServIces
96.20"
Other ServIces &
Charges
3000
MaterIals &
Supplies
080 "
Did you know...
The Purchasmg and Contractmg
Dlvlsion manages 125 actlvc
purchasmg cards. Volume has
lllereased approxImately 45"'0
slllce 2004
101
"JdI11ini,\'trative ..\~erl'ices
/nf,mlllltion Tedlll()I()~y 111-1 r
I nformation Technology
Oveniew:
Responsible for the procurement, mstallatlon, and
mamtenance of all CIty computers.
ResponsIble for software management and
mamtenance.
Responsible for 111ventOrIes of computers and
software.
Install hardware/software on the CIty scrver
computers.
AssIst departments wlth specIal softwarc requests.
. Responsible for backup and dlsaster recovery of
both computer and telephonc systems.
. Responsible for moves, addJtlOns and deletions
of all telephone eqUIpment.
2005 Achievements:
Installed Windows 2003 server at all five
remote sItes.
Installed 48 new or replacement computers.
. Completed the conversIon of all computers to
the Windows XP Pro WorkstatIOn and MIcrosoft
Office 2003 SUIte
Installed new telephone systems and telecomm
111frastructure at all satellite offices.
Implcmented automated patch management
system for servers and workstatIOns.
Upgraded PublIc Safety Computer AIded
DIspatch and Records Management System for
PolIce Department.
Implemented new mteractlve forms for publIc use
on the new Web
Installed new Web Track 111terface softwarc for
enhanced publIc access to recreatIon actIvItIes.
Developed polICies for computer systems.
Developed an InformatIon Technology
Strateglc Plan.
Hlred new Infornlatlon Technology Manager.
StandardIzed hardware and software
platforIns.
Upgraded all software l1eens111g to current
updated legal status.
2006 Objectives:
Cont111ue to pursue Solutlons to enhance the
publIc's access to ( lty mformatlOn.
Install computer replacements per the five-year
plannmg gnd.
Implement tlmd phase of the MobIle Fleld
Reportmg System for PolIce
. Contll1ue to ensurc a hIgh degree of
perfomlance from all VOIce/data systems.
Install enterpnsc wlde Plannmg/Pernllttmg
applicatIon.
. Install networked multl- functIon coplers CIty wlde.
Start cIty WIde GIS project.
Remodel CIty Data Center
Implement Improved help dcsk.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $292,963 $315,542 $321,542 $376,365
Materials & Supplies $3,494 $5,950 $5,913 $7,950
Other Services & Charges $352,874 $417,585 $357,597 $516,200
Capital Outlay $208,983 $342,540 $313,040 $301,710
TOTAL $858,3 14 $1,081,617 $998,092 $1,202,225
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4dministratil'e Sel'l'ice.'
IlIformation Technology 01-11 ~
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MaterIals &
SupplIes
07"0
Personncl Servlces.-l
3 1.300
Total 2006 Budget by Object
Other ServIces &
Charges
42 900
Capital Outlay
25 10'0
Did you know...
Thc CIty of Wheat RIdge
network has 23 scrvcrs and
250 \\ orkstatlons. The CIty
phonc system contams ovcr
26() telcphoncs at SIX loca-
tIOns
103
Adlllillistrath'e Servias
20(}6 4.dopted Hili/get
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COMMUNITY DEVELOPMENT
Overview:
Manage the actIvItIes ofPlannmg and Zonmg
ServIces, Building InspectIon ServIces and Zomn"
~ b
Enforcement.
Admu11Ster the City and department polICIes.
Dlrect the preparatIon of speCIal plans or studIes.
DIrect the work of consultants.
ProVIde staffsupport to Board~ and CommISSIons.
Coord1l1ate development actIvItIes WIth other
departments, servlcc proVIders, mUl11clpalItles,
and reglOnal and state agencIes.
Manage actlvltles of Urban Renewal Authonty
and HousmgAuthonty
DIrect specIal projects as asslgned by the CIty
Manager.
2005 Achievements:
Completed several CouncJl requested and staff
1l11tIated Code reVISIons.
Dlrectcd zonmg regulatIOns, streetscape and
archItectural gUldelmes and development
processes revIew Identlfymg conflIcts or
opportUl11tles for strcamlInmg approvals as
recommended In the NRS ("X Zone").
DIrected research of rental hous1l1g proi:,'Tams and
prepared report for Council consIderatIon.
Successfully completed annual adoptIon of City 's
"Three Mlle Plan" defilllng growth boundary
outsIde ofCtty
Successfully completed annexatIOn ofCabela's/
Coors project, approval ofmterIm zon1l1g. and
spcclal use penmt.
DIrected work of staff and consultants m
preparatIon of three subarea plans.
l111tlated the t1md Housmg Authonty rehab,'
conversIon proJect.
Contmued Improvement and expansIon of
1l1fOrnlatlon on Department's page of CIty'S
webslte
2006 Objectives:
DIrect completlon of subarea plans mltIated
m 2005 and mltIate addltlOnal subarea plans.
DIrect process of IdentIfymg and prepanng
refinements to development code and revIew
processes/procedures and fully lmplement "X
Zone" recommendatlons.
Work WIth WR2020, developers and landowners
to 11lltlate redevelopment projects focusmg on
Wadsworth comdor, "Orchard D1StnCt" and Gold
L1l1e transIt statIon.
Cont1l1ue the hotel/motel and housing mspectlon
programs.
DIrect fomlatIon ofhous1l1g mspectlon program
for rental housmg as dIrected by City CouncIl.
Total Budget by Object
2004 2005 2005 2006
Actual Adiusted Estimated Adopted
Personnel Services $427,901 $509,611 $509,611 $639,973
Materials & Supplies $3,641 $nOO $7,1 00 $17,450
Other Services & Charges $138,573 $156,895 $147,520 $78,655
Capital Outlay $0 $0 $0 $18.000
TOTAL $570,115 $673,606 $664.231 $754,On
105
COlllmunity Developlllent
Total 2006 Budget by Object
Personnel ServIces
84 g""
CapItal Outlay
24""
Matenals &
Suppltes
Other ServIces & 2.31~,,,
Charges
104""
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Staffing (Full-time Equivalent Employees)
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2003 2004 2005 2006
Authori7..ed Authorized Authorized Authorized
Adminis tration ') ') ') 2
Planning 4 3 3 4
Building* 3 3 4 4
Code/Zoning Enforcement** I 0 0 0
Total 10 8 9 10
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* The Prop<:rty Inspeclor IS funded out oj" Ihc HoteL'Motel Fund.
** Zoning Entllrcemenl consolidated mto Buildlllg.
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Director of
Community
Dcvelopment
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Senior Planner
(2.0)
Chief Building
Official
Planner
Planner I
Combination
Inspector
Property Inspector
Permit Tech
106
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C011l1llllnil)' Del'elol'lIIelll
Total Budget by Program
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2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Administration $160,401 $274.20~ $27 L~5~ $234,642
Planning $177,615 $195,873 $1 ~8,~4~ S29~,~3~
Building $232,099 $203,525 $203.525 5220,598
Total 5570,115 5673,606 $664.231 $754,On
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Total 2006 Budget by Program
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AdmmL'itratlon
31 10'0
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Buildmg
29.300
Plannmg
39 600
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Did you know...
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AnnexatJon ofCabela's/Coors
property added 198 acres or
.31 square mile to the CJty,
111CreaSIng the sIze ofthe CJty
to 9 46 square mIles.
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J()7
(OIll1llllllitl' [)evelopment
4dmillistratioll 01-120
Administration
Total Budget b} Ob.iect
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services S 157,145 S167,69X S167,698 S206.617
Materials & Supplies SUI8 $2, 900 $2,900 $3,900
Other Services & Charges $ 1,538 $103,610 $10 L260 $9,125
Capital Outlay SO SO $0 $15.000
TOTAL S160,401 $274,208 S271,858 $234,642
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Total 2006 Budget by Object
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Pcrsonncl ServIces
XX 100
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Capital Outlay
~
64"'0
MatcrIals &
SupplIcs
I 70,0
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Other SCrvlCCS &
Chargcs
39"."
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Did you know...
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The City's population has
declmed from the 2000 Ccnsus
count of32,913 to 3 LY()2 as
of.1uly 1,2003 Thc decrease
IS due mainly to a doublmg of
the vacancy rate.
lOll
Commul/ity [)el'e[ol'ment
2()(){, 4dol'1ed Rudget
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109
Coml1lullilr Oel'elopment
Plallllill~ 0/-/21
Planning
Overview:
Perfornl professional plannmg work m both
current and long rangc planmng.
ProvIde research and analysIs and reports on
varIOUS long range and current plannmg proposals
to achIeve mlplementatlon of the C omprehenslve
Plan and other land use polIcIes.
ProvIde dIrect asslstance to CitIzens, busmcsses
developers and other departments and agencIes
m all aspects ofland development and use.
Develop zonmg code amendments, master plans
and comprehenSIve plan amendments to further
reflect ehangmg land use polIcy
. Serve as staffhatson to Plannmg CommIssIon and
Board of AdJustment.
ProVIde staff assIstance to CIty Council, Urban
Renewal and HOUSIng AuthorIty
Complete specIal proJects as assIgned by thc
Department Dlreetor.
2005 Achievements:
. Attended over 60 publIc meetll1gs mcludmg
publIc heanngs, neIghborhood meetmgs, open
houses and work.shops.
Expanded Dlvlslon mfommtlOn available on the
CIty'S website.
PartICIpated m creatlOn of N RS through
taskforce partIcIpatIOn.
Completed reV1Slons to zoning and development
code and revIew of CIty'S land use regulatIOns to
IdentIfy conflIcts 111 1111plementatlOn between
documents.
Completed City's five-year recertIficatIon VISIt for
partICIpatIOn 111 FEMA's Commu111ty Ratmg
System probrram. DUrIng past five years, property
owners m flood pla111 who have flood msurance
have saved over $67,000 clty-wlde.
Expanded outreach to the publ1c through
Channel 8 and ConnectIon newsletter
2006 Objectives:
Partlclpate 111 maJorreVISlOns to ComprehenSIve
Plan mcludmg creatlon and ImpJcmentatlon of
subarea plans.
Prepare natural hazards mltlgatlon plan to
supplement Comprehenslve Plan.
Prepare, process amendments and Implement
changes to land use regulatlOns to meet goals
ofNRS
Implement and coordInate streaml1l1ed
development reVlew processes consIstent wIth
recommended actIOns ofthe N RS
Contmue to Improve revIew procedures and
create handouts/cheek.lIsts to assIst customers
so that reVle\\; times are reduced.
ASSIst Wheat Rldge 2020 m development of
targeted redevelopment areas.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $170,310 $182,ORR $182,088 $258,158
Materials & Supplies S 1,140 $2,900 $2,900 $10,850
Other Services & Charges $6,165 $10,885 $3,860 $27,130
Capital Outlay $0 $0 $0 $2,700
TOTAL $177,615 $195,873 $188,848 $298,838
110
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Comlllullity Development
Plallllin!: 01-121
T()ta12006 Budget b) Ob.iect
Personnel Servlccs
X6.40o
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MaterIals & SupplIes
3600
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Other ServIces &
Charges
91''-<,
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CapIlal Outlay
090'0
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Did you know...
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Plmilllllg D1Vlslon staff hold pre-
applIcatIon meetlllgs wIth potentIal
applIcants every Thursday Seventy
percent ofthe pre-applIcatlons
result In land use cascs. In 2005
the pre-applIcatlOn meetlllgs
generatcd $5.600 111 fees.
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111
(ollllllllnity DevelopmC'nt
BlIilding 01-122
Building
Overview:
Adn11l11ster the Internal10nal BUlldmg codes that
set mmmlum standards for lIfe safety and welfare
of Its citizens.
ProvIde code and ordmance mterpretatlons to
cItizens, contractors and dcslgn professlOnals.
Provide cItIzens wlth baSIC constructIOn
mformatlon and mfonnatIonal handouts related to
bUlldmg, plumblllg, mcchal1lcal and clectncal
permIts.
Provide plan revIew serv1ces for resldentIaL
commerelal and mdustnal proJects.
CoordInate WIth other cIty departments and
outsIde agencIes to ensure publIc health, safcty
and welfarc standards are mamtallled.
Conduct mspectlOns of constructIon work.
requIrIng buIldmg pern11ts.
2005 Achievements:
Performed 4,025 mspectlons, averagmg 35
mspectIons per day dUrIng the summer.
Performed 1,058 plan revIews related to mdustnal,
commerCIal, resldentlal, garagcs, carports, fences,
heatmg and coolIng, etc
Performed re-mspectlOns on hotels and motels
for complIance WIth the IPMC (1,079 hotel
room inspectIOns)
Conducted mmual contractors and homeowners
meetmg on 2003 InternatIOnal Codcs.
Responded to 340 Lomng code enforcement
complamts, lssued 175 warnmg notIces and 9
summonses WIth each casc resultmg In
compliance
Created mformatlOnal handouts and brochures
for cltlzcns, contractors and deSIgn
profeSSIOnals.
Expanded workmg relatlOnshlP wlth arc a fire
depm1ments.
Provlded field II1spectlons on all construetlon
and eXlstmg property to ensure cItIzens havc a
safe, samtary and attractIve envIronment.
Expanded office hours to provIdc greater
customer servlce to workmg cItIzens.
Implementcd the 2003 IntematlOnal Codes.
Created foundatIOn standards for all resldentml
constructIon.
Complctcd Renter Rlghts handout.
2006 Objectives:
Implement a new Multi-Family Hou~mg Inspectlon
Program for apartmcnts wlth two or more Ul11ts.
Contmue annual hotel/motelmspectIon prob'Tam.
Educate and mentor contractmg commumty on
mllllmUm standards of 2003 InternatIOnal
codes.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $100,446 $159,825 $159,825 $175,198
Materials & Supplies $783 $UOO $1,300 5>2,700
Other Services & Charges 5> 130,870 $42,400 $42,400 $42,400
Capital Outlay SO $0 $0 $300
TOTAL $232,099 $203,525 $203,525 $220,598
112
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COI11II1Itlli(1' Del'elopmellt
BlIildillg 01-122
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Total 2006 Budget b~ Object
Personnel Services
79 400
r
Capital Outlay
o 100
Other ServIces &
Charges
19.200
l)id you know...
The Building DIvIsIon no
longer reqUIres permlts
for wmdow replacements,
drywall and sldmg
replacements.
MaterIals &
SupplIes
1.20'0
113
C01l1/ll/llli(r De,'elop1l1ellt
2006 Adopted BudKet
114
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POLICE DEPARTl\IENT
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Overview:
Provlde profeSSIOnal polIce response to cItIzen's
requests for serVlce.
ProvIde professlOnal follow-up mvestIgatlons to
felony CrImes and drug enforcement.
Provldc qualIty code enforcement servIces
lI1cludll1g al11mal enforccment and park securIty
Prmndc polIce commUI11Catlons servIces.
ProVIde emergency management scrvlccs for
major meldents.
ProVIde a cnme preventIOn programll1cludmg
hotel/motel enforcement and educatIon.
ProVide crImmal Justice records storage and
retneval.
ProVIde a traffic enforcement and educatIon
program that responds to cItIzen requests for
servlce, conducts sclectlve traffic enforccment
and educates publIc on relevant traffic ISSUCS.
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2005 Achievements:
Completed orgamzatlOnal assessment of polIcc
department resultIng In fourteen (14)
recommendations for Improvement.
Developed a StrategIc Plan addrcss111g
orgamzatlOnal assessment recommendatIons and
111ltJatmg ImplementatIon ofreconunendatlOns.
Il11tIated recrUltmg process for ten (10) additIOnal
polIce officers.
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Formed a "recrUItment team" to enhance effOlis
m hmng the bcst applIcants.
lmplemcnted ne\\ radIO system With Improved
covcragc throughout thc CIty
Hlrcd a new PolIce ChIef
Rencwed C0111InUmty pohcmg modcl provlding for
enhanced customer servIce and problem-solvmg
as a bcst husllless practIce, and ongOIng Imple-
mentation of CrIme prcventlon strategIes.
2006 Objectives:
Implement PolIce Department OrgamzatlOnal
Assessment StrategIc Plan.
Implement commumty polIcll1g philosophy through
orgal11zatlOnal alIgnment, analysls, Cflme
preventIon prob'Tams and commul11ty partnershlp.
Enhance code cnforcement and complIance
efforts by UtIiIZll1g problem-solvll1g and
educatIonal approach proVIding rceommendatlOllS
to Improve commul11ty complIance WIth code,
al11mal control and parks ordmanees.
Reduce CrIme vlctlmlzatlon and call offenders to
account.
Improve safety m publIc spaces.
Use financlal rcsources faIrly, effielently and
effectIvely
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Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $5.273,259 $5,734,059 $5,556,933 $6,596,578
Materials & Supplies $64,139 $I54,50R $159,30X $14 LI 00
Other Services & Charges $318,920 $456,871 $452,451 $544,632
Capital Outlay $4,289 $214,791 $37,1 00 $76,154
TOTAL $5,660.607 $6,560,229 $6,205,792 $7,35X,464
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115
Police Departmefll
Total 2006 Budget by Object
Personnel ServIces
89 6(~o
Materials &
SupplIes
I go ~
Other ServIces &
Charges
7400
Staffing (Full-time Equivalent Employees)
2003 2004 2005 2006
Authorized Authorized <\uthorized Authorized
Administralion 6 7 7 6.)
lonmmnily Services Unit 6 5 ) )
lommunications 12 II II 11
'School Resource Officer I () 3 2
Records 'SectIOn 5 5 5 5
Training I 1 I I
Patrol 41 39 4X 47.5
Invesligalions 17.5 16 15 16
Traftic Enforcement 5 4 3 5
Speciallnvesligalions 3 3 3 3
Emergency Operations () 0 0 0
Tolal 97.5 91 IO! 102
* The folloWIng posltlOns are funded out ot Ihe IloteL Motel Fund. Iwo (2) CommunIty 'ServIce Officers, and I\\,~ 12) Patrol
Ufticers.
116
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Police f)epartmelll
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lOlllmandcr
PatlUl
II1\e-;ti~ali()lls
Sergeant (~;,(J)
Sergeant /3'())
Patrol Oflln:l
(33.01
Traffk (Hrice!'
(-Ull
School
Rc-;ourl'(:
(If!lcCI
C:',() \
Crime
Preventiun
()fficer
12,11)
SuppriifT ech
(0.5\
Support Clerk
(l.(n
l'bief of PuliCt'
l.ll!l1rnandcr
Trainiul! and
PIO officel
Officer
(I' OJ
Sr. I:videnre
'[cch
Evidence Tech
Suppon 1 ech
12.0)
Record~
Supcr\,isnr
RecurJs
l\.tanagcmclll
Srccial1~t
I-un
l ()mm~l1d\,:r
Supput1
Services
Managel
ScrgC:1111
Pwti.:SSlllll<ll
Swndal'ds Lilli!
Community
Scrvil:C:-i Unit
SUpCnlS{l]
Lead
l<mergenn
S":l\'iccs
....pecialis!
Emergcncv
Services
Specialist
(l)()\
Support T edl
(0.5\
lommunity
Scrvict's
()flicer
(..UH
117
Police Department
Total Budget by Program
2004 2005 2005 2006
4.ctual Adjustcd Estimated Adopted
Adminis tration $724.226 $674.559 S670,S9X $733,X60
Community Seniccs Unit S I 63.X34 $179.211 $179,211 $243.574
Communications $54X.072 $X40,6XX $60X,639 $703 77'1)
School Resource Otliccr $0 SO $0 $ I 49.X46
Records Scction $IXX.652 $2249X7 $224.9'1)7 $24'1).745
Training $113.X59 $177.234 $177,234 $192,371
Patrol $2,367.80R $2.X 16,341 S2.765.93X $3.0XX,26X
Inves ti!(ations $1,015.943 $1.128,206 $I,OX9,274 $1.320.092
Traffic Enforccmcnt $289.539 $242.039 $226.092 $39X, 96X
Speciallnvesti!(ations $230,394 $247.4'1'.5 $234,340 $25X,362
Emergency Operations $1 X.280 $29479 $29479 $20.600
Total $5.660.607 S6.56O.229 $6.205.792 $7.35X.464
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Total 20()6 Budget by Program
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Patrol
Inwst.
17 90.0
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Trall E.
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Spec Invest.
3.50.0
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I::mer Ops.
O.3n,o
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.;. '0
Adm.
100""
l ommunity
S~rvH:es
3.30'0
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~.h(),()
/'
r
Records
340'0
SRO
l UlTIm.
Y 60'0
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The PolIce Department has
developed a three-year
strategIc plan as a gUIde to
Implementmg the fouI1een
recommendatIons made 111
the orgamzatlOnal assess-
ment.
118
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Police Oepartment
Administration 01-2(/1
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Administration
Total Budget by Object
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21104 20115 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $610,008 $560,264 $556,303 $539,748
Materials & Supplies $9,156 $23,500 $23,500 $60,910
Other Services & Charges $105,062 $90,795 $90,795 $133,202
Capital Outlay $0 $0 $0 $0
TOTAL $724,226 $674,559 $670,598 $733,860
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Total 2006 Budget by Object
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Pcrsonnel Services
-
73.50Il
Matenals &
Supplies
X.30 (I
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Othcr Scrviccs &
Chargcs
1 X.2".o
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Did you know...
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Use ofTascr's as a "less lcthal"'
optIOn began Jan. 2003 Taser
has becn employcd 14 tlmcs WIth
no 111Jury to suspect or officcr. In
4 othcr cascs, the tascr was not
employed - officcrs wcrc 1l1Jurcd
111 all 4 and suspects InJurcd 1112.
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119
Police Depart/llellt
CO/ll/llllllitr Scn,iccs Cllit OJ-20]
Community Services Unit
Overview:
Enforce zonlllg nUIsance code.
Enforce ammal control ordll1ances.
Respund to wildlIfe conflICts.
Enforce park rulcs and regulatIOns.
DeSIgn wlldltfe management programs wIth the
cooperatlon of the DlVlslOn of WildlIfe and the
Park NaturalIst for resource protectIOn and large
predator management, I e., bears and mountalll
lions.
Enforce, on occaSIon, C R.S. regardmg Title III
CrImmal Code, Title 19 Juvemle Code, Title 25
Health Code, Title 33 WildlIfe and Title 35
Ab,'TIculture wlthll1 the scope of dutIes.
2005 Achievements:
Estabhshed GraffitI Web Page for CItIzen
mfom1atlOn and on-Ime reportmg.
Expanded GraffitI Hotlme to mclude citizen
InfOm1atlon and reportll1g dIrectIons.
Developed coopcratlvc effort WIth PatroL Parks
and PublIc Works to report and remove graffitI
more efticlently
2006 Objectives:
Enhance Code Enforcement to become a
proactlve umt versus a complalllt based U111t.
ASSIgn code officers to speclfic Clty dlStrICtS as
part of the PolIce Department commul11ty polIcmg
proJect.
EstablIsh neIghborhood projects to develop
commumty pnde.
Implement educatIOnal programs to enhance
commul11ty knowledge of code enfiJ[cement.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $147,355 $151,671 $151,671 $215,659
Materials & Supplies $1,142 $1.200 $1,200 $1,450
Other Services & Charges $\5,337 $26,340 $26340 $25,465
Capital Outlay $0 $0 $0 $ 1,000
TOTAL $163,834 $179,211 $179.211 $243,574
120
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Police Department
COlllmllni~j' Sel'l'ices [nil 01-2IJ3
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Total 2006 Budget hy Ohject
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Personnel Scrvlccs
88 50" \
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MaterIals &
Supplies
060'0
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Capital Outlay
040"
Other Services &
Charges
1 0.50 0
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Did ~Oll know...
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The Commumty ServIces Umt
establIshcd a graffitI web page
for cItIzen mlorInatlon and on-
Imc reporting.
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121
Police Department
COllllllllniclItiol/S OJ -204
Communications
Overvie'w:
ReceIve and dlspatch calls for servlcc m a tImely,
safe, orderly and when necessary expedItIOUS
manner.
AdVIse cItIzens eal11l1g 111 for servIce of any
necessary response delays, and proVIde follo\V-
up calls for reVISIons as necessary
ProVIde directIon and refcrrals to cItIzens requIrIng
mformatlon or resources that the City or the PolIce
Department cannot proVIde.
Perfornl computer II1qumes and entrIes for
department personnel.
Morutor and update as necessary mfomlatlon mto
the computer aIded dIspatch system.
Increase the overall effiCIency of commumcatIons
through automatlon and mechamzatlon.
Create an atmosphere that IS conduclve to
commuruty mvolvement.
Promote and mal11tal11 effcctlvc \vorkl11g
relatIOnshIps wlthm the department and adjacent
agencIes.
2005 Achievements:
Contmued to meet servIce level expectatlons
wIth reduced staffing throughout the year
Completed IGA wIth West Metro FIre
ProtectlOn Dlstnct for the new M/A-COM
radio system, scheduled for ImplementatIon prIor
to 2006
Upgraded HVAC system to several areas that
house vItal eqUIpment uttllzed by
commumcatlons personncl.
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2006 Objectives:
Ma1l1tam authorIzed level of staffing to I11sure
qualIty publIc safety dlspatchll1g servIces.
C ontll1ue thc upgradc to a radIO system that will
proVIde relIable coverage and mteroperabilIty
Cont1l1ue upgrade on electrIcal and mechal11cal
lssues ldentJtied 111 the 2002 UPS Study
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Total Budget b~ Object
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2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $498,897 $513,147 $458,789 $569,918
Materials & Supplies $2,143 $67,599 $67,599 $230
Other Services & Charges $47,032 $82,251 $82,251 $127,7R0
Capital Outlay $0 $177,691 $0 $5,850
TOTAL $548,072 $840,688 $608,639 $703,778
122
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Police Departlllent
COllllllll1lielltio/l.\ (J 1-20./
Total 2006 Budget by Object
Personnel Services
81 000
CapItal Outlay
0800
Other ServIces &
Charges
I X.20 0
Did you know...
The City 's PublIc Safety
C ommul1lcatIons Cenler
handles between 1,800 and
2,0001::-911 calls per
mllnth.
MaterIals &
Supphes
0000
123
Poliec Depllrtlllellt
&11001 Resollrct' Officer 01-205
School Resource Officer
Overview:
ProvIde School Resource Officers (S.R.O 's)
for two MIddle Schools and one HIgh School
Handle all calls for serV1CC, mcludmg case
filIngs, and all specIal requests for officers
attendance at after school functIOns, that come
from any of the Wheat RIdge school's, mcludmg
the elementary schools.
Provlde educatIon, tram mg. gUIdance and
altematlves to youth ofthe eommumty through
vanous programs and through personal mteractlon
while 111 the schools.
Assist patrol wlth specIal needs such as parks
patrol and other specIaltzed patrols dUrIng the
summer months when school IS not Il1 sessIOn.
2005 Achievements:
Rc-estabhshed School Resource Officer Program
dUrIng budget process for the 2006 fiscal year.
2006 Objectives:
Re-establtsh the School Resourcc Officer
Program.
. ProVIde trammg and mformatlOnal matenal to
youth on vanous ways to resIst gangs, drugs
and/or beeommg a vlctlm ofcnme.
Develop a closer workmg relatlOnshlp WIth
the varIOUS school's admllllstratlon and youth Il1
the commumty
ASSIst patrol and II1vestlgatlons by handlmg
calls for servlce 111 the schools, mcludmg the
filmg of felony and mIsdemeanor cases they
Il1vestIgate.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $0 $0 $0 $146.646
Materials & Supplies $0 $0 $0 $3.000
Other Services & Charges $0 $0 $0 $200
Capital Outlay $0 $0 $0 $0
TOTAL $0 $0 $0 $149,846
124
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Police Department
School Resource Officer 01-205
Total 2006 Budget hy Ohject
Personnel ServIces
97 900
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Other Serv Ices &
Charges
o 10'0
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Did you kmm...
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Based on comments from
parents and kIds. the
School Resource Officer
program IS one of the most
popular programs the
department offers.
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MaterIals &
SupplIes
2.000
125
Police Departme1ll
Records 01-206
Records
Overview:
Process, ma1l1ta1l1, and arehlvc all polIce reports
and related documents.
ProVIde polIce reports as requestcd to all cItIzens,
Insurance compal11es and other govel11ment
agencIes.
Enter CrIme 1l1f0l111alIOn 1l1to statc computers for
state and federal stalIstlCS.
Contmue to develop and lmplement Improved
automated procedures.
Bond pnsoners 111 cooperatlon wIth other law
enforcement agencIes.
FingerprInt clllzens for various lIcenses and Job
related requIrements.
AssIst cItIzens wIth thelrpolIce related questlons
or refer them to the appropnate bureau, CIty
department or agency
Release mformatlon m accordance WIth Colorado
state law on reglstered sex offenders.
Mamtam mformalIon on weapons de11lal subjects
as receIved from the Colorado Bureau of
InvestIgatIon (CBI).
ArchIve polIcc rcports 111 accordance WIth all
applIcable state statutes 111 regard to retentlOn,
destructIon and preservatIon of publIc records.
Perform lImIted background checks for the
military and other cnm1l1al JustIce agencles.
Perform CBI fireal111 and person clearances for
local pawn shops to comply WIth firearm statutes.
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2005 Achievements:
UtIlIzed LaserFlche software to scan polIce
records forretentIon.
Automated the Records Bureau report proeessmg
by mcorporatmg the WIreless submISSIon of polIce
reports from the mobIle field computers.
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2006 Objectives:
Orgal11ze the pel111anent retentIOn polIcc record
files for effiCIency and securIty.
ContInue scannmg polIce records mto LaserFiehe
to conserve storage space and to Improve records
search capabilItIes.
Contmue workmg towards Colorado CertIfied
Records Network CertIficatIons for records staff.
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Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $182,742 $207,150 S204,187 $227,945
Materials & Supplies $5,865 $800 $800 S800
Other Services & Charges $45 $17,037 $20,000 $20,000
Capital Outlay $0 $0 $0 $0
TOTAL $188,652 $224,9R7 5224,987 $24R.745
126
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Police Deparll11enl
Records 111-206
Total 2006 Budget hy Oh.ieet
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Personnel Scrvlces
91 h''-.,
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Matenals & Supplies
O.J<' 0
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Other ServIces &
Charges
X.oou
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Did you knO\~...
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Records staff fingerprmtcd
33X CItIzens, processed
I XAO() polIce reporls and
responded to 3,000 requests
for copIes of pohce reports
m 2004
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127
Policc Departmcnt
Training () J -2()7
Training
Overview:
Process all trammg requcsts for PolIce Dcpartment
employees.
Seek speclal necds/requested trallllllg per thc
TramIngAssessment Forn1.
Develop annualm-servlee tralllmg.
Coordlllate wIth smaller outsIde agcnclcs to
partlclpate m our annualln-Servlee T rammg.
Mamtall1 a trall1l11g hIstory for each polIce
department employee.
Mamtam m-house tramll1g and rcference matenals.
PartIcIpate 111 the Field TraInIng Officer (FTO)
program.
Oversee PolIce Techl11cIan(s) progrcss dunng
PolIce Academy T ramll1g.
Serve as IImson between PolIce Department and
PolIce Academy
Arrange for WRPD Instructors to train at the
PolIce Academy as requestcd.
Coordmate all, and facilItate portlons, ofthe Ncw
Officer Onentatlon Program.
. EqUIp and outfit all new officers.
Manage the requests for the repmr/replacement
of damaged/worn eqUIpment and umforms.
Assist wlth the PIO representatIOn for the
department.
2005 Achie,ements:
Hired five police recrUIts to attend the Jefferson
County PolIce Academy
Hired fivc certIfied polIce officers for the FTO
program.
HIred two Al11mal, Parks, Code Enforcement
Offi cers.
CertIfied all department personnelm less le-
thal Taser use.
Actlvely partIcIpated m the management and
dlssemmatlon process of grant mOl11es from
POST and the federal government to provlde
trammg.
Implemented an In-serVIce steerIng commlttee.
20060bjecthes:
Provlde speCIalIzed tramll1g for supervIsors.
Coordmate and fund exceptIOnal trall1mg op-
portUl11tles for polIce department employees.
Coordinate efforts WIth supervlsors to bnng
"hot tOpIC trall1mg" to bnefing.
. Provide lI1-servlee trammg that IS of hIgh value
and Impact for our officers and employees.
HIre, tram and eqUIp addJtlOnal officers to fill all
vacant posItIons.
Improve commumcatIon wlth the II1vestIgatlOns
U11lt regarding PIO related dutIes.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $46,255 $50,734 $50,734 $59,121
Materials & Supplies $3,234 $3,000 $3,000 $3,000
Other Services & Charges $64,370 $123,500 $123,500 $130,250
Capital Outlay $0 $0 $0 $0
TOTAL $113,859 $177,234 $177,234 $192,371
128
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Police DeparTment
li-aillillg 01-20:
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MaterIals &
SupplIcs
I 6""
Total 2006 Budget b) Ohject
Other Services &
Charges
67 7""
Personnel ServIces
307" 0
Did you know...
OrgamzalIonal commul1IcatIon
and leadershIp skIlls trammg
was completed by personnel
as part of the OrgamzatlOnal
i\ceds Assessment recom-
mendatIons.
129
Police Department
Patrol 01-211
Patrol
Overvie\\ :
ProvIde response to emergency cans m under four
mmutes.
ProvIde proactIve, yet faIr and ImpartwI.
enforcement of all the laws of the CIty, State
and Federal Governments.
Deploy and utilIze resources and personnel to best
meet the needs of the cItIzens of Wheat RIdge
and the lssues at hand.
Conduct cltIzen surveys and publIc meetmgs to
revle\V effectIveness and customer satIsfactIon of
patrol servIces.
PartIcipate 111 county-wIde commIttees and
orgarnzatIOIlS and commul1lty meetmgs to enhance
the level of servIces to the CItIZens of Wheat Ridge.
2005 Achievements:
Completed department WIde orgal11zatlOnal
needs assessment.
Re-establIshed patrol dlstncts,'sectors wlthm
the CIty prO\/ldmg qUIcker response tlme and
officer accountabilIty to geOb'TaphlC areas of the
CIty
Conducted "mterpersonal" commUl11catlOns
trammg to enhance mteraetlon wIth CItIzens,
suspects, peers and supervIsors.
2006 Objectives:
Complete hmng process to fill all authorIzed
pos ItlOns.
UtilIze CrIme analysls for personnel deployment
and deCISIons based on best avallable
mformatlOn of cnmc trends and patterns.
Provlde servIce levels that the cItlzens of
Wheat RIdge are accustomed to and expect.
Promote "commul11ty pohcmg" phIlosophy
wlthl11 the patrol bureau.
Total Budget b} Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $2,310,527 $2,716.761 $2,667,158 $2,987,404
Materials & Supplies $29,271 $39,530 $39,530 $52,460
Other Services & Charges $2R,0 10 $36,450 $35,650 $27 ,650
Capital Outlay $0 $23,600 $23,600 $20,754
TOTAL $2,367,808 $2,R 16,341 $2,765,938 $3,088,268
130
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Police Departmellt
Patrol 0/-211
TotaI211116 Budget b~ Object
Personnel ServIces
96 700
I
-......
Other ServIces &
Charges
0900
MaterIals &
SupplIes
1 70."
Capital Outlay
070"
Did you know...
DlstrIct'Sector based
polIcmg has reduced re-
sponse tllne and created
hIghcr officer accountabI1-
lly fon\ hat IS occurrmg
wlthm assIgned dlstncts.
131
Po/icc Departmellt
Illl'esth.:atiolls () 1-2 / 2
Investigations
Ovcrview:
InvestIgate all senous cnrnmal actIvIty m the City
of Wheat RIdge I11cludl11g sex assaults, robbenes,
burglanes and Illegal drug act1V1ty
Securc, preserve and II1ventOl) all property and
eVIdence collected annually
Analyze, I11terprct and testIfy to varIOUS types of
f()renS1C eVIdence.
Attend and conduct trammg classes.
Analyze and 1l1terpret C11ml11al patterns and predIct
future problem areas.
2005 AchicHments:
Evaluated, purchased and mstalled dIgItal mug
shot Identlticatlon system ehml11atmg the need for
film development and tilc cabmet storage of
pIctures.
Imtlatcd lmplementatlon of digItal camera upgrade
for Pohce Department.
Developed and lmplementcd case management
protocol to proVIde for greater accountablhty
of mvestIgatlvc practIces.
Convertcd audiO/VIsual eqUlpment I11l11vestlgatlOn
bureau mtcrvlew rooms from analog to dIgItal
klimat.
2006 Objccthes:
Assess all II1vestlgatlvc bureau posltlons for
effiCIency and cffcctlveness and make
necessary departmental changes.
Implement cnme preventIon program, 111
partnershlp WIth busIness and senIor
commul1lty, to provlde educatIOn regardmg
fraud, forgery and Identlty theft m an effort to
reduce vlctImlzatlon and brIng otTenders to
account.
Track prosecutIOn rates of filed cases, study
unresolved cases 111 an etfort to mcrease resolutIon
and brIng offenders to account for crImmal
behaVIor.
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Total Budget b~ Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services S976,234 $1,069,05g S 1,027 A09 $1,229,257
Materials & Supplies S 12,3 79 $9,550 $14,350 $16,850
Other Services & Charges $23,041 $36.09g $34,015 $36.935
Capital Outlay $4,289 $13,500 $13.500 $37.050
TOTAL $1,015,943 S 1,128,206 $1,089,274 $1,320,092
132
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Police f)epartmenl
Investigations () /-2/2
lotal2006 Budget hy Ohject
Personnel ServIces
Y3 100
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MaterIals &
Supplies
1.300
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/
Capital Outlay .../
2.Xo (J
Other ServIces &
Charges
280'0
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Did you know...
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The InvestIgations Bureau
handlcd 2,262 cascs 111
2004, and arc on track to
handle over 2.400 cases 111
2005
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133
Police Departlllelll
Traffic Elljfm'C'IIIC'nt 01-213
Traffic Enforcement
Overview:
Work closely wIth commumty on selectlVc traffic
enforcement areas and problems.
Analyze accIdent data and determmc senous
accldcnt locatIons and take actIon to reduce those
numbers.
Enforce school zones to reduce accldents and
mJUrIes around schools.
Reduce the numbcr of abandoned automobiles m
the CIty.
Coordll1ate traffic related Issues wlth the Clty
Traffic Engmeer.
Work WIth the Department ofTransportatlon to
target overweIght tractor/trmler rIgs on our streets
and hIghways.
Tram our Traffic Ul11t personnel to become
"cxperts" 111 therr field.
2005 A.chievements:
Conducted "ClIck It or Ticket" campaIgn and
school zone enforcement.
ProvIded speed zonc enforcement when
requested by cItIzens and, or mternal servIce
requests.
20060bjecthes:
Flll fivc vacant posltlons 111 the traffic UI11t.
Tram one new motorcycle officer for Traffic
Enforcement.
Work wlth the commul11ty 111 reduc1l1g traffic
rclated Issues 111 nelghborhoods by asslgl11ng
one traffic officer 111 each dIstrICt.
. ReInstate overwelght truck entorcement prob'Tam.
. Work WIth other Jefferson County law
enforcement agencIes to target DU I drIvers.
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Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $287,736 $236,239 $223,292 $381 A6R
Materials & Supplies $0 $0 $0 $0
Other Services & Charges $ 1,803 $5,800 $2,ROO $6,000
Capital Outlay $0 $0 $0 $1 \,500
TOTAL $289,539 $242,039 $226,092 $398,968
134
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Police Department
Traffic Enforcement 01-213
Total 2006 Budget b) Object
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Personnel ServIces
95600
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Othcr Scn ICCS &
Chargcs
1.500
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Did )'ou know...
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Summons producllon IS down
by o,er 5500 due to Trame
Ul1It not In full operatIon and
fully staffcd. Other traffic
enforcement also rcduced.
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135
Police Department
Spec;alll/I'e.\tiglltiol/s 01-2/4
Special Investigations
O\Crview:
InvestIgate drug, lIquor and vIce cnmes.
Partner wIth the West Metro Drug Task Forcc
AssIst the Patrol Bureau WIth drug related actIvIty
ProVIde a proactlve approach to reducc unlawful
controlled substance sale and use as well as vIce
related CrIme.
ProVIde mtellIgenee and undercover optlons to
other sectIons wlthm thc department.
Support the lnveStIgatlons Bureau on maJor CrIme
mvestlgatlO11S.
2005 Achievements:
The West Metro Drug Task Force made 433
arrests from January through June of2005 for
drug related actIvIty 59 of those arrests oecurrcd
111 Wheat Rldge.
SClzed over 55 pounds of Illegal drugs through
June 2005
Handlcd 62 cases, specIfic to Wheat Rldgc, m
the first SIX months of2005 Seven cases remam
unresolvcd and four cases were cleared by means
other than arrest.
2006 Objectives:
Contmue to suppress illegal drug, VIce, and lIquor
actIvIty and to arI-est crImmals engaged m such
activlty
Crcate and Implement educatIOnal programs,
111 partnershlp wlth the commumty, m an effort to
raJse awareness and reduce VlctIn11zatlOn.
Track prosecutlon rates offiled case and study
unresolved cases 111 an effort to 1I1crease resolutIOn
of all drug cases bnngmg offenders to account for
crImmal behaVIOr.
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Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $213,505 $229,035 S217,390 $239,412
Materials & Supplies SO $200 $200 $200
Other Services & Charges $16,889 $18,250 $16,750 $18,750
Capital Outlay $0 $0 $0 $0
TOTAL $230,394 $247,485 $234,340 $258,362
136
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Police Departmel/t
Specialllll'estigatiol/s 01-214
Tutal2006 Budget b~ Object
Personnel SCl\/lces
92.700
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Other Scrvlces &
Charges
7.300
Malenals &
SupplIes
o 10."
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Did you know...
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Manjuana IS stll1 the number
one illegal substance seIzed
by detectIves, followed by
Mcthamphctammc and
Cocmne.
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137
Police Ocpartl1ll'nt
En/agel/iT OperatiollS 11/-2/5
Emergency Operations
Overview:
The program covers the expenses for the
Jeftcrson Adams C'ounty Hazmat T calll aftillatlOll,
cxerCIse desIgn and llnplcmentatlon, and the ha7-
ardous wastc facIlity costs. Thc update of thc
emergency plan and annual cxerclse arc on-go-
mg actIVItIes.
2006 Objectives:
Contll1ue partIcIpatIon III emergency cxerclses.
Contmue update of CIty \ Llllcrgency Plan.
Contlllue rescarch ofJolt1t Llllcrgcncy Opera-
twns Center (EC)C) with thc Clty ofLake\\ood.
2005 Achievements:
PartIcIpated In grant sponsored multI-county.
multl-JunsdictlOnal \v MD lI1eldcnt.
Initiated rcsearch ofaJolt1t bllergency Opera-
tIons C cnter (LOC) wIth the CIty (If Lakewood.
All PolIcc Officers attended a Fcdcrally spon-
sorcd WtvlD trCl1l1lt1g.
RcsLJlutlon passed by CIty (ouncIl adoptmg the
NatJonallIlCIdcnt MClnagclllent System (\IMS)
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Total Budget b) Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel SelVices $0 $0 $0 $0
Materials & Supplies S949 $9,129 $9.129 $2.200
Other SelVices & Charges $17,331 $20,350 $20,350 $18,400
Capital Outlay $0 $0 $0 $0
TOTAL $18,280 $29,479 $29,479 $20,600
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138
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Police DeparTment
E/Iler~el19' Operations 0/-215
TotaI200() Budget by Object
Other ServIces &
Charges
X9.30o
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MaterIals &
Supplies
1070'0
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Did you know...
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Several members ofthe pol1ce
department particIpate on the
Urban Arca SCCUrIty ImtJatlve
(U ASl) commIttees whIch
oversee millIons 111 fcdcral grant
h.mdmg for eqUIpment and
trallllllg.
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139
Police Departmellt
2006 'Idopted Budget
140
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PUBLIC WORKS DEPARTMENT
Overview:
Ma1l1ta1l1 and Improve the City's 1I1frastrueture.
Mamtalll and manage Improvements to the 130
mIles of streets and 36 mIles of storm sewers
throughout the CIty
ASSist the Commul1lty Development Department
In revIew of commerCIal and resldentwl
development proJects and bmld1l1g permIt
applIcatIons.
Admmlster and polIce all constructIon actIvItIes
wlth1l1 the street rIghts-of-way
Manage and mam1am the City's fleet vehIcles and
eqUIpment.
2005 Achievements:
Successfully completed CDOT Pohey 160 I
process for Improvemcnt ofthe 32nd Avenue,'
1- 70 Interchange
Completed a multI-year GeographIcal Intormatlon
System (GIS) ImplementatIon Plan.
. Implemented a Clty-wlde Largc Item PIckup
Program.
C ompJeted all proJects on tIme and undcr budget.
2006 Objectives:
Complete the Envlronmental Assessment for
1I11provcments to 1-70 at 32ndAvenue and Ward
Road and to Statc Hlghway 5X west ofl-70
Prepare a Stormwater Management Enforcement
Ordlllance for adoption by City Council.
Beg1l1 the first phasc ofthc GIS ImplementatIOn
Plan.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $ 1,513.994 $ 1,678,487 $1,644,663 $1,779,737
Materials & Supplies $327,971 $452,5X9 $452, I 00 $514,600
Other Services & Charges $585,021 $733,811 $652,300 $697,000
Capital Outlay $216,632 $649,300 $649,300 $413,500
TOTAL $2,643,618 $3,514,187 $3,39R,363 $3,404.R37
141
Public Uorks Departmelll
Total2tJtJ6 Budget by ObJect
Matcnals &
F 'Supplies
15.20:0
Pcrsonncl Scrviccs
52 50 (I
Othcr Scrvlccs &
Chargcs
20 (io..o
'1
Capital OUlla)'
11 700
Starting (Full-time Equivalent Employees)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Administration 2 I 1 I
Engineering lJ II 12 12
Operations 10 16 16 16
Traffic Maintenance 5 0 0 0
Fleet Maintenance 4 0 0 0
Trartic Engineering 3 0 0 0
Total 33 2g 29 29
Director of
Publie ~ arks
Engineering
Manal!cr
Operations
Mana2:cr
Civil Engineer II
12.01
Civil Engineer
Operations
SUDervisor
Traffic Control
Tech
Lead Mechanic
Engineering Tech
(701
Equipmenl
ODeralor 11 13 0)
Mechanic
Equipment
Onorator 112.01
142
Maintenance
Worker II 15 01
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Public 'forks Deparll11ent
Total Budget hy Program
-
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Adminis tration $119,9RO $125,062 $125,051 S 142.886
Engineering $724,503 $955,813 $X44,OOO 5925,357
Operations $1,7<)9.135 $2,433,312 52,429,312 $2,336,594
Total $2,643,618 $3,514.1R7 $3,39R,363 53,404,837
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-
-
Total 2006 Budget by Program
-
-
-
4')0.
.~ 0
Engmeermg
27.200
-
-
AdmDllStratJOn
-
-
-
-
-
-
OperatIons
68 600
-
-
-
Did you knO\~...
-
-
-
-
-
-
-
tach year, 15 mIllIon
rall1drops stnke each
square foot ofland Il1
Wheat Rldgc.
-
-
-
-
143
Administration
PIIMic HorNS Depllrtmelll
Adl1li/listratio/llll-301
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $IIX,2lX $121,X51 $121,851 $139.186
Materials & Supplies $0 $0 $0 $0
Other Services & Charges $ 1,762 $3,211 $3,200 $3,700
Capital Outlay $0 $0 $0 $0
TOTAL $119,9XO $125,062 $125,051 $142,XX6
-
Total 2006 Budget by Ohjcct
-
-
Personnel ServIces
974"0
I
"
-
-
-
-
-
-
Other Services &
'---- CharGes
b
2600
The hIghest place 111 Whcat
RIdge is West 26th Avenue
and CIrcle DrIve wJth an
elevatIon of5.583 feet
above sca lcvcl.
144
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-
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-
-
-
-
-
--
-
-
-
-
-
Public Horks Department
145
Puhlic "orks Departllle11l
Engineering 0/-302
Engineering
Overview:
Plan and admmlster the desIgn, mumtenance
and constructIon of street, dramage, traffic
lmprovements proJects and preventlve street
mamtenance proJects that are IdentIfied m the
Capltal Investment Program.
RevIew proposed development constructIOn
documents such as. roadway deSIgn plans, gradmg
and dramage plans, and final dramage reports for
complIance wlth CIty specIficatIons.
Process rIght-of-way constructIon pem11ts and
approve traffic control plans.
. Respond to servIce requests as reqUIred.
Support the Commul11ty Development
Department on proposed dcvelopment matters
related to engmeerIng.
2005 AchieHments:
Enhanced publIc works related mformatlon
avaIlable on CIty webslte by addlllg
Stom1water Management Program mformatlon,
engmeerIng constructlOn detmls and right-of-way
maps.
DeSIgned and managed the constructIOn of over
$3 0 millIon m street, stom1 sewer and buIldmg
lmprovements.
Completed CIty Ma1l1tenance Faclltty Master
Plan.
Completed a multI-year GeographIcal
InformatlOn System (GIS) Implementatlon Plan.
Prepared corndor streetscape conceptual
deSign for maJor arterIal streets and hIghways.
2006 Ob.iectives:
Beg1l1 first phase of the GIS ImplementatIon
Plan.
Prepare Stormwater Management Entorcement
Ord1l1ancc for adoptIon by Clty CouncIl.
Meet all Stormwater Management Permlt
obJeetlves as outl1l1ed m the permlt.
Total Budget by Ob.iect
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $610,633 $716,324 $685.500 $765,057
Materials & Supplies $6,1 0 I $31,589 $31.600 $27.100
Other Services & Charges $107,769 $198,600 $117,600 $127,200
Capital Outlay $0 $9,300 $9,300 $6,000
TOTAL $724,503 $955,813 $844,000 $925,357
146
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-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Public 'forks Department
EllgiJleerillf.i 11/-302
Total 2006 Budget b) Ohject
Personnel Services
82.70"
I
Capital Outlay
0600
Other Scrvlces &
Charges
13.700
135 mIllIon cars travel the
natIons roads, strcets and
lI1terstates each day
MaterIals &
S upp lies
2 quo
147
PI/hlic /j(Jrks DepartmeJlt
Operations OJ-303
Operations
Overview:
ProvIde routl11e and preventatlVe mallltenanee
servIces for streets, alleys, storm drall1s and
walkways wlthll1 the publIc rIghts-of-way
. Manage over 230 pleccs OfClty fleet and powcr
eqUlpment.
Provlde sno'W rcmoval and Ice control on CJty
streets.
2005 Achievements:
Enhanced snow and Ice control program by
eqUlppmg two addItIOnal snow plow trucks WIth
ItqUld deIcer apphcators. Four of fivc snow plow
trucks now have capabIlIty of applYlllg hqUld
deIcer.
EstablIshed a storm sewermamtenance program.
EstablIshed a traffic slb'11al mamtenance prob'Tam.
Implemented a cIty-wIde Large Item PIckup
Program.
ReVIsed fleet maIntenance mtervals to current
1I1dustry standards.
-
-
-
2006 Objecthes:
Encourage greater partICIpatIon 111 clty-wJde Large
Item PIckup Program.
Complete the replacement ofthe street name Slb'11S
wIth the new standards.
Contmue upgradmg traffic SIgnal eqUIpment.
Replace the followlllg CIty eqUIpment: 3 patrol
sedans, onc pol1cc SUV, one Publ1c Works
dump truck, one PublIc Works pIckup, one Parks
pIckup WIth chlpper box, two small Parks pJckups,
and one Buildl11g D1Vlslon pIckup.
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-
-
-
-
Total Budget by Object
-
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $785,143 $840,312 $837,312 $875,494
Materials & Supplies $321,870 $421,000 $420,500 $487,500
Other Services & Charges $475,490 $532,000 $531,500 $566,100
Capital Outlay $216,632 $640,000 $640,000 $407,500
TOTAL $1,799,135 $2,433,312 $2,429,312 $2,336,594
148
-
PlIblic U (I/"ks [)epartment
Fllgilleerillji UJ-302
Total 2006 Budget b~ Object
Personnel SerVices
~2 7""
MaterIals &
SupplIes
29" 0
-
-
-
-
I
CapItal Outlay
060."
Other ServIces &
Charges
13 700
-
-
-
-
-
-
-
-
-
-
-
-
-
-
135 t11l1lIon cars travel the
natIons roads, streets and
mterstates each day
-
-
-
-
-
-
-
-
-
-
147
Puhlic U (J/'k; Depurtl/lc/lt
Operatio/ls IJI-3IJ3
Operations
Ovenie" :
ProvIde routme and prcventatlvc maIntenance
servIces for streets, alleys, storm drams and
walkways wlthm the public rIghts-of-way
Manage over 230 pIeces of CIty fleet and powcr
eqUIpment.
ProvIde snow removal and Ice control on Clty
streets.
2005 Achieyements:
Enhanced snow and Ice control program by
eqUIppIng two addltJOnal snow plow trucks wIth
IIqUld dClccr applIcators. Four offivc snow plow
trucks now have capabIlIty of applymg IIqUld
deleer
tstablIshed a stom1 sewer mamtenance prot.'ram.
EstablIshed a traffIc slgnalmamtenance program.
Implemented a clty-wlde Large Item PIckup
Program.
ReVIsed fleet mamtenance mtervals to current
mdustry standards.
2006 Objecthes:
tncourage greater partlclpatlon 111 elty-wlde Large
Item Plck'Up Program.
Complete the replacement ofthe street name SIgnS
wIth the new standards.
ContInue upgradmg traffic SIgnal eqUlpment.
Replacc the followmg CIty eqUlpment: 3 patrol
sedans, one polIce SUV, one PublIc Works
dump truck, one PublIc Works pIckup, one Parks
pIckup wIth chIpper box, two small Parks pIckups,
and one Buildmg D1Vlslon pIckup.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services $785,143 $840,312 $837,312 $875,494
Materials & Supplies $321,X70 $421,000 $420,500 $487,500
Other Services & Charges $475,490 $532,000 $531,500 $566, I 00
Capital Outlay $216,632 $640,000 $640,000 $407,500
TOTAL $1,799,135 $2,433,312 $2,429,312 $2,336,594
14R
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-
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-
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-
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-
-
-
Public "'/lrks Department
Operations 01-303
Personnel Services
37.S" u
Total2lHl6 Budget by Object
MaterIals &
SupplIes
209",,,
CapItal Outlay
174""
Did you know...
A tYPIcal traffic sIgnal
use~ 116 watt bulbs to
lIght the red, green and
amber lenses.
Other ServIces &
Charges
24.2""
149
Puhlic Hm'ks Department
2IJ06 .1dol'(ed Budget
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-
-
-
-
-
150
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PARKS AND RECREATION DEPARTMENT
OHrvicw:
Serve as the leIsure, recreatIOnaL and
mfomlatlOnal resource for the resIdents of Wheat
RIdge, stnvmg to meet the physIcal, social and
cultural needs ofthe commumty
AcqUIre, desIgn and construct parks, traIls and
opcn space arcas and facIlitIes.
Mamtam parks, traIls and open space sItes and
rccreatIon facilItIes.
Manage recreatIon facilItIes, mcludmg the Wheat
Rldgc RecreatIOn Center, Wheat RIdge Sel1lor
Center, Anderson BUlldmg and outdoor pooL
RIchards Hart Estate and the Ye aide F Irchouse.
Dcvelop departmental polIcy
SupervIse Park, Forestry, Open Spacc and
RecreatIon DIvIsIons.
2005 Achievements:
ReconstructIOn of Clear Creek Trail - Phase
III Youngfield to West BrIdge and lower
Prospect Park.
Improvements to Youngfield TraIlhead.
Replacement of Prospect Park playground.
AcqUISItIon of b'Tants m the amount 01'$200,000
Improvemcnts to Randall Park ll1c1udll1g
replacement of all purpose court and sewer
]me
Installation of PublIc Art Sculpture at Founders'
Park.
Completed Tabor Lake bank stablhzatlOn
2006 Objectives:
Complete needs assessment regardmg Park and
RecreatIOn amel1ltles and facilItIes.
. Replace ballfield hghts and poles at Prospect
Park fields.
Rep]ace Irngatlon system at Randall Park.
Construct Restroom/ConcessIon Buildmg at
CreeksIde Park.
Install dugout roofs at Creeksldc Park.
Total Budget by Object
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Personnel Services 5 I ,660,059 $1,889,854 $1,854,150 51.750,954
Materials & Supplies $206,426 $229,031 S211,208 $247,758
Other Services & Charges $728,233 $919,754 $886,353 5968,144
Capital Outlay $59,548 $62,056 $58,080 $]22,800
TOTAL $2,654,266 53,! 00,695 $3,009,791 $3,089,656
\5\
Parks and Recreation
Total 2006 Budget hy Ohject
Materials &
Supplies
R.O" "
Personnel ~cr\'ices
Other Services &
Charges
31.30i()
56.70'0
Staffing (Full-time Equivalent Employees)
2003 2004 2005 2006
""uthorized Authorized ""uthorized Authorized
Administration 2 2 2 2
Recreation 1.5 1.5 1.5 1.5
Parks Maintenance 14 14 14 15
Fores try 5 4 4 4
Open Space 2 2 2 0
.'
Anderson Building 0 0 0 0
Athletics 2 2 2 2
General Programs 1.5 0 0 1.5
Outdoor Pool 0 0 0 0
Senior/Communit\" Center 4.13 3.63 4.13 4 13
Building Maintenance I I 1 I
Total 33.13 30.13 30.63 34.13
1\ote ~tatfing numbers include full.time and part.time benetited employees only in the General and Open Space Funds.
The following posttlons are funded out of the Open Space Budget: Parks. (Ipcn "pace. Forestry Managcr: Operations
Supervisor: Parks Program Coordinator; Upen Space Coordinator' (21 Parks Maintenance Crew Leaders. Maintenance
Worker II.
The organizational chart on the iollowing page include all Parks and Recreation employees in the (,eneral. Recreation
( enter and Open ~pace funds.
152
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-
Parks and Recreation
-
-
P:lrL.
Furc:;\rv. (ll'cn
Span: M:lllagl..'f
-
-
-
-
-
Uperations
SupenisOl
OpelI
Coordinatul
-
-
-
t few Lt'adcr
I~,OI
Mallllt:nancl."
\Vurker II
-
-
-
Maintenance
\\'orh'rJ
-
M~jntenance
\\'urkt.:r II
,4,0\
-
-
-
Mainkl1<lnct:
\\'orkl..'fJ
(60)
-
-
Forestr\, Tech
-
-
-
-
run.:stry
I\ssis\alll
-
-
-
Horticulture
<\s.:;istant
-
-
Recreation
SupcrvlsDI
If/r/Clit\
Parks f1rogram
LnordinatOl
Dir('ctorol
Parb&
Recreation
Rt:cr~atiOfl
Supl'r\'isor
(,euc'rdl
1)1'1)~r<lm\
Rel'rcatlon
t llllrdinator
(0.:--1
Recreation
Leader
10"1
Recn.:atlon
Coordinator
Recn:alion
[.eade!"
(0,'::;)
ReCTe'.rtlOll
SurerViS\11
St'JJifll
Pro'..!rtllll
Rl'creati()1)
r-.tanagcl
Recreation
( ourdinawr
(Ilil
Recreatioll
Clerk HI
(t.Ol
Rei,":"reatlon
Clerk lJ
(I 0)
Operations
Surcrvisnr
Fut'ifili('.)
Fadlitv
ASSIstant
(1,0)
Office TeCh
10.5)
ReClcatiOl1
Clerk II
11.01
Facilitic~
Maintenance
lcch
{ \.0\
CU~lod,an
{2.0f
Recreation
Supen'lsur
llfU,-lIiD
Marketing
C:oordinawr
Ponl Manager
(:;.\H
153
Parks and Recreation
Total Budget by Program
2004 2005 2005 2006
""ctual Adjus ted Es ti mated Adopted
Administration $174.497 $IX5,619 $1 X4,R09 S203,6()]
Recreation $153.713 $IRR,791 S 176,592 $200,525
Parks Maintenance $I,OXI.114 $1.I97.65X $1 IRb.663 $1,022,917
Fores trv $222.449 $316,IX9 $306, X51 $239,7%
Open S JXIce $134.1% $160.915 $139.590 $115.297
Anderson Building $74J25 $74.771 $72JOX $X6,4XO
Athletics $140,920 $174.535 $159.7X7 $169.743
General Progralm $0 $0 $0 $170.557
Outdoor Pool $6b,75I $109,040 $R7,936 $99.417
Senior/Community Center S306,X33 $362.4 70 $35K426 $4 I 0.X5X
Buillinu Maintenance S299,46X $330,707 $33b.R29 $370.465
Total $2.654266 $3.IOO,m5 $3.009,791 $3,()R9,b56
-
Total 2006 Budget by Program
Sr 'COI11Ill.
Center
Bldg, Main\.
1200
Adm.
6.60()
-
Gen. Prog.
').51l()
-
Outdoor Pool
, ~u
J...... '0
-
Athletics ~
5.50'0
Parks Mam\.
33 100
2.XO'o
~ Forestry
Open Space 7.Xu,o
37"0
A.nderson Bldg.
-
The Parks and RecreatIOn
Dcpartment rcceivcd
grants totalmg $544, I 00
from Jeffeo Open Space,
and Great Outdoors
Colorado for resurfacmg
on Clcar Crcek Trall
154
Parks and Recreation
.jdmin;stl"tlt;on 111-60/
Administration
Total Budget by Object
-
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $149,329 $157,099 $156,OX9 $174,626
Materials & Supplies $5,475 $4,700 $4,700 $4,800
Other Services & Charges $19,693 $23,820 $24,020 $24,175
Capital Outlay $0 $0 $0 $0
TOTAL $174,497 $185,619 $184,809 $203,60 I
-
-
-
-
Total 2006 Budget hy Ohject
-
Personnel Services
85 8"0
/
(
Other SefYlces &
Charges
II 90 (I
MaterIals &
Supplies
2400
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
The Parks and RccreatlOn
Dcpartment recclved b'Tants
totalmg S 194, 1 00 from
Jefferson County Open Space
and the Grcat Outdoors Colo-
rado to resurface a portIon of
the Clear Creek Trail.
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-
-
-
-
-
155
Parks and Recreation
Recreation IIl.61J2
Recreation
Overvie" :
SupervIse, admmlstratlon and management ofthe
RecreatIon DIvIsIon whIch mcludes operatIon and
programmmg of the RecreatIon Center, Semon'
CommunIty Center, outdoor pool and the
aquatIcs, athletICS and general rccreatIon
programs.
SupervIse the Marketmg Coordmator
ProVIde qualIty customcr servIce.
Develop and mOl1ltor budget expenditures and
revenues torthe Rccreatlon DIvISIon.
2005 Achievements:
Developed a ne\\ partnershIp WIth the
Colorado RapIds to help promote Wheat RIdge
socccr
Successfully completed a grant request ll1
cooperatIon WIth the Jefferson County
Department of Health and EnvIronment and other
COnmlUl1lty partners. The "Thnvmg COmmUl1ltles,
C ommul11ty Opportul1ltles for Health Eatmg and
ActIve Llvmg" IS to help develop and Implement
programs, pohcics and envIronmental changes that
mcrease phYSIcal actIvIty and healthy eatmg.
Completed a full tIme staffsurvey to IdentIfy work
load Issues. IdentIfy obstacles to aid staff
111 effiCIency and effectIveness and help
pnontlze fundll1g for the 2006 budget.
Worked WIth the CIty ConnectIon newsletter
editor ll1 cont1l1ull1g an on-gomg column to
advertIse upcomll1g classes
2006 Objectives:
Work WIth web master and a Parks and
RecreatIOn web commIttee to define the look
and content of the Parks and RecreatIOn
mfonnatlon on the CIty web site
Coord1l1ate the RecreatIOn DIvIsIon's
ll1volvement 111 the NatIOnal RecreatIOn and
Parks AssocIatIon pIlot program "Step Up to
Health"
. Develop a marketll1g ll1temshlp program m
cooperatIon with area colleges.
Develop customer servIce standards tor the
RecreatIon DIVISIon.
Create actIOn plans for key areas that were
IdentIfied 111 the staff survey, includll1g
commUI11Catlon, marketmg and tramll1g.
Total Budget b) Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $91.975 $105,408 $105,244 $110,826
Materials & Supplies $20.1 ] 3 $33,075 $2g,950 $38,973
Other Services & Charges $41,625 $50,308 $42,398 $50,726
Capital Outlay $0 $0 $0 $0
TOTAL $153,713 $188,791 $176,592 $200,525
156
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-
Parks and Re("/"('atioll
R('("/"eatioll OI-6IJ2
-
-
-
Personnel Services
55 3"0
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Total 2006 Budget by Object
Did you know...
Customers can now
regIster on.lme for all
recreatIon classes.
Matenals &
Supphes
1940"
'L Other Services &
Charges
25.3"'0
157
Parks and Recreation
Parks Maintenance IJ/.6f13
Parks Maintenance
Overview:
ProvIde a safe envIronment for users of Clty-
owned developed park land and facilItIes.
Mamtam all landscapes and turf areas at CIty
parks and facihtles.
MamtamlrngatlOn systems m parks.
Mamtam and prepare sports fields.
2005 Achievements:
Contmued renovatIOn of turf areas through
weed controL fert1ltzatlOn, aeratIOn and
lITIgatIon, reseedll1g and resoddll1g.
Wrote speCIficatIOns and implemented:'
upgradcd the nght-of.wav weed ma111tenance
program.
Upgraded bleachers at Anderson Park to meet
CPSC safety standards.
. Removed trees, fencll1g and outlymg shed at
Baugh House.
Renovated concrete at Anderson BUlldll1g,'
MUl1lClpal Pool, Parks, Forestry and Open
Space offices, and extended walkway from
parkmg lot to the skateboard park.
Replaced fall surfae1l1g 111 Anderson Park
playground.
Installed new park sIgns at Bonl1le's and
CreeksIde Parks.
BUIlt Windsor block planters for Bonl1le's,
Creekside and Founders Parks.
Completed renovatIons to Prospect and
Anderson Park ballfields and added yellow
protectIve safety cap to fence Imes.
Installed ne'W water 11I1e to Anderson Park
ballfield to supply early season water for
mamtenance of playmg areas.
Removed graffitlm parks and faCIlItIes.
Renovated show wagon mtenor and extenor
for Performance-JI1.the-Park, CarnatIon
Festival and Chnstmas Llghtmg Ceremony
PartIcIpated m tests WIth the State of Colorado
and Colorado School of Mmes to detennme
water qualIty, pestICIdes and l1ltrates 111 well
water at the CIty of Wheat RIdge MUl1lclpal
buildmg sHe
2006 Objectives:
ContInue goal to Improve ma1l1tenance
programs m parks and faclhtles.
Improve rIght.of-way weed mall1tenance
program.
Contmue to upgrade bleachers to meet CPSC
safety standards.
. Implement Turf Mall1tenance Plan objectIves
and Improve mamtenance practIces of turf
areas.
Utlhze lI1fOmlatlOn gathered from work tasks
and mamtenanee levels to tmprove effiCIency.
Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $734,569 $789,996 $780,039 $509,168
Materials & Supplies $75,708 $52,0] 5 $53,826 $57,415
Other Services & Charges $265,777 $332,191 $330,218 $444,n4
Capital Outlay $5,060 $23,456 $22,580 $11.550
TOTAL $1,081,114 $1,197,658 $] ,186,663 $1,022,917
15!!
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Parks and Reereut;on
Parksl\,laillfenllnce 01-603
-
-
-
Personnel ServIces
49 X""
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Total 2006 Budget hy Object
Matenals &
SupplIes
56u."
CapItal Outlay
I I u'o
Did you kllow...
In 2005,35,000 square feet of
turf has been replaced,
450,000 square feet ofturfhas
been aerated and topdressed,
and approxImately 350,000
square feet of sod has been
seeded.
Other Servtces &
Charges
435"u
159
Parks a/ld Recreatio/l
Forestry /11-6/14
Forestry
Ovcrvie\'v:
ProvIde planmng and ma1l1tenance for trees
and other plant matenal on all publIc nght -of-way
and cIty-owned property to ensure a safe and
beautIful tree cover
License tree and lawn care compal1les domg
busmess wlthm the cIty hmlts.
2005 Achievements:
Planted and mamtamed the Wheat RIdge
DemonstratIOn Gardens at thc RIchards-Hart
Estate
Worked WIth the MIle HIgh Youth Corp to plant
the Wheat RIdge Demonstration Gardcns and
mulehmg at vanous parks.
Selected plant materIa] from nursenes for
Wheat RIdge Dcmonstratlon Gardens, Randall
parkmg lot and memorIal trees.
Contracted tnmmmg and removal of hazard
trees m the Greenbelt.
Responded to servIce requests for mtersectlOn
clearance and SIght dIstance problems.
Contracted to tub gnnd stumps mto mulch at
Lovejoy property
Celebrated Arbor Day on May 7, 2005 at the
RIchards-Hart Estate
Remstated the plantmg programm park plantmg
beds.
Contracted the removal and tnmmmg of trees on
CIty nghts-of-way
Mall1tall1ed trecs and plants ll1 traf1ic ealmmg
Islands, 38th Avenuc strcctscape and Harlan Street
walk.
Celebrated the 26th Anmversary of the CIty of
Whcat RIdge as Tree CIty USA.
Retall1ed DIsplay Garden Status WIth All
Amenca SelectIons at Happll1ess Gardens
2006 Objectives:
Replace damaged and destroyed trees m the
parks and on streets from 2003 snowstorm
Work with Colorado State Forest ServIce to
conduct tree mventones m parks and nght-of--
ways wlthm the CIty once the GIS programls
onlme
Stay current WIth Inscct and dIsease
1I1fomlatlon and treatments.
Remove trees and stumps and replant trees and
plants.
Keep Memonal Tree Program and replacement
of dead or destroyed trees m nghts-of-way
current.
Prune, weed and mulch plantmg beds.
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Total Budget b~ Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $128,532 $167,671 $166,256 $144,238
Materials & Supplies $5,968 $30,527 $23,604 $21,962
Other Services & Charges $87,949 $117,99] $116,991 $73,596
Capital Outlay $0 $0 $0 $0
TOTAL $222,449 $316.189 $306,851 $239,796
16U
Parks & Recreation
Forestrl' 01-604
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Total 21106 Budget hy Object
Pcrsonnel SCrvlCCS
60.20'0
MaterIals &
SupplIes
9.2""
Other Scrvlces &
Charges
3070"
Did you knO\\...
Thcrc arc over fifty
varIetIes oftrccs on the
RIchards-Hart Estate
propcrty
)6)
Parks and Recreation
Open Space IJ/-MI5
Open Space
Overvie'w:
ProvIde envIronmental education. natural resource
management 1l1formatlon and volunteer
OppOltul1ltles for open space VIsItors.
Manage the CJty's natural rcsources, open space
areas, related trail facilitIes and VISItOrs through the
effectIVe use of available resources.
2005 Achievements:
. Completed SIgn Master Plan wIth consultant.
Completed trail constructIOn from Hoyt Street to
Charhe Brown Bndge.
Completed the revegetatIon of the traIl marg1l1s
for both 2003 and 2004 trail constructIOn proJects
wJth assIstance from Mile High Youth Corp and a
contractor.
Cont111ued noxious weed control with staff and
contractor 111 open space lands.
PartIcIpated 111 the first Denver metro BlObhtz; a
survey of plant speCIes and WIldlIfe
Cooperated wIth Urban Dra1l1age to alter mow111g
schedule for Purple Loosestnfe control, for debns
removal and wIth a bank stablhzatlOn project.
Replaced and l11stalled of split rail fence off Moore
Street and at the MillerTrmlhead.
2006 Objectives:
Implement the SlgIl Master Plan.
1l1ltJate a GPS photographIc hnked record of
natural resources.
ProVIde envIronmental educatIOn and volunteer
opportul1ltles to cItIzens.
RepaIr portIOns of crusher fines traIl 111 the
conservatIon area between MIller Street and
Youngfield Street.
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Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $94,328 $99,1 05 $99.1 05 $77,337
Materials & Supplies $14,938 $10,500 $] 0,500 $11,200
Other Services & Charges $24,930 $51,310 $29,985 $26,760
Capital Outlay $0 $0 $0 $0
TOTAL $134,196 $160,915 $139,590 $115,297
162
Parks and Reaeation
Open Space Of-605
Personnel ServIces
67 100
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Total 2006 Budget by Object
Matenals &
Supplies
l) 700
~ Other ServIces &
Charges
23.2'\,
In ordcr to control nOXlOUS
weeds and manage our
Clty\ natural resources thc
Clty uses multl-prongcd or
IPM lI1tergraded pest
management approach.
163
Parks and Reaeation
'Jnderson Hui/dinK () J -620
Anderson Building
Overview:
ProvIde Indoor actIvIty space for Parks and
RecreatIOn programs, conunuruty prot,'Tams, local
youth groups and pnvate rentals and recreatIon
classes and programs Includll1g: Yoga, Karate,
ballet, fitness classes, adult baskctball and
volleyball, Jazzerclse, pre-school gymnastIcs and
other recreatIon classes.
ProvIde qualIty customer servIce.
2005 Achievements:
Repalred gymnasIUm roof
Adapted office area to accommodate summer
programs.
Added youth JazzerClse programmll1g.
2006 Objectives:
Incrcase rental revenues.
Repalr upper lobby roof
Replace floonng m actIvIty room.
Upgrade volleyball equIpment.
Pamt actIvIty room.
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Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $12,853 $15,919 $14,106 $15,693
Materials & Supplies $0 $0 $0 $0
Other Services & Charges $46,995 $47,852 $47,202 $47,3g7
Capital Outlay $14,477 $] 1.000 $11,000 $23,400
TOTAL $74,325 $74,771 $72,308 $86,480
1M
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Parks and Recreation
'llldersoll BuildinK 01-620
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Matcnals &
Suppltes ,
,
000'0
Total 2006 Budget hy Ohject
r
Personncl ServIces J
24 900
The Anderson b'YmnaSlU111
ts one ofthe fe\', gyms
avaIlable for rent 111 the
wcst metro area and
serves a vanety of groups
and activItICS.
Other ServIces &
Charges
75 100
165
Parks and Real'ation
4th/etic,OI-flll
Athletics
Overview:
Implement and oversee a wIde range of athlettc
programs and faClhttes to meet the needs of
partIcIpants of all ages.
ProvIde quahty customer servIce.
Develop, admlmster and evaluate athletIcs
programs.
Contract youth sp0l1s camps.
Admll1lster athletIc 1eab'1les.
Coordinate field use for local youth sports b'TOUps.
Manage user fees and collect revenues.
Schedule field usage and rentals.
2005 Achievements:
Reorgamzed the AthletIcs DIvIsIOn to
accommodate a RecreatIOn Leader posItIon.
Implemented new youth programs.
Expanded partICIpatIOn In the C'.A.R.A Track
program.
Upgraded field light systems at Wheat Ridge
MIddle School and Anderson Park.
Worked wIth Parks staffto Improve condItIons
of grass playmg surfaces.
Upgraded field eqUIpment at Paramount and
Panorama soccer fields.
Worked wIth CompetItIve Soccer to offer more
trall1l11g to the developmental program.
Conducted speCIal events Includmg Punt, Pass
and KIck and RockIes Baseball Skills
Challenges.
2006 Objectives:
Further expand athletIc programmmg to
preschool and youth age groups.
ProvIde trall1l11g for soccer field users on new
portable goals.
Il1ltlate new field elosure procedures for soccer
fields
Develop new sports camps and classes.
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Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $120,290 $148,072 $139,557 $143,368
Materials & Supplies $17,312 $22,238 $19,000 $24,605
Other Services & Charges $3,3 ]8 $4,225 $1,230 $1,770
Capital Outlay $0 $0 $0 $0
TOTAL $140,920 $]74,535 $159,787 $169,743
166
ParJ.s and Recreation
4 th/etics () 1-62/
Total 2006 Budget by Ohject
Personnel Servlccs
84.500
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Matenals &
Supphes
14.50'0
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Other ServIces &
Charges
1.000
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Wheat RIdge provIdes
fields for over 750
baseball and softball
games annually and the
soccer program fielded
63 teams in 2005
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167
Parks and /(ecreatioll
Gelleral Pro~rall1s 01.622
General Programs
Overview:
Offer and Implement programs for parent/tot
and preschool-aged children ll1cludll1g creatIve
movement, mUSIC, arts and crafts, and fitness,
whIch faclhtate development of cogmtlve,
motor and SOCIal skIlls.
Provlde quahty recreatIOn opportumtles for
I11dlvlduals wlth dlsabll1tles, facll1tatll1g
partIcIpatIOn 111 recreatIOn servIces whIle
enhancmg development of physIcal, cogmtlve,
emotIOnal and socIal skIlls.
Coach varIOUS SpeCIal OlympIcs teams
mcludmg bowhng, basketball and soccer and
compete m regIOnal and state competItIons.
Coordinate lI1clUSIOn opportumtles tor lI1dlvlduals
WIth and WIthout dIsabilItIes.
Offer and Implement State Llccnscd Preschool
Program and supervIse staff
Offer and Implement quahty programs for
youth, teens and adults mcludmg educatJOnal,
arts and crafts, general Interest, self.
Improvement and more
Offer and Implement specIal events such as,
Easter Egg Hunt. Hohday Llghtmg Ceremony,
Fall FestIVal and hohday classes.
2005 Achie\ements:
Offered vanety of martIal arts, dance, outdoor
recreatIOn and general programs for parent/tot,
preschool, youth, teens and adults.
Expanded Summer Sun Club, camp I1ke
program for youth WIth and WIthout dlsabihtles,
through 1I1crcased partlclpatlOn and more
developed actIVItIes and admmlstratlOn.
Formcd "Step Up To Health" program for
Llcensed Preschool to teach young chIldren
wellness, nutntlon and filI1ess.
Involved WIth state I11ltlatlve to change
I1censl11g rules for recreatIOn center
preschools.
Expanded Therapeuttc RecreatIOn through
mcreascd partIcIpatIon and program success.
Learned I11ternet appl1catlOns to l11arket
TherapeutIc RecreatIon on the CIty web sIte.
Offered new and Il1nOvatlve programl11l11g
mcludmg early mterventton for children WIth
dlsablhtles, one on one sWlmmmg lessons and
a leIsure coachmg program.
2006 Objectivcs:
Mall1tam cun'ent classes and actIVItIes.
Uphold excellent customer servIce
Contll1ue and expand Summer Sun Club
Increase partICIpatIon m LIcensed Preschool.
Add and ll1crease features and partICIpatIon m
Fall FestIval held at Recrcatlon Center
Further develop TherapeutIc RecreatIOn Outdoor
programs.
Increase awareness of TherapeutIc RecreatIOn
servIces
Total Budget b) Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $0 $0 $0 $157,794
Materials & Supplies $0 $0 $0 $10,595
Other Services & Charges $0 $0 $0 $2,168
Capital Outlay $0 $0 $0 $0
TOTAL $0 $0 $0 $170,557
16R
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Parks and Recreation
General Pro!?/"allls () J .622
Total 20116 Budget by Object
RecreatIOn IS necessary to fuel
the human spirit, strengthen the
physIcal self. and create a senes
of connectIons to others,
community and the envlrol1l11ent
that are necessary to lIfe as are
air and water.
P ersonne I
ServIces
92.5"'0
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Other ServIces &
Charges
1.3"."
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Did you knO\~...
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\ Matenals &
"- Supplies
6.20 "
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169
Parks and Recreation
Outdoor Pool () 1.623
Outdoor Pool
Overview:
ProvIde a vanety of programs and scrvlces to all
ages and sWlmmmg abilIties.
ProvIde a safe and fun envIronment for
recreatIOnal sWImmIng and qualIty programmIl1g.
Responsible for the mall1tenance, progranumng,
schedulmg, and pubhc educatIOn related to the
outdoor pool.
Mamtam safety, gucst relatIons, and LeanHo-
SWll11 prob'Tams.
Offer programs for certIficatIOn m LIfeguard
Trammg, Water Safety Instructor, CPR and First
AId, AED, Commul1lty FirstAld, Learn to SWl1n.
2005 Achievements:
Conducted a safe 2005 season.
ProvIded ongoll1g opportUl11tles for staff
trammg m customer serVIce, lIfe guardmg
skIlls, emergency actIOn preparedness and
water safety mstructlOn.
ProVIded a Learn-to,Swlm program for
commul11ty day care centers.
Coordmated pool tune for the Wheat RIdge
Summcr Club and The Rocky MountaIn
Thunder.
20060bjectivcs:
ContInue to provIde ongOl11g training
opportul11ties for staff.
Work WIth contractors and parks to faClhtate
ncccssary repaIrs.
Promote commumty day care program.
Coordll1ate and Implement new aquatIc
programs to meet the ongomg nceds of the
commumty
ProvIde quahty customer servIce.
Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $40,142 $72,992 $63,70] $65,754
Materials & Supplies $16,249 $22)\48 $17,500 $2] ,463
Other Services & Charges $7,025 $7,600 $4,235 $8,350
Capital Outlay $3,335 $5,600 $2,500 $3,850
TOTAL $66,751 $109,040 $87,936 $99,417
170
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Parks alld Reereatioll
Outdool" {)ool 01.623
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Personnel ServIces
6X XO 0
Total 2006 Budget by Object
Other ServIces &
Charges
8700
Anderson Pool holds
500,000 gallons of
watcr.
Matenals &
SupplIes
22.500
171
Park." and ReCl"eat;on
Sen;or/Colllmun;(1' Center 11/-624
Senior/Community Center
Overview:
Stnve to enhance the quahty ofhfe for resIdents
ages 50 and older by provldmg opportUl11tles to
gro~ SOCIally, stay healthy and be 1I1volved 111 the
commul11ty by offenng recreatIOnal programs.
ProvIde space for commul11ty based groups to
meet dunng the even1l1g and weekend hours.
Rent the Center for use of pnvate partIes, socIal
gathenngs and meetl11gs.
Coordl11ate programs and servIces for sel1lors
WIth other agencIes such as Volunteers of
Amenca, North Jeffco SenIOr Centcr and the
Sel1lors' Resource Center (SRC)
AUb'Tl1ent fundmg for Improvements to the Center
vIa the Sel1lor Fund and fund ralsmg actIvItIes.
Market Sel110r Center programs by producmg
and distributmg the "Gateway" newsletter 4 tImes
per year, deSIgn and dIstribute flyers, and send
out press releases.
SupervIse and manage the usage of the Center
and oversee the mamtenance ofthe faCIlIty
. ProvIde quahty customer servIce.
2005 Achievements:
. Completed Improvements to Prospect Hall by
replacmg Hoonng and stage and upgradmg the
sound system.
Replaced carpetll1g at Sel11or/Commul11ty
Center
Increased computer class offcnngs.
RecrUIted addItIOnal" olunteer I11structors for
classes.
Encouraged partICIpation 111 Clt) sponsored pubhc
meetmgs.
. Accommodated 3,329 sel110rs on 187 tnps m
2003 (van tnps, walkmg group and extended
travel ).
2006 Objectives:
Expand marketmg exposure of the Center m
the commul1lty by sponsonng a commul1lty
evcnt.
Cont1l1ue to buIld partnershIps WIth area
bus messes m offenng programs and to seek
sponsorshIps for programs.
Complete Improvements to Prospect Hall uS1l1g
Sel1lor Fund money
Replace deSIgnated HVAC Ul11ts and roofing.
Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $217,989 $260,725 $257,186 $285,525
Materials & Supplies $23,105 $25,435 $25,435 $27,850
Other Services & Charges $30,055 $55,310 $54,805 $60,483
Capital Outlay $35,684 $21,000 $21,000 $37,000
TOTAL 5306)\33 $362,4 70 $358,426 $410,858
172
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Parks and Recreation
Senior/Community Center 111-62./
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Total 2006 Budget by Object
Personnel ServIces
69.500 \
Captta] Outlay
900,,,
Did you know...
145 volunteers at the Center
contributed no less than 4,965
hours m 2004 The average
hourly value of volunteers IS
$17 00 resultmg in $87,] 35
worth of servIce.
Matcnals &
Suppltes
680"
Other Services &
Charges
] 4 70"
173
Purks und Recreation
Bni/dill~ Maintenance 01./18
Building Maintenance
Overvie"\\ :
ProvIde maIntenance to all mumelpal buildIngs.
Purchase and Inventory all operatmg supplIes.
SupervIse and asSIst WIth all commwllty room set-
ups at the Recreation Center.
Schedule and supervlsc all outsIde contractors.
SupervIse all RecreatIon Ccnter custodial
workers.
Contmue the upgrade and renovatIon ofHVAC
systems ll1 allmu11lclpal buildmgs.
SupervIse contractual custodIal servIces for all
mUlllclpal buildings.
2005 Achievements:
Replaced carpet on first floor of Pol1ce
Department.
Played ll1tegral role ll1 Semor Center Prospect Hall
remodel and carpet replacement.
. Played mtegral role on Phase 11 of City Hall
HVAC remodel.
2006 Objecthes:
Replace carpet on second floor of Pohce
Department.
. AssIst WIth Phase III of City Hall HVAC remodel.
Remodel bookIng room at PolIce Department.
Contmue hIgh level of customer serVIce and
buildIng mamtenance for all staff.
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Total Budget by Object
--
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services 570,052 $72,867 $72,867 $66,625
Materials & Supplies S27 ,558 $27,693 $27,693 $28,895
Other Services & Charges $200,866 $229,147 $235,269 $227,945
Capital Outlay $992 $1,000 $1.000 $47,000
TOTAL $299,468 $330,707 $336,829 $370,465
174
Parks tlnd Recreation
SIIi/dinK Maintenance (JI-1l8
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Matenals &
Suppltes
780'0
Total 2006 Budget by Object
Other ServIces &
Charges
61 50'0
Personnel Servtces
18000
Capttal Outlay
12 700
Did you know...
The RecreatIon Center
uses apprc1Xl11lately
three hundred miles of"
tOllet paper per year
175
Parks and Recreation
211116 'ldoJlted Blld~et
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176
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Recreation Center Fund
Overview:
Thc \Vhcat Rldgc Recreation Center IS a statc.ot~the-art facllity locatcd 111 the heart of Wheat Rldgc Thc
RecreatIon (cnter also scrvcs as a bUSlllCSS confercnce ccnter Thc Recrcatlon Center Fund was estabhshed
through voter approval of a ballot qucstH1n to lllcrease the sales and use tax rate 111 No\ ember of jlj(n Thc
fund was approvcd fllr the construction and operatIon ofa public recrcatlon ccnter with activItIes for all ages.
Faclhttes at the recreatlOn centcr mcludc al1111door wanl1 water Ic1surc pool, llldoor lap pool. mdoor walk run
track. gymnasIum, acroblcs room, weIght trammg area, racquctball COutts, clImbmg wall. and mcetmg'banquct
facllilles. The I 2" (I retail sales and use tax rate Imposed by the City was cf1ectlve January j, 1998 and was
termlllated 1l11\1arch 2(J()2 when a total ofS 12,35() O()() had been raised.
2004 2005 2005 2006
Actual Adjus ted Estimated Adopted
BEGINNJ:\G fliNn B ""LANCE $2,688,453 $2,462,356 $2,554,508 $2,402,4 70
REVENUDi
Facility OpcratlOn 51,634,778 $1 74'J,046 $1761,600 S 1.751.300
AquatICs $66.0'J3 $68.077 $65 452 $6X,120
Fitncss S153.X26 $15'1715 $162,000 SIR8.34b
Therapeutic Rccrcation $6.747 $8.500 $9.887 $0
General ProcratTIS S58.460 $94.556 $66,000 $0
Intcrcst and Mlseellancous $135,()37 S80.000 $80.000 $80,000
TOTAL REVE."WE.'l $4,743,394 $4,622,250 $4,699,447 $4,490,236
EXPENDITURES
Facilitv Opcration $1.118,717 SI.I91.701 $1.]57,164 $1,")'14.003
Aquatics 1,490,773 5586.071 5576.221 $627 417
Fitncss $368.369 53 I 8.1 85 S331.5<JO $333.873
Marketll1e 566.857 S7775 I $71.516 $84.671
Therapeutic Rccrcation $25.874 $31.096 $29.120 $0
General Progralu>.; $1 I X,44 I $14X,796 $131.366 $0
TOTAL E.XPENDlTURE.'i $2,189,031 $2,353,600 $2,296,977 $2,339,964
RES ERVED MAINTENANCE FB $155,000 $155,000 $155,000 $205,000
El\D1NG FlIND BALANCE $2,399,363 $2,113,650 $2,247,4 70 $1,945,272
177
Recreation C{'lIter Operations
Fund - 64
Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services S I ,492,940 $1,653,728 $1,624,309 SL5]2,868
Materials & Supplies $154,207 $170,062 $16 L279 $179,354
Other Services & Charges $470,497 5505,860 5490,039 $508,434
Capital Outlay $71,381 $23,950 $21,350 $139,308
TOTAL $2,189,031 $2,353,600 $2,296,977 $2,339,964
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Total 2006 Budget hy Object
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Personnel ServIces
64 700
Matenals &
SupplIes
7700
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Other ServIces &
Charges
21 70'0
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Capital Outlay
600'0
178
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Recreation Center Operatio/1S
Fund - 64
Staffing (Full-time Equivalent Employees)
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2003 2004 200S 2006
Authorized Authorized Authorized Authorized
Facility Operations 9 g.5 g.5 8 5
Aquatics 4 4 4 4
Fitness 1 ] I ]
Marketing 0.5 0.5 0.5 05
Therapeutic Recreation 0.5 05 05 0
General Programs 0.5 I I 0
Total 155 15.5 15.5 14
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'ok Stafting numb~rs 1I1clude full.time and part.time henetiled employees only Th~ R~creatlon C enter hires numerous
,easonal. Il1termittent. temporan and contract employees throughout the year to fillltfeguard positiom. programlnstrue.
tors. tramel's. ele.
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Total Budoet Il\' Prooram
~ .. 1:'1
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FItness
14.300
Marketmg
3.600
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AquatIcs ~
26 80'0
Facility
55.3~0
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179
Recreation Center Operations Fund
Fadlitr Operations 64-60]
Facility Operation
Overview:
Operate and manage 70,000 square foot
recreatIOn center that mc\udes customer serVlce,
actIvIty regIstration, faclhty and park rentals, pass
sales, pOl11t of sale Items, facilIty mal11tenance, and
facilIty tours.
Provide I11fOrnlatlon services tor aquatics, gcneral
programs, fitness, therapeutIc recreatIon, youth
and adult athletIcs, and teen programs.
2005 Achievements:
Increased 2004 revenue by over $18,000
Began KIds Nlte Out Program for youth 9-14
years old.
Improved procedures for MIddle School I 0
program and Code of Conduct.
RecertIfied staff 111 A ED, FIrst AId, and
C.P.R.
Conducted facllJty tours for the 2005
RecreatIOn FaClhtles DeSIgn and Management
School.
Completed thorough cleamng offaclhty dunng
closure week mcludmg: re-groutmg FamIly
Locker Room Showers wttlI epoxy grout,
replacmg carpet 111 several areas, replacmg
benches m dry sauna, repalflng and stammg
woodwork m lobby and resurfacmg all hard
wood floors and repa1l1t1l1g 11l1es 111 the
racquetball courts.
Held Rec Trac Tram1l1g for front 11I1e personnel.
Implemented Web Trac for onlll1e recreatIOn
program regIstratIOn.
Pall1ted mtenor of the RecreatIon Center as
needed.
2006 Objectives:
Increase on-11l1e recreatIOn regIstratIOn
program through Web Trac
Upgrade recreatIOn reglstratlon software.
Contmue hIgh ]evel of customer servIce.
Replace lockers 111 Men's Locker Room.
Refimsh wood floors.
. Upgrade camera secunty systemm the parkmg
lot.
Improve landscapmg around the recreatIOn
center
Improve Customer servIce through addItional
1l1.serVlce trall1ll1g.
Improve marketmg of the RecreatIon Center
and Faclhty rental spaces.
Increase pass sales for arc a corporatIons and
busmesses.
Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $582,267 $638,924 $622,976 S652,632
Materials & Supplies $60,383 $61,448 $57,970 $70,355
Other Services & Charges $46] ,067 $49] ,329 $476,218 $493,1 08
Capital Outlay $15,000 $0 $0 $77,908
TOTAL $1,118,717 $\,191.701 $1,157.164 $1,294,003
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Recreation Cemer Operations J'lInd
Facili(1' Operations M.M)2
Personnel ServIces
50400
Total 2006 Budget by Object
Matenals &
Suppltes
5400
Other Services &
r Charges
38 1 (~o
Capital Outlay
6000
AntIcIpated n:venuc for
the SIlver Sneakers
Se11l0r fitness program
wIll exceed $130,000 111
2005 and attendance IS
expected to be over
60,()()0 VtSltS.
181
Recreation Cel1ter Ol'emtiol1S FlIl1d
'lqllatics 64-604
Aquatics
Overview:
Provtdc a vanety of programs and servIces to all
ages and sWlmmmg abihtles. Responsible for
provldmg a safe and fun envIronment for
recreational sWlml111ng and quahty prob'Tammmg.
Mamtam aquatIc facihtles, programmIl1g, schedule
aquatIc prob'Tammmg, and educatc pubhc related
to aquatIc actIVItIes.
ProvIde quahty customer servIce.
MaIntaIn safety, gucst relatIOns and Learn to
SWIm prob'Tams.
Offer programs for certIficatIon mcludmg
LIfeguard T rall1ing, Water Safety Instructor, CPR
and FirstAld,AED, C01l1l11umty FlrstAld, Learn
to SWIm.
2005 Achievements:
Expanded Aqua AerobIC Program by offenng
more classes at optImum tImes.
InvestIgated alternatIve hyglcne systems and
proposed for the 2006 budget process.
ProvIded fitness trammg for Aqua ExercIse
1I1structors through AquatIc FItness
ProfeSSIOnals.
The Wheat RIdge PIranhas conducted two
successful sWIm meets.
. The Rocky Mountam Thunder had a successful
season and IS one of the fastest growmg USA
teams m Colorado.
ProvIded an Increased number of Learn.to.
SWIm opportUl1ltles.
The lIfeguard team won thIrd place at the
Colorado Parks and RecreatIOn Llfe"uard
b
games.
2006 Objecth es:
. Contmue to offer traInIng to AquatICs stafTto
enhance safety and customer servIce.
investigate aqua SpllU1ll1g bikes and treadmills as
an additIOnal servIce for our partIcIpants.
Deve lop a mornmg lesson program for
preschoolers and parents.
ProVIde up to date fitness traInIng for Aqua
ExerCIse Instructors.
Coordll1ate and Implement new aquatIc
programs to meet the ongoIng needs of the
commumty
. ContInue to work cooperatIvely WIth
commumty sWIm teams to help promote fitness
and sWlmmmg.
Total Budget b) Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services S439,464 $517,708 5508,966 $526,970
Materials & Supplies $41,298 $50,034 $49,584 $52,498
Other Services & Charges $7,239 $7,579 $7,821 $8,449
Capital Outlay $2,772 $10,750 $9,850 $39,500
TOTAL $490,773 $586,071 $576,221 $627,417
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Recreation Ce/lll'r Operations t lInd
4qllatics 64-60./
TotaI200() Budget by Ob.iect
Personnel ServIces
X9 (i"" \
Other ServIces &
Charges
1 4"'0
Matenals &
'- Suppltes
X 900
Did you know...
The Aquatics DIvIsIon
offers 2 I Aqua AerobIc
classes a week averagmg
20 partIcIpants per class.
183
Recreation Center Operations Fund
Fitness 64-60-'
Fitness
Overview:
Provldc hIgh qualIty fitness and 'v\ ellness
recreatIon programs at the Wheat RIdge
RecreatIon Center, Semor Commul1lty Center and
Anderson Buildmg to partIcIpants pursumg
commul1lty health, wellness, and recreatIOnal
actIvIties that encompass adult, older adult, teen
and youth classes.
Offer speCIalIzed classes and 1I1corporate new
classes, utihzmg all facihtles.
. ProVIde a hIgh level of customer servIce
through the WeIght Room Attendants to patrons
usmg the fitness area.
Offer SIlver Sneakers program for mcmbers
of the KaIser, PaclfiCare and Humana health
plans.
Cont1l1uc to keep up WIth trends 111 fitness and
eqUIpment to allow growth for our drop-1I1
aerobICS class partICIpatIon.
Offer on sIte phYSIcal therapy clll1lc to our
current patrons for the use ofrehablhtatlon and
II1JUry consultatIons.
Contmue to orgal11ze and offer the annual Health
and Wellness FaIr
2005 Achievements:
. Added the Humana health msurance plan to the
SilverSneakers programm conjunction WIth the
establIshed KaIser and PacIfiC are Secure
Honzon members.
Added more SIivcrSneakers classes wlthm the
fitness dIVISIon to make a total of 10 classes/
week. SIlver Sneakers program produces an
average ofS 15,000 m revenue per month.
Purchased addItIOnal Pllates reformers and
mcrcased Pllates reformer classes.
AchIeved a hIgh turn out at the Health and
Wellness Fair 111 February that consisted of a
eommul11ty keynote speaker, round table
dISCUSSIons, medIcal screeners and wellness
vendors.
Partlclpatcd 111 ConsortIUm for Older Adult
Wellness (COAW) a grant. funded program that
allowed us to offer the Fall Proof class.
2006 Objectives:
Ma1l1tam current classes by contmumg to offer
exceptIOnal customer servIce to patrons.
Reward partICIpants by Implementmg new
fitness challenges or speCIal events.
. Offer additIOnal 1I1-house SIlver Sneakers
promotions and pnzes.
Expand the on-sIte phYSIcal therapy program.
. Cont1l1ue offerIng cont1l1u1l1g educatIOn
workshops for staff members.
Reorgal1lze and assess the evaluation process
completed on all Fitness staff
. Ensure all FItness staff have current
certIficatIOns.
Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $305,922 $297,728 $31l,133 $302,895
Materials & Supplies $7,622 $5,540 $7,240 $7,lg6
Other Services & Charges SI,216 $1,7\7 S 1,7 17 $1,892
Capital Outlay $53,609 $13,200 $11,500 $21,900
TOTAL $368,369 $318,185 $331,590 $333,g73
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Recreation Cellter Operatiolls Fund
Fitlless 64-605
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Total 2006 Budget hy Ob.iect
Personnel ServIces
90 70 0
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Matenals &
SupplIes
2.20'0
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CapItal Outlay
6600
Other ServIces &
Charges
o 6[~ 0
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TreadmIll runners at the
Wheat RIdge RecreatIOn
Center have run more
than 385.336 mIles
slt1ce the center opened
lt1 2000
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185
Recreation Center Operatiolls FUlld
Uarketillg 64.on~
Marketing
Hosted t'Wo bndal shows that attracted 600
prospectIVe bndes.
Hosted area busmess aSSOCiatIon functIons,
whIch exposed the center to more bus1l1css
people
Contll1ued to pro-actIvely contact west SIde
busll1esses to promote the Wheat RIdge
RecreatIOn Center's corporate servlccs wIth the
help ofthe \Yest Chamber.
Overview:
Oversee the productIon ofthe ACtlVltlCS GUIde,
three tImes a year, whIch IS maIled to 23,000
resIdents and dlstributcd to 10,000 addItIOnal
pcople VISlt1l1g City facilItIes.
De'v e lop strategIes to market Parks and
RecreatIon facilItIes, programs and c1asscs.
Produce pnnted commUl1lCatlOn materIals
1l1cludmg sIgns, flyers and brochures to 1l1fonn the
pubhc about Parks and RecreatIon facIlItIes,
programs and classes.
\York wIth the City's wcb master to ensurc that
Parks and RecreatIOn lI1fOrmatlon tS placed on
the CIty'S website and that the lI1formatlOn IS
tImely
EstablIsh contacts WIth the medIa and wnte publIc
servIce announcements and artlclcs promotll1g
Parks and RecreatIOn facilItIes, classes and
proh'Tams.
2005 Achievements:
Developed commUl11CatlOns/promotlOn plan to
promote the Center's Health and Wellncss FaIr
2005 attendance exceeded 2004
Created ne'W Healthy BodIes, Healthy MlI1ds
campmgn m conjunctIon WIth Jefferson County
Schools to combat the grow1l1g trend of
sedentary children, while provld1l1g an
opportumty to mcrease busmess for the Center.
2006 Objectives:
Cont1l1ue Implementmg the faclhtles rental
market1l1g plan that 1l1cludes focus1l1g on
advertls1l1g the CIty's rentals to bus1l1esses and
prospectIve bndes.
Work with web master to refine the Clty's Parks
and RecreatlOll page to promote those tlems
that may generate more revenue
Cont1l1uc to buIld partnershIps WIth area
busmesses, orgamzatlolls, etc. as another vehIcle
to promote recreatIon programs and servIces
mcludmg rentals and the Wheat RIdge RecreatIon
Center's corporate membershIp servIces.
BUIld more partIcIpatIOn m the Healthy BodIes,
Healthy MlI1ds campmgn/program.
Total Budget b} Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $27,014 $29,431 $29,43 I $30,371
Materials & Supplies $39,720 $45,395 $39,500 $49,315
Other Services & Charges $123 $2,925 $2,585 $4,985
Capital Outlay $0 $0 $0 $0
TOTAL $66,857 $77,751 $71,516 $84,671
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Recreation Center Operations Fund
Marketing 64-6()7
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Personnel Services
35 9""
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TotaI2()()6 Budget hy Object
Matenals &
SupplIes
58.20."
Other ServIces &
Charges
59" "
Did you know...
Rental revenue for the
commumty rooms
mneascd ~5J)()0 m
2005 ovcr 2004, rcsult-
mg 1I1 a 3" 0 gam.
187
Recreillirl/l Center Operutiom Fund
20()h 4dopted Budget
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Police lJ1vesti~atilln Fund - P
Police Investigation Fund
Overview:
81.?gmnmg with 19l,lU, all proceeds trom selZllrcs and fodieturcs of rroretiy pursuant to C R.S J 6-13.3U2
("PublIc \UJsancc Policy") and 16-13-501 ("Colorado Contraband hlrfctturc Act") arc reqUlrcd to be
placed 111 a serarate fund and used slllely by the PlllIcc Department for purruses other than n0l111al orerat.
mg needs.
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2004 2005 2005 2006
"-ctual Adjus ted Btimated \dopted
BEGIl'NING FUND BALANCE $116,773 $49,423 $58,795 $14,(145
REVEN UES
!tHere, t $6XO $250 $250 SIOO
rvtlscdlancous RC\CnllC SO $5.000 $0 $0
TOTAL REVENLES $117,453 $54,673 $59,045 $14,145
FJ\.PE"'DITUR~~
Operatll1~ SUllllJies $5X,65X S50.000 $45.000 $X.7<J5
TOTAL E,XPENDITURES $58,658 $50,000 $45,000 $8,795
ENDING FUND BALANCE $58,795 $4,673 $14,045 $5,350
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Open Splice Fund. 32
Open Space Fund
Imtwted CIty WIde PlaYll1g held RehabilItatIOn
Program.
Installed Open Space boundary slgnage
Repaired emsher fine traIl at Frultdalc and Lewts
Meadows Parks.
DesIgned Randall Park mtgatloll sy<;tem.
Overview:
Fund receives 1/2 cent sales tax per capIta
allotment through the Jefferson County Open
Space program for the purpose of acqulflng,
developmg and mamtamll1g open space and
park propertIes wlthm the CIty of Wheat Rtdge.
Open Space Fund generates approxImately
$880,000 annually III revenues and expends
approxm1ately $500,000 annually for Park
Mall1tenance salanes and operatmg costs.
2005 Achievements:
Awarded S200,OOO III grants.
Installed art sculpture at Founder,' Park
Replaced dug out root\ and bleachers at
Anderson Park.
Completed Clear Creek Trail Replacement.
Phase III
2006 Objectivcs:
Replace nmcellaneous tenclllg 111 open space.
ImprO\e open space kIosks.
Improve drall1agc at Harlan trailhead.
Replace bleachers at Prospect and Panorama
Parks
Replace ballfield lights and dugout roof~ at
Prospect Park.
Install ne\\ slgnage m Open Space
DesIgn Kendall Park.
2004 2005 2005 2006
Actual Adjus ted Es ti mated Adopted
BEGINNING FUND BALANCE $167,988 $212,651 $245,052 $257.652
Re\enue SI.059,2'iO SI.OX 1.000 S I OX7.250 $900,250
TOTAL REVE."IUES $1,227,238 $1,293,651 $1,332,302 SI,157,902
EXP EN DlTURES
Salanes and Benefits SO SO SO S506.l ] 5
Acqutsilion Projects SO SO SO SO
De\ elopment ProJects S3XX,R3({ S59X,(X)0 S4lJ5.0(x) S642,OOO
Transfers to Other Funds S('15.(x)0 S57lJ.h50 S57lJ,650 SO
TOTAL EXPENDITURES $1,003,838 $1,177,650 $1,074,650 $1,148,115
ENDING FUND BALANCE $223,400 $116,001 $257.652 $9,787
CIty receIves 1/2 cent sales
tax from Jefferson County
for Open Space acqUlsltton
and mall1tenanee Jefferson
County voters were one of
the first to pass this tax m
\972.
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HUllil"ifJlIl Court Fund - 33
Ridum!.I' Hart Estllte Fund - 35
Municipal Court Fund
Overvie\\ :
The MUl11C1pal Coun Fund has been establIshed In order to provIde a means to track court fees and to enahle
the court to expend these amount:'.. The hmd ITCel\ es the S 1. S4 and Victim Court l~ees. ThIS fund pmvIdes
the l OLl!1 and the ProbatIOn Program WIth money for expenditures for cqUlpmenl, mamtenance, office turnl.
lure, VIctIm seI"YlceS and other court and probatIOn e\penses.
2004 2005 2005 2006
""ctual Adiusted Es timated Adooted
BEGINNING FUND BALANCE $71,278 $48,703 $64,580 $38,880
REYENllES
Fines and ForlCitures $29.36:1 $47.500 $ \3 975 S3~.OOO
Interest SI409 SI.500 SI400 SL500
TOTAL REYENUES $102,050 $97,703 $99,955 $78,380
EXPENDITURES
ExpendItures 5:17 469 574.600 $6 L075 S62,IOO
TOTAL ['"XPF~IIIDITlIRE\, $37,469 $74,600 $61,075 $62,100
E"iDlI'G FUND BALANCE $64,581 $23,103 $38,880 $16,280
Richards Hal-t Estate Fund
Overview:
The RIchards Hart Estate IS a tum of the century VictOrIan manSIOn on three acres WhICh IS rented oul for
weddmgs and other actIvItIes The RIchards Hart Estate Fund tracks the re\enue from the rental of the
Estate The funds arc used to mamtam and Improve the Estate
2004 2005 2005 2006
Actual Adius ted Estimated <\dooted
BEGINNING FlIND BALANCE $42,302 $52,952 $52,264 $54,964
REVE'WE.";
Grant Revcnuc $IU522 S25.UOO j, 14.000 547.000
Rl-lE Rentals S12.090 S t 1.000 59.S00 59.100
Interest $75:1 SROO 51.200 SI.200
M isccllancous Income SO SO SU SO
TOT""L REVEl\CES $65,667 $89,752 $76,964 $112,464
EXPENDITliRES
E"tatc In1f\rov cmcnts S \ 6.258 S35,OOO snUUO 565.000
TOTAL EXPENDITURES $16,258 $35,000 $22,01l0 $65,000
E'lDlNG FUND BALA:'IiCE $49,409 $54,752 $54,964 $47,464
191
Senior Funtl- 53
Senior Fund
0" ervie,,:
Fund was created to accept donations and fund
rals111g mOl1les that are dIrectly related to the sel1lor
programs and the C ommul1lty Center.
2006 Objectives:
RaIse $13,000 111 revenues for Sel1lor/
Commul1lty Center buildmg Improvements and
program enhancements.
2005 Achie,ements:
Replaced stage, tIle floor and sound system 111
Prospect Hall
ReceIved $1,000 donatIOn from Applewood
Plumbmg.
Completed CarnatIon Festival and Itahan
Dmner fund raIsers.
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2004 2005 2005 2006
Actual >\dius ted E" ti mated Adopted
BEGINNING FU!\D BALANCE $32,4 70 $19,271 $31,296 $16,046
REVE.",UE"
RC\cnue $16.721 $14.300 $12,200 S12,200
Intcrcs t S3X2 S200 $400 S400
TOT>\L REVE"lUES $49,573 $33,771 $43,896 $28,646
EXPENDITURE'>
ExpcndItures $1 X,277 $27.X50 $27.X50 $27,300
TOTAL EXPENDITURE" $18,277 $27,850 $27,850 $27,300
END~G FUND BALANCE $31,296 $5,921 $16,046 $1,346
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Wheat Ridge has the largest
older adult populatIOn per
capita in the Denver Metro
area. 28~;o of Wheat Ridge
older adults are age 55 &
older and the 45-54 age
group add an additional 14%.
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COl1.1'erl'atio/l Trust Fund - 54
Conservation Trust Fund
Overview:
ReceIve revenue from the CIty share of Colorado
Lottery procecds, whIch are dIstributed on a per
capIta basIs.
Funds are used for new projects as well as
mall1tenance projects wlthm the Parh and
RecreatIOn Department.
ReceIVe approxImately $2g0,000 m rcvenue
per year
RcpaIred crusher fine tralls 111 Wheat RIdge
Greenbelt conservatIOn arca.
Imtmted nceds analYSIS for Parks and RecreatIOn
Department.
Complcted bank stabIlIzatIon at Tabor Lake
2005 Achievements:
Completed landscapll1g, lI1stallation of
lITIgatIon system, new parkmg lot and court
resurfacmg at Randall Park.
Resurfaced tenl11s court and replaccd
playground at Prospect Park.
20060bjecthes:
Replace Stevens Elcmentarv School
playground (Jomt proJect)
. Rcplace restroom/concessIOn bUlldmg and
dugout roofs at Creekslde Park.
. Upgrade RecreatIOn Centcr ozone system spa/
hot tub
Replace playground m LOUIse Tumer Park.
. Replace sewer lIne m Panorama Park.
. Replacc curb and gutter at RandaJJ and Panorama
Park.
2004 2005 2005 2006
Actual ,,"dius ted Estimated -\dopted
BEGINNI:"G BALANCE $297,335 $267,145 S287,355 $250,855
REVENUES
Rncnues S2XX.059 S33o.000 S2RO,OOO S375.000
In\cn:s\ S31\7 S3.000 S5J)OO $3.000
TOTAL REVENUES $588,511 $600,145 $572,355 $628,855
EXPENDITURES
Dev e10pmen t ProJects S301 155 S135.000 S56.500 S300.000
Other Park Projects SO S360.000 S265.000 $165.000
TOT,,"L EXPENDITURES $301,155 $495,000 $321,500 $465,000
Ec'\DlNG FUND BALANCE $287,356 $105,145 $250,855 $163,855
The Colorado Lottery
honors Park and Recreation
agenCIes throughout the state
WIth the Starburst Awards,
recogmzmg the exceUent use
oflottery funds.
193
Hotel/Motd Fund - 63
Hotel/Motel Fund
OHrvie,' :
i\ 5"" lodgers tax ll1crcase was approved by vot-
ers ltl November IGl)X to he divided hO"" t'1I" po.
ltee and code entoreement aett\ tties and 40"" for
redevelopment and publIC Improvements wtlhll1 the
C tty "1<irlll1g 111 ;}()()4, Ihe 4()"" f'OrllOI1 \\'1// he
deposlled 11110 lite ( uplled /11\'c'\lI1lel1l Pmgrolll
leIP) hudgu 10 he uwd lor ru/cl"c!ol'lIIel1l (//1(/
public IlIIprO\'clllclIll
Provide training for hotehnotel staffas prescribed
III C I"lme Free hous1l1g polley
Provtde actIve enforcement around hotel motel
propertlCs for erim1l1al aett vtty
Prov"k proaettve enforcement by hotd motel Ill.
spector
Document VIOlations and proseeutton of offend.
ers
Trae1- stattstleal data relating tu enforcement and
prosecutIOn 1I1volv1l1g hotel. motel properttcs.
2005 Achievements:
Hosted tramll1g for motel managers and apartment
complex managers on l I"lme Free Program.
\\orked WIth managers to eVIct problem tenants
Cont1llued to reduce the amount of cl"lmes belllg
commItted m and around the motels through more
proacttve pollee work.
Received] 00 pereenI comphanee on all motel code
and safety vlOlattOt1'.
2006 Objectives:
Tram new statl person for HoteUvlotel Officer
pOSItion.
C ontll1ue pro.acttv e enforcemcnt aettvtttes 111 and
around large apartment complexes, espectall) 111
the areas of the hotels.
lntttate multl.fan1tl) housll1g ll1Spectlon progam.
C ontll1ue hotd motelll1speetton program for code
and safety eompltance
60% Police and 2U04 20U5 2005 2006
Code Enforcement Actual Adjus ted EMimated Adopted
BEGNNING FlIND BALANCE $208,333 $171,457 $179,291 $114,536
REVENUES
Lodgers Tax $224. L)06 $220.000 $238.000 $230.000
(,rants $0 $0 $0 $0
No Proof of Insurance Fines $0 $0 $3400 $5.000
Interes t $2.160 $1.000 $2,500 $2,500
TOTAL REVENUES $435,399 S392,457 $423,191 $352,036
EXPENDITURES
Expenditures $256.10'1 $338.728 $308,655 $351,867
TOTAL EXPENDITURES $256,1 U9 $338,728 $308,655 $351,867
ENDING FUND BALANCE $179,290 $53,729 $114,536 $169
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Hotel/Jlotel Fund - 63
Total Budget by Object
2004 200S 200S 2006
Actual Adjusted Estimated Adopted
Personnel Services $255,703 $328,528 5305,031 $338,567
Materials & Supplies $88 $7,000 $1,200 $8,950
Other Services & Charges $318 $3,150 $2,350 $4,350
Capital Outlay/Transfers $0 $50 574 $0
TOTAL $256,109 $338,728 $308,655 $351.867
Total 2006 Budget hy Object
Personnel Sennces
96.200
Other Servtces &
Charges
1.2~()
Matenals &
SupplIes
250 ()
Did you know...
The Pohce Department
made 228 arrests at the
vanous motels last year
106 of those were officer
initiated warrant arrests.
195
Special Re~'elllle I- unds
]()()6 .jdopted BudJ;et
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ClT\ OF\VHEATRIDGE
2006 CAPITAL L\ VESTMENT PROGRAM (eIP)
197
Capitalllll'estme/lt Program
DPW DRAINAGE
1. Lena Gulch Study Update
2006 Budget: $80,000
Description: The eXIstIng 1975 Lena Gulch floodplaIn study WIll be updated to rcf1ect
changes that have occurred along Lena Gulch that may Impact flood flows.
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Justification: The study currently used 111 Wheat RIdge was wntten In 1975 A major map
reVISIon was completed 111 1986 after completIon of an Improvement project along the
draInagcway The Urban Drall1age and Flood Control Dlstnct has agreed to update the f100d plan
studlcs along Lena Gulch to Incorporate changcs that have occurred along the stream. The CIty will
provide 500'0 matchmg funds for the project.
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Minor Street Improvement Projects
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2006 Budget $360,000
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Description: This budget line Item reserves funds for Improvement of27'h Avenue, 281h
Avenue and Upham Court west of Teller Street, along WIth Improvement of 3yd Avenue
between Fenton Street and Depew Street.
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Justification: The streets have been detennmed to have senously detenorated pavements
WIth slgl11ficantly poor subgrades to warrant total pavement reconstructIOn.
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2. Hotel/motel District Pedestrian Improvements
2006 Budget: $200.000
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Description: Pedestnan lightll1g WIll be constructed on the north SIde of the South 1.70
Frontage Road west ofKlplmg Street, on the south SIde of the South 1-70 Frontage Road from
the Comfort Inn to MIller Street and along Kiplmg Street from the South Frontage Road to the
1-70 ramps. ThIs project WIll be financed with Hotel/Motel tax funds and is the thIrd In a
multl.year program.
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Justification: The pedestrIan hghtll1g WIll be completed along Klplmg Street and the South 1-
70 Frontage Road wlthm thIs portIon of the Hotel/Motel dlstnct.
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Cupitullnvestlllellf Program
3. 32nd and Youngfield Street Improvements
2006 Budget: $600,000
Description: ThIs project wIll consIst of constructmg addItIOnal tum and through lanes to
Improve the servIce level of the mterscctlon.
Justification: Recent traffic studIes have IdentIfied the need for Improvements at thIs
mterseetlOn to accommodate prcsent and future traffic demands.
4.
46th Ave.-I70, Estes-Carr Major Street Improvement
2006 Budget: $900,000
Description: ThIs proJect consIsts of mstallatlon of stonn sewer and reconstructIon of the
street sectIOn. ThIS IS the final proJect m a multI-year program for the area.
Justification: ThIS netghborhood has very poor dramage, whIch has resulted m dIstorted
curbhnes and failed pavement sectIOns
5.
Public Improvements Projects, Development Driven
2006 Budget: 580,000
Description: Up-commg developments may reqUIre City-financed strect Improvements.
Justification: Contmgent funding should be proVIded for speCial proJect needs.
6.
Street Light Installation
2006 Budget. $5,000
Description: InstallatIOn of new streethghts requested by cItIzens and approved by the PublIc
Works Department.
Justification: New street hghtmg IS proVIded to accommodate areas of the City whIch reqUIre
addttJonal hghtmg for safety or as otherwise JustIfied by the City
199
Capital IIII'estll1ent Pro;;1"lI1I1
7. Street Preventative Maintenance Projects
2006 Budget: $1,200,000
Description: The annual street prevcntatlve mamtenance work and costs are as follows
Concrete replacement area.
Replace broken, dIstorted and non.comphant concrete curbs, SIdewalks
and handIcap ramps on streets mc\uded m the Asphalt resurfacmg
project $ 210,000
Asphalt patchmg and overlay area.
351h Avenue, Shendan to PIerce
441h Avenue, Harlan to Upham
Plcrce Street, 291h to 44111 $ 675,000
Crack/slurry scahng area.
\Vesterly halfofthe CIty by pnonty $ 315,000
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Justification: PreventatIve street mamtenance work IS reqUIred to replace defectIve concrete,
replace or add to pavement surface by an asphalt overlay, patch Isolated structural failures m
eXlstll1g asphalt streets, waterproof and Improve the texture of asphalt weanng surfaces by a
slurry seal coat and reduce water ll1filtratlon under pavements by sealll1g cracks. PreventatIve
mamtenance prolongs the useful hfe of streets and SIdewalks and reduces the costly altematlve
of reconstructmg streets.
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2006 Budget: $3,600,000
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Description: Widen Youngfield Street to a four-lane sectIon WIth center turn lane
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Justification: Recent traffic studIes have IdentIfied the need for Improvcments on thIS street to
accommodate present and future traffic demands.
DPWTRAFFlC
1. Neighborhood Traffic Management Projects
2006 Budget: S25,OOO
Description: Speed boards will be ll1stalled at two locations.
Justification: Eleetromc speed boards wIll be ll1stalled at two locatIOns that have a history of
excessIve speedmg.
2011
Capitll//IIVl'stlllent Progralll
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PARKSAl\'D RECREATION CAPITAL PROJECTS
1. Parking Lots and Drives Improvements 2006 Budgct: $80,000
Description: The Anderson Park parkIng lots will be repaIred.
Justification: The parkIng lots are detenorated and reqUIre maIntcnancc
ECONOMIC DEVELOPMEl\"T
Wheat Ridge Business District
2006 Budget: S40,000
Description: Fmanclal assIstance for the operatIOn of the Wheat Ridgc BUSInCSS Dlstnct.
Justification: AssIst In the rcvltahzatlon ofthe commercIal sectIons ofthe CIty
MUNICIPAL CAPITAL PROJECTS
City Hall Improvements
2006 Budget: $395,000
Description: The HVAC hot water system IS scheduled for replacement In the last phase ofthe
HVAC replacement proJect. Addttional Pobce Commul1leatlOns Bureau lmprovements ta the
radIO system and mdepcndentAC Ul1lts are programmed. ApproXImately one half of the City
Hall dnveway and parkmg lots WIll be reconstructed. Secunty upgrades to the bUlldmg will also be
Installed. AdditIOnal undetermmed ma1l1tenance proJects will be addressed as detenmned.
Justification: The hcatmg and mr condItIOnIng system at City Hall IS essentlally the angInal
eqUIpment Installed when the bUlldmg was constructed. The controls for the eqUlpment were
replaced as a 2004 CIP proJect as phase I of a HVAC replaccment plan. [n 2005, Phase 2
consIsted ofreplacmg the chilled water system. The final phase of the proJect will replace the
hot water heatmg eqUIpment.
An evaluatIon of the mechal1lcal and clectncal systems assocIated WIth the Pobce
CommUI11Catlons Bureau was conducted m 2003 The pnonty improvements were constructed
m 2005 The remammg Items are scheduled for completIon m 2006
The dnveway and parkll1g lots werc evaluated m 2004 and found to have substantIal damage
and madequate dramage and subgrades. Replacement of the pavement and addItIOn of storm
drams lS proposed ll1 phases over two years.
2.
GIS Updates
2006 Budget: $200,000
Description: A GIS base map WIll be developed. The street nghts-of-way layer WIll also be
created m phase 1
Justification: There IS great need to develop a GIS for use by all departments In the CIty The
GIS wlll be a valuable md m advancmg work and respondmg to requests for ll1fOnnatlon from
the pubhc
201
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2006 COMPENSATION PLAN
Through a penodlc compensatIon revIew process, a survey ofthe 2005 pay scales for the City'S positIOns was
conducted for the purpose ofdetenmnmg what wages are generally prevailmg m sImilar cIties wlthm the Denver
metropolItan area. In addItIon, the CIty took the opportumty to revIew the plan desIgn and compare methods
other eltles were practlcmg m awardmg pay mereases.
As prevIously deten11lned, the CIty has desIgnated theIr defined market govemmental orgal1lzatIons as
those that met one ofthe three followmg cntena.
Those that are contIguous wIth the City of Wheat RIdge (except Denver), or,
Those that are sImIlar m sIze to the City of Wheat RIdge (as determmed by populatIOn
served that IS no more than double the sIze of Wheat RIdge populatIOn or no less than half
the sIze of Wheat RIdge, and/or operatmg budget sIze that IS no more than double the sIze
of Wheat RIdge operatmg budget or no less than half the Wheat RIdge budget; or,
Those speCial dlstncts that represent a slgl1lficant employer m the metropolItan area for
a gIven dlsclplme, (e g., parks and recreatIon dlstncts)
For the 2005 reVle\\, the orgamzatlOns that meet the aforementIOned cntena and were selected for the
CIty's companson mcluded
Arvada
Broomfield
Castle Rock
Commerce CIty
Englewood
Golden
Greenwood Village
Lafayette
Lakewood
Ltttleton
LOUISVIlle
Northglellli
Thornton
Westmmster
200S SUR\E\ RESULTS
The final analysIs ofthe market companson mdlcated that the 2005 pay range mmlmums and maxImums
warrant adJustment m order to be competItIve m the market:
Cn/llIan pOSItIOns
Minimums. 640'0 of all clvihan pOSItIOns fall below the mld.pomt or 50th percentIle of the Market
Range, 37.500 of whIch are belo\\ the 25th percentIle.
Maximums -8600 of all clvlhan positIOns fall below the mld.pomt or 50th percentIle of the Market
Range, 72 60'0 of whIch are belo\\ the 25th percentIle
Law Enforcement "Swom" PosItIons
Minimums - All swom pOSItIOns fell below the 25th percentile of the Market Range.
Maximums - All swom pOSItIOns fell below the 2yh percentile of the Market Range
(Note lOOfh percentile is highest pav. 25fh percentile is lowest pav)
203
Compensutio/l Plun
As a result ofthe data receIved pertaInIng to the Law Enforcement positIons, effectIve July 2, 2005, the CIty
adopted a new pay plan that encompassed the pOSItIOns' Pohce RecrUIt, Pohee Officer, Pohcc Sergeant, and
PolIce C0111l11ander. With the completIon and final analysIs ofthe mId-year survey InformatIon receIved on the
clvihan positIOns, a reVISion to the CIty'S compensatIon plan IS Included as part of the 2006 Budget.
Cl'HHEST P.tr PL..\ STHI (TIRE
There arc three (3) Step-Based Pay Plans currently In place for CIty pOSItIOns.
PolIce "Career-Path" Swom Pay Plan - ThIs IS a SIX (6) Step Pay Plan wIth a consIstent 0 0 between
each Pay Step In a pay range, however tllls percentage rate may vary In each pay range. In additIon,
because the posItIons are based on market com pan sons wIth the commltlnent of maIntaInmg the salary
ranges at the 701h percentile ofthe Market Range, there IS an 111conslstent 0 0 between Pay Grades,
(pay ranges)'
MINIMUM l\1AXIl\llIM
GRADE 2 Step 1 Step 2 Step 3 Step 4 Step 5 Step 6
670lJ 6 ] Ol! 6 ]U'1l (),lu,o 6 100 6 lOll
GRADE3 Step I Step 2 Step 3 Step 4 Step 5 Step 6
7 quo 3.30(1 ~ 100 3.3(1) 1 '0 3.3O()
'0
GRADE4
Regular (Benefited) ClvIhan pOSItIOns - A n111e (9) Step Pay Plan WIth a consIstent 3"" between
cach Pay Step and 7.50'0 between one Pay Grade, (pay range) to the next.
Intermittent Part- Time/Seasonat'Temporary posItIons - A nIne (9) Step Pay Plan WIth a consIstent
3" 0 between each Pay Step and 7.500 between one Pay Grade, (pay ranges) to the next.
:\lINIl\llIl\I
GRADE 1 Step I Step 2
MAXIMUM
Step 7 Step X
Step 3
Step 4
Step ';
Step ()
Step 9
7 '=in,o
.3 ()Ou
.3 VOl!
3000
3 no,o
.3 000
GRADE 2 Step I
Step 2
Step 3
<';tep4
Step 5
"top ()
Step 7
Step ~
Step 9
7.5011
3001l
3.0ou
1000
.3 ()1Il!
1 OO'n
GRADE 3
COMPENSATION PLA;\ STRl'CTCHE
Rather than maIntam three (3) separatc Pay Plans, all WIth different deslb'l1S, all ofthe CIty'S pOSItions will be
housed wlthm a smgle CompensatIOn Plan WIth a deSIgn that involves:
. ASSIgnment of each positIon to an appropnate "Job.family" category'
Adm1111stratIVeiManagement Support
ExecutIVe
Labor/Trade/Crafts
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Compensation Plan
Lavv Enforcement
Management
ProfessIOnal
T echl1lcal
Part- Time/Seasonal
ThIs desIgn IS sImIlar to the EEOC (Equal Employment Opportul1lty Comn11SslOn) placement. In
addItIOn thIs structure promotes employee morale and understandmg through the appearance of an
mternal companson of slITIllar groups.
· Pav Ranges - The assIgnment of a pay range for each pOSItIOn wIll be market-based wIth the
mmlmums and maxImums establIshed around a pre-deternlll1ed percentIle of the Market Range'
For "Regular" (Benefited) Clvlhan positIons and Part. Time/Seasonal pOSItIOns - 50th
percentIle
Career-Path Sworn posItIons, as mmntamed 111 the Lavv Enforcement category - 70th
percentIle
· Pav Grades - Because the salary rangcs are based on market compansons WIth the commitment
ofmamtall1mg the mmlmums and maxImums at a certall1 percentIle of the Market Range, there wIll
be an II1conslstent 00 between the Pay Grades, (pay ranges) ThIS desIgn allows adjustment to a
posItIon's pay range, as the market values change, wllhout Impact to the surroundmg classIficatIons.
.
Pay Steps -
"Regular" (Benefited) Clvlhan posItIons - the 30;, currently between each Pay Step must
be adjusted to 3500 for general employees and 4.500 for "ExecutIve" clasSIficatIon m
order to expand the current range maxImums to meet the cntena of the 50th percentIle of
the market range
Part-Time/Seasonal posItIOns. the 30'0 currently between each Pay Step will remam.
Career. Path Swom positIons, as mall1tamed m the Lavv Enforcement category - current
percentage assIgnments will remall1 the same.
SUMMAR\
In conclUSIOn, the 2006 CompensatIon Plan IS desIgned to mamtall1 competItIve relatIonshIps WIth the
market and proVIde an unbiased relatIOnshIp m pay between positIOns and departments.
205
City of Wheat ~e
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2006
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7500 W. 29TH AVENUE. WHEAT RIDGE, COLORADO 80033
303-234-5900
WWW.CI.WHEATRIDGE.CO.U5
206
Compensatio/J Plan
ALPHABET LISTING OF BENEFITED POSITIONs (Full-Time & Part-Time)
Position Title Grade Job Family FLSA
Accounting Supervisor M.3 Management E
Accounting Technician AMS.7 Administrative/Management Support NE
Administrative Assistant AMS.8 Administrative/Management Support NE
Administrative Clerk AMS.1 Administrative/Management Support NE
Assistant to the City Manager PR.4 Professional E
Building Maintenance Supervisor M.1 Management NE
- Chief Building Official M.5 Management E
Chief of Police E.1 Executive E
- Civil Engineer (EIT) PR-4 Professional E
- Civil Engineer II (PE) PR.7 Professional E
Community Services Officer T-4 Technical NE
- Community Services Unit Supervisor M.1 Management NE
Combination Inspector T.7 Technical NE
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Communications Manager M.3 Management E
- Court Administrator M-4 Management E
Court Marshal AMS.11 Administrative/Management Support NE
- Crew Leader. Parks Maintenance L TC.6 Labor/Trades/Crafts NE
- Crime Analyst PR.2 Professional E
Custodian LTC. 1 Labor/Trades/Crafts NE
- Deputy City Clerk AMS.9 Administrative/Management Support NE
- Deputy City Manager E.2 Executive E
Deputy Court Clerk II AMS.8 Administrative/Management Support NE
- Deputy Court Clerk I AMS-4 Administrative/Management Support NE
Director of Community Development E.1 Executive E
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Director of Parks & Recreation E.1 Executive E
- Director of Public Works E.1 Executive E
Emergency Services Specialist T-4 Technical NE
- Emergency Services Specialist. Lead T.6 Technical NE
- Engineering Assistant T.1 Technical NE
Engineering Manager M.7 Management E
- Engineering Technician T.5 Technical NE
- Equipment Operator I LTC.4 Labor/Trades/Crafts NE
Equipment Operator II/Crew Leader LTC.6 Labor/Trades/Crafts NE
- Evidence Technician T.2 Technical NE
Evidence Technician. Sr T.5 Technical NE
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Executive Assistant AMS.11 Administrative/Management Support NE
- Facilities Maintenance Technician LTC.4 Labor/Trades/Crafts NE
Facility Assistant AMS-4 Administrative/Management Support NE
- Forestry Assistant LTC.3 Labor/Trades/Crafts NE
- Forestry Technician LTC.5 Labor/Trades/Crafts NE
GIS Analyst PR.5 Professional E
- GIS Technician T.7 Technical NE
- Help Desk Technician T-4 Technicial NE
Horticulture Assistant L TC.2 Labor/Trades/Crafts NE
- Human Resources Manager M.B Management E
Human Resources Representative PR-4 Professional E
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Human Resources Technician AMS.9 Administrative/Management Support NE
- IT Manager M.6 Management E
IT Support Technician T.5 Technical NE
- IT Support Technician. Sr T.7 Technical NE
- Maintenance Worker I . Parks LTC.2 Labor/Trades/Crafts NE
Maintenance Worker I. Public Wks LTC.2 Labor/Trades/Crafts NE
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207
Compensation Plan
ALPHABET LISTING OF BENEFITED POSITIONs (Full-Time & Part-Time)
Position Title Grade Job Family FLSA
Maintenance Worker II . Parks LTC.3 Labor/Trades/Crafts NE
Maintenance Worker II. Public Wks L TC.3 LaborlTrades/Crafts NE
Marketing Coordinator AMS.9 Administrative/Management Support NE
Mechanic LTC.5 Labor/Trades/Crafts NE
Mechanic. Lead LTC.6 Labor/Trades/Crafts NE
Network Administrator PR.6 Professional E
Office Technician AMS.6 Administrative/Management Support NE
Open Space Coordinator PR.2 Professional E
Operations Manager M.6 Management E -
Operations Supervisor. Facilities M.2 Management E
Operations Supervisor. Parks M.2 Management E -
Operations Supervisor.Public Wrks M.2 Management E
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Parks Project Coordinator PR.3 Professional E
Parks, Open Space, Forestry Manager M.5 Management E -
Payroll Technician AMS.7 Administrative/Management Support NE
Permit Technician T.1 Technical NE -
Planner. Sr PR.6 Professional E -
Planner I PR.1 Professional E
Planner II PR.3 Professional E -
Planning Technician T.3 Technical NE -
Plans Examiner T.7 Technical NE
Police Commander PA Law Enforcement E -
Police Officer P.2 Law Enforcement NW
Police Recruit -
P.1 Law Enforcement NE
Police Sergeant P.3 Law Enforcement NE -
Police Support Clerk AMS.4 Administrative/Management Support NE
Police Support Technician AMS.8 Administrative/Management Support NE -
Police Training & P R. Officer PR.2 Professional E -
Pool Manager AMS.5 Professional NE
Probation Officer AMS.9 Administrative/Management Support NE -
Property Inspector T.5 Technical NE
Purchasing Agent PRA Professional E
Receptionist AMS.1 Administrative/Management Support NE -
Records Management Specialist AMSA Administrative/Management Support NE
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Records Supervisor M.1 Management NE
Recreation Clerk II AMS.1 Administrative/Management Support NE -
Recreation Clerk III AMS.3 Administrative/Management Support NE
Recreation Coordinator AMS.9 Administrative/Management Support NE -
Recreation Leader AMS.3 Administrative/Management Support NE
Recreation Manager M.5 Management E
Recreation Supervisor M.2 Management E
Sales Tax Auditor PR.2 Professional E
Sales Tax Technician AMS.7 Administrative/Management Support NE
Staff Assistant AMS.2 Administrative/Management Support NE
Staff Assistant. Sr AM SA Administrative/Management Support NE
Traffic Control Technician L TCA LaborlTrades/Crafts NE
Web & Imaging Technician T.5 Technical NE
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Compensation Plan
Administrative/Manaaement SUDDOrt
Developed 01/06
Workers
PAY FLSA Camp EEO RANGE RANGE RANGE
~ POSITION TITLE ~ ~ ~ MINIMUM MIDPOINT MAXIMUM
AMS-1 Recreation Clerk II NE 8810 AS Annual $ 23,945 $ 27.4 77 $ 31.531
Receptionist NE 8810 AS Month $ 1.995 $ 2,290 $ 2.628
Administrative Clerk NE 8810 AS Hour $ 115120 $ 13.2103 $ 151591
AMS-2 Staff Assistant NE 8810 AS Annual $ 25,351 $ 29,091 $ 33,382
Month $ 2.113 $ 2.424 $ 2,782
Hour $ 12.1883 $ 13.9860 $ 16 0492
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AMS-3 Recreation Clerk III NE 8810 AS Annual $ 27,152 $ 31,158 $ 35,754
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Recreation Leader NE 9102 AS Month $ 2,263 $ 2,596 $ 2.979
- Hour $ 1 3 0540 $ 14.9796 $ 171894
- AMS-4 Deputy Court Clerk I NE 8810 AS Annual $ 30,051 $ 34.484 $ 39,571
Records Management Specialist NE 8810 AS Month $ 2.504 $ 2,874 $ 3,298
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Sr Staff Assistant NE 8810 AS Hour $ 144476 $ 16 5789 $ 19 0247
- Police Support Clerk NE 8810 AS
Facility ASSIstant NE 9102 AS
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AMS-5 Pool Manager NE 9102 AS Annual $ 31,137 $ 35,730 $ 41.001
- Month $ 2,595 $ 2,978 $ 3.417
- Hour $ 149697 $ 171781 $ 197123
- AMS-6 Office Technician NE 8810 AS Annual $ 32.404 $ 37,184 $ 42,670
Month $ 2,700 $ 3,099 $ 3,556
- Hour $ 15.5788 $ 178771 $ 205144
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AMS-7 Accounting Technician NE 8810 AS Annual $ 34,173 $ 39,214 $ 44,999
- Payroll Technician NE 8810 AS Month $ 2,848 $ 3,268 $ 3,750
Sales Tax Technician NE 8810 AS Hour $ 16 4293 $ 18 8530 $ 21 6343
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- AMS 8 Administrative Assistant NE 8810 AS Annual $ 35,819 $ 41,103 $ 47,167
Police Support Technician NE 8810 AS Month $ 2,985 $ 3.425 $ 3,931
- Deputy Court Clerk II NE 8810 AS Hour $ 17.2207 $ 197611 $ 22.6763
- AMS-9 Deputy City Clerk NE 8810 AS $ 37,593 $ 43,139 $ 49,503
Annual
- Human Resources Technician NE 8810 AS Month $ 3,133 $ 3,595 $ 4,125
Recreation Coordinator NE 9102 PP Hour $ 18 0736 $ 20 7398 $ 23 7994
- Marketing Coordinator NE 9102 AS
Probation Officer NE 8742 AS
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AMS-10 Court Marshal NE 8810 PR Annual $ 38,577 $ 44,268 $ 50,799
- $ 3,215 $ 3689 $ 4,233
Month
- Hour $ 185466 $ 21.2827 $ 24 4224
- AMS-11 Executive Assistant NE 8810 AS Annual $ 41,292 $ 47.384 $ 54,374
Month $ 3.441 $ 3,949 $ 4,531
- $ 198519 $ 22.7805 $ 261412
Hour
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209
CO/llpensation Plan
Administrative/Manaaement Support
Developed 01/06
Range Midpoint
PAY RANGE STEP STEP STEP STEP STEP STEP STEP RANGE
GRADE MINIMUM 2 3 1 5 6 7 !! MAXIMUM
AMS.1 Annual $ 23,945 S 24,783 S 25,650 $ 26,548 $ 27,477 $ 28,439 $ 29,435 $ 30 465 $ 31,531
Month $ 1.995 $ 2,065 $ 2,138 $ 2,212 $ 2,290 $ 2.370 $ 2.453 $ 2,539 $ 2.628
Hour $11.5120 $11.9149 $12.3320 $12.7636 $13.2103 $13 6727 $141512 $146465 $ 151591
AMS.2 Annual $ 25,351 $ 26,238 $ 27.157 $ 28,107 $ 29.091 $ 30 109 $ 31,163 $ 32.254 $ 33,382
Month $ 2.113 S 2,187 5 2.263 $ 2,342 $ 2,424 $ 2,509 $ 2,597 5 2,688 $ 2,782
Hour $12.1880 $12.6146 $13.0561 $13.5130 $13.9860 $144755 $14.9821 $15.5065 5 16.0492
AMS.3 Annual $ 27.152 $ 28.102 $ 29.086 $ 30,104 $ 31 158 $ 32,248 $ 33.377 $ 34,545 $ 35,754
Month 5 2,263 $ 2.342 $ 2.424 $ 2,509 $ 2,596 $ 2,687 $ 2.781 $ 2,879 $ 2,979
Hour $ 13.0538 $13.5107 $13.9836 5144730 $14.9796 $15 5039 $16.0465 $16.6081 $ 171894
AMS-4 Annual $ 30,051 $ 31103 $ 32,191 5 33.318 $ 34 484 $ 35,691 $ 36.940 $ 38.233 5 39,571
Month $ 2,504 $ 2,592 $ 2,683 $ 2.777 $ 2,874 5 2,974 $ 3,078 $ 3,186 5 3,298
Hour $144476 514.9533 515.4766 $160183 516.5789 $171592 $177598 $18.3814 $ 19.0247
AMS.5 Annual $ 31,137 $ 32,227 $ 33,355 $ 34 522 $ 35.730 $ 36 981 $ 38.275 $ 39.615 $ 41,001
Month S 2,595 $ 2,686 5 2,780 5 2,877 $ 2.978 $ 3.082 $ 3,190 $ 3.301 $ 3.417
Hour $ 14.9697 515.4937 $16 0359 $16.5972 $171781 $17 7793 518.4016 $19 0457 $ 197123
AMS.6 Annual $ 32.404 $ 33,538 5 34,712 $ 35,927 5 37.184 $ 38.486 $ 39 833 $ 41,227 $ 42,670
Month S 2,700 $ 2,795 5 2,893 5 2,994 $ 3.099 $ 3.207 $ 3.319 $ 3,436 $ 3,556
Hour $ 15.5788 $16.1241 $16.6884 $17.2725 $178771 $18.5028 $191504 $19.8206 $ 20.5144
AMS.7 Annual $ 34,173 $ 35,369 $ 36,607 $ 37.888 5 39.214 $ 40,587 $ 42,007 $ 43.478 $ 44,999
Month $ 2,848 5 2.947 $ 3,051 $ 3.157 $ 3,268 $ 3,382 $ 3,501 $ 3.623 $ 3,750
Hour $164293 $170044 $17.5995 $18.2155 $ 18.8530 $195129 $20.1958 $20.9027 $ 21 6343
AMS.8 Annual $ 35,819 $ 37.073 $ 38,370 $ 39.713 $ 41,103 $ 42.542 $ 44,031 $ 45.572 $ 47.167
Month $ 2,985 $ 3,089 $ 3.198 $ 3,309 5 3.425 $ 3.545 $ 3.669 $ 3798 $ 3,931
Hour $ 17 .2207 $17.8234 $18.4472 $19.0929 $19.7611 $20.4528 $21 1686 $21.9095 $ 22.6763
AMS-9 Annual $ 37,593 $ 38,909 $ 40.271 $ 41 680 $ 43,139 $ 44,649 $ 46.211 $ 47,829 $ 49,503
Month $ 3,133 $ 3,242 $ 3.356 $ 3.473 $ 3,595 $ 3721 $ 3,851 $ 3,986 $ 4,125
Hour $ 18.0736 $18.7061 $19.3608 $20 0385 $ 20.7398 $21 4657 $22.2170 $22.9946 $ 23.7994
AMS.10 Annual $ 38,577 $ 39,927 $ 41,325 $ 42,771 $ 44,268 $ 45,817 $ 47 421 $ 49,081 $ 50,799
Month $ 3,215 $ 3,327 $ 3,444 $ 3.564 $ 3.689 $ 3,818 $ 3.952 $ 4,090 $ 4,233
Hour $ 18.5466 $191958 $19.8676 $20.5630 $ 21.2827 $22.0276 $22.7985 $23.5965 $ 24 4224
AMS.11 Annual $ 41,292 $ 42.737 $ 44,233 $ 45.781 $ 47,384 $ 49.042 $ 50,758 $ 52,535 $ 54,374
Month $ 3,441 $ 3.561 $ 3.686 $ 3.815 $ 3,949 $ 4,087 $ 4,230 $ 4.378 $ 4,531
Hour $19.8519 $20.5467 $21.2659 $22.0102 $ 22.7805 $23.5779 $24 4031 $25.2572 $ 26.1412
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210
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Compensation Plan
Executive
Developed 01/06
Workers
PAY FLSA Comp EEO RANGE RANGE RANGE
~ POSITION TITLE Jil.i!1.YJi ~ ~ MINIMUM MIDPOINT MAXIMUM
E-l Public Works Director E 9410 OA Annual $ 85,879 $ 102,412 $ 122,129
Community Development Director E 9410 OA Month $ 7,157 $ 8,534 $ 10,177
Parks & Recreation Director E 9102 OA Hour $ 41.2880 $ 49.2367 $ 58 7157
Chief of Police E OA
E-2 Deputy City Manager E 9410 OA Annual $ 91,386 $ 108,980 $ 129,960
Month $ 7,616 $ 9082 $ 10,830
- $ 43 9356 $ 52.3940 $ 62.4808
Hour
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211
Compensation Plan
Executive
Developed 01/06
Range Midpoint
PAY RANGE STEP STEP STEP STEP STEP STEP STEP RANGE
GRADE MINIMUM 2 " ~ , ~ I ~ MAXIMUM
E 1 Annual $ 85.879 $ 89,744 I 93.782 $ 98,002 $ 102.412 $ 107,021 I 111.837 $ 116.869 $ 122.128
Month I 7157 I 7479 S 7815 $ S.16? $ 8.534 $ 8.91.9 $ 9320 I 9.739 $ 10177
Hour S 41.2880 $ 431459 $ 450875 $ 471164 S 49.2367 $ 514523 $ 537677 $ 56.1872 $ 587157
E-' Annual I 91.386 S 95.4y8 S 99,796 $ 104.287 $ 108,980 I 113.884 $ 119.008 I 124,364 $ 129,960
Month $ 7.616 $ 7958 $ F\,.316 I 8691 I 9,082 S 9,490 $ 9.917 $ 10,364 $ 10.830
Hour $ 43.9356 I 459127 $ 47.9787 $ 50.1378 $ 52.3940 $ 547517 I 57.2155 $ 59 7902 S 62.4808
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Compensation Plan
LaborlTrades/Crafts
Developed 01/06
Workers
PAY FLSA Comp EEO RANGE RANGE RANGE
~ POSITION TITLE ~ ~ ~ MINIMUM MIDPOINT MAXIMUM
LTC-1 Custodian NE 9015 SM Annual $ 23,773 $ 27,280 $ 31,305
Month $ 1,981 $ 2,273 $ 2,609
- Hour $ 114293 $ 131154 $ 15 0502
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LTC-2 Maintenance Worker I . Parks NE 9102 SM Annual $ 25,940 $ 29,767 $ 34,158
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Maintenance Worker I . Public Wks NE 5506 SM Month $ 2,162 $ 2,481 $ 2,847
- Horticulture Assistant NE 9102 SM Hour $ 12.4712 $ 143109 $ 164221
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LTC 3 Maintenance Worker II . Parks NE 9102 SM Annual $ 31,715 $ 36,394 $ 41,763
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Maintenance Worker II.Public Works NE 5506 SM Month $ 2,643 $ 3,033 $ 3,480
- Forestry Assistant NE 9102 SM Hour $ 152476 $ 17 4970 $ 20 0782
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- LTC-4 Traffic Control Technician NE 6325 SM Annual $ 34,173 $ 39,214 $ 44,999
Equipment Operator I NE 5506 SC Month $ 2,848 $ 3,268 $ 3,750
- Facilities Maintenance Technician NE 9015 SM Hour $ 16 4293 $ 18 8530 $ 21 6343
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- LTC-5 Mechanic NE 8380 SC Annual $ 36,720 $ 42,137 $ 48,353
Forestry Technician NE 9102 SM Month $ 3,060 $ 3.511 $ 4,029
- Hour $ 17 6538 $ 20.2582 $ 23.2467
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- LTC-6 Equipment Operator II/Crew Leader NE 5506 SC Annual $ 38,999 $ 44,752 $ 51,354
Crew Leader. Parks NE 9102 SM Month $ 3,250 $ 3,729 $ 4,280
- Lead Mechanic NE 8380 SC Hour $ 187495 $ 215155 $ 24 6895
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213
COlllpensation Plan
Labor/Trades/Crafts
Developed 01/06
Range Midpoint
PAY RANGE STEP STEP STEP STEP STEP STEP STEP RANGE
GRADE MINIMUM ! l 1 ~ ~ I ~ MAXIMUM
LTC-1 Annual $ 23.773 $ 24.605 S 25.466 $ 26.358 S 27.280 $ 28.235 $ 29.223 $ 30.246 $ 31.305
Month $ 1981 $ 2050 $ 2.122 S 2.196 $ L:.273 $ 2,~53 $ 2.435 $ 2,520 $ L,609
Hour $ 114293 $ 118294 $ 122434 $ 12.6719 $ 13 1154 $ 135745 $ 14,0490 $ 14.5413 $ 15.0502
LTC 2 Annual $ 25.940 $ 26.848 $ 27788 $ 28.76U $ 29.767 $ 30,809 $ 31.887 $ 33.003 $ 34,158
Month $ 2162 $ 2.237 $ 2.31fi $ 2,397 $ 2.481 S 2.567 $ 2,657 $ 2.750 $ 2.847
Hour S 124712 $ 129076 $ 13.3594 $ 13.8270 $ 14.3109 $ 14.8118 $ 15.3302 S 15.8668 $ 164221
LTC :'1 Annual $ 31715 $ 32.825 $ 33,974 $ 35,163 $ 36.3::14 $ 37667 $ 38,986 $ 40.350 $ 41.763
Month $ 2.643 $ 2,735 $ 2.831 $ 2,930 $ 3.033 S 3.139 S 3.249 $ 3.363 $ 3.480
Hour S 15.2476 $ 157813 $ 16 3336 $ 169053 $ 17497() $ 181094 $ 187432 S 193992 S 20.0782
LTC~4 Annual $ 34.173 $ 35.369 $ 36.607 S 37.888 $ 39.214 $ 40.587 $ 42.007 $ 43478 $ 44.999
Month $ 2,848 $ 2.947 $ 3,051 $ 3.157 $ 3.268 $ 3.382 $ 3,501 $ 3,623 $ 3.750
Hour $ 164293 $ 17 0044 $ 17 5995 $ 182155 $ 188530 $ 195129 S 20.1958 $ 20.9027 $ 21.6343
LTC.5 Annual $ 36,720 $ 38,OU5 S 39.335 $ 40.712 S 42,137 $ 43.612 $ 45.138 $ 46.718 $ 48,353
Month $ 3.060 $ 3.167 S 3.278 $ 3393 $ 3.511 $ 3634 $ 3762 $ 3.893 $ 402CJ
Hour $ 17.6538 $ 182717 $ 189112 S 19.5731 $ 20.2582 $ 20.9672 $ 21.7011 $ 22.4006 $ 23.2467
LTC-6 Annual $ 38.999 $ 40.304 $ 41.777 $ 43.239 $ 44.752 $ 4E.319 $ 47940 $ 49,618 $ 51,354
Month $ 3.250 $ 3.364 $ 3.481 $ 3.603 $ 3,729 $ 3,860 $ 3.995 $ 4,135 $ 4,280
Hour $ 187495 $ 194058 $ 200850 $ 207879 $ 215155 $ 22.2685 $ 230479 $ 23 8546 $ 24 6895
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214
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Compensation Plan
Law Enforcement
Developed 07105
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P-3
Police Sergeant
Workers
FLSA Comp EEO RANGE RANGE
~ ~ ~ MINIMUM MAXIMUM
NE 7720 PS Anrllwl $ 40,756
Month $ 3,396
Hour $ 19.5942
NE 7720 PS Annual $ 43,047 $ 61,680
Month $ 3,587 $ 5,140
Hour $ 20 6957 $ 29 6538
NE 7720 PS Annual $ 63,627 $ 77,335
Month $ 5,302 $ 6,445
Hour $ 30 5899 $ 37 1803
E 7720 PS Annual $ 79,872 $ 97,829
Month $ 6,656 $ 8,152
Hour $ 38 4000 $ 47 0332
PAY
GRADE POSITION TITLE
P-1 Police Recruit
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P-2 Police Officer
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P-4
Police Commander
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215
COlllpe11.llltiol/ Plan
Law Enforcement
Developed 07/05
PAY RANGE STEP STEP STEP STEP STEP RANGE
GRADE MINIMUM < ;! 1 . Ii MAXIMUM
P 1 Annual $ 40.756
Month $ 3.396
Hour S 19 5942
P~2 Annual S 43,047 ! 45 706 $ 48.530 $ 51.528 $ 54,711 $ 58.091 $ 61.680
Month S 3,587 S 3.809 $ 4.044 $ 4,294 $ 4.559 $ 4.841 $ 5140
Hour S 20.6957 S 21974L $ 23.3317 $ 24 7730 $ 26.3034 $ 27.9284 $ 29.6537
P3 Annual S 63.627 S 65,730 $ 67.903 $ 70.147 $ 72.465 $ 74,801 $ 77.335
Month ! 5,302 S 5.478 $ 5.659 $ 5.846 $ fl,O~9 $ 6,238 $ 6445
Hour S 30 5899 S 31.601() $ 320454 $ 33 7245 $ 34.8391 $ 35,9906 $ 37 1802
P 4 AnnuClI S 79,872 S 82.618 $ 85.458 $ 88.396 $ 91.t34 $ 94,577 $ m.82\J
Month S 6,656 S 6.885 $ 7121 $ 7,366 $ 7,620 $ 7881 $ e.152
Hour S 38.4000 S 39 n01 $ 41.0855 $ 42.497Y $ 43 9588 $ 45.4699 $ 47.0330
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216
Compensation Plan
Manaaement
Developed 01/06
Workers
PAY FLSA Comp EEO RANGE RANGE RANGE
~ POSITION TITLE ~ ~ ~ MtNIMUM MIDPOINT MAXIMUM
M-1 Records Supervisor NE 8810 PP Annual $ 44,172 $ 50,688 $ 58,166
Bu"'ding Maintenance Supervisor NE 9015 SM Month $ 3,681 $ 4,224 $ 4,847
Community Services Unit Supervisor NE 8810 PR Hour $ 21.2365 $ 24 3694 $ 27 9645
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- M2 Operations Supervisor. Parks E 9102 TE Annual $ 46,176 $ 52,988 $ 60 805
Operations Supervisor.Public Wrks E 5506 TE Month $ 3848 $ 4,416 $ 5,067
- Operations Supervisor - Facilities E 9102 PR H'jlll $ 22.2000 $ 25.4750 $ 29.2332
Recreation Supervisor E 9102 PR
-
- M-3 Accounting Supervisor E 8810 PR Annual $ 49.058 $ 56,295 $ 64,600
Communications Manager E 8810 OA Month $ 4,088 $ 4,691 $ 5.383
- $ 23 5856 $ 27 0650 $ 31 0577
H()ur
-
- M-4 Court Administrator E 8810 OA Annual $ 56,931 $ 65,330 $ 74,967
Month $ 4744 $ 5444 $ 6,247
- $ $ $
Hour 27 3707 31 4085 36 0419
-
- M-5 Recreation Manager E 9102 OA Annual $ 62,487 $ 71 705 $ 82,283
- Parks, Open Space Forestry Manager E 9102 OA Month $ 5.207 $ 5975 $ 6,857
Chief Building Official E 9410 OA Hour $ 30 0418 $ 344737 $ 39 5593
-
- M-6 Operations Manager E 9410 OA Month $ 66,901 $ 76,770 $ 88,096
- IT Manager E 9410 OA Hour $ 5,575 $ 6,398 $ 7,341
$ 32,1639 $ 36.9089 $ 423538
-
- M-7 Engineering Manager E 9410 OA Annual $ 68,351 $ 78,434 $ 90,005
- $ 5,696 $ 6,536 $ 7,500
$ 32.8611 $ 37 7088 $ 43.2717
-
- M-8 Human Resources Manager E 8810 OA Annual $ 69,972 $ 80.294 $ 92,140
- Month $ 5,831 $ 6,691 $ 7,678
Hour $ 33.6404 $ 386031 $ 44.2980
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217
Compensation Plan
ManaQement
Developed 01/06
Range Midpoint
PAY RANGE STEP STEP STEP STEP STEP STEP STEP RANGE
GRADE MINIMUM l ~ 1 ;; l! 7 B MAXIMUM
M 1 Annual $ 44172 I 45.718 I 47.318 I 48,974 I 50.688 I 52,462 I 54,299 I 56,199 $ 58,166
Month S 3681 I 3.810 $ 3.943 $ 4,031 $ 4224 $ 4,372 $ 4,525 S 4.6R3 $ 4,R47
Hour S 21.2365 $ 219798 $ 227491 $ 23 5453 $ 24.3694 $ 25.2223 $ 26.1051 I 27.0188 $ 27,9645
M2 Annual S 46.176 $ 47792 $ 49.465 $ 51 196 $ 52.988 $ 54,84.i $ 56.762 S 58.749 $ 60.805
Month $ 3.84R $ 3.91'13 $ 4122 $ 4.266 $ 4.416 $ 4.570 $ 4,730 S 4896 $ 5,067
Hour $ 22.20UO $ 22.9770 $ 23.7812 $ 246135 $ 25.4750 $ 26.3666 $ 27.2895 S 28.2446 $ 29.2332
M-3 Annual $ 49.058 $ 50.775 $ 52 552 $ 54.391 $ 56.295 $ 58.266 $ 60,305 $ 62415 $ 54.600
Month $ 4,088 $ 4.231 $ 4.:H9 I 4533 $ 4.691 $ 4.855 $ 5.025 $ 5.201 $ 5.383
Hour $ 23.5856 $ 244111 $ 25.2655 I 26.1498 $ 27 0650 $ 28.0123 I 28,9927 $ 300074 $ 31.0577
M-4 Annual $ 56.931 $ 58.924 $ 60.986 $ 63.120 $ 65,330 $ 67.616 $ 69.983 $ 72.432 $ 74,967
Month S 4744 $ 4.910 $ 5.082 I 5.260 $ 5444 $ 5.635 I 5.832 $ 6,036 $ 6.247
Huur $ 27.3707 $ 28 3286 $ 29.3201 I 30.3464 $ 31 40R5 $ 32 5078 I 33 6455 $ 34.8231 I 36.0419
M-5 Annual $ 62.487 $ 64.674 $ 66.938 $ 6!:l.280 $ 71.705 $ 74,215 S 76.812 $ 79.501 S 82.283
Month I 5207 $ 5.390 I 5.578 $ 5.77."1 $ 5.975 S 6.185 S 6.401 $ 6.625 S 6.857
Hour S 30.0418 $ 310933 $ 32.1816 $ 3::13079 $ 344737 $ 35.6803 I 36.9291 $ 38.2216 $ 39 5593
M-6 Annual S 66.901 I 69.243 $ 71.66R $ 74,174 $ 76770 $ 79.457 $ 82.238 $ 85117 $ 88.096
Month S 5.575 I 5770 $ 5.972 $ 6.181 $ 6.398 $ 6.621 $ 6.853 $ 7.093 $ 7341
Hour S 32.1639 S 332897 $ 34.4548 $ 356607 $ 36 9089 $ 38.2007 $ 39.5377 $ 40.9215 $ 42.3538
M7 Annual S 68.351 $ 70743 $ 73.219 $ 75,782 $ 78434 $ 81.180 $ 84.021 $ 86.962 $ 90.005
Month $ 5.696 I 5.895 $ 6.102 $ 6,315 $ 6.536 $ 6.765 $ 7.002 I 7.247 $ 7.500
Hour $ 32.8611 $ 34.0112 $ 352016 $ 36.4336 $ 37.7088 $ 39.0286 $ 40 3946 $ 41.8084 $ 43.2717
M8 Annual I 69.972 $ 72.421 $ 74.956 S 77.579 $ 80.294 $ 83.105 $ 86.013 $ 89,024 $ 92140
Month $ 5.831 $ 6,035 $ 6.246 S 6.465 $ 6.691 $ 6.925 I 7168 $ 7419 $ 7.678
Hour $ 336404 $ 34.8178 $ 36 0364 S 37.2977 $ 38.6031 I 399542 I 413526 $ 42.8000 $ 44.2980
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218
-
-
Compcnsation Plt/ll
Professional (Exemot)
Developed 01106
Workers
PAY FLSA Camp EEO RANGE RANGE RANGE
~ POSITION TITLE ~ ~ ~ MINIMUM MIDPOINT MAXIMUM
PR-1 Planner I E 9410 PR Annual $ 39,443 $ 45,262 $ 51,939
Month $ 3,287 $ 3,772 $ 4,328
- Hour $ 18 9630 $ 21 7605 $ 24 9706
-
PR-2 Police Training/Public Relations Officer E 8810 OA Annual $ 43,908 $ 50,385 $ 57,818
-
Sales Tax Auditor E 9410 PR Month $ 3,659 $ 4,199 $ 4,818
- Crime Analyst E 8810 PR Hour $ 21 1096 $ 242238 $ 27 7973
Open Space Coordinator E 9102 SM
-
- PR-3 Planner II E 9410 PR Annual $ 46.618 $ 53,495 $ 61,387
- Parks Project Coordinator E 9410 TE Month $ 3,885 $ 4,458 $ 5,116
Hour $ 224125 $ 25 7189 $ 29 5130
-
- PR-4 Purchasing Agent E 8810 OA $ 48,327 $ 55,456 $ 63,637
Annual
- Assistant to the City Manager E 8810 PR Month $ 4,027 $ 4,621 $ 5,303
Human Resources Representative E 8810 PR Hour $ 232341 $ 26 661 7 $ 30 5949
- Civil Engineer (EIT) E 9410 PR
-
PR-5 GIS Analyst E 9410 PR Annual $ 49,782 $ 57,126 $ 65,553
- $ 4149 $ 4,760 $ 5,463
Month
- Hour $ 23 9337 $ 27 4644 $ 31 5161
-
PR-6 Sr Planner E 9410 PR Annual $ 55.776 $ 64,004 $ 73,446
-
Network Administrator E 9410 PR Month $ 4.648 $ 5,334 $ 6,121
- Hour $ 26 8154 $ 307713 $ 35 3107
-
PR-7 Civil Engineer II (PE) E 9410 PR Annual $ 58,638 $ 67,288 $ 77,215
-
Month $ 4,887 $ 5,607 $ 6,435
- Hour $ 281913 $ 32.3502 $ 37 1226
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-
-
219
Compensation Plan
Professional (Exempt)
Developed 01/06
Range Midpoint
PAY RANGE STEP STEP STEP STEP STEP STEP STEP RANGE
GRADE MINIMUM " ;! ~ > ~ I ft MAXIMUM
PR 1 Annual $ 39.443 $ 40,824 $ 42,252 $ 43.731 $ 45.262 $ 46.846 $ 48.486 S 5U,183 $ 51.939
Month $ 3.287 S 3.402 $ 3.521 $ 3.b44 $ 3,772 $ 3,904 $ 4.040 $ 4182 I 4,32e
Hour $ 18 9630 $ 1\:1.6267 S 20.3136 S 210246 S 21,7605 $ 22.5221 $ 233103 $ 24.1262 $ 24 9706
PR 2 Annual $ 43,9US $ 45445 $ 47,035 $ 48.682 $ 50,385 $ 52,149 $ 53,974 $ 55.863 $ .')7,818
Month $ 3,659 $ 1.787 $ 3.920 $ 4.057 $ 4.199 $ 4.34fi $ 4.498 $ 4.655 $ 4.818
Hour S 21 109G $ 218485 $ 22.6131 $ 23.4046 $ 24.2238 $ 250716 $ 259491 $ 268573 $ 277973
PR 3 Annual $ 46.618 $ 48.250 $ 49.938 $ 51.686 $ 53.495 $ 55.368 $ 57,305 $ 59.311 $ 61387
Month $ 3.885 $ 4.021 $ 4,162 $ 4,307 $ 4.458 $ 4.614 $ 4775 $ 4.943 $ 5.116
Hour $ 224125 $ 231969 S 24.0088 $ 248491 $ 25.7189 $ 26 6190 $ 27,5507 $ 28.5150 $ 29,5130
PR4 Annual $ 48,327 S 50,018 $ 51,769 $ 53.581 $ 55.456 $ 57397 $ 59.406 S fi1485 $ 63,637
Month $ 4,027 $ 4,168 $ 4 ~14 $ 4.465 $ 4.621 $ 4.783 $ 4,951 $ 5.124 $ 5.303
Hour $ 23,2341 I 24,0473 $ 24.8890 $ 257f-i01 $ 26.6617 $ 27 5949 $ 28,5607 $ 29,5603 $ 30.5949
PR-5 Annual $ 49,782 $ 51.524 $ 53.328 $ 55.194 $ 57126 $ 59.125 $ 61 195 S 63.337 $ 65,553
Month $ 4.149 $ 4.294 I 4.444 $ 4,600 $ 4,760 $ 4,927 ! f1,100 $ 5.278 S 5,463
Hour $ 23.9337 $ 247713 $ 25638j $ 265357 $ 274fl44 $ 28.4257 $ 29.4206 $ 30.4503 $ ~1.51R1
PR 6 Annual $ 55776 $ 57728 $ 59.749 $ 61,840 $ 64,004 $ 66,244 $ 68,563 $ 70,963 $ 73,446
Month $ 4.648 $ 4.811 $ 4979 $ 5,153 $ 5,334 $ 5.520 $ 5.714 ! 5.914 $ 6.121
Hour $ 26,8154 $ 27.7539 $ 28,7253 $ 29.7307 $ 307713 I 318483 $ 32.9630 $ 34.1167 $ 35,3107
PR-7 Annual S 58.638 $ 60,690 $ 62,814 $ 65,013 $ 67.288 $ 69.644 $ 72.081 $ 74.604 $ 77.215
Month $ 4,887 $ 5.058 $ 5.235 $ 5,418 $ 5,607 $ 5804 $ 6.007 $ 6,217 $ 6.435
Hour $ 28,1913 $ 29.1780 $ 30.1993 $ 31.2562 $ 323502 $ 33,4825 $ 34,6544 $ 35,8673 $ 371226
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220
CO/llpen\atio1/ Plall
Technical
Developed 01/06
Workers
PAY FLSA Comp EEO RANGE RANGE RANGE
~ POSITION TITLE ~ ~ ~ MINIMUM MIDPOINT MAXIMUM
T-1 Permit Technician NE 8810 AS Annual $ 30,051 $ 34,484 $ 39,571
Engineering Assistant NE 9410 AS Month $ 2,504 $ 2,874 $ 3,298
Hour $ 144476 $ 16 5789 $ 19 0247
- T2 Evidence Technician NE 9410 pp Annual $ 33,797 $ 38,783 $ 44.504
Month $ 2,816 $ 3,232 $ 3709
- Hour $ 16.2486 $ 186456 $ 21 3962
-
- T-3 Planning Technician NE 8810 pp Annual $ 35,560 $ 40,806 $ 46,826
Month $ 2,963 $ 3,400 $ 3,902
- Hour $ 17 0962 $ 196182 $ 225124
-
- T-4 Community Services Officer NE 8831 PR Annual $ 36,480 $ 41862 $ 48,037
Emergency Services Specialist NE 9410 PP Month $ 3,040 $ 3,488 $ 4,003
- Help Desk Technician NE 9410 TE Hour $ 17 5385 $ 201258 $ 23 0948
-
T-5 Property Inspector NE 9410 OA Annual $ 38,446 $ 44,118 $ 50,626
- $ 3,204 $ 3,676 $ 4.219
Engineering Technician NE 9410 SC Month
- Sr Evidence Technician NE 9410 PP Hour $ 184837 $ 21.2104 $ 24.3394
Web & Imaging Technician NE 8810 AS
- IT Support Technician NE 9410 TE
-
T-6 Lead Emergency Services SpecialISt NE 9410 PP Annual $ 40,325 $ 46,274 $ 53,100
- $ 3,360 $ 3,856 $ 4,425
Month
- Hour $ 193870 $ 222471 $ 25 5290
-
- $ 43,250 $ 49,630 $ 56,952
T-7 Combination Inspector NE 9410 OA Annual
- Sr IT Support Technician NE 9410 TE Month $ 3,604 $ 4,136 $ 4,746
GIS Technician NE 9410 TE Hour $ 20 7933 $ 23 8608 $ 27 3808
- Plans Examiner NE 8810 TE
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221
COlllpensation Plan
Technical
Developed 01/U6
I Ranqe M Idpom!
PAY RANGE STEP STEP STEP STEP STEP STEP 51 EP RANGE
GRADE MINIM UM 2 3 4 5 6 7 6 MAXIMUM
, 1 Annual , 30,051 , 31.10:, S 12.191 S 33318 S 3441J4 S 3 5,6~ 1 S 3G ~41J S 38,2:n S 39571
Month S 2504 S 2.592 S 2f;R3 S 2 777 S 2.874 S 2 ~P4 S 3078 $ '18G , .~ .298
Hour S 14447f, S 149533 S 15.47b6 S 11;;0183 S 165789 S 171592 S 177598 $ lR:lR14 S 190247
T-;,' Annual " 33797 S 149RQ S 3f,2Q4 S 37471 S 38783 S 4u 141) S .11545 S 42,999 $ 44504
Month $ 2816 S 2915 S ~ () 17 ! 123 S 3,2:.12 S \3115 S 3462 S 1583 S 3,709
Hour I 16.2486 S 16 R 173 S 174059 S 111u151 S 18,645b S 19_2~H\.: S 19.9736 $ 2U fi72? $ 21.3962
T 3 Annual S 35560 S 3fifW5 S 38,093 S 3942fi S 40,806 S 42.234 S 43712 I 45.242 S 46826
Month $ 2,963 S .j06l S 'j174 S 3286 S 3400 S 3,52u S 3643 $ :1 770 I 3902
Hour S 170962 I 176'0145 S 18,::1138 S 1R954R S 196182 S 20.3049 S 21.0155 $ 217511 S 225124
'.4 Annual S 36480 S 37,757 S 39,078 S 40440 S 41,862 I 433;:7 $ 44,843 S 4fi4n $ 48037
ManU, $ 3040 $ 3 146 S 3.257 S 3,371 S 3488 $ 3,611 S 3,737 I 3,808 $ 4003
Hour S 17,5385 , 18152:1 S 187876 , 194452 S 2u 1258 , 208302 $ 215592 S n,3138 I 23.094(j
, 5 Annual S 3844G $ 39.792 S 41184 S 4~ 62fi S 44118 $ 45fifi2 S 47.2611 S 48,914 $ 50.626
Mnnth S 3,2U4 $ 3,31G S 34:12 S 3552 S 3,670 S 3805 S 3 ~38 S 4,076 I 4,219
Hour S 184e37 $ 191306 S 198002 S 2U 4!jj,! , 212104 S 21.952e I 22 ,7211 S 235104 $ 243.194
T-n 6.nnual S 40325 I 41.73G S 43 197 S 44,709 $ 46,:!74 I 47,893 S 4\:1 57n S 51305 $ 53100
Month $ 3160 S 3478 S 36uO S 3,726 S 3856 $ 3991 S 4111 S 4275 $ 4425
Hour S 19387U S 20.01556 S 2u,7f.79 S 214947 S 2:':,2471 $ 230257 S 238.116 $ 24,6657 $ 25.5290
T , Annual $ 43,250 $ 44,764 S 463311 S 47952 S 49630 S 51367 S 53165 S 55.026 S 56,952
M unth $ 3,604 S 3,730 S 3,eti1 S 38% $ 4136 $ 4281 S 4430 S 4,586 S 4,746
Huur S 207933 S 21.5210 S 22.274 j S 230539 $ 238608 S ~ 4.6959 S 2556C2 S 264548 S 273808
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222
-
CompeJ/satioJ/ Plan
ALPHABET LISTING OF INTERMITTENT PART-TIME & SEASONAL JOB TITLES
Position Title Grade Department/Division FLSA
Administrative Assistant PT.20 Various NE
Administrative Clerk PT.12 Various NE
Attendant. Child Care PT.6 Recreation NE
Attendant. Climbing Wall PT.6 Recreation NE
Attendant. Front Desk PT.6 Recreation NE
Attendant. Gym PT.6 Recreation NE
Attendant. Head Child Care PT.8 Recreation NE
Attendant. Head Climbing Wall PT.8 Recreation NE
- Attendant. Head Weight Room PT.8 Recreation NE
Attendant. Weight Room PT.6 Recreation NE
- Building Supervisor PT.? Recreation NE
- Coach PT.? Recreation NE
Coach. Head PT.8 Recreation NE
- Court Marshal PT.22 Court NE
Custodian PT.6 Recreation NE
- Driver PT.? Recreation NE
- Facility Assistant PT.16 Recreation NE
Fitness Assistant I PT.13 Recreation NE
- Fitness Assistant II PT.19 Recreation NE
Food Services Worker PT.9 Recreation NE
- Instructor. Aerobics I PT.13 Recreation NE
- Instructor. Aerobics II PT.19 Recreation NE
Instructor .Aqua Exercise I PT.13 Recreation NE
- Instructor .Aqua Exercise II PT.19 Recreation NE
Instructor. Dance I PT.? Recreation NE
- Instructor. Dance II PT.11 Recreation NE
- Instructor. Martial Arts I PT.13 Recreation NE
Instructor. Martial Arts II PT.19 Recreation NE
- Instructor. Recreation I PT-4 Recreation NE
Instructor. Recreation II PT.8 Recreation NE
- Instructor. Specialty Fitness I PT.8 Recreation NE
- Instructor. Specialty Fitness II PT.13 Recreation NE
Instructor. Specialty Fitness III PT.19 Recreation NE
- Instructor. Sports I PT.? Recreation NE
Instructor. Sports II PT.11 Recreation NE
- Instructor. WSI PT.11
Recreation NE
- Intern PT5, PT.8, PT11, PT.15 Various NE
IT Intern PT.15 & PT 21 IT NE
- Licensed Pre.School Group Leader PT.11 Recreation NE
Licensed Pre.School Specialist PT.13 Recreation NE
- Lifeguard PT.? Recreation
NE
- Lifeguard. Head PT.13 Recreation NE
Maintenance Worker PT.? Parks NE
- Office Technician PT.18 Various NE
Personal Trainer I PT.13 Recreation NE
Personal Trainer II PT.19 Recreation NE
Pool Aide PT.2 Recreation NE
Pool Manager PT.1? Recreation NE
Recreation Aide PT.5 Recreation NE
Recreation Clerk I PT.8 Recreation NE
Recreation Clerk II PT.12 Recreation NE
Recreation Clerk III PT.14 Recreation NE
Recreation Coordinator PT.21 Recreation NE
Recreation Leader PT.14 Recreation NE
Recreation Service Attendant PT-4 Recreation NE
-
223
Compensation Plun
ALPHABET LISTING OF INTERMITTENT PART-TIME & SEASONAL JOB TITLES
Position Title Grade DepartmentlDivision FLSA
Scorekeeper PT-4 Recreation NE
Sports Official I PT.8 Recreation NE
Sports Official II PT.13 Recreation NE
Staff Assistant PT.13 Various NE
Staff Assistant. Sr PT.16 Various NE
WSA PT.? Recreation NE
WSI PT.8 Recreation NE
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-
-
-
-
-
-
-
-
-
-
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224
-
-
Compensation Plan
Part-Time/Seasonal
Developed 01/05
Workers
PAY FLSA Camp EEO RANGE RANGE
~ POSITION TITLE ~ l&!llt l&!llt MINIMUM MAXIMUM
PT-1 Hour $ 5 3623 $ 6 7928
Month $ 929 $ 1,046 $ 1,177
PT 2 Pool Aide NE 9102 PS Hour $ 5 7779 $ 73193
Month $ 1.002 $ 1,127 $ 1,269
PT-3 Hour $ 6.2257 $ 7 8865
- $ 1,079 $ 1,215 $ 1,367
Month
-
- PT-4 Recreation Service Attendant NE 9102 AS Hour $ 6 7082 $ 8 4977
Scorekeeper NE 9102 AS
-
Instructor' Recreation I NE 9102 PP
-
PT-5 Recreation Aide NE 9102 AS Hour $ 72281 $ 91563
- Intern I NE 8810 AS
-
- PT-6 Custodian NE 9015 SM Hour $ 7 7883 $ 9 8660
Attendant: Front Desk NE 9102 PS
- Gym NE 9102 PS
Climbing Wall NE 9102 PS
-
Weight Room NE 9102 PS
- Child Care NE 9102 PS
- PT-7 Coach NE 9102 SC Hour $ 83919 $ 10 6306
Maintenance Worker NE 9102 SM
- Lifeguard
NE 9102 PS
- WSA NE 9102 PS
Driver NE 9102 AS
- Instructor' Sports I NE 9102 PP
Dance I NE 9102 PP
- Building Supervisor NE 9102 PS
- PT-8 Recreation Clerk I NE 8810 AS Hour $ 9 0422 $ 114544
WSI NE 9102 PS
-
Sports Official I NE 9102 SC
- Head: Climbing Wall Attendant NE 9102 PS
Weight Room Attendant NE 9102 PS
- Child Care Attendant NE 9102 PS
Coach NE 9102 PS
- Instructor' Recreation II NE 9102 PP
Specialty Fitness I NE 9102 PP
- Intern II NE 8810 AS
- PT-9 Foard Services Worker NE 9102 SC Hour $ 9 7430 $ 12.3421
-
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-
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225
Compensation Plan
Part-Time/Seasonal
Developed 01/05
Workers
PAY FLSA Camp EEO RANGE RANGE
~ POSITION TITLE ~ ~ ~ MINIMUM MAXIMUM
PT-10 Hour $ 104981 $ 132987
-
PT-11 Licensed Pre.School Group Leader NE 9102 PP Hour $ 11 3117 $ 14 3293
Intern III NE 8810 AS -
Instructor' Dance II NE 9102 PP -
Sports II NE 9102 PP
WSI NE 9102 PP -
PT-12 Recreation Clerk II NE 8810 AS Hour $ 115120 $ 145831 -
Administrative Clerk
-
-
PT-13 Staff Assistant NE 8810 AS Hour $ 121883 $ 15 4398
Licensed Pre-School Specialist NE 9102 PP -
Personal Trainer I NE 9102 PP
Fitness Assistant I NE 9102 PP -
Instructor' Aqua Exercise I NE 9102 PP -
Aerobics I NE 9102 PP
Martial Arts I NE 9102 PP -
Specialty Fitness II NE 9102 PP
PT-14 Sports Official II NE 9102 SC Hour $ 131329 $ 16 6364
Head Lifeguard NE 9102 PS
Recreation Leader NE 9102 PP
Recreation Clerk III -
NE 8810 AS
$ -
PT-15 IT Intern I NE 9410 TE Hour 141507 $ 17.9257
Intern IV NE 8810 AS -
--
PT-16 Facility Assistant NE 9102 AS Hour $ 144476 $ 183018
Sr Staff Assistant NE 8810 AS
PT-17 Pool Manager NE 9102 PP Hour $ 14 9697 $ 18 9632
-
PT-18 Office Technician NE 8810 AS Hour $ 15.5788 $ 19 7348
PT-19 Personal Trainer II NE 9102 PP Hour $ 164291 $ 20 8119
Fitness Assistant II NE 9102 PP
Instructor' Aqua Exercise II NE 9102 PP
Aerobics II NE 9102 PP
Martial Arts II NE 9102 PP
Specialty Fitness III NE 9102 PP
226
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Cl/lIll'cnmtil/n Plall
Developed 01/05
Part-Time/Seasonal
PAY
~
PT-20
PT-21
PT-22
POSITION TITLE
Workers
FLSA Camp EEO
~~ ~
Admin istrative Assistant
Recreation Coordinator
IT Intern II
Court Marshal
NE
8810
NE
NE
9102
9410
NE
8810
AS
PP
TE
AS
RANGE
MINIMUM
RANGE
MAXIMUM
Hour
$ 17.2207
$ 21 8147
Hour
$ 180736
$ 228951
Hour
$ 18.5466
$ 23 4943
227
Compellsatiol1 P/all
Part-Time/Seasonal
Developed 01/05
PAY RANGE STEP STEP STEP STEP STEP STEP STEP RANGE
GRADE MINIMUM 2 3 4 5 6 7 8 MAXIMUM
PT 1 Hour $ 5.3623 $ 5.5232 $ 56889 S 5.8595 S 6.0353 $ 6.2164 S 64029 $ 6.5950 S 67928
PT 2 Hour S 5.7779 $ 59512 $ R 12Y8 $ 6.3137 $ b.5031 $ 611982 $ 6,8991 $ 71061 $ 7.3193
PT 3 Hour $ 62257 $ 6.4125 $ 6.6048 $ 6.8030 S 7.0071 $ 72173 $ 74338 $ 7.6568 $ 78865
PT-4 Hour $ 6.70R2 S 69094 $ 71167 $ 7.3302 I 75501 $ 7 l7R6 $ Fi.OO9q $ 8.2502 $ 8 4977
PT-5 Hour $ 7.2281 S 74449 S 7,668:-\ $ 78983 $ 81353 $ 83793 $ 8.6307 $ 8.R897 $ 9.1563
PT-6 Hour $ 7.7883 $ 8.0219 $ 8.2626 $ 8.5105 $ 87658 S 9.0288 $ 9.2996 $ 95786 I Y 8660
PT 7 Hour $ 83919 $ 86437 $ 8 9030 $ 91701 $ 9 4452 $ 9.7285 $ 100204 $ 10.3210 $ 106306
PT-S Hour S 9.0422 $ 9.31:15 S 95929 S 98807 $ 10.1771 $ 10.4824 S 107969 $ 11 1208 $ 114544
PT-9 Hour $ 97430 $ 100353 $ 103363 $ 106464 S 10.9658 $ 112948 $ 116337 $ 11.9827 $ 12.3421
PT-10 Hour $ 10.4;J81 $ 10813() $ 11 1374 $ 114716 $ 11.8157 $ 121702 $ 125353 $ 129113 $ 132987
PT 11 Hour $ 11.3117 S 11.6511 S 1200U6 $ 123606 S 127314 $ 131134 $ 13.5068 $ 139120 $ 143293
PT-12 Hour $ 11.5120 $ 11.8574 $ 122131 $ 125795 $ 12 9569 $ 133456 $ 137459 S 14 1~83 $ 14.5831
PT 13 Hour $ 12.1883 $ 12.5539 $ 12.9306 $ 13.3185 $ 13.7180 $ 14.12% $ 14.5535 $ 14.9901 $ 15.4398
PT-14 Hour $ 13.1329 $ 13.5269 $ 13.9327 $ 14.3S07 $ 14.7812 $ 15.2246 $ 156814 $ 161518 $ 16.6364
PT 15 Hour $ 141507 S 14.5752 $ 15.0125 S 15.4629 $ 15.9267 $ 16.4045 $ 168967 $ 174036 $ 179257
PT-16 Hour $ 14.4476 $ 14.8810 $ 15.3275 $ 15.7873 $ 16.2609 $ 167487 $ 17.2512 $ 17 7687 $ 18.3018
PT-17 Hour $ 14.9697 $ 154188 $ 15.8814 $ 163578 S 16.8485 $ 173540 $ 17.8746 $ 18.4108 $ 18.9632
PT 18 Hour $ 15.57?}8 S 16.0462 $ H:i.5275 $ 17 .0234 $ 17.5341 $ 18.0601 $ 18.6019 $ 19.1600 $ 19.7348
PT 19 Hour $ 164291 $ 169220 $ 174296 $ 179525 $ 184911 $ 190451'\ $ 19.6172 S 202057 $ 20.8119
PT-20 Hour $ 17 .2207 $ 17.7373 $ 18.2694 $ 18.8175 $ 19.3820 $ 199635 $ 20 5624 $ 21 1793 $ 218147
PT-21 Hour $ 18.0735 $ 186158 $ 19.1743 $ 19.7495 $ 20.3420 $ 20.9523 $ 21.5808 S 22.2282 S 22.8951
PT-22 Hour $ 185460 $ 19.1030 $ 19.6761 $ 20.2664 $ 20.8744 $ 21.5006 $ 22.1456 $ 22.8100 $ 23.4943
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
228
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Compensation Plan
229
Staffing
STAFFING TABLE
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
GENERAL FUND
TREASURY
Treasury
City Treasurer Elected Elected Elected Elected
Accountant 1 000 0000 0000 0000
Accounting Technician 1 000 0000 0000 0000
Payroll Technician 1.000 0.000 0.000 0.000 -
Subtotal 3000 0000 0000 0000
Sales Tax
Sales Tax Auditor 1000 0000 0000 0000
Sales Tax Technician 1000 0.000 0000 0.000
Subtotal 2.000 0000 0000 0000
Total 5.000 0.000 0.000 0.000
-
CITY MANAGER'S OFFICE -
General Management Services -
City Manager 1 000 1 000 1 000 1 000
Assistant to the City Manager 1JillQ 1000 1.000 1.000 -
Total 2.000 2.000 2.000 2.000
CITY ATTORNEY
Legal Services
City Attorney Contracted Contracted Contracted Contracted
-
CITY CLERK
-
City Clerk
City Clerk Elected Elected Elected Elected -
Deputy City Clerk 1000 1000 1000 1000
Administrative Assistant 0500 0500 1000 1000
Sr Staff Assistant 0500 0500 0000 0000
Receptionist 0.000 0000 0.500 0.500
Total 2.000 2.000 2.500 2.500
MUNICIPAL COURT
Municipal Court
Municipal Judge Contracted Contracted Contracted Contracted
Court Administrator 1000 1000 1000 1000
Deputy Court Clerk 6000 5.750 5.750 6750
Probation Supervisor 1000 1000 0000 0000
Probation Officer 1000 0000 1000 1000
Sr Staff Assistant 1000 1000 1000 0000
Court Marshall 0000 0.000 0.000 1.000
Total 10.000 8.750 8.750 9.750
230
-
Stafjing
STAFFING TABLE (continued)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Administrative Services
Deputy City Manager 0000 1000 1000 1000
Administrative Services Director 1000 0000 0000 0000
- Executive Assistant 1000 1000 1000 1000
- Receptionist 1.000 0.000 0000 0.000
Subtotal 3000 2.000 2000 2.000
-
- Finance
Accounting Supervisor 0000 1000 1000 1000
- Accounting Technician 0000 1000 1000 1000
- Payroll Technician 0.000 1.000 1.000 1.000
Subtotal 0000 3000 3.000 3.000
-
- Sales Tax
Sales Tax Auditor 0000 1000 2.000 2.000
- Sales Tax Technician 0.000 1.000 1.000 1.000
- Subtotal 0000 2.000 3000 3000
- Human Resources
- Human Resources Manager 1000 1000 1000 1000
Human Resources Representative 1000 1000 1000 1000
- Human Resources Technician 0000 0.000 0.000 1.000
- Subtotal 2.000 2.000 2.000 3000
- Purchasing and Contracting
- Purchasing and Contracting Agent 1000 1000 1000 1000
Purchasing Technician 1.000 0000 0.000 0000
- Subtotal 2.000 1000 1000 1000
-
Information Systems
- IT Manager 1000 1000 1000 1000
- Network Administrator 1000 1000 1000 1000
Sr IT Support Technician 0000 0000 0000 2.000
- Personal Computer Technician 2.000 2000 2.000 0000
- Web & Imaging Technician 1000 1000 0.500 0.500
Help Desk Technician 0.000 0.000 0.500 0.500
- Subtotal 5.000 5.000 5.000 5.000
-
Total 12.000 15.000 16.000 17.000
-
- COMMUNITY DEVELOPMENT
Administration
- Community Development Director 1000 1000 1000 1000
Administrative Assistant 1.000 1.000 1.000 1.000
Subtotal 2.000 2000 2.000 2.000
-
-
231
Staffing
STAFFING TABLE (continued)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Planning
Senior Planner 1000 1000 1000 2.000
Planner" 0000 0000 0000 1000
Planner I 2.000 1000 1000 1000
Planning Technician 1.000 1.000 1.000 0.000
Subtotal 4000 3000 3.000 4000
Building
Chief Building Official 0500 1000 1000 1000 -
Building Inspector 0500 Contracted 1000 0000
Combination Inspector 0000 0000 0000 1000 -
Sr Staff Assistant 1000 1000 1000 0000 -
Permit Technician 0.000 0.000 0.000 1.000
Subtotal 2.000 2000 3.000 3000 -
-
Total 8.000 7.000 8.000 9.000
-
POLICE DEPARTMENT -
Administration
Chief of Police 1000 1000 1000 1000 -
Deputy Chief of Police 1000 1000 1000 0000 -
Police Commander 1000 0000 0000 1000
Police Sergeant 1000 1000 1000 1000
Administrative Assistant 2.000 3000 3.000 1000
Police Support Technician 0000 0.000 0000 2.500
Warrants Clerk 0000 1000 1.000 0.000 -
Subtotal 6.000 7000 7000 6.500
Community Services Unit (formerly APCE) -
Code Enforcement Supervisor (APCO Supervisor) 1000 1000 1000 0000 -
Code Enforcement Officer (APCO) 2000 2000 2.000 0000
Community Services Unit Supervisor 0000 0000 0.000 1000 -
Community Services Officer 0.000 0.000 0.000 2.000
Subtotal 3.000 3000 3.000 3.000
Communications
Communications Manager 1000 1000 1000 1000
Lead Emergency Services Specialist 0000 0000 0000 1000
Emergency Services Specialist 10.000 10.000 10.000 9.000
Subtotal 11 000 11 000 11 000 11 000
School Resource Officer and Crime Prevention
Police Officer 1.000 0.000 3.000 2.000
Subtotal 1000 0000 3.000 2.000
Records Section
Records Supervisor 1000 1000 1000 1000
Records Management Specialist 4.000 4.000 4000 4.000
Subtotal 5.000 5.000 5.000 5.000
232
-
-
StajfillJ.:
STAFFING TABLE (continued)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Training
Training and Public Information Officer 0000 0.000 0000 1000
Training Coordinator 0.500 1. 000 1.000 0.000
Subtotal 0500 1000 1000 1000
Patrol
Police Commander 1000 1000 1000 1000
Police Sergeant 5000 6000 6000 7000
- Police Officer 31 000 29 000 39 000 35.000
Police Support Technician 0000 0000 0000 0500
-
Police Support Clerk 0.000 0.000 0.000 2.000
- Subtotal 37000 36.000 46.000 45.500
-
Investigations
- Police Commander 1000 1000 1000 1000
- Police Sergeant 1000 2.000 2.000 2.000
Police Officer 11 000 11 000 10000 11 000
- Sr Evidence Technician 0000 0000 0000 1000
- Evidence Technician 1000 1000 1000 1000
Pawn Slip Clerk 0500 0000 0000 0000
- Offender Registrar (Sex Offender Registration Clerk) 1000 1000 1000 0000
- Warrants Clerk 1000 0000 0000 0000
Administrative Assistant 1.000 0.000 0.000 0.000
- Subtotal 17500 16.000 15000 16000
-
Traffic Enforcement
- Police Sergeant 1000 0000 1000 1000
- Police Officer 4000 4.000 2.000 4.000
Subtotal 5.000 4000 3.000 5.000
-
- Special Investigations
Police Sergeant 1000 1000 1000 1000
- Police Officer 2.000 2000 2.000 2.000
- Subtotal 3.000 3.000 3.000 3.000
- Total 89.000 86.000 97.000 98.000
-
PUBLIC WORKS DEPARTMENT
- Administration
- Public Works Director 1000 1000 1000 1000
Administrative Assistant 1.000 0.000 0.000 0.000
- Subtotal 2.000 1000 1000 1000
-
Engineering
- Engineering Manager 0000 1000 1000 1000
- Administrative Assistant 0000 1000 1000 1000
Civil Engineer" 4 000 2.000 2.000 2.000
- Civil Engineer 1 000 1 000 1 000 1 000
- Engineering Technician 2.000 5 000 6 000 7000
Engineering Assistant 2.000 1.000 1.000 0.000
Subtotal 9000 11 000 12.000 12.000
233
Stalf; 111.:
STAFFING TABLE (continued)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Operations
Operations Manager 0000 1000 1000 1000
Operations Supervisor 0000 1000 1000 1000
Administrative Assistant 0000 1000 1000 1000
Street Superintendent 1000 0000 0000 0000
Equipment Operator /I 3000 3000 3000 3000
Equipment Operator I 2.000 2.000 2000 2.000
Maintenance Worker /I 0000 3.000 5000 5.000
Maintenance Worker I 4000 2.000 0000 0000
Traffic Control Technician 0000 1000 1000 1000
Lead Mechanic 0000 1000 1000 1000 -
Mechanic 0.000 1.000 1.000 1.000
Subtotal 10 000 16.000 16.000 16.000
Traffic Maintenance -
Traffic Planner (Civil Engineer) 1000 0000 0000 0000
Traffic Control Supervisor 1000 0000 0000 0000 -
Traffic Control Technician 1000 0000 0000 0000 -
Traffic Control Assistant 2.000 0000 0000 0000
Subtotal 5000 0000 0000 0000 -
-
Fleet Maintenance
Fleet Supervisor 1000 0000 0000 0000 -
Lead Mechanic 1000 0000 0000 0000 -
Mechanic 1000 0000 0000 0000
Fleet Analyst 1.000 0.000 0.000 0000 -
Subtotal 4000 0000 0000 0000 -
Traffic Engineering
Traffic Engineer 1000 0000 0000 0000 -
Engineering Technician /I 1000 0000 0000 0.000
Engineering Assistant 1.000 0.000 0.000 0.000
Subtotal 3.000 0000 0000 0000 -
Total 33.000 28.000 29.000 29.000
PARKS AND RECREATION
Administration
Parks & Recreation Director 1000 1000 1000 1000
Administrative Assistant 1.000 1.000 1.000 1.000
Subtotal 2.000 2.000 2.000 2.000
Recreation
Recreation Manager 1000 1000 1000 1000
Marketing Coordinator MQQ 0.500 0.500 0.500
Subtotal 1500 1500 1500 1500
234
-
-
StaJjing
STAFFING TABLE (continued)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Parks Maintenance
Parks, Open Space, Forestry Manager 1000 1000 1000 0000
Operations Supervisor 2.000 1000 1000 0000
Parks Program Coordinator 0000 1000 1000 0000
Parks Maintenance Crew Leader 4000 2.000 2.000 0000
- Parks Maintenance Worker /I 1000 3.000 3000 3000
Parks Maintenance Worker I 5.000 5000 5000 6000
- Sr Staff Assistant 1000 1000 1.000 1.000
- Subtotal 14000 14000 14000 10000
- Forestry
- City Forester 1000 0000 0.000 0000
Forestry Technician 1000 1000 1000 1000
- Forestry Assistant /I 1000 1000 1000 0000
- Forestry Assistant 0000 0000 0000 1000
Parks Horticulturalist 1000 0000 0000 0000
- Parks Maintenance Worker I 0000 1000 1000 0000
- Horticulture Assistant 1.000 1.000 1.000 1.000
Subtotal 5000 4000 4000 3.000
-
- Open Space
Park Naturalist 1000 1000 1000 0000
- Parks Maintenance Worker /I 1000 1000 1000 1000
- Parks Maintenance Worker I 0.000 0.000 0.000 1.000
Subtotal 2.000 2.000 2.000 2.000
-
- Athletics
Recreation Supervisor 1000 1000 1000 1000
- Recreation Coordinator 1000 1000 1000 0500
- Recreation Leader 0000 0.000 0000 0.500
Subtotal 2.000 2.000 2.000 2.000
-
- General Programs
Recreation Supervisor 1000 0000 0000 1000
- Recreation Leader 0000 0000 0000 0500
- Teen Coordinator 0.500 0.000 0.000 0.000
Subtotal 1500 0000 0000 1500
-
- Senior/Community Center
Recreation Supervisor 1000 1000 1000 1000
- Recreation Coordinator 1 130 1 130 1 130 1 130
Recreation Clerk 11/ 0000 0000 0000 1000
Recreation Clerk /I 0000 0000 0000 1000
Recreation Clerk 1000 1500 2000 0000
- Office Technician 1.000 0.000 0.000 0.000
Subtotal 4130 3630 4130 4130
-
-
235
Stafling
STAFFING TABLE (continued)
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Building Maintenance
Building Maintenance Supervisor 1.000 1.000 1.000 1.000
Subtotal 1000 1000 1000 1000
Total 33.130 30.130 30.630 27 130
-
General Fund Total 194.130 178.880 193.880 194.380
OPEN SPACE FUND
-
Parks, Open Space, Forestry Manager 0000 0000 0000 1000
Operations Supervisor (P&R) 0000 0000 0000 1000 -
Parks Program Coordinator (P&R) 0000 0000 0000 1000
-
Open Space Coordinator (P&R) 0000 0000 0000 1000
Crew Leader. Parks Maintenance (P&R) 0000 0000 0000 2.000 -
Maintenance Worker" (P&R) 0.000 0.000 0.000 1.000 -
Open Space Fund Total 0.000 0.000 0.000 7000 -
-
HOTEL/MOTEL FUND -
-
Police Sergeant (PO) 1000 0000 0000 0000 -
Police Officer (PO) 3000 3.000 2.000 2.000
Community Service Officer. Comm Services (PO) 3.000 2.000 2.000 2.000 -
Emergency Services Specialist (PO) 1000 0000 0000 0000
Training Coordinator (PO) 0500 0000 0000 0000
Property Inspector (Comm Oev) 1000 1000 1000 1000
Chief Building Officer (Codes Administrator) (Comm Oev) 0500 0000 0000 0000
Building Inspector (Comm Oev) 0.500 0000 0.000 0.000
-
Hotel/Motel Fund Total 10.500 6.000 5.000 5.000
RECREATION CENTER OPERATIONS FUND
Facility Operation
Facilities Operations Supervisor
Facility Assistant
Recreation Clerk 11/
Recreation Clerk
Office Technician
Custodian
Facility Maintenance Technician
Subtotal
1000
3.000
0.000
1000
1000
2.000
1.000
9000
1000
3000
0000
1000
0500
2.000
1.000
8.500
1000
3.000
0.000
1000
0500
2.000
1.000
8.500
1000
3000
1000
0000
0500
2.000
1J2QQ
8.500
-
23ft
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Sta.tJillg
2003 2004 2005 2006
Authorized Authorized Authorized Authorized
Aquatics
Recreation Supervisor 1000 1000 1000 1000
Pool Manager 3.000 3.000 3.000 3.000
Subtotal 4000 4000 4000 4000
Fitness
Recreation Coordinator 1.000 1.000 1.000 1000
Subtotal 1000 1000 1000 1000
Marketing
Marketing Coordinator 0.500 0.500 0.500 0.500
Subtotal 0500 0500 0500 0500
Therapeutic Recreation
Recreation Leader 0.500 0.500 0.500 0.000
Subtotal 0500 0500 0500 0000
General Programs
Recreation Supervisor 0500 1000 1000 0000
Recreation Coordinator (Teen) 0.500 0.000 0.000 0.000
Subtotal 0500 1000 1000 0000
Recreation Center Operations Fund Total 15.500 15.500 15.500 14.000
Grand Total 220 130 200.380 214.380 220.380
237
StafjillK
23R
-
-
-
-
-
-
-
-
-
-
2006 FEE SCHEDULE
-
A CIty Fee CommIttee, represented by each department, was estabhshed m 2003 to reVIew all cIty fees. The
COl11111lttee revIewed the maJonty of Ctty fees usmg elthcr a markct analysIs and/or actual cost. The conmllttee
met over a penod ofthree (3) months IdentlfYmg ditferent methodologIes for revlewmg City fees, IdennfYmg the
vanous fees to be revlcwcd, and rcvlewll1g arcas or programs where the City could Implemcnt a ncw fee
structure to recoup its costs. F ollowll1g IS the 2006 Fee Schedule
- 2006 Fee Schedule
- General Administrative/Clerk Fees:
- C oples/M Icrofilm per page I $5 00,']" five (5) pages
wiresearch $.50/for addItIOnal pages
-
- CopIes/Microfilm per page
- '>", out research S.50
- (ExceplJon: 'See Senior/C ommunity
Center fee schedule )
-
CertIfied Copies per page $200
-
- Research Fees $25/hour times actual
- tIme spent rounded to
- the nearest '/4 hour.
-
Video Tape' $3000 (,>,,/own tape)
- $35 00 (wiouttape)
- AudIO Tape' $25 (w,'own tape)
- $30 (w/out tape)
- (Exception. 'See Police Departmenl
- fee schedule and procedures for cost.)
-
- Code of Laws SI25
-
Cod of Laws Bmder $25
-
- LIquor/Beer Code $20
-
- NEC Codes $15
-
Pnnted Documents (I.e., budget) Actual Pnntll1g Cost
- Code Supplements Actual Cost + slllppmg
- and $5 handling fee.
239
2006 Fee Schedule
CIty Charter
Transcnpts of City CouncIl Meetmgs
Fees
DIshonored Check Fce
Voter Info
FAX Copies
Public Works Fees:
2006 Fee Schedule
$15
ProvIde and coord mate own servIces.
ProvIde and eoordmate own servIces
$25
Referred to County for mformatlOn
No Charge
Contractor License
. Class A
$200
$150
-
$125 -
-
$100
$50
-
S100
S500 -
-
5125 -
S125
Sl50 -
S200
-
-
SI50
NA -
5250
$90
$5 00 per copy
$5 00 per map
$25 00
$25 00 flat fee
. Class B
. Class C
Development Revle\\ r ees
. Processmg Fee
. S1I1gle-Family ResldentJal ReVIew
. CommerCIal/MultI-FamIly ReVIew'
-- Revle\v oftechmcal documents
-- ReVIew for constructIOn m R -0. W,
final dramage report & erosIon control plan
SubdIvISion ImprovementAI:,'1nt.
Development Covenant Fee
CDOT Access Permit Fee
Traffic Impact Study ReVIew Fee
Flood Plam Vanance ReVIew r ee
- Class I Apphcatlon
. Class I PubhcatlOnlPublIc NotIce
- Class II Apphcatlon
- Class II PubhcatlOn/PublIc Notice
CopIes of Development Plans/Plats (B&W 24x36)
CopIes of Color Maps (1IxI7)
SpeCIal Request Maps
Zomng VenficatlonlC omplIance Letters
-
240
200n Fee Schedule
2006 Fee Schedule
Cifl' Treasurer \.
LIquor OccupatIOn
Class 0 $650
Class F $600
- Class G $900
- Class J $700
-
- Class T $1.300
-
News Rack LIcense Fee $IO/fack
-
- LIst of LIcensed Busmesses S25
- - on labels
-
L1St of LIcensed Busll1esses SIO
-
. computer pnntout
-
- Police Denarfmenf
- Address Check $15/first ]2 hour, $25
each addItIOnal hour.
-
- Records Check $15/first ]dlour, $25
- each addItIOnal hour.
-
RegIstered Sex Offender Llst $5/resldents
-
- Report Fees $5/first 5 pages
- $.50/per addltlonal page
- Add Research Fee
$25/hour for additional
-
research tIme over \'2 hour.
-
Audio Tapes $35 first hour
- $10 each addltlonal ]'4
- hour Blank tape reqUIred.
- EVldence Photos 3x5 or 4x6 (entIre $5 plus cost ($5 deposIt)
- roll only)
-
241
2IJIJ6 Fee Schedule
2006 Fee Schedule
EVIdence Photos 5x7 or 8x 12 (smgle
roll only)
$1 () plus cost, $10 deposIt
Pawn Shops
$5,000/year
Concealed Weapons PermIt
DISCONTINUED - State
La\\ Changes
DIgItal Image
$25/CD and pnntout
$5 deposIt
Sex Offender Reglstratlon
$20.$25/reglstratlon
Fingerpnnts
$1 O/resldents only and
and hquor lIcense wlthm Clty
Parks and Recreation
Ye aide Firehouse Rental Fee
Free
N on-profit groups only
RIchards Hart Estate Rental Fee
$500/6 hours
S75 each addItional hour
Park Shelters Rental Fee
$50
Park Pavihons Rental Fee
$ 1 00 (Monday- Thursday)
$150 (Fnday-Sunday)
through February)
$200 (Fnday-Sunday
After March I )
242
-
-
-
-
-
-
-
-
-
-
-
-
-
-
200(, Fee Schedule
Wheat Rid!!e Recreation Center - 2006 Fee Schedule
Wheat RiMe Resident Jeffco Resident
Non-Resident
Daily DroD-In Fees
Adult 18 & older
Youth 6. I 7 years
Child 3-5 years
Child 2 & under
Semor 65 & older
Family
$450
$400
$350
free
$400
$1000
S5.50
$500
$400
free
S500
5 I 3 00
5650
$600
$4.50
free
$600
t1/a
-
-
Punch Card Fees (20 yisits)
Adult
Youth
Child
Scmor
567.50
$6000
$52.50
$60 00
$82.50
575 00
$60 00
$75 00
$97.50
$90 00
$6750
S9000
-
-
-
-
Annual Pass Fees
Adult 5350
)~uth $250
Child $ I 90
Sel1lor $250
(mcludes admISSIon to the outdoor pool)
$400
$320
$225
$320
5465
$375
$265
$375
-
-
-
-
-
-
Summer Fun Pass
(good for admISSIOn to outdoor pool and Wheat RIdge RecreatIon Center for the summer season)
Adult $110 5135 $145
Youth $95 SI20 $130
Child $75 5'10 $120
Semor $95 5120 $130
Family $200 $250 $300
-
-
-
-
-
-
Outdoor Pool in Anderson Park
-
Daily Admlsslon:
Child 2 & under
Child 3.5 years
Youth 6.17 years
Adult 18 & older
Senior 65 & older
Resident
free
$1.25
$275
$3.25
$2.75
Non-ResIdent
free
$2.25
$4.25
$5.25
$4.25
-
-
-
-
243
2006 Fcc Schedule
Youth Snorts Lea!!ue Fee
Boys Baseball, GIrlS SoftbalL MIdget f<ootball, $15/per player
Youth Basketball. PIranhas SWlm Team, St. Peter & Paul
Greenbelt and Clear Creek Groun Usa!!e
$50 for approved group usage. (all groups)
Parks. Pavilions & Shelter Rental Fee & Policies
Park Pavilions
Anderson Park ( 100 maxImum occupancy)
Prospect Park ( 150 maxImum occupancy)
Monday - Thursday - $100 (no rate change as of March 1 )
Fnday - Sunday
IfreservatlOn made bcfore March I $150
ReservatIons made startmg March I $200
Wheat RIdge reSIdents reserve pavihons,'shelter begml11ng January 2
Non-resIdents reserve pavihonsishelters beg1l1111ng March I
-
-
-
-
Park Shelters
Panorama Park
Randall Park
Paramount Park
FrUltdale Park
-
(50 maxImum occupancy)
(50 maxImum occupancy)
(50 maxImum occupancy)
(50 maximum occupancy)
550
$50
$50
550
-
(Rent to reSIdents only)
-
Hayward Park
Johnson Park
Apel Bacher Park
no fee - penmt only If over 25 people
no fee - penmt only If over 25 people
no fee - pernllt only If over 25 people
-
-
Park Dama!!e Denosits
Any group over 75 people are charged a $ 1 00 refundable damage deposIt for all parks.
-
Pavilion/Shelter Reservations at no fee for followinl! l!rouns
Wheat Ridge CarnatIon FestIVal
Wheat Rldge/ Arvada KIWal11S - one tIme weekday use of Anderson Pavlhon
Wheat RIdge Garden Club - one tIme weekday use of Paramount Park Shelter
Park Rentals - weeklv
Groups that reserve a park for a Monday - Fnday camp, school, etc. are charged $50 per day The $100
refundable damage deposIt pobcy also applIes here.
244
Line Ilelll /ICl'{)III11.\'
Cit) Treasurer
01-101
CITY TREASURfR ACCOLNT 01-101 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM ElDET AILED EXPLANA TI Budaet Budaet Budaet Budget
-
602 STAFF SALARIES & WAGES 29,223 29 000 29,000 29,000
604 Dt:t-ti<I<W COM PSIlSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIME AND PREMIUM PAY 0 0 0 0
617 TEMPORARY PffiSONNB. - HOURI. Y 0 0 0 0
619 TEM PORARY PffiSQNIIEL - NON HOURI. , 0 0 0 0
620 RCA EXPSIlSE- EMPLOYER 1,812 1798 1,798 1,798
622 MEDlCAUDENTAL INS~NCE 0 0 0 0
625 MEDICARE PORTION RCA 424 421 421 420
630 CCOERA RETIREMENT 0 0 0 0
640 OUTSIDE PffiSDI'I'lEL SERVICES 0 0 0 0
600 SUB- TOTAL 31,459 31.219 31.219 31,218
I
651 OFRCE SLPPLlES 0 25 20 25
655 POSTAGE I 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 0
650 SUB- TOTAL 0 25 20 25
1
702 Cor.FERENCElMEETING 300 500 425 500
704 CONTRACT SERVICES 0 0 0 0
706 DUESlBOOKSISUBSCRlPTIONS 160 50 50 50
728 TRAlr--ING I 0 0 0 0
740 AUTO MILEAGE RBMBURSEM8I/T 0 0 0 0
750 PROFESSIONAL SERVICES 300 0 525 600
752 MICROFILMING 0 0 0 0
759 TaEPI-tOt<E EXPENSE 0 0 0 0
776 OTI-ER MAJOR EQUlPM8I/T 0 0 0 0
784 JEFFCO TREAS COLL FEES 0 0 0 0
799 MISCaLAJIEOUS SERVICES AfID CHARI 0 0 0 0
700 SUB- TOTAL 760 550 1,000 1,150
I
802 OFRCEFURNlT~& EQUIPM8I/T 0 0 0 0
809 OTHER MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL 0 0 0 0
-
.-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
32.2391
32.3931
32,2191 31,7941
I DEPARTM8I/T/ACCOLNT TOTALS.
-
-
245
Lilleitem 'lcCO/lllts
Gencral Government - Legislative Serviccs
01-102
CITY CQlt.ICIL
ACCOUNT 01.102
2004
Actual
2005
Estimated
ACCOUNT NAM EIDEr AILBl EXPLANATION
602 STAFF SALARIES & WAGES 0 0 0 0
604 DEHRRED COM P811SA TION 0 0 0 0
606 AurO ALLOWANCE 0 0 0 0
610 OVERrIMEAI\DPR8\IIIUM PAY 0 0 0 0
617 T8'v1 PORARY PERSONfIEl.. - HOl..R.. Y 0 0 0 0
619 T8'v1PORARY PERSONfIEl.. - NON HOURI.. Y 68,188 67,680 67,680 67,680
620 RCA EXP811SE- 8'v1 PLOYER 4,228 4.196 4,196 4.196
622 MEIlICAUDENTAL INS~NCE 0 0 0 0
625 M EIlICARE PORTION RCA 989 981 981 981
630 CCOffiA RETIR8\II ENT 0 0 0 0
640 OUTSIDEPERSOI'N3... SERVICES 0 0 0 0
600 SUB-TOTAL 73.405 72,857 72.857 72.857
I
651 OFFICE SUPPLIES 792 1,150 1.150 1173
655 POST AGE COSTS 0 0 0 0
654 PHOTOCOPY/PRINTING 0 1,000 1,000 1,520
660 OPERATING SUPPLIES 1,701 1,790 1,790 450
650 SUB-TOTAL 2.493 3,940 3.940 3,143
I
702 COI\FER8IICE & MElliNG EXP811SES 13,519 30,330 30.300 59,100
704 CONTRACT SERVICES 0 0 0 0
706 DlESIBOOKS/SLBSCRlPTIONS 2,925 3,617 3,617 3,775
712 AI'fIlUAL APPRECIATION D111N:R 0 5,000 2,000 5,000
716 LEGISLATIVE M 8'v1 BERSHP 32,118 32,548 33,878 37.432
740 AurO MILEAGE RBM BlRS8'v1 ENT 0 0 0 400
750 PROFESSIONAL SERVICES 0 0 0 0
758 RENTALS AND LEASES 0 1.330 1,330 1.400
759 TaEPHONE EXP811SE 0 0 0 0
780 OUTSIDEAGB>lCY CONTRIBUTION 0 11.100 11,100 10,100
799 M ISCaLANEOUS SERVICES AI\D CHARGe: 0 0 0 0
700 SUB- TOTAL 48.562 83,925 82.225 117.207
I
802 OFF1CEF\JRIIIT~& EQUIPMENT 0 0 0 0
809 OTI-ER MAJOR EQUlPM ENT 0 0 0 0
800 SUB- TOTAL 0 0 0 0
-
-
I DEPARTMENT/ACCOUNT TOTALS:
I 124.4601 160,7221
159,0221
193.2071
24(,
Ulle Ite/11 .lecount'
Cit) Treasurer
01-101
CITY TREASlRR ACCOUNT 01-101 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AI LID EXPLANA TI Budaet Budaet Budaet Budget
-
602 STAFF SALARIES & WAGES 29,223 29 000 29,000 29,000
604 DEFffiRED COM P8IlSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIME AND PREMIUM PAY 0 0 0 0
617 T8IJIPORARY PffiSONNa. HOURLY 0 0 0 0
619 T8IJIPORARY PffiSONIIEL - NON HOURL \ 0 0 0 0
620 RCA EXP8IlSE- 8IJIPLOYER 1,812 1798 1,798 1,798
622 M EDlCAUDENT AL INSlRANCE 0 0 0 0
625 MEDICARE PORTION RCA 424 421 421 420
630 CCOERA REflREM8IIT 0 0 0 0
640 OUTSIDE PffiSONNB.. SERVICES 0 0 0 0
600 SUB-TOTAL 31,459 31,219 31,219 31,218
I
651 OffiCE SUPPLIES 0 25 20 25
655 POST AGET 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 0 25 20 25
I
702 CClIflRBIlCElMEETING 300 500 425 500
704 CONTRACT SERVICES 0 0 0 0
706 DUESlBOOKSISUBSCRlPTIONS 160 50 50 50
728 TRAII'ING I 0 0 0 0
740 AUTO MILEAGE RBMBURS8lJl8IIT 0 0 0 0
750 PROFESSIONAL SERVICES 300 0 525 600
752 MICROFILMING 0 0 0 0
759 TaS'HCJIIE EXP8IlSE 0 0 0 0
776 OHER MAJOR EQUlPM8IIT 0 0 0 0
784 JEFFCO TREAS COLL FEES 0 0 0 0
799 MISCaLAI\EDUS SERVICES AI'IJ CHAR( 0 0 0 0
700 SUB-TOTAL 760 550 1,000 1,150
I
802 OffiCE FURNlTlR: & EQUIPM 8IIT 0 0 0 0
809 OTHER MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL 0 0 0 0
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
32.2391
32.3931
32,2191 31.7941
IDEPARTM8IIT/ACCOUNT TOTALS:
-
-
245
Line Item '1cc{}unts
General GO\'ernment - Legislative Services
01-102
CITY COUIICIL
ACCOUNl" 01-102
2004
Actual
ACCOUNT NAMElDETAILBlEXPLANATlON
602 STAFF SALARIES & WAGES 0 0 0 0
604 DEFERRI3) COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERfIMEAI'.[)PR8IIIIUM PAY 0 0 0 0
617 TEMPORARY PERSONf'B. - HOlR Y 0 0 0 0
619 TEMPORARY PERSONf'B.. NON HOlR Y 68,188 67,680 67,680 67,680
620 RCA EXPENSE- EMPLOYffi 4.228 4,196 4,196 4.196
622 MBJlCAUDENTAL INS~NCE 0 0 0 0
625 M BJlCARE PORTION RCA 989 981 981 981
630 CCOERA RErIR8lllENT 0 0 0 0
640 OUTSIDEPERSONNB. SBMCES 0 0 0 0
600 sw. TOTAL 73.405 72, 857 72,857 72,857
1
651 OFRCE SLPPLlES 792 1,150 1150 1173
655 POST AGE COSTS 0 0 0 0
654 PHOTOCOPY/PRINTING 0 1,000 1,000 1,520
660 OPERATING SUPPLIES 1.701 1,790 1.790 450
650 sw. TOTAL 2.493 3,940 3.940 3,143
I
702 CONFERENCE & MEETING EXPENSES 13,519 30.330 30,300 59,100
704 CONTRACT SERVICES 0 0 0 0
706 DUESlBOOKS/SLeSCRlPTIONS 2,925 3.617 3,617 3,775
712 ArNJAL APPRECIATION llINNffi 0 5.000 2,000 5,000
716 LEGISLATIVE M EM BERSHP 32,118 32,548 33,878 37.432
740 AUTO MILEAGE RElMBlRSEMENT 0 0 0 400
750 PROFESSIONAL SERVICES 0 0 0 0
758 RENTALS AND LEASES 0 1,330 1,330 1.400
759 TB.8'HONE EXPENSE 0 0 0 0
780 OUTSIDE AGENCY CONTRIBUTION 0 11,100 11,100 10.100
799 M ISCB.LANB:lUS SERVICES AI'.[) CHARGE 0 0 0 0
700 sw. TOTAL 48,562 83,925 82,225 117,207
1
802 OFRCEFlRNTlR:& EQUIPMENT 0 0 0 0
809 OTHER MAJOR EQUIPMENT 0 0 0 0
800 sw. TOTAL 0 0 0 0
I DEPARTMENT/ACCOUNT TOTALS:
I 124.4601 160,7221
159,0221
193.2071
246
-
-
Line Item ,kl"OlInts
Administrative Services - Finance
01-103
-
FINANCE ACCOUNT 01.103 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAME/DETAILED EXPLANATI Budaet Budaet Budaet Budaet
-
602 STAFF SALARIES & WAGES 129,599 134,807 134,807 145,201
604 Dt::i'ct<t<tlJ COM P811SA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJPREMllJVl PAY 0 0 0 0
617 TBVI PORARY PERSONNa" HOURLY 0 0 0 0
619 TBVlPORARY PERSONNa - NON HOURL ~ 0 0 0 0
620 RCA EXP811SE- BVlPLOYER 7.748 8.358 8,358 9,002
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 1,812 1,954 1,954 2,106
630 CCOERA RETIREMENT 5,184 5,393 5,393 5,808
640 OUTSIDE PERSQIIIIB.. SERVICES 0 0 0 0
600 SUB-TOTAL 144.343 150,512 150,512 162,117
I
651 OFFICE SlPPLlES 1,202 1,165 1,165 1,200
655 POSTAGE I 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SlPPLlES 0 0 0 0
650 SUB- TOTAL 1.202 1,165 1,165 1.200
I
702 CONFffiBIICE/M EETING 299 500 500 700
704 CONTRACT SERVICES 0 0 0 0
706 DlES/BOOKSISUBSCRlPTIONS 860 1,000 1,000 1,075
728 TRAIf\lNG 1 763 1,225 1,225 1,265
740 AUTO MILEAGERBMBlRSBVlENT 417 500 500 500
750 PROFESSIONAL SERVICES 15.700 18,000 18,000 20,000
752 MICROFILMING 0 0 0 0
759 TaEPHONE EXP811SE 0 0 0 0
776 OTHER MAJOR ECllRPM ENT 0 0 0 0
784 JEFFCO TREAS COLL FEES 6,797 7.000 7,000 7.000
799 MISCaLANEOUS SERVICES AfIV CHARC 0 0 0 0
700 SlIB- TOTAL 24,836 28.225 28,225 30.540
I
802 OFFICE FlRIIT~ & ECllRPM ENT 0 0 0 600
809 OTHER MAJOR ECllRPM ENT 0 0 0 0
800 SlIB- TOTAL 0 0 0 600
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
I DEPARTMENT/ACCOUNT TOTALS.
I 170.3811 179,9021
179,9021
194.4571
-
-
-
247
Line Item Accounts
City Manager's Office - Economic De\ elopmcnt
01 - I 05
ECONOMIC DEVB-OPMENT
ACCOUNT 01-10
2004
Actual
Bud et
ACCOUNT NAME/DErAILED EXPLANATION
602 STAFF SALARIES & WAGES 0 0 0 0
604 Dt:t-CHHI:1J COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEANDPR8\IIIUM PAY 0 0 0 0
617 TBVlPORARY PffiSOfIN3... - H()IR.. Y 0 0 0 0
619 TBVlPORARY PffiSOIIN3... - NON H()IR.. Y 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 0 0 0 0
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 M BlICARE PORTION RCA 0 0 0 0
630 CCOERA RETIR8\IIENT 0 0 0 0
640 OUTSIDE PffiSOfIN3... Sffi\lICES 0 0 0 0
600 SUB-TOTAL 0 0 0 0
651 OFRCESUPPLlES 230 700 700 700
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 5,952 5,000 5,000 10,300
660 OPERATING SUPPLIES 0 6,750 6,000 7,000
650 SUB-TOTAL 6,182 12,450 11,700 18,000
702 CONFmENCE & MEETING EXPENSES 3,712 3,500 5,000 4,880
704 CONTRACTUAL Sffi\lICES 0 0 0 0
706 DlES/BOOKS/SlESCRlPTIONS 4,568 6,355 5,855 12,900
714 LEGALS & PUBLISHNG 2,531 5,000 5,000 16,700
719 ECONOMIC DEVB-OPMENT INCENTIVE 20,600 50,000 70,000 70,000
720 ECONOMIC DEVB-PMENT - SAFBlVAY 20,161 60,000 100,000 100,000
721 I>R) 1M PLBVI ENTATION 0 70,212 70.212 0
740 AUTO MILEAGE RBMBlR>BVIENT 627 700 700 1,100
750 PROFESSIONAL Sffi\lICES 247,943 352,538 348,788 12,000
755 COM PUTffi SOFTWARE 0 1750 0 0
776 OTHffi EQU1PM ENT MAINTENANCE 0 0 0 0
799 MISCB-LANEDUS Sffi\lICES AM) CHARGES 0 0 0 0
700 SUB- TOTAL 300,142 550,055 605,555 217,580
802 OFRCEFURNTURE& EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
235,5801
617,2551
I 306,3241 562,5051
I DEPARTMENT/ACCOUNT TOTALS,
248
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Line Itelll ,1ccounts
City Manager's Office - City l\i}anager
01 - 106
CITY MANAGffi
ACCOUNT 01-106
2004
ACCOUNT NAM E/DEr AILED EXPLANATION
602 STAFF SALARIES & WAGES 173,519 188,350 188,350 184,387
604 Dt:t-t::KKW COM PENSA TION 5,794 10,400 10,400 9,660
606 AUTO ALLOWANCE 3,600 3,600 3,600 3,600
610 OVERTIM E AND PR8\IIIUM PAY 0 0 0 0
617 TBVlPORARY PffiSONNa - HOURLY 0 0 0 0
619 TBVI PORARY PffiSONNa - NON HOURLY 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 8,922 9,012 9,012 9,526
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 M BlICARE PORTION RCA 2,627 2,731 2,731 2,674
630 CCOERA RETIR8\IIENT 2,284 2,334 2,334 2,545
640 OUTSIDEPffiSONNa Sffi\lICES 0 0 0 0
600 SUB-TOTAL 196,746 216,427 216,427 212,392
651 OFRCESUPPLlES 683 700 700 850
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 262 700 700 500
660 OPERATING SUPPLIES! 1,146 350 350 550
650 SUB-TOTAL 2,091 1,750 1.750 1,900
I
702 CONFmENCE/M EETING 7,317 4,750 4,750 8,450
704 CONTRACTUAL Sffi\lICES 0 0 0 0
706 DlES/BOOKSlSUBSCRlPTIONS 1,296 2,415 2,415 2,485
723 TUTlON RBMBURSBVlENT 0 0 0 0
726 RECRUTMENT & ADVERTISBVlENT 0 0 0 0
728 TRAlfIING I 480 1,000 1,000 1,000
740 AUTO MILEAGE RBMBlR>BVIENT 46 100 100 100
750 PROFESSIONAL Sffi\lICE 19,244 30,000 30,000 75,000
759 TB-EPHONE EXPENSE I 0 0 0 0
798 MANAGBVlENT CONTINGENCY 1,441 7,500 7,500 7,550
799 M ISCB-LANEOUS Sffi\lICES AM) CHARGES 25 0 0 0
700 SUB-TOTAL 29,849 45,765 45,765 94,585
802 OFRCE FURNTURE & EQUlPM ENT 0 0 0 1,600
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL 0 0 0 1,600
IDEPARTMENT/ACCOUNT TOTALS: I
I 228,6861 263,9421
263,9421 310,4771
249
Line Ite/ll ,jeeo/lnts
Gencral Governmcnt - City Attorney
01 - 107
ILEGAL Sffi\lICES ACCOUNT 01-107 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANA TI( Budaet Budaet Budaet Budaet
702 CONFmENCE & MEETING EXPENSES 0 0 0 0
704 CONTRACTUAL Sffi\lICES 71,208 73,500 73,500 73,500
750 PROFESSIONAL Sffi\lICES 81,451 163,000 163,000 163,000
759 TB-EPHOI>E EXPENSE 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES & CHARGEl 130,556 74,000 74,000 64,000
700 SUB- TOTAL 283.214 310,500 310,500 300,500
300,5001
1 283,2141 310,5001 310,5001
I DEPARTMENT/ACCOUNT TOTALS.
2511
-
-
-
-
-
-
-
-
-
-
-
-
-
Line Item 'leeount,.
Cit~ Clerk's Office
01- 108
CITY CLffiK ACCOUNT 01-108 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANA TIO Budaet Budaet Budaet Budaet
-
602 STAFF SALARIES & WAGES 113,371 129,302 129.302 136,431
604 Dt:t-t::KKW COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJ PR8\IIIUM PAY 0 0 0 0
617 TBVI PORARY PffiSONNa - HOURLY 0 0 0 0
619 TBVI PORARY PffiSOfIN3... - NON HOURLY 0 0 0 0
620 RCA EXPENSE- B\lIPLOYffi 6.687 8.017 8,017 8,459
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 M BlICARE PORTION RCA 1,564 1,875 1,875 1.978
630 CCOERA RETIR8\IIENT 3,283 5,172 5,172 4,215
640 OUTSIDE PIR>OIIN3... Sffi\lICES 0 0 0 0
600 SUB-TOTAL 124,905 144,366 144.366 151,083
-
-
-
-
-
-
-
-
651 OFRCESUPPLlES 2,009 2,500 2,500 2,550
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 2,009 2,500 2,500 2,550
-
-
-
-
702 CONFERENCE & MEETING EXPENSES 277 1,500 1,300 2,600
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlESIBOOKSISlESCRlPTIONS 4,506 4,600 4,600 2,000
708 B-ECTlON EXPENSE 9,957 13,000 10,000 13,000
714 LEGALS & PUBLISHNG 20,557 24,000 17,000 24,000
715 RECORDING FEES 3.000 3,000 3,000 3,500
728 TRAINING 1,073 500 700 1,500
740 AUTO MILEAGE RBMBlR>BVIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 10,030 10,000 10,000 10,000
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES AND CHARG 0 0 0 0
700 SUB-TOTAL 49,400 56,600 46,600 56,600
-
-
-
-
-
-
-
-
-
-
802 OFRCE FURNTURE & EQUlPM ENT 0 Or 0 0
809 OTHER MAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
-
-
-
DEPARTMENT/ACCOUNT TOTALS.
-
-
-
~
25\
Une Ite/ll 'leeollnt\
Municipal Court
01-109
M\JIlICIPAL COlRT ACCOUNT 01-109 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDEr AILED EXPLANA Budaet Bud(let Budaet Budael
602 STAFF SALARIES & WAGES 331,290 353,392 350,000 403,053
604 Dt:t-tM-<ED COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJ PR8\IIIUM PAY 515 1,900 1.900 2,250
617 TBVlPORARY PffiSONNB.. - H()IR.. Y 0 1,200 1,200 1.200
619 TB\lI PORARY PffiSONl\e... - NON HOlJ' 71,093 88,000 84,000 90,000
620 RCA EXPENSE- BVIPLOYffi 24,657 27,366 27,366 30,569
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 5,767 6,400 6,400 7,158
630 CCOERA RETIR8\IIENT 11,386 11716 11716 16,122
640 OUTSIDE PffiSOIIN3... Sffi\lICES 18,958 22,200 20,000 22,500
600 SUB-TOTAL 463,666 512,174 502,582 572. 852
651 OFRCE SUPPLIES 4,103 4,650 4,650 4,820
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 426 2,475 2,000 2,475
660 OPERATING SUPPLIES 1,819 3,225 3,000 3,225
650 SUB-TOTAL 6,348 10,350 9,650 10,520
702 CClI'I'ffiENCE & MEETING EXPENSES 1,743 4.000 4,000 4,225
704 CONTRACTUAL Sffi\lICES 0 0 0 0
706 DlESIBOOKS/SUBSCRlPTIONS 269 515 515 515
726 RECRUTMENT & ADVERTISB\lIENT 0 0 0 0
732 WITNESS & JUROR FEES 1,238 1,200 900 1,200
740 AUTO MILEAGERBMBlR>B\lIENT 147 150 150 150
750 PROFESSIONAL Sffi\lICES 9,733 9,975 9,975 10,650
758 RENTALS AIID LEASES 0 350 350 350
759 TB-EPHOI>E EXPENSE 0 0 0 0
776 OTHffiEQU1PMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEDUS Sffi\lICES AIID CW 0 0 0 0
700 SUB- TOTAL 13,130 16,190 15,890 17,090
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCEFURNTURE& EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUPM ENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
-
I DEPARTMENT/ACCOUNT TOTALS. I 483,1441 538,7141
528,122\
600,4621
252
-
-
Unl' Ite/ll Aecilllllts
Administrative Services - Administration
OI-II I
ADMlfIISTRA TIVE Sffi\lICES ACCOUNT 01-111 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM6'DETAILED EXPLANATION Bud(let Budget Bud(let Bud(let
-
602 STAFF SALARIES & WAGES 133,781 143,683 143.683 158.227
604 1A::t-t::KKW COM PENSA TION 4,488 4,867 4,867 5,351
606 AUTO ALLOWANCE I 3,600 3,600 3,600 3,600
610 OVERTIMEAMJ PR8\IIIUM PAY 0 0 0 0
617 TB\lI PORARY PffiSOIIN3... - H()IR.. Y 0 0 0 0
619 TB\lIPORARY PIR>OIIN3... - NON H()IR.. Y 0 0 0 0
620 RCA EXPENSE- B\lI PLOYffi 8,076 8,267 8,267 8,755
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 2,031 2,083 2,083 2,294
630 CCOERA RETIR8\II8'-ll1 1,761 1,854 1,854 2,048
640 OUTSIDE PIR>OIIN3... Sffi\lICES 0 0 0 0
600 SUB- TOTAL I 153,737 164,354 164,354 180,275
-
-
-
-
-
-
-
651 OFRCESUPPLlES I 467 750 750 1,000
655 POSTAGE I 0 0 0 0
654 PHOTOCOPY/PRINTING 0 1,500 1,500 1,500
660 OPERATING SUPPLIES 1,101 500 500 500
650 SUB- TOTAL I 1,568 2,750 2,750 3,000
-
-
-
-
-
702 CClN'mENCElMEETING 2,335 2,750 2,750 4,225
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlESIBOOKSISlESCRlPTIONS 996 1,040 1,040 1,152
712 AflNJAL APPRECIATION DII>NR 0 0 0 0
728 TRAlfIING I 85 250 0 1,500
740 MILEAGE RBMBlR>B\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 10,000
758 RENTALS AMJ LEASES 0 0 0 0
759 TB-EPHONE EXPENSE I 0 0 0 0
776 onm EQUIPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARGES 492 2,000 2,000 3,000
700 SUB- TOTAL I 3,908 6,040 5,790 19,877
-
-
-
-
-
-
-
-
-
802 OFRCEEQUlPMENT I 1,674 0 0 0
809 OTHffi MAJOR EQUlPM ENT 0 500 500 500
800 SUB-TOTAL I 1,674 500 500 500
-
-
I DEPARTMENT/ACCOUNT TOTALS.
I 160,8871 173,6441 173,3941
203,6521
-
-
-
-
253
Line Itelll 4eL'Ounts
Administrative Serviccs - Human Rcsources
OI-II2
tu'IIAN RESOURCES ACCOUNT 01-112 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM 6'DET AILED EXPLANA Budaet Bud(let Bud(let Bud(let
602 STAFF SALRlES & WAGES 132,628 138.638 138,638 196,047
604 Dt:t-1::HHt1.I COMPENSATION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEANDPR8\IIIUM PAY 0 0 0 0
617 TBVI PORARY PffiSONIII3... - HOURLY 0 0 0 0
623 \JII3\/I PLOYM ENT INSURANCE 44744 20,000 14,000 15,000
620 RCA EXPENSE- BVIPLOYffi 7,663 8,596 8,596 12,022
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 1,792 2,010 2,010 2,843
630 CCOERA RETIR8\IIENT 5,305 5,546 5.546 6,231
640 OUTSIDE PffiSOIIN3... Sffi\lICES 0 0 0 0
600 SUB- TOTAL 192,132 174,790 168,790 232,143
651 OFRCESUPPUES 407 400 500 500
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 2,863 2,000 2,000 2.000
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 3.270 2,400 2,500 2,500
702 CONFmENCElM EETING 0 999 999 999
706 DUESlBOOKS/SLmCRlPTIONS 636 1,600 1600 1600
712 B\lIPLOYEE FUNCTIONS 4.269 3,250 3.250 14,200
723 TUTION RBM BlR>B\lI ENT 0 0 0 0
724 PRE-BVIPLOYMENT PHYSICAL 8,304 13,300 13.300 11,700
726 RECRUTMENT & ADVERTISB\lIENT 40.207 25,000 30,000 33,000
728 TRAlfIING 14,530 22,500 7,272 15,000
740 AUTO MILEAGE RBMBlR>B\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 15,879 13,100 13,100 13,300
797 V ACA TION ACCR CASH-OUT 54,394 70,000 60,000 60,000
799 M ISCB-LANEOUS Sffi\lICES AMJ CW 0 250 250 250
700 SUB- TOTAL 138,219 149,999 129,771 150,049
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCEFURNlTURE& EQUPMENT 0 0 0 750
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL 0 0 0 750
301,0611
385,4421
I DEPARTMENT/ACCOUNT TOTALS: I 333,6211 327,1891
254
Line Itelll 4('('(}ullts
City Manager's Officc - Community Support
01-113
COMM\JIlITYSUPPORT ACCOUNT 01.113 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDETAILED EXPLANATION BudQet BudQe t BudQet Budaet
-
602 STAFF SALARIES & WAGES 0 0 0 0
604 Dl:l-tj-(KtiJ COMPENSATION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJ PR8\IIIUM PAY 10,376 10,000 0 0
617 TB\lI PORARY PffiSOI'lti.. - HOURLY 0 0 0 0
619 TB\lI PORARY PffiSOI'Iti.. - NON HOURL Y 0 0 0 0
620 RCA EXPENSE- B\lI PLOYffi 128 639 0 0
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 107 145 0 0
630 CCOERA RETIR8\IIENT 0 0 0 0
640 OUTSIDE PffiSONNa Sffi\lICES 0 0 0 0
600 SUB- TOTAL 10,611 10.784 0 0
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE COSTS 14,000 15,000 15,000 15.000
654 PHOTOCOPY/PRINTING 19,792 21,600 20,500 20,520
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 33,792 36,600 35,500 35,520
702 CONFERENCE & MEETING EXPENSES 3.229 1,100 1100 1,100
704 CONTRACTUAL Sffi\lICES 18,223 110,834 112,634 33,150
712 AflNJAL APPRECIATION D1NNffi 0 0 0 0
714 LEGALS & PUBLICAA TIONS 0 0 0 0
716 LEGISLATIVE M BVI BERSHP 0 0 0 0
740 AUTO MILEAGE RBMBlR)B\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 9,382 0 0 0
758 RENTALS AIID LEASES 0 0 0 0
780 OUTSIDE AGENCY CONTRIBUTIONS 10,100 0 0 0
799 MISCB-LANEOUS Sffi\lICES AND CHARG8 7,017 7,140 8,000 7,590
700 SUB- TOTAL 47,951 119,074 121,734 41,840
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCE FURNITURE & EQUlPM ENT 0 0 0 0
809 onm MAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
-
-
DEPARTMENT/ACCOUNT TOTALS,
-
-
-
-
255
Line Item .1cCt>lIlltS
Administrative Services - Sales Tax
01-115
SALES TAX ACCOUNT 01-115 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDErAILEDEXPLANATIClI Budaet Bud(let Bud(let Bud(let
602 STAFF SALARIES & WAGES 94,973 142,179 143,135 149,720
604 Dt:t-t::KKW COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 0 0 0 0
617 TBVlPORARY PffiSONNB.. - H()IR.. Y 533 2,850 0 0
619 TBVI PORARY PffiSONNa - NON HOI.R. Y 0 0 0 0
620 FICA EXPENSE- B\lI PLOYffi 5,879 9,091 9,091 9,283
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 1,375 2,126 2,126 2,170
630 CCOERA RETIR8\IIENT 3,799 4,352 4,352 5,676
640 OUTSIDE PffiSOfIN3... Sffi\lICES 0 0 0 0
600 SUB- TOTAL 106,559 160,598 158,704 166,849
651 OFRCE SUPPLIES 642 1,500 1.500 1.530
655 POSTAGE 4,506 4,800 4,800 5,300
654 PHOTOCOPY/PRINTING 433 1.650 1,819 1,020
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 5,581 7,950 8.119 7,850
702 CONFERENCE & MEETING EXPENSES 44 500 500 510
704 CONTRACT Sffi\lICES 2,310 956 955 9,932
706 DlESIBOOKS/SUBSCRlPTIONS 150 400 370 408
726 RECRUTMENT & ADVERTISB\lIENT 0 0 0 0
728 TRAlfIING 0 500 395 510
740 AUTO MILEAGE RBM BlR>B\lI ENT 992 1,000 1,150 1,300
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARG 0 0 0 0
700 SUB-TOTAL 3.496 3,356 3,370 12,660
802 OFRCE FURNITURE & EQUlPM ENT 2,737 0 0 600
809 OTHffi MAJOR EQUlPM ENT 0 0 0 0
800 SUB-TOTAL 2,737 0 0 600
170,1931
187,9591
IDEPARTMENTIACCOUNT TOTALS:
I 118,3731 171,9041
256
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Line Item 4cco/lflfs
Administrathe Services - Purchasing and Contracting
01-116
PURCHASING ACCOUNT 01-116 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDET AILED EXPLANA Bud(let Bud(let Budaet Budaet
602 STAFF SALARIES & WAGES 56,043 58,350 58,350 63,637
604 Dt:t-t::KKW COM PENSA TlON 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJPR8\IIIUM PAY 0 0 0 0
617 TB\lI PORARY PffiSONNB- - HOURLY 0 50 50 0
619 TBVlPORARY PffiSONNEL - NON HOlJ' 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 3,446 3,618 3,618 3,946
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 806 846 846 923
630 CCOERA RETIR8\II ENT 2,242 2,334 2,334 2,545
640 OUTSIDE PffiSONNa Sffi\lICES 0 0 0 0
600 SUB-TOTAL 62,537 65,198 65.198 71,051
651 OFRCE SUPPLIES 329 800 700 600
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 329 800 700 600
702 COIflRENCElM EETING 1,040 950 950 1,000
704 CONTRACT Sffi\lICES 0 0 0 0
706 DUESlBOOKSIS\J3SCRlPTIONS 270 350 350 400
728 TRAlfIING 500 500 500 400
732 WITNESS & JURROR FEES 0 0 0 0
740 MILEAGE RBMBlR>B\lIENT 462 300 300 400
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AMJ LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES AMJ CHJ 0 0 0 0
700 SUB-TOTAL 2,272 2,100 2,100 2,200
802 OFRCE EQUlPM ENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
73,8511
65,1381 68,0981
67,9981
I DEPARTMENT/ACCOUNT TOTALS.
257
l.inl' Itelll .kCOlluts
Administrative Services - Information Technology
01-117
INFORM A TION TECI-NOLOGY ACCOlM 01-117 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDErAILBJ EXPLANATIC Budget Budget Budget Budget
602 STAFF SALARIES & WAGES 263,295 279,069 279,069 304,677
604 Dt:t-u-<ttiJ COM PENSA TION 0 0 0 0
610 OVERTIMEAND PR8\IIIUM PAY 0 3,960 3.960 5,280
614 ST AfIIJBY PAY 0 0 6.000 12,000
617 TBVlPORARY PffiSOIIN3... - HOURLY 0 0 0 20,000
619 TBVI PORARY PffiSONNB.. - NON H()IR.. Y 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 15,533 17,303 17,303 18,890
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 3,633 4,047 4,047 4,418
630 CCOERA RETIR8\II ENT 10,502 11163 11,163 11,100
640 OUTSIDE PffiSOIIN3... Sffi\lICES 0 0 0 0
600 SUB- TOTAL 292,963 315,542 321,542 376,365
651 OFRCE SUPPLIES 0 0 1,000 2,000
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 3,494 5,950 4,913 5,950
650 SUB-TOTAL 3,494 5,950 5,913 7,950
-
-
-
702 CONFmENCElM EETING 3,312 4,200 3,000 4,200
704 CONTRACT Sffi\lICES 0 0 0 0
706 DUESlBOOKS/SlESCRlPTIONS 2,237 2,757 2,757 2,650
728 TRAlfIING 19,803 42,195 35,000 25,500
740 AUTO ALLOWANCE 1,553 1,093 1,000 2,000
750 PROFESSIONAL Sffi\lICES 45,400 35,000 16,500 17,500
755 COM PUTffi SOFTWARE 258,667 294,340 261,340 441,550
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHER EQUIPMENT MAINTENANCE 21,902 38,000 38,000 22,800
799 M ISCB-LANEOUS Sffi\lICES AND CHAR< 0 0 0 0
700 SUB-TOTAL 352,874 417,585 357,597 516.200
-
-
-
-
-
802 OFRCE EQUPM ENT 42,184 42,790 42,790 54,885
803 TOOLS AND WORK EQUlPM ENT 0 3,500 0 0
809 OTHER MAJOR EQUlPM ENT 166,799 296,250 270,250 246,825
800 SUB-TOTAL 208,983 342,540 313,040 301,710
I DEPARTMENT/ACCOUNT TOTALS,
I 858,3141 1,081,6171
998,0921 1,202,2251
258
-
-
Lille Itelll 4CCOIlIlts
Parks and Recreation - Building Maintenance
OI-II8
BUILDING MAINTENANCE ACCOUNT 01-118 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
Budget Budget Budget Budaet
-
602 STAFF SALARIES & WAGES 47491 49,558 49,558 54,299
604 IJEFffiRB) COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AMJ PR8\IIIUM PAY 9,788 10,721 10,721 6,000
614 TBVlPORARY PffiSONNa - HOURLY 6,124 6,814 6,814 0
619 TBVI PORARY PffiSONfII3... - NON HOURLY 0 0 0 0
620 FICA EXPENSE- B\lI PLOYffi 3,863 3,073 3,073 3,367
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 903 719 719 787
630 CCOERA RETIR8\IIENT 1,883 1,982 1,982 2,172
640 OUTSIDE PffiSONNa Sffi\lICES 0 0 0 0
600 SUB- TOTAL 70,052 72.867 72,867 66,625
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 27,558 27,693 27,693 28,895
650 SUB- TOTAL 27,558 27.693 27,693 28,895
702 COI\FER8'lCElMEETING 0 0 0 0
704 CONTRACT Sffi\lICES 71,215 77,020 77,020 81,395
706 DlESIBOOKS/SUBSCRlPTIONS 60 100 60 100
728 TRAlfIING 100 500 400 500
730 UfIIFORMS 164 377 377 450
758 RENTALS & LEASES 4,644 5,000 5,262 7,000
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 90,873 100,200 106,200 104.500
774 FACILITY REPAIR & MAINTENANCE 31,398 42,250 42,250 29,000
776 OTHffi EQUIPMENT MAINTENANCE 2.412 3,700 3,700 5,000
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARG 0 0 0 0
700 SUB- TOTAL 200,866 229,147 235,269 227,945
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
803 TOOLS AMJ WORK EQUlPM ENT 992 1,000 1,000 2,000
812 BUILDING 1M PROVBVIENTS 0 0 0 45,000
800 SUB-TOTAL 992 1,000 1,000 47,000
-
I DEPARTMENT/ACCOUNT TOTALS
I 299,4681 330,7071
336,8291
370,4651
-
-
259
Une Ite/ll 4ccollnts
Community Development - Administration
01 - 120
COMMUfIITY DEVB-OPMENT ADMIN ACCOUNT. 01-120 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM ElDET AILED EXPLANATION Bud(let Bud(let Budget Budgel
602 STAFF SALARIES & WAGES 134,727 141,241 141,241 163,552
604 1A::t-t::KKW COM PENSA TION 4,804 5,047 5,047 5,931
606 AUTO ALLOWANCE 3,600 3,600 3,600 3,600
610 OVERTIMEAMJ PR8\IIIUM PAY 0 0 0 0
617 TBVlPORARY PffiSONNa - HOlR. Y 2,557 6,000 6.000 21,000
619 TBVlPORARY PffiSONIIEI... - NON H()IR.. Y 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 7,857 8.265 8,265 8,366
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 2,071 1,933 1,933 2,371
630 CCOERA RETIR8\IIENT 1,529 1,612 1,612 1797
640 OUTSIDE PffiS0Nti3.- Sffi\lICES 0 0 0 0
600 SUB-TOTAL 157,145 167.698 167,698 206,617
651 OFRCE SUPPLIES 1,571 2,000 2.000 3,000
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 147 700 500 500
660 OPERATING SUPPLIES 0 200 400 400
650 SUB-TOTAL 1,718 2.900 2,900 3,900
702 CClI'I'ffiENCE & MEETING EXPENSES 472 750 600 1,900
704 CONTRACTUAL Sffi\lICES 0 0 0 0
706 DUESlBOOKS/SUBSCRlPTIONS 406 460 460 550
718 ORDINANCE eFORCEM ENT 0 200 0 0
728 TRAlfIING 60 400 200 800
730 UfIIFORMS AMJ PROTECTIVE CLOTHING 0 0 0 75
750 PROFESSIONAL Sffi\lICES 0 100,000 100,000 0
752 MICRORLMING 600 1,000 0 5,000
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffiEQU1PMENT MAINTENANCE 0 800 0 800
799 M ISCB-LANEDUS Sffi\lICES AMJ CHARGES 0 0 0 0
700 SUB- TOTAL 1,538 103.610 101,260 9,125
802 OFRCE FURNTURE & EQUlPM ENT 0 0 0 15,000
809 OTHffi MAJOR EQUlPM ENT 0 0 0 0
800 SUB-TOTAL 0 0 0 15,000
I DEPARTMENT/ACCOUNT TOTALS:
I 160,4011 274,2081
234,6421
271,8581
260
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Unc Itelll Aceoullts
Community Development - Planning
01-121
-
PLANNING ACCOUNT 01-12 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDErAILED EXPLANATION Budget Budaet Budaet Budaet
-
602 STAFF SALARIES & WAGES 153,872 163,194 163,194 233.330
604 DEFERRED COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAND PR8\IIIUM PAY 0 0 0 0
617 TBVlPORARY PffiSONNa - HOURI.. Y 0 0 0 0
619 TB\lI PORARY PffiSONNa - NON H()IR.. Y 0 0 0 0
620 FICA EXPENSE- B\lI PLOYffi 9,348 10,118 10,118 14,502
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 2,186 2,366 2,366 3,383
630 CCOERA RETIR8\IIENT 4,904 6,410 6,410 6,943
640 OUTSIDE PffiSONNa Sffi\lICES 0 0 0 0
600 SUB- TOTAL 170,310 182,088 182,088 258,158
651 OFFICE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 923 2,000 2,000 7,950
660 OPERATING SUPPLIES 217 900 900 2,900
650 SUB- TOTAL 1,140 2,900 2,900 10,850
702 COfll'ffiENCElM EETING 292 560 560 2700
704 CONTRACT Sffi\lICES 2.600 5,000 0 20000
706 DUESlBOOKSISUBSCRlPTIONS 2.332 4725 3000 3330
718 ORDINANCE ENFORCBVI ENT 0 0 0 0
728 TRAlfIING 941 600 300 800
730 UfIIFORMS & PROTECTIVE CLOTHNG 0 0 0 100
740 AUTO MILEAGE RBMBlR>EMENT 0 0 0 200
755 COM PUTffi SOFTWARE 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffi EQUlPM ENT MAINTENANCE 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES AMJ CHARGEl 0 0 0 0
700 SUB- TOTAL 6,165 10,885 3,860 27,130
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCEFURNTURE& EQUIPMENT 0 0 0 2,700
809 OTHffi MAJOR EQUlPM ENT 0 0 0 0
800 SUB-TOTAL 0 0 0 2,700
-
-
1177,6151 195,8731
298,8381
I DEPARTMENT/ACCOUNT TOTALS.
188,8481
-
-
-
-
261
Line Item Acco/lnts
Community Development - Building
01-122
INSPECTION Sffi\lICES ACCOUNT 01-12 2004 2005 2005 2006
Aclual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANATION Budaet Budllet Budaet Budget
602 STAFF SALARIES & WAGES 92,232 143,906 143.906 157,570
604 Dt:t-t::KKW COMPENSATION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJPR8\IIIUM PAY 0 0 0 0
617 TB\lI PORARY PffiS0tN3... - H()IR.. Y 0 0 0 0
619 TB\lI PORARY PffiSQ11N3... - NON HOURL Y 0 0 0 0
620 RCA EXPENSE- B\lIPLOYffi 5,173 8,922 8,922 9,769
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 1,210 2,087 2,087 2,285
630 CCOERA RETIR8\IIENT 1,831 4.910 4,910 5,574
640 OUTSIDE PffiSONMl. Sffi\lICES 0 0 0 0
600 SUB- TOTAL 100,446 159.825 159,825 175.198
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 564 700 700 700
660 OPERATING SlPPLlES 219 600 600 2,000
650 SUB-TOTAL 783 1,300 1,300 2,700
702 CONFmENCElM EETING 119 600 600 1,250
704 CONTRACT Sffi\lICES 127,807 35,000 35,000 35,000
706 DlESIBOOKS/SlESCRlPTIONS 1,330 1,500 1,500 2,000
718 ORDINANCE EllFORCBVI ENT 49 2,000 2,000 0
728 TRAlfIING 1,565 3,000 3,000 3,500
730 UfIIFORMS & PROTECTIVECLOTHNG 0 300 300 650
740 AUTO MILEAGERBMBlR>EMENT 0 0 0 0
752 MICRORCHE 0 0 0 0
755 COM PUTffi SOFTWARE 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffi EQUIPM ENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEDUS Sffi\lICES AMJ CHARGEl 0 0 0 0
700 SUB- TOTAL 130,870 42,400 42,400 42,400
-
-
802 OFRCEFURfIITURE& EQUIPMENT 0 0 0 300
809 OTHffi MAJOR EQUlPM ENT 0 0 0 0
800 SUB-TOTAL 0 0 0 300
I DEPARTMENT/ACCOUNT TOTALS.
I 232,0991 203,5251
203,5251
220,5981
262
-
Une Ilelll 4ccollllls
Police - Administration
01-201
POLICE ADM INlSTRA TION ACCOUNT 01-201 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANA TIO Budget Budget Budget Budaet
-
602 STAFF SALARIES & WAGES 477,965 455,299 455,299 439,707
604 1A::t-t:t<t<t:1J COM PENSA TION 6,351 8,851 4,890 5,351
605 EXTRA DUTY PAY 76,963 50,000 50,000 50,000
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJ PR8\IIIUM PAY 3,130 1,000 1,000 1,500
618 COURT PAY 0 200 200 200
620 RCA EXPENSE- EMPLOYffi 15.315 16,757 16,757 15,311
622 MEDICAL/DENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 5.427 4,080 4080 3,828
630 CCOERA RETIR8\IIENT 6,613 6,686 6,686 6,278
633 POLICE RETIR8\IIENT 18.244 17,391 17,391 17,573
600 SUB- TOTAL 610.008 560,264 556,303 539,748
651 OFRCE SUPPLIES 6,777 7,500 7,500 9,500
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 12.000 12,000 13,510
660 OPERATING SUPPLIES 2,379 4.000 4,000 37,900
650 SUB- TOTAL 9,156 23,500 23,500 60,910
702 CONFmENCElM EETING 989 3,000 3,000 3,610
704 CONTRACTUAL Sffi\lICES 0 0 0 0
706 DlES/BOOKS/SLESCRlPTIONS 6,436 8,445 8,445 9,967
728 TRAlfIING 5,931 8,300 8,300 12,800
730 UfIIFORMS & PROTECTIVE CLOTHING 413 0 0 0
741 UfIIFORM ALLOWANCE 23,059 28,950 28,950 29,800
750 PROFESSIONAL Sffi\lICES 68,234 42,100 42,100 77. 025
755 COM PUTffi SOFTWARE 0 0 0 0
758 RENTALS AMJ LEASES 0 0 0 0
759 TB-EPHOI>E EXPENSE 0 0 0 0
776 OTHffi EQUlPM ENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARG 0 0 0 0
700 SUB- TOTAL 105,062 90,795 90,795 133,202
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCEFURNTURE& EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
ACCOUNT #800 SUB-TOTAL 0 0 0 0
-
-
I 724,2261 674,5591
670,5981
733,860 I
I DEPARTMENT/ACCOUNT TOTALS,
-
-
-
263
Line Item ,Icco/lnts
Police - Community Services Unit
01-203
AfIIMAL-PARK ENFORCBVI EN' ACCOUNT 01-203 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM ElDET AILED EXPLANA TI Budaet Budget Budael Budaet
602 STAFF SALARIES & WAGES 131,604 128,041 128,041 175,360
604 DEFffiRED COMPENSATION 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
610 OVERTIMEAMJ PR8\IIIUM PAY 4,034 3,820 3,820 0
618 COURT PAY 168 1,030 1,030 1,500
619 TBVI P PffiSONNEL NON-H()IR.. Y 0 5.000 5,000 19,400
620 RCA EXPENSE- B\lI PLOYffi 7,934 8,010 8,010 10,872
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 M BlICARE PORTION RCA 1,855 1,857 1,857 2,543
630 CCOERA RETIR8\IIENT 1,760 3,913 3,913 5,984
633 POLICE RETIR8\II ENT 0 0 0 0
600 SUB-TOTAL 147,355 151,671 151,671 215,659
651 OFRCESUPPLlES 0 0 0 0
655 POSTAGE 0 500 500 650
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 1,142 700 700 800
650 SUB- TOTAL 1142 1,200 1,200 1,450
702 CClI'I'ffiENCElM EETING 258 500 500 500
704 CONTRACTUAL Sffi\lICES 0 0 0 0
706 DlESIBOOKS/SUBSCRlPTIONS 0 0 0 0
720 VETERINARY Sffi\lICES 160 500 500 500
721 JEFFCO AfIIMAL SI-EI... Tel 13,444 23,240 23,240 22,365
730 \JIlIFORMS AMJ PROTECTIVE CLOTHNC 908 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffiEQUIPMENT MAINTENANCE 567 2,100 2,100 2,100
799 MISCB-LANEOUS Sffi\lICES ANDCHAF 0 0 0 0
700 SUB-TOTAL 15,337 26,340 26,340 25.465
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCEEQUPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 1,000
800 SUB-TOTAL 0 0 0 1,000
I DEPARTMENT/ACCOUNT TOTALS,
I 163,8341 179,2111
179.2111
243,5741
-
264
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
LillI' Itelll Accounts
Police - Communications
01-204
Pa.ICEC~MLNCATIOOS ACCa.Nr' 01-204 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCa.Nr NMlE1IETAlLIDEXPI..AN4TIC IiJd(let IiJd~et IiJdget IiJdget
602 STAFF SALARlffi & WAGES 428,381 413,878 360,050 487,887
604 LU u<l<LlJC~PB5ATIOIl 0 0 0 0
605 EXTRA OOTYPAY 0 0 0 0
606 AUTO ALLOIVAI\CE 0 0 0 0
610 CNffiTlMEA/II)PREMILM PAY 21.471 45,202 44,608 27,280
618 CClRl' PAY 0 400 400 400
620 RCA EXf'B'5E. B\lIPLOYffi 27,398 28,813 28,813 30,249
622 MEDCAUlBIITAL INSl.RA/ICE 0 0 0 0
625 MEDCARE PCRTIOIl RCA 6.428 6,675 6,675 7,074
630 CCa:RA RETIREMENT 15,219 18,179 18,179 17,028
633 Pa.ICERETlREMENT 0 0 64 0
600 SLB- TOTAL 498,897 513,147 458,789 569,918
651 CFRCESlPPLlffi 0 0 0 0
655 POOTAGE 0 0 0 0
654 PI-OTOCCPY/PRNTlI'-I> 0 0 0 0
660 CPERATII'-I> SlPPLlffi 2,143 67,599 67,599 230
650 SLB- TOTAL 2,143 67,599 67,599 230
702 CCNmEN:;E1MEETlI'-I> 713 7'3J 7'3J 7'::iJ
704 CGlTRACTl.W. SERVICffi 0 34,801 34,801 109,830
706 1UB'0000000SlESCRlPTlOOS 0 0 0 0
732 W1TN:5S & JI..R:R FEES 0 0 0 0
716 L8]SLATIVEMBM~HP 0 0 0 0
740 AUTO MILEAGE R13MB.RS8IIIENT 0 0 0 0
750 PR:FE5SI0\lAL SERVICffi 0 0 0 0
758 RI:NI" ALS A/II) LE'ASE5 0 0 0 0
759 TB-EPI-I:N: EXP8\\SE 0 0 0 0
776 OTHffi B:UPMENT MAlNTENA/lCE 46,319 46,700 46,700 17,200
799 MISCB-I.AI\IDUS SERVICffi A/II) CHARG 0 0 0 0
700 SLB- TOTAL 47,032 82,251 82,251 127,780
802 CFRCE RRIITlR::& B:UPMENT 0 0 0 2,400
805 CCWlMLNCATlOOS B:UPMENT 0 177,691 0 0
809 OTI-ffi MAJCR B:UPMENT 0 0 0 3,450
800 SLB- TOTAL 0 177,691 0 5,850
I [B>ARrMENT/ACca.NT TOTALS:
I 548,0721 840,6881 608,6391
703,7781
265
Une Ite/ll AeclIlIllt.\
Police - School Resource Officer
01 -205
SB-ECTIVEENFORCEMENT AND 8JUCATIC ACCOUNT 01-205 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM 6'DET AILED EXPLANATION Budget Budget Budget Budget
602 STAFF SALARIES & WAGES 0 0 0 123,359
604 1A::t-t::KKW COM PENSA TION 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AIID PR8\IIIUM PAY 0 0 0 6,000
618 COURT PAY 0 0 0 1,620
620 RCA EXPENSE- B\lIPLOYffi 0 0 0 0
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 0 0 0 1789
630 CCOERA RETIRBVIENT 0 0 0 0
633 POLICE RETIR8\II ENT 0 0 0 12,336
634 STATE DISABILITY INSURANCE 0 0 0 1,542
600 SUB-TOTAL 0 0 0 146,646
651 OFRCESUPPLlES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 3,000
650 SUB-TOTAL 0 0 0 3,000
702 CONFmENCElMEETING 0 0 0 200
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlES/BOOKS/SUBSCRlPTIONS 0 0 0 0
730 UfIIFORMS & PROTECTIVE CLOTHNG 0 0 0 0
716 LEGISLATIVE M BVI BERSHP 0 0 0 0
740 MILEAGE RBM BlR>B\lI ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHOI>E EXPENSE 0 0 0 0
776 OTHffi EQUIPM ENT MAINTENANCE 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES AMJ CHARGES 0 0 0 0
700 SUB- TOTAL 0 0 0 200
802 OFRCE FURNITURE & B:lUIPM ENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL 0 0 0 0
01
01
01
149,8461
I DEPARTMENT/ACCOUNT TOTALS.
266
-
-
-
-
-
-
-
Line ltem 4cco/lllts
Police - Records
01 -206
POLICE RECORDS ACCOUNT 01-206 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANATION Budaet Budaet Budaet Budaet
-
602 STAFF SALARIES & WAGES 163,600 181,840 181,840 195,920
604 Dt:t-t::KKtll COM PENSA TION 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 916 1.900 1,900 9,200
617 TB\lIP PffiSOIIN3... - H()IR.. y 0 2,963 0 0
620 RCA EXPENSE- BVI PLOYffi 9,870 11.274 11,274 12,147
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 2,308 2,637 2,637 2,841
630 CCOERA RETIR8\IIENT 6.048 6,536 6.536 7,837
633 POLICE RETIR8\II ENT 0 0 0 0
600 SUB- TOTAL 182.742 207,150 204,187 227,945
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 5,392 0 0 0
660 OPERATING SUPPLIES 473 800 800 800
650 SUB- TOTAL 5,865 800 800 800
702 CONFERENCElM EETING 45 0 0 0
704 CONTRACTUAL Sffi\lICES 0 0 0 0
706 DUESlBOOKSISlBSCRlPTIONS 0 0 0 0
732 WITNESS & JUROR FEES 0 0 0 0
716 LEGISLATIVE MB\lI BERSHP 0 0 0 0
740 MILEAGE RBMBlR>B\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 17.037 20,000 20,000
758 RENTALS AMJ LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEDUS Sffi\lICES AND CHARGES 0 0 0 0
700 SUB-TOTAL 45 17,037 20,000 20,000
-
.-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCE FURNTURE & EQUlPM ENT 0 0 0 0
809 OTI-ER MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL 0 0 0 0
-
-
-
I DEPARTMENT/ACCOUNT TOTALS.
248.7451
I 188,6521 224,987\ 224,9871
-
-
-
-
267
Line Item 4L'co/lnts
Police - Training
01-207
POLICE TRAlfIING ACCOUNT 01-207 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDETAILED EXPLANATION Budaet Bud(let Bud(let BudQet
602 STAFF SALARIES & WAGES 41,318 42.932 42,932 49,817
604 Dt:t-t::KKW COM PENSA TION 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAND PR8\IIIUM PAY 452 2,800 2,800 3,500
618 COURT PAY 0 0 0 0
620 RCA EXPENSE- B\lI PLOYffi 2,295 2,662 2,662 3,089
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 537 623 623 722
630 CCOERA RETIRBVIENT 1,653 1717 1,717 1,993
633 POLICE RETIR8\II ENT 0 0 0 0
600 SUB-TOTAL 46,255 50,734 50,734 59,121
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 3,234 3,000 3,000 3,000
650 SUB-TOTAL 3,234 3.000 3,000 3,000
702 CONFmENCElM EETING 873 2,500 2,500 3,000
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlES/BOOKS/SlESCRlPTIONS 0 0 0 0
728 TRAlfIING 46,956 75,000 75,000 85.250
730 UfIIFORMS & PROTECTIVECLOTHNG 16,541 46,000 46,000 42.000
740 MILEAGE RBM BlR>B\lI ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHOfIE EXPENSE 0 0 0 0
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEDUS Sffi\lICES AMJ CHARGES 0 0 0 0
700 SUB-TOTAL 64,370 123,500 123,500 130,250
-
-
-
-
-
-
-
-
-
-
-
802 OFRCEEQUlPMENT 0 0 0 0
809 OTHffi MAJOR EQUlPM ENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
I DEPARTMENT/ACCOUNT TOTALS,
I 113,8591 177,2341
177,2341
192,371\
268
-
Line Item 4ceo/lnts
Police - Patrol
01 -2 11
POLICE PATROL ACCOUNT 01-21 2004 2005 2005 2006
I Actual Adjusted Estimated Adopted
ACCOUNT NAM 6'DET AILED EXPLANA TIO~ Budaet Budaet Budaet Bud(let
-
602 STAFF SALARIES & WAGES 1,924,977 2,202,006 2.152,403 2,430,217
603 LONGEVITY 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AMJ PR8\IIIUM PAY 120,456 200,000 200,000 202,440
618 COURT PAY 25,371 34,500 34,500 38,808
620 RCA EXPENSE- B\lI PLOYffi 1,330 232 232 5,188
622 M BlICALlDENT AL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 23,544 26,773 26,773 32,698
630 CCOERA RETIR8\IIENT 0 0 0 943
633 POLICE RETI R8\II ENT 186,405 220,851 220,851 234,653
634 STATE DISABILITY INS, 28.444 32,399 32,399 42,457
600 SUB-TOTAL 2,310,527 2,716,761 2,667158 2,987,404
657 RANGE SUPPLIES 16,684 18,200 18,200 22,360
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 12,587 21.330 21,330 30,100
650 SUB-TOTAL 29,271 39,530 39,530 52,460
702 COI'FBDICElM EETING 182 500 500 650
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlESIBOOKS/SUBSCRlPTIONS 0 0 0 0
727 EXPENSE RBMBlR>BV1 ENT 42 600 600 0
730 UNIFORMS AMJ PROTECTIVE CLOTHING 10,789 20,050 20,050 12,000
740 MILEAGE RBMBlR>BV1 ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 15,578 13,200 12,400 12,900
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONElPAGffi EXPENSE 0 0 0 0
776 OTHffiEQUlPMENT MAINTENANCE 1,419 2,100 2,100 2.100
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARGE 0 0 0 0
700 SUB-TOTAL 28,010 36,450 35,650 27,650
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCE FURNITURE & EQUlPM ENT 0 0 0 0
809 OTHffi MAJOR EQUlPM ENT 0 23.600 23.600 20,754
800 SUB-TOTAL 0 23,600 23,600 20,754
-
-
-
I 2,367,8081 2,816,3411 2,765,9381 3,088,2681
I DEPARTMENT/ACCOUNT TOTALS.
-
-
-
-
269
Lillt'ltelll 4ec()lInts
Police - Investigations
01-212
POLICE INVESTIGATIONS ACCOUNT 01-21 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM6'DETAILED EXPLANATIQII Bud(let Bud(let Bud(let Bud(let
602 STAFF SALARIES & WAGES 813,253 877,849 835,000 1,003,734
603 LONGEVITY 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEAMJPR8\IIIUM PAY 64,178 74,250 74,250 85,000
614 STAI03Y PAY 6,555 7,000 7,000 20,000
618 COURT PAY 2,585 6,800 8,000 8,000
620 RCA EXPENSE- B\lI PLOYffi 5,065 4,896 4,896 4,825
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 8,399 8,525 8,525 7,542
630 CCOERA RETIR8\IIENT 3,116 2,964 2,964 3,113
633 POLICE RETIR8\II ENT 73,083 81,255 81,255 92.591
634 STATE DISABILITY INS, 0 5,519 5,519 4,452
600 SUB-TOTAL 976,234 1069,058 1,027409 1.229.257
657 RANGE SUPPLIES 0 0 0 0
655 POSTAGE 31 350 350 350
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 12,348 9,200 14,000 16.500
650 SUB- TOTAL 12,379 9,550 14,350 16,850
702 CCJIIE8BIICElM EETI NG 4,539 4,180 4,180 4,120
704 CONTRACT Sffi\lICES 0 0 0 8,000
706 lllSIBOOKSISlESCRlPTIONS 0 0 0 0
727 EXPENSERBMBlR>BVIENT 829 800 800 2,000
730 UfIIFORMS AM> PROTECTIVE CLOTHNG 415 1,000 1,000 1.000
740 MILEAGE RBMBlR>B\lI ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 13,366 21,803 19,720 13.500
758 RENTALS AM> LEASES 2,253 3,000 3,000 4000
759 TB-EPHOtE'PAGffi EXPENSE 0 0 0 0
776 OTHffiEQUlPMENT MAINTENANCE 1,639 1,315 1,315 4,315
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARGE 0 4,000 4,000 0
700 SUB-TOTAL 23,041 36,098 34,015 36,935
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCE FURNTURE & EQUIPMENT 4,289 5,000 5,000 25,000
804 e.IGIte:RlNG & PHOTO EQUIPMENT 0 8,500 8,500 12,050
800 SUB-TOTAL 4,289 13,500 13,500 37,050
I DEPARTMENT/ACCOUNT TOTALS:
11,015,94311,128,2061 1,089,274\ 1,320,0921
-
270
Une Item Accounts
Police - Traffic Enforcement
01-213
TRAFRC ENFORCB\lIENT ACCOUNT 01-213 2004 2005 2005 2006
Actual Adjusted Estimaled Adopted
ACCOUNT NAM 6'DET AILED EXPLANATION Bud(let Bud(let Budaet Budaet
-
602 STAFF SALARIES & WAGES 241,464 192,947 180,000 324,660
603 LONGEVITY 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 16,384 14,000 14,000 10,800
614 STANDBY PAY 174 0 0 0
618 COlRT PAY 2,466 5,750 5,750 5,750
620 RCA EXPENSE- B\lI PLOYffi 0 0 0 0
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MBlICARE PORTION FICA 3,771 2,798 2,798 4708
633 POLICE RE\'IR8\IIENT INSURANCE 23,477 19,295 19,295 32,466
634 STATE DISABILITY INS. 0 1,449 1,449 3,084
600 SUB-TOTAL 287 736 236,239 223,292 381,468
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
662 VEHCLE& EQUIPMENT 0 0 0 0
650 SUB-TOTAL 0 0 0 0
702 COIII=ERENCElM EETING 91 300 300 300
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlJES/BOOKSISlESCRlPTIONS 0 0 0 0
730 UNIFORM S AMJ PROTECTIVE CLOTI-DNG 1,069 4,500 1,500 4700
716 LEGISLATIVE M BVI BERSHP 0 0 0 0
740 MILEAGE RBMBlR>B\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AMJ LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTI'I:REQUlPMENT MAINTENANCE 643 1,000 1,000 1,000
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARGE 0 0 0 0
700 SUB- TOTAL 1,803 5.800 2,800 6,000
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCEFURNTURE& EQlJPMENT 0 0 0 0
809 OTI'I:R MAJOR EQUIPMENT 0 0 0 11,500
800 SUB-TOTAL 0 0 0 11,500
-
-
DEPARTMENT/ACCOUNT TOTALS,
-
-
-
271
Line Item A,ceollnts
Police - Special Investigations
01-214
SPECIAL INVESTIGATIONS ACCOUNT. 01-214 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM 6'DET AILED EXPLANA 1 Budget Budget Budget Budget
602 STAFF SALARIES & WAGES 184,652 195,195 185,000 200,694
604 1A::t-t::KKW COM PENSA TlON 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 8,922 11,000 11,000 15,300
618 COURT PAY 240 2,450 1,000 2,455
620 FICA EXPENSE- BVIPLOYffi 0 0 0 0
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 798 870 870 894
630 CCOERA RETIR8\IIENT 0 0 0 0
633 POLICE RETIR8\IIENT 18,893 19,520 19,520 20,069
600 SUB-TOTAL 213,505 229,035 217,390 239,412
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 0 200 200 200
650 SUB- TOTAL 0 200 200 200
702 CClI'I'ffiENCElM EETI NG 0 0 0 0
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlJES/BOOKS/SlESCRlPTIONS 0 0 0 0
727 EXPENSE RBM BlR>BV1 ENT 0 150 150 150
730 UfIIFORMS & PROTECTIVE CLOTHNG 0 300 300 300
740 MILEAGE RBM BlR>BV1 ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 16,834 17,500 16.000 18,000
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffiEQUlPMENT MAINTENANCE 55 300 300 300
799 MISCB-LANEDUS Sffi\lICES AMJ CHA 0 0 0 0
700 SUB- TOTAL 16,889 18,250 16,750 18,750
-
-
-
-
-
8021 OFRCE FURNITURE & EQUIPMENT 0 0 0 0
809 I OTHffi MAJOR EQUIPMENT 0 0 0 0
ACCOUNT #800 SUB-TOTAL 0 0 0 0
I DEPARTMENT/ACCOUNT TOTALS. I 230,3941 247,4851
234,3401
258,362\
272
-
-
Une Itelll .1cnJ//nt.\
Police - Emergency Operations
Ot-2IS
B\lIffiGENCY OPERATIONS ACCOUNT 01-2H 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDETAILED EXPLANATI Bud(let BudQet BudQet BudQet
-
602 STAFF SALARIES & WAGES 0 0 0 0
604 DEFERRID COMPENSATION 0 0 0 0
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 0 0 0 0
618 COlRT PAY 0 0 0 0
620 FICA EXPENSE- B\lI PLOYffi 0 0 0 0
622 MEDICAL/DENTAL INSURANCE 0 0 0 0
625 M BlICARE PORTION FICA 0 0 0 0
630 CCOERA RETIR8\IIENT 0 0 0 0
633 POLICE RETIR8\IIENT 0 0 0 0
600 SUB-TOTAL 0 0 0 0
651 OFRCE SUPPLIES 0 0 0 0
654 PHOTOCOPY & PRINTING 0 200 200 200
660 OPERATING SUPPLIES 37 650 650 1,000
663 HAZARDOUS WASTE DISPOSAL 912 8.279 8,279 1,000
650 SUB- TOTAL 949 9,129 9,129 2,200
702 CONFERENCElM EETING 0 0 0 1,000
704 CONTRACTUAL Sffi\lICES 17.331 20,350 20,350 17,400
706 DlESIBOOKS/SUBSCRlPTIONS 0 0 0 0
732 WITNESS & JUROR FEES 0 0 0 0
716 LEGlSLATIVEMBVlBmSHP 0 0 0 0
740 MILEAGE RBMBURSB\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHER EQUIPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AND CHAR 0 0 0 0
700 SUB-TOTAL 17,331 20,350 20,350 18,400
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCE~TURE& EQUIPMENT 0 0 0 0
809 OTI-ER MAJOR EQUlPM ENT 0 0 0 0
800 SUB- TOTAL 0 0 0 0
-
-
20,6001
18,280\ 29,479\
29,479\
-
I DEPARTMENT/ACCOUNT TOTALS.
-
273
Linc item AeL'ollnts
Public \\'orks - Administration
01 -30 1
PUBLIC WORKS ADM INlSTRA TIC ACCOUNT 01-301 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANA T Bud(let Budaet Budaet Budaet
602 STAFF WAGES 102,467 106,019 106,019 122,129
604 1A::t-t::KKW COMPENSATION 5,186 5,301 5,301 6,106
605 EXTRA DUTY PAY 0 0 0 0
606 AUTO ALLOWANCE 3,600 3,600 3,600 3,600
610 OVERTIM E AND PR8\IIIUM PAY 0 0 0 0
618 COlRT PAY 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 5,375 5,394 5,394 5,580
622 M EDICAUDENT AL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 1,590 1,537 1,537 1,771
630 CCOERA RETIR8\IIENT 0 0 0 0
640 OUTSIDE PffiSCJNIIH. Sffi\lICES 0 0 0 0
600 SUB- TOTAL 118,218 121,851 121,851 139,186
651 OFRCE SUPPLIES 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 0 0 0 0
702 CONFmENCElM EETING 1117 2,500 2,500 3.000
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlESIBOOKSIS\J3SCRlPTIONS 445 500 500 500
728 TRAlfIING 0 0 0 0
730 UfIIFORMS & PROTECTIVE CLOTHNG 200 211 200 200
716 LEGISLATIVE MB\lIBERSHP 0 0 0 0
740 MILEAGE RBMBlR>B\lI ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffiEQUlPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEDUS Sffi\lICES AND CHAR 0 0 0 0
700 SUB-TOTAL 1,762 3,211 3.200 3,700
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCE FURNTURE & EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
I DEPARTMENT/ACCOUNT TOTALS.
I 119,9801 125.0621
125,0511
142,886\
274
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Line Item ,lcClIlIllls
Public Works - Engineering
01-302
P\J3LICEWORKS ENGINB:RING ACCOUNT 01-302 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANA T Budget Budget Budget Budget
602 STAFF SALARIES & WAGES 553,216 633,895 610,000 681,862
604 Dt:t-t::KKW COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEANDPR8\IIIUM PAY 995 6,000 3,000 3,000
617 TBVlP PffiSOfllNEL-HOURL Y 0 5,000 3,000 3,000
619 TB\lIP PffiSOfllNEL-NDN-H()IR.. Y 0 0 0 0
620 FICA EXPENSE- BVI PLOYffi 33,720 39,301 38,000 42,112
622 M EDICAUDENT AL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 7,886 9,191 9,000 9,887
630 CCOERA RETIR8\IIENT 14,816 22,937 22,500 25,196
640 OUTSIDE PffiSONNEL Sffi\lICES 0 0 0 0
600 SUB-TOTAL 610,633 716,324 685,500 765,057
651 OFFICE SUPPLIES 1,254 2,100 2,100 2,100
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 5,000 5.000 5,000
660 OPERATING SlPPLlES 4,847 24,489 24,500 20,000
650 SUB-TOTAL 6,101 31,589 31,600 27100
702 CONFERENCElM EETING 500 600 600 1,200
704 CONTRACT Sffi\lICES 0 25,000 5,000 5,000
706 DlESIBOOKS/SUBSCRlPTIONS 1,555 1,800 1,800 2,500
728 TRAlfIING 5,980 8,000 8,000 15,000
730 UNIFORMS & PROTECTIVE CLOTl-RNG 983 1,200 1.200 1,500
740 AUTO MILEAGE RBM BlR>BV1 ENT 0 500 500 500
750 PROFESSIONAL Sffi\lICES 98,751 160,000 100,000 100,000
759 TB-EPHONE EXPENSE 0 0 0 0
761 STREET LIGHTING 0 0 0 0
776 OTHffi EQUlPM ENT MAINTENANCE 0 1,000 500 1,000
793 TITLE SEARCHES 0 500 0 500
700 SUB-TOTAL 107,769 198,600 117,600 127,200
802 OFRCE FURNITURE & EQUIPMENT 0 3,300 3,300 2,500
809 OTHffi MAJOR EQUIPMENT 0 6,000 6,000 3,500
800 SUB-TOTAL 0 9,300 9,300 6,000
925,3571
724,5031 955,8131
844,0001
I DEPARTMENT/ACCOUNT TOTALS.
275
LillI' Item ,fcco/lllts
Public \\'orks - Operations
01-303
PUBLIC WORKS OPERATIONS ACCOUNT 01.303 2004 2005 2005 2006
Actual Adjusled Estimated Adopted
ACCOlM' NAM 8DET AILED EXPLANATION Budget Budaet Budaet Bud(let
602 STAFF SALARIES & WAGES 668,608 713,989 713,989 742,941
603 LONGEVITY 0 0 0 0
604 llEf'ffiRB) COMPENSATION 0 0 0 0
610 OVERTIMEAMJPR8\IIIUM PAY 28,143 28,000 28,000 32,000
614 STANDBY PAY 11,445 16,000 13,000 14,000
617 TB\lIP PffiSONNB--HOlR.. Y 0 0 0 0
619 TB\lIP PffiSONNa-NON-HOlR Y 0 0 0 0
620 FICA EXPENSE- B\lIPLOYffi 42,651 44,267 44,267 46,062
622 MBlICALlDENTAL INSURANCE 0 0 0 0
625 M BlICARE PORTION FICA 9,975 10,353 10,353 10,773
630 CCOERA RErIR8\llENT 24,321 27 703 27,703 29,718
640 OUTSIDE PffiSOf'N3... Sffi\lICES 0 0 0 0
ACCOUNT #600 SUB-TOTAL 785,143 840,312 837,312 875,494
651 OFRCE SUPPLIES 496 500 500 500
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 152.911 200,000 200,000 212,500
661 OIL AND GAS - SHOPS 111,796 136,500 136,500 190,000
662 VEHCLEANDEQlJPMENT PARTS 55,642 81,000 81,000 82.000
663 HAZARDWASTEMAT~AL 526 2,500 2,000 2,000
665 SPECIAL EQUPMENT 499 500 500 500
ACCO\JIIT #650 SUB-TOTAL 321,870 421.000 420,500 487.500
702 CCN'ERENCElMEETING 337 500 500 600
704 CONTRACTUAL Sffi\lICES 49,747 90,000 90,000 88,500
706 DUES/BOOKS/SUBSCRIPTIONS 1,000 1,000 1,000 1,000
728 TRAlfIING 3,767 4,000 4,000 8,000
730 UNIFORMS & PROTECTIVE CLOTHING 6,663 9,000 9,000 9.000
740 MILEAGE RBM BlR>BV1 ENT 651 500 500 500
750 PROFESSIONAL Sffi\lICES 0 0 0 0
758 RENTALS AND LEASES 198 1,000 500 500
760 UTILITIES 14,168 16,000 16,000 18,000
761 STREET LIGHTING 391,385 400,000 400,000 430,000
774 FACILITY REPAIR/MAINTENANCE 5,311 8,000 8,000 8,000
776 OTI-ER EQUIPMENT MAINTENANCE 2,263 2,000 2,000 2,000
799 MISCB-LANEDUS Sffi\lICES AIIDCHARGE 0 0 0 0
ACCOUNT #700 SUB-TOTAL 475,490 532,000 531,500 566,100
802 OFRCEFURNTURE& EQlJPMENT 0 1,000 1,000 5,000
803 TOOLS AND WORK EQUIPMENT 4,293 1.500 1,500 1.500
807 FLEET REPLACB\lIENT 212,339 529,000 529,000 296,000
809 OTI-ER MAJOR EQUIPMENT 0 108,500 108,500 105,000
ACCOUNT #800 SUB-TOTAL 216.632 640,000 640,000 407,500
DEPARTMENT/ACCOUNT TOTALS. 1,799,135 2,433,312 2,429,312 2,336,594
276
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Line Item 4c('(,"nl,\
Parks & Recreation - Administration
01 -601
PARKS & RECREATION ADI\IIlfIISTRA TIDr ACCOUNT 01-601 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDET AILED EXPLANATION Bud(let Budaet Budaet Budnet
602 STAFF WAGES 129,525 136,064 136,064 154,087
604 DEFffiRED COM PENSA TION 4,646 4,875 4,875 5,887
606 AUTO ALLOWANCE 3,600 3,600 3,600 3,600
610 OVERTIMEANDPR8\IIIUM PAY 0 0 0 0
617 TB\lI P PffiSOIIN3... - HOURLY 150 1,260 250 500
619 TB\lIP PffiSONNa - NQN.H()IR.. Y 0 0 0 0
620 RCA EXPENSE- B\lIPLOYffi 7729 7785 7785 7,833
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 1,969 1,973 1,973 2,234
630 CCOERA RETIR8\IIENT 1.464 1,542 1.542 485
640 OUTSIDE PffiSOf\I'B.. Sffi\lICES 246 0 0 0
600 SUB-TOTAL 149,329 157,099 156,089 174,626
651 OFRCE SUPPLIES 4,060 3,400 3,400 3,500
654 PHOTOCOPY/PRINTING 579 600 600 600
655 POSTAGE 181 400 400 400
660 OPERATING SUPPLIES 655 300 300 300
650 SUB-TOTAL 5,475 4,700 4,700 4,800
702 CONFERENCElM EETING 2,202 2,500 2,500 2,500
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlESIBOOKSISUBSCRlPTIONS 325 520 520 675
728 TRAlfIING 99 200 200 200
730 UfllFORMS & PROTECTIVE CLOTHING 0 0 0 0
740 AUTO MILEAGE RBMBlR>B\lIENT 681 600 800 800
750 PROFESSIONAL Sffi\lICES 16,386 20,000 20.000 20,000
755 COMPUTffi SOFTWARE 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 0 0 0 0
774 FACILITY REPAIRAI>V MAINT 0 0 0 0
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARGES 0 0 0 0
700 SUB-TOTAL 19,693 23,820 24,020 24,175
802 OFRCE EQUlPM ENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL 0 0 0 0
277
Line Item 4c/:ollnts
Parks & Recreation - Recreation
01-602
PARKS & RECREATION - RECREATION ACCOUNT 01-602 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANATION Budget Budget Budget Budget
602 STAFF SALARIES & WAGES 81,849 88,023 88,023 93,052
603 LONGEVITY 0 0 0 0
610 OVERTIME & PR8\IIIUM PAY 0 0 0 0
614 STANDBY PAY 0 0 0 0
617 TB\lIP PffiSONNa - HOURLY 594 864 700 960
619 TIMP PffiSO/lNLfNQN..HOURL Y 36 0 0 0
620 FICA EXPENSE- BVIPLOYffi 5,035 5,511 5,511 5.829
622 MEDlCAUDENTAL INSURANCE 0 0 0
625 M BlICARE PORTION RCA 1,178 1,289 1,289 1,363
630 CCOERA RETIR8\IIENT EXP 3,283 3,521 3,521 3.722
640 OUTSIDE PffiSONAL Sffi\lICES 0 6.200 6,200 5,900
ACCOUNT #600 SUB- TOTAL 91,975 105,408 105,244 110,826
651 OFFICE SUPPLIES 0 0 0 0
654 PHOTOCOPY & PRINTING 11,875 19,618 18,000 20,208
655 POSTAGE COSTS 4,384 6,752 4,350 6,752
660 OPERATING SUPPLIES 3,854 6,705 6,600 12,013
ACCOUNT #650 SUB-TOTAL 20,113 33,075 28,950 38,973
702 CONFmENCE& MEETING EXPENSE 0 323 323 337
704 CONTRACTUAL Sffi\lICES 292 2.000 1,500 2,000
706 DlES, BOOKS, S\J3SCRlPTIONS 232 475 475 475
728 TRAlfIING 35 150 100 2,150
730 UfIIFORMS & PROTECTIVE CLOTHING 0 0 0 0
740 AUTO MILEAGE RBM BURSBVI ENT 196 360 200 364
750 PROFESSIONAL Sffi\lICES 0 1,800 1,800 3,800
755 COMPUTffi SOFTWARE 0 0 0 0
758 RENTALS & LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 0 0 0 0
774 FACILITY REPAIR & MAINTENANCE 0 0 0 0
776 OTHffi EQU PM ENT MAINTENANCE 0 0 0 0
799 MISC. Sffi\lICES & CHARGES 40,870 45,200 38,000 41,600
ACCOUNT #700 SUB-TOTAL 41,625 50,308 42,398 50,726
802\OFRCEFURN & EQlJPMENT 0 0 0 0
8091 OTHER MAJOR EQUIPMENT 0 0 0 0
ACCOUNT #800 SUB-TOTAL 0 0 0 0
176,592\
200.5251
I 153,713\ 188,7911
I DEPARTMENT/ACCOUNT TOTALS
278
-
-
-
-
-
-
-
Une Ite/ll Aatlllll(,\
Parks & Recreation - Parks Maintenance
OJ -603
PARKS & REC - PARKS MAINT ACCOUNT 01-603 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM ElDET AILED EXPLANA TIO BudQet Budaet Budae t Budaet
-
602 STAFF SALARIES & WAGES 581,037 581,693 603.271 335,346
603 LONGEVITY 0 0 0 0
610 OVERTIME & PR8\IIIUM PAY 11,221 17009 12,000 6,285
614 STAr-DBY PAY 6,602 11,201 7,000 4,264
617 TB\lI P PffiSONNa - HOURLY 63,414 112,325 90,000 126,261
619 TB\lI P PffiSONNEUNOfo.I.H()IR.. y 0 0 0 0
620 RCA EXPENSE - B\lIPLOYffi 40,425 36,065 36,065 20,791
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 9.444 8,435 8,435 4,863
630 CCOERA RErIR8\llENT EXP 22,426 23,268 23,268 11,358
640 OUTSIDE PffiSONAL Sffi\lICES 0 0 0 0
600 SUB-TOTAL I 734,569 789,996 780,039 509,168
651 OFRCESUPPLlES 500 500 500 500
655 POSTAGE COSTS 0 0 0 0
660 OPERATING SUPPLIES 75,208 51,515 53,326 56,915
663 HAZARDOUS WAST DISPOSAL 0 0 0 0
650 SUB-TOTAL I 75,708 52,015 53,826 57,415
702 C~E& MEETING EXPENSE 0 0 0 0
704 CONTRACTUAL Sffi\lICES 34.200 78,099 78,199 115,251
706 DlES, BOOKS. SlESCRlPTIONS 0 355 280 315
728 TRAINING 2,344 3,655 1,525 3,655
730 UfIIFORMS & PROTECTIVE CLOTHING 7,415 9,580 9,580 9,580
740 AUTO MILEAGE RBMBlR>B\lIENT 597 600 600 600
750 PROFESSIONAL Sffi\lICES 300 355 250 355
755 COMPUTffi SOFTWARE 0 0 0 0
758 RENTALS & LEASES 7,743 9,316 9,640 10.540
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 166,450 192,821 192,854 198,419
774 FACILITY REPAIR & MAINTENANCE 33,777 26,910 27,290 86,069
776 OTHffi EQUIPMENT MAINTENANCE 12,951 10,500 10,000 10,000
799 MISC. Sffi\lICES & CHARGES 0 0 0 10,000
700 SUB- TOT ALl 265,777 332,191 330,218 444,784
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
803 TOOLS & WORK EQUPMENT 0 0 0 4,500
805 COM M UfIICA TIONS EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 5,060 18,456 17,580 7,050
812 BlILDlNG IMPROVB\lIENTS 0 5,000 5,000 0
800 SUB-TOTAL I 5,060 23,456 22,580 11,550
-
-
-
-
-
-
279
Line item Accounts
Parks & Recreation - Forestf)
01-604
PARKS & RECREATION - FORESTRY ACCOUNT 01-604 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANATION Budget Budget Budget Budaet
602 STAFF SALARIES & WAGES 102,546 132,859 132,859 112,271
603 LONGEVITY 0 0 0 0
610 OVERTIMEAMJPRBVIIUM PAY 1,432 2,915 1,500 2,464
614 STANDBY 98 810 810 548
617 TBVlP PffiSONNa - H()IR.. Y 11,627 15,608 15,608 15.875
618 COURT PAY 0 0 0 0
620 RCA EXPENSE- B\lI PLOYffi 7,011 8,238 8,238 6,961
622 MEDICAL/DENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 1,640 1.926 1,926 1,628
630 CCOERA RETIR8\IIENT 4,178 5,315 5,315 4,491
640 OUTSIDE PERSONNB- Sffi\lICES 0 0 0 0
600 SUB- TOTAL 128,532 167,671 166,256 144.238
651 OFRCE SlPPLlES 46 500 500 500
653 POSTAGE 0 0 0 0
654 PHOTOCOPY & PRINTING 0 100 100 500
660 OPERATING SUPPLIES 5,922 29,677 23,004 20,712
663 HAZARDOUS WASTE DISPOSAL 0 250 0 250
650 SUB-TOTAL 5,968 30,527 23,604 21,962
702 CClI'I'ffiENCElM EETING 460 550 550 550
704 CONTRACTUAL Sffi\lICES 84,412 108,345 108,345 64,500
706 DU:SJBOOKS/SUBSCRlPTIONS 262 825 825 825
728 TRAlfIING 735 795 795 795
730 lJIIFORMS & PROTECTIVE CLOTHNG 1,457 2,676 2,126 2,126
740 MILEAGE RBM BlR>BV1 ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 450 0 450
755 COM PUTffi SOFTWARE 0 0 0 0
758 RENTALS AND LEASES 0 200 200 200
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 0 2,500 2,500 2,500
774 FACILITY REPAIRAMJ MAINT 0 150 150 150
776 OTHffi EQUIPMENT MAINTENANCE 623 1,500 1,500 1,500
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARGES 0 0 0 0
700 SUB-TOTAL 87.949 117,991 116,991 73,596
802 OFRCE EQUIPM ENT 0 0 0 0
805 COMMUNICATIONS EQUIPMENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
239,7961
I 222,4491 316,1891
306,8511
I DEPARTMENT/ACCOUNT TOTALS,
280
-
-
-
-
-
-
-
-
-
-
.-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
U/I(' Ilelll 4('('01/111'\
Parks & Recreation - Open Space
01-605
PARKS & RECREATION - OPEN SPACE ACCOUNT 01-605
2004
Actual
2005
Estimated
2005
ACCOUNT NAM6'DETAILEDEXPLANATlON
602 STAFF SALARIES & WAGES 76,904 81,999 81,999 62,334
603 LONGEVITY 0 0 0 0
610 OVERTIME & PR8\IIIUM PAY 564 1485 1485 1,312
614 STANDBY PAY 1,276 1,373 1,373 1,936
617 TBVlP PffiSONNa - HOURLY 6,029 4,695 4,695 5,530
619 TB\lIP PERSOI'HLINCm-HOURL Y 0 0 0 0
620 FICA EXPENSE - B\lI PLOYffi 5,251 5,084 5,084 3,865
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 1,228 1,189 1,189 904
630 CCOERA RErIRBVIENT EXP 3,076 3.280 3,280 1,456
640 OUTSIDEPffiSONAL Sffi\lICES 0 0 0 0
600 SUB-TOTAL I 94,328 99,105 99,105 77,337
651 OFRCE SUPPLIES 291 300 300 300
654 PHOTOCOPY & PRINTING 0 0 0 500
660 OPERATING SUPPLIES 14,627 10,000 10,000 10,200
663 HAZARDOUS WASTE DISPOSAL 20 200 200 200
650 SUB- TOTAL I 14,938 10,500 10,500 11,200
702 CONFERENCE & MEETING EXPENSE 422 325 0 325
704 CONTRACTUAL Sffi\lICES 21,840 47,500 27.500 23,400
706 DlES, BOOKS. SlESCRlPTIONS 146 150 150 150
728 TRAlfIING 15 75 75 100
730 UfIIFORMS & PROTECTIVE CLOTHING 736 960 960 960
740 AUTO MILEAGE RElMBURSB\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 1,001 1.000 0 500
755 COM PUTffi SOFTWARE 0 0 0 0
758 RENTALS & LEASES 220 100 100 100
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 0 0 0 0
774 FACILITY REPAIR & MAINTENANCE 550 1,200 1,200 1,225
776 OTI-ER EQUIPMENT MAINTENANCE 0 0 0 0
799 MISC. Sffi\IICES & CHARGES 0 0 0 0
700 SUB-TOTAL I 24,930 51,310 29,985 26,760
804 8IIGINEffilNG & PHOTO EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL I 0 0 0 0
139,5901
115,2971
I 134,1961 160,9151
281
Line Item 'kCOIlIltS
General Government - Central Charges
01-610
CENTRAL CHARGES ACCOUNT 01-610 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM6'DETAILED EXPLANATIC Budaet Bud(let Budaet Budget
602 COMPENSATED ABSENCES 0 0 0 0
621 VVORKERS COM PENSA TION 319,667 324,349 324,349 396,793
624 VVORKERS COM PENSA TION UfIINSlRD 0 60,000 60,000 60,000
626 MEDICAL 1,060,752 1,219,988 1 182,737 1,287,546
627 DENTAL 72,244 81.432 74,767 93,376
628 L TD'STD 61,333 75,256 61,125 71,286
629 LI FE! ADD'DEP 26,647 38,346 28,312 28,175
640 OUTSIDEPffiSONNa Sffi\lICES 0 0 0 0
600 SUB-TOTAL 1,540,643 1,799,371 1,731,290 1,937,176
651 OFRCE SLPPLlES 1,326 22 0 0
654 PHOTOCOPY/PRINTING 20,606 38,355 25,000 25,000
653 POSTAGE 26,524 35,000 30,000 30,000
660 OPERATING SUPPLIES 14,700 20,000 20,000 20,000
650 SUB-TOTAL 63,156 93,377 75.000 75,000
706 DlES, BOOKS, SlESCRlPTIONS 340 300 300 500
719 ECONOMIC DEVB-OPMENT INCENTIVE 0 0 0 0
720 DECONOMIC DEV INCENT SAFBlVAY 0 0 0 0
721 J8'FCO AfIIMAL SHa Tffi 0 0 0 0
728 SAFETYIWELLNESS 4,645 7,000 7,000 7,000
729 SAFETY 0 0 0 0
730 UfIIFORMS & PROTECTIVE CLOTHNG 0 0 0 0
740 MILEAGE RBMBlR>BV1 ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 11,293 11.293 32,000
758 RENTALS AMlLEASES 32,843 36,000 36,000 35,000
759 TB-EPHONE EXPENSE 224,773 270,000 200,000 225,000
760 UTILITIES 0 0 0 0
776 OTHffiEQUlPMENT MAINTENANCE 2,686 5,000 2,500 2,500
781 PffiSONAL & PROP L1AB 135,164 168,267 168.267 170,527
782 UfIINSlRD LOSS 115.047 50,000 50,000 50,000
784 J8'FCO TREASURER COLL FEES 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES AMl CHAR( 0 585 585 0
700 SUB-TOTAL 515,498 548,445 475,945 522,527
802 OFRCEFURNTURE& EQUIPMENT 1,295 1,000 1,000 1,000
805 COMMUfIICATlONS EQUIPMENT 165 1,500 500 500
808 CAPITAL LEASES 9,281 10,905 10,905 10,905
809 OTHffi MAJOR EQUlPM ENT 12,870 0 0 0
897 TRANSFffi TO SPECIAL FIJII)S 0 0 0 0
800 SUB-TOTAL 23,611 13,405 12,405 12,405
DEPARTMENT/ACCOUNT TOTALS. 2,142,908 2,454,598 2,294,640 2,547,108
-
-
-
-
-
-
-
282
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Lille Itelll 'kcol/Ilts
Parks & Recreation - Anderson Building
01-620
PARKS & REC - AMlffiSON BLOC ACCOUNT 01-620 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANA TIO Budaet Budael Budaet Bud(let
602 STAFF SALARIED & WAGES 0 0 0 0
603 LONGEVITY 0 0 0 0
610 OVERTIME & PR8\IIIUM PAY 42 0 0 0
614 ST AMJBY 0 0 0 0
617 TBVI P PffiSO/IN3... - H()IR.. Y 11,898 14,788 13,104 14,578
619 TB\lI P PffiSONIIEI... - NQN-H()IR.. Y 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 740 917 812 904
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 173 214 190 211
630 CCOERA RETIR8\IIENT EXPENSE 0 0 0 0
640 OUTSIDE PffiSOI\IIEl.. Sffi\lICES 0 0 0 0
600 SUB- TOTALT 12,853 15,919 14,106 15,693
651 OFRCE SUPPLIES 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
655 POSTAGE 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 0
650 SUB-TOTAL 1 0 0 0 0
702 CONFERENCElMEETING 0 0 0 0
704 CONTRACT Sffi\lICES 6,122 6,330 6,330 6,515
706 DlES, BOOKS, SUBSCRIPTIONS 0 0 0 0
728 TRAlfIING 0 0 0 0
730 UfIIFORMS & PROTECTIVE CLOTHNG 0 0 0 0
740 MILEAGE RBMBlR>B\lIENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
755 COM PUTffi SOFTWARE 0 0 0 0
758 RENTALS AMJ LEASES 0 0 0 0
759 TB-EPHOI>E EXPENSES 0 0 0 0
760 UTILITIES 35,062 36,000 36.000 36,000
774 FACILITY REPAIRE& MAINTENANCE 5,468 4,494 3,644 3.844
776 OTHffi EQUIPMENT MAINTENANCE 343 1,028 1,028 1,028
799 MISCB-LANEOUS Sffi\lICES & CHARGES 0 0 0 0
700 SUB-TOTAL I 46,995 47,852 47,202 47,387
802 OFRCE FURNTURE & EQUPM ENT 0 0 0 0
812 BUILDING 1M PROVBVIENTS 14,477 11,000 11,000 23,400
800 SUB-TOTAL I 14,477 11,000 11,000 23,400
72,3081
86,4801
I DEPARTMENT ACCOUNT TOTALS
74,3251 74,7711
283
Une Item 4cco/lf1(s
Parks & Recreation - Athletics
01-62 I
PARKS & REC - ATHLETIC ACCOUNT 01-621 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANATION Budget Budget Budget Budget
602 STAFF SALARIES & WAGES 79,761 94,437 91,000 90,777
603 LONGEVITY 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 0 0 0 0
614 ST AI'VBY 0 0 0 0
617 TBVlP PffiSOIIN3.. - H()IR.. Y 6,254 11,644 11,000 11,017
619 TB\lIP PffiSONNa - NON-HOURL Y 7,559 8,049 8,049 8,724
620 FICA EXPENSE - BVI PLOYffi 6,087 7,076 7,076 6,852
622 MEDlCAUDENTIAL INSURANCE 0 0 0 0
625 MEDICARE PORTION FICA 1424 1,655 1,655 1,603
630 CCOERA RETIR8\IIENT 3,191 3,777 3,777 2,961
640 OUTSIDE PERSONNa Sffi\lICES 16,014 21,434 17,000 21,434
600 SUB- TOTAL I 120,290 148,072 139,557 143,368
651 OFRCE SUPPLIES 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
655 POSTAGE 0 0 0 0
660 OPERATING SUPPLIES 17,312 22.238 19.000 24,605
650 SUB-TOTAL I 17,312 22.238 19.000 24,605
702 CONFmENCElM EETING 430 430 430 645
704 CONTRACT Sffi\lICES 0 0 0 0
706 DUESlBOOKS/SUBSCRlPTIONS 30 150 150 225
728 TRAlfIING 0 0 0 0
730 UNIFORMS & PROTECTIVECLOTHNG 0 345 150 90
740 MILEAGE RBM BlR>B\lI ENT 63 500 500 810
750 PROFESSIONAL Sffi\lICES 0 0 0 0
755 COMPUTffi SOFTWARE 0 0 0 0
758 RENTALS AMJ LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 0 0 0 0
774 FACILITY REPAIRAMJ MAINTENANCE 2,795 2,800 0 0
776 OTHffiEQUIPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES & CHARGES 0 0 0 0
700 SUB- TOTAL I 3,318 4,225 1,230 1,770
802 TOOLS & WORK EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUlPM ENT 0 0 0 0
800 SUB-TOTAL 1 0 0 0 0
169,7431
I 140,9201 174,5351
159,7871
I DEPARTMENT/ACCOUNT TOTALS
284
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Line IteJll j(,(,ollnt~
Parks & Recreation - General Programs
01-622
PARKS & REC - GENERAL PROGRAMS ACCOUNT 01-622 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAMElDET AILED EXPLANATION Budget Budaet Budaet Budaet
602 STAFF SALARIES & WAGES 0 0 0 74,058
603 LONGEVITY 0 0 0 0
610 OVERTIME AND PR8\IIIUM PAY 0 0 0 0
614 STANDBY 0 0 0 0
617 TBVlP PffiSONf113... - H()IR.. Y 0 0 0 31,175
619 TBVlP PffiSONNa - NON-HOURL Y 0 0 0 28,898
620 RCA EXPENSE - B\lIPLOYffi 0 0 0 8,316
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 M BlICARE PORTION RCA 0 0 0 1,945
630 CCOERA RETIR8\II ENT 0 0 0 2,962
640 OUTSIDE PffiSONNEL Sffi\lICES 0 0 0 10,440
600 SUB- TOTAL I 0 0 0 157,794
651 OFRCE SUPPLIES 0 0 0 0
654 PHOTOCOPYIPRlNTING 0 0 0 0
655 POSTAGE 0 0 0 0
660 OPERATING SUPPLIES 0 0 0 10,595
650 SUB-TOTAL I 0 0 0 10.595
702 CONFffiENCElM EETING 0 0 0 350
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlESIBOOKSISlESCRlPTIONS 0 0 0 78
728 TRAlfIING 0 0 0 1415
730 UNIFORMS & PROTECTIVECLOTHNG 0 0 0 80
740 MILEAGE RBM BlR>B\lI ENT 0 0 0 245
750 PROFESSIONAL Sffi\lICES 0 0 0 0
755 COM PUTffi SOFTWARE 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 0 0 0 0
774 FACILITY REPAIRAMJ MAINTENANCE 0 0 0 0
776 OTHffiEQUlPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AND CHARGES 0 0 0 0
700 SUB-TOTAL I 0 0 0 2,168
802 OFRCEFURNTURE& EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
800 SUB- TOTAL I 0 0 0 0
01
01
170,5571
01
285
Une Item ,lceounl,\
Parks & Recreation - Outdoor Pool
01-623
PARKS & REC - GENERAL PROGRAMS ACCOUNT 01-623 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANATION BudQet Bud(let Bud(let Bud(lel
602 STAFF SALARIES 0 0 0 0
603 LONGEVITY 0 0 0 0
610 OVERTIMEANDPR8\IIIUM PAY 26 450 400 450
614 STANDBY 0 0 0 0
617 TB\lI P PffiSONNB... - HOURLY 37,263 67,355 58,576 60,631
619 TB\lI P PffiS0NN8... - NON-H()IR.. Y 0 0 0 0
620 RCA EXPENSE- B\lIPLOYffi 2,312 4,204 3,860 3,787
622 MEDlCAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 541 983 865 886
630 CCOERA RETIR8\IIENT EXP 0 0 0 0
640 OUTSIDE PffiSONNB- Sffi\lICES 0 0 0 0
600 SUB- TOTAL I 40,142 72,992 63,701 65,754
651 OFRCESUPPLlES 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
655 POSTAGE 0 0 0 0
660 OPERATING SUPPLIES 16,249 22,848 17 ,500 21 ,463
650 SUB- TOTAL I 16,249 22,848 17,500 21 ,463
702 CONFmENCElM EETING 0 0 0 0
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlES/BOOKS/S\J3SCRlPTIONS 0 0 0 0
728 TRAINING 0 0 0 0
730 UfIIFORM S & PROTECTIVE CLOTHNG 0 350 200 0
740 MILEAGE RBM BlRSB\lI ENT 0 0 0 0
750 PROFESSIONAL Sffi\lICES 0 0 0 0
755 COM PUTffi SOFTWARE 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
760 UTILITIES 0 0 0 0
774 FACILITY REPAIR & MAINTENANCE 7,025 7,250 4,035 8,350
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEDU Sffi\lICES & CHARGES 0 0 0 0
700 SUB-TOTAL I 7,025 7,600 4,235 8,350
802 OFFICE FURfIITURE & EQUlPM ENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 3,335 5.600 2,500 3,850
800 SUB- TOTAL 1 3,335 5,600 2,500 3,850
66,7511 109,0401
87,9361
99,417\
I DEPARTMENT/ACCOUNT TOTALS
286
-
-
-
-
-
-
-
-
Une Item AL'l'()l/ltts
Parks & Recreation - Senior/Community Center
() 1-624
IPARKS & REC - COMMUNITY CTR ACCOUNT 01-624 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM ElDET AILED EXPLANA TIOI Budget Budget Budget Budget
-
602 STAFF SALARIES & WAGES 144.811 167,787 162,573 180,884
603 LONGEVITY 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 0 0 0 0
614 STANDBY 0 0 0 0
617 TB\lI P PffiSONNB- - HOLR.. Y 22,921 40,504 36,000 36,918
619 TB\lI P PffiSONNEL - NON-HOURL Y 9,469 9,540 12,000 13,853
620 RCA EXPENSE - B\lI PLOYffi 10.464 12,584 13,056 14,729
622 MBlICAUDENTAL INSURANCE 0 0 0 0
625 MEDICARE PORTION RCA 2.453 2,943 3,054 3,445
630 CCOERA RETIR8\IIENT 5,813 6,117 6,503 7,235
640 OUTSIDE PffiSOIIN3.. Sffi\lICES 22,058 21,250 24,000 28.461
600 SUB-TOTAL I 217.989 260,725 257.186 285,525
651 OFRCE SUPPLIES 24 0 0 0
654 PHOTOCOPY/PRINTING 4,906 5,600 5,600 5,900
655 POSTAGE 1,487 2,300 2,300 2,300
660 OPERATING SUPPLIES 16,688 17,535 17,535 19,650
650 SUB- TOTAL I 23,105 25.435 25,435 27,850
702 CQllFffiENCElMEETING 5421 645 645 645
704 CONTRACT Sffi\lICES 22,4411 27 405 25 000 28,230
706 DUESlBOOKS/SlESCRlPTIONS 625 280 280 380
728 TRAlfIING 928 680 680 680
730 lHFORMS & PROTECTIVE CLOTHING 0 0 0 0
740 MILEAGE RBM ElI.mB\ll ENT 175 225 200 243
750 PROFESSIONAL Sffi\lICES 0 0 0 0
755 COMPUTffi SOFTWARE 0 0 0 0
758 RENTALS AND LEASES 0 0 0 0
759 TB-EPHONE EXENSE 0 0 0 0
760 UTILITIES -1,395 16,800 21.000 18,330
774 FACILITY REPAIRE & MAINTENANCE 6,241 8,100 6,000 10,800
776 OTHffi EQUIPMENT MAINTENANCE 498 1,175 1,000 1,175
799 MISCB-LANEOUS Sffi\lICES & CHARGES 0 0 0 0
700 SUB- TOTAL I 30,055 55,310 54,805 60,483
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
802 OFRCE FURNITURE & EQUIPMENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 9,000 9,000 0
812 BUILDING 1M PROVB\lI ENTS 35,684 12,000 12,000 37,000
800 SUB-TOTAL I 35,684 21,000 21,000 37,000
-
410,8581
1 306,8331 362,4701
358.4261
-
-
287
Line Item Accounts
Police Investigation Fund - 17
2004 2005 2005 2006
ACTUAL ADJUSTED ES lIMA TED ADO PTED
17-580-00-589 BEGINNI1'>G F1JND BALANCE $116.773 $49,423 $58.795 $14,045
REVINUES
17-580-00-581 INTERESf $680 $250 $250 $100
17-580-00-588 MISCELLANEOUS REVENUE $0 $5,000 $0 $0
17 -590-00-591 TRANSFER FROM GENERAL FUND $0 $0 $0 $0
17-590-00-592 TRANSFER FROM CAP IT AL FUND $0 $0 $0 $0
$117,453 .
10 TAL REVFNUES $54,673 $59,045 $14.145
-
-
-
-
-
-
-
-
EXPINDITIJIilll
17-202-650-660 FUND PURCHASES - OPERATING SUPPLIES $58,658 $50,000 $45,000 $8,795
10 TAL EXPEl'iD ITIJIilll $58.658 $50,000 $45 000 $8,795
-
-
-
-
-
-
FNDING F1JND BALANCE
$58,795
54,673
$14,045
$5,350
-
-
-
-
-
-
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Line Item Accounts
Municipal Court Fund - 33
2004 2005 2005 2006
AClUAL ADJUSlID ESTIMA lID ADOPlID
33-580-00-589 BEGINNING FUND BALAl'iCE $71,278 $48,703 $64,580 $38,880
REVENUES
33-560-00-562 $1 of Court Fees $2,063 $2,500 $2,200 $2,500
33-560-00-563 $4 of Court Fees $8.333 $10.000 $8,800 $10,000
33-560-00-565 Direct Victim Services $14.268 $21,000 $16,000 $18,000
33-560-00-566 Outstanding Warrant/Judgments $3,810 $12.000 $5475 $6,000
33-560-00-567 Transcript Fees $889 $2,000 $1,500 $1,500
10 TAL FINES AND FO RFEIl1JRES $29,3 63 $47.500 $33,975 $38,000
33-580-00-581 Interest Earnings $1,409 $1.500 $1400 $1,500
10 TAL OlHER REVE'll'E $1,409 $1.500 $1,400 $1,500
10 TAL REVE'lUES $102.050 $97.703 $99,955 $78.380
EXPE'lDllURES
33-109-600-640 Outside Personal Services $0 $0 $0 $0
33-109-700-715 Transcript Fees $1,141 $2,000 $1.500 $2.000
33-109-700-776 Other Eqwpment Maintenance $1,985 $3,500 $3.500 $5,000
33-109-700-783 Court $4 Expenses $13,815 $13.600 $13,600 $13.600
33-109-700-787 Outst anding W arran t/Judgments $6,030 $12,000 $5,475 $6,000
33-109-700-790 Direct VictlID Service Expense $14.498 $21,000 $16,000 $18,000
33-109-700-792 Probation $1 Expense $0 $3,500 $2.000 $2,500
33-109-800-802 Computers and Office Equipment $0 $19.000 $19 000 $15 000
10 TAL EXPE'lDffiTRES $37,469 $74.600 $61.075 $62,100
E'lDING FUND BALANCE
$64,581
$23,103
$38,880
$16,280
291
Line Item Accounts
Richards Hart Estate Fund - 35
2004 2005 2005 2006 I
I
ACTIIAL ADJUSlED ~llMA lED ADO PlED I
35-580-00-589 BEGINNING HIND BALANCE $42,302 $52.952 $52,264 $54.964
REVFJ\/lT~
35-520-00-547 Grants $10,522 $25.000 $14.000 $47 000
35-580-00-580 Rentals tCPRA rent and rentals) $12.090 $11.000 $9,500 $9,300
35-580-00-581 Interest $753 $800 $1,200 $1,200
mTAL REVFJ\/l'ES $65,667 $89,752 $76,964 $1\2,464 I
EXPFJ\/DIl1JR~
35 -60 1-800-890 Estate Improvements $16.258 $35 000 $22,000 $65 000
mTAL EXPFJ\/DITIlRES $16.258 $35 000 $22,000 $65 000
-
FJ\/DING FUND BALANCE
$49,409
$54,752
$54,964
$47,464
-
-
-
Senior Fund - 53
2004 2005 2005 2006
ACTIlAL ADJUSlID ESllMAlID ADOPlID
53-580-00-589 BEGINNING FUND BALAI\iCE $32,470 $19.271 $31,296 $16,046
REVFJ\/UES
53-580-00-588 Senior Center $16.721 $14,300 $12,200 $12.200
53-580-00-581 lnterest $382 $200 $400 $400
mTAL REVFJ\/UES $49,573 $33.771 $43,896 $28,646
-
-
EXPFJ\/ D Il1JRES
53-602-700-799 Senior Center $18.277 $27,850 $27.850 $27.300
mTAL EXPFJ\/DITIlRES $18,277 $27.850 $27,850 $27,300
ENDING HIND BALANCE
$31,296
$5,921
$16,046
$1.346
292
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-
Line Item Accounts
Baugh House Fund - 62
-
2004 2005 2005 2006
ACTIlAL ADJ liS lED ESllMAlED ADO PlED
62-580-00-589 BEGINNING FlIND BALANCE ($48 680) $0 $0 $0
REVENUES
62-520-00-539 Grants $53,712 $0 $0 $0
62-580-00-588 Donations $0 $0 $0 $0
62-580-00-581 Interest $0 $0 $0 $0
TOTAL REVENlIES $5,032 $0 $0 $0
-
-
-
-
-
-
EXPENDITIlRES
62-602-700-750 Professional Services $4,816 $0 $0 $0
62-602-800-812 Facility Repair $0 $0 $0 $0
TOTAL EXPENDIWRES $4,816 $0 $0 $0
-
-
-
-
-
-
-
FUND BALANCE
$216
$0
$0
$0 I
-
-
-
* The Baugh House Fund was closed starting in 2005 Release of prior year encumbrance increased the beginning fund
balance by $150.25
-
-
-
-
-
-
-
-
295
Line Item Accounts
Hotel/Motel Fund - 63-106
2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCT # 600 I ACCOU\/T NAM6'DET AILID EXPLANA TIC Budget 9.Jdget 9.Jd(let 9.Jdget
602 STAFF WAGES 196,983 242,613 223,911 260,550
604 LU ~v.......COMPENSATlON 0 0 0 0
605 EXTRA DIJTY PAY 0 0 0 0
606 AUTO ALLCMlANCE 0 0 0 0
610 OVERTIMEAIII)PREMILM PAY 8,098 21,750 21,750 12,820
618 COURT PAY 1,525 5,000 1,800 4,500
620 RCA EXPENSE- 8'JIPLOYffi 5,588 8,218 8,218 8,506
622 MEDlCALtDENTAL INSURAPCE 27,214 29,827 29,827 29,818
625 MEDICARE PORTION RCA 2,058 3,518 3,518 3,778
630 CCOERA RETIRBIIENT 3,616 5,302 4,000 4,717
633 POLICE RETIRBIIENT 10,621 11,007 11,007 12,336
634 STATE D1SA81LlTY INSURAPCE 0 1,293 1,000 1,542
ACCOU\/T #600 SlB- TOTAL 255,703 328,528 305,031 338,567
I
651 OFRCE SlPPLlBS 0 0 0 0
655 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 0 4,500 0 4,500
660 0PffiA TlIIG SlPPLIBS 88 2,500 1,200 4,450
ACCOU\/T #650 SlB- TOTAL 88 7,000 1,200 8,950
I
702 C<:lNFIHN.::6MEETIIIG 318 800 400 1,200
706 I:USIEIOOKSISlJ3SCRlPTIONS 0 800 400 800
718 ORDINAPCE 9FORCB\lIENT 0 0 0 0
728 TRAlflllIG 0 1,400 1,400 2,000
730 lNFORMS AMJ PROTECTIVE CLOTHIIG 0 150 150 300
740 MILEAGERBM~ENT 0 0 0 50
750 PROFESSlONAL SERVICBS 0 0 0 0
758 RENTALS Alii) LEAses 0 0 0 0
759 TB-EPHONE EXPelSE 0 0 0 0
776 OTHffi EQUIPMENT MAINTENAPCE 0 0 0 0
788 COMPENSATED ABSEK:BS 0 0 0 0
ACCOU\/T #700 SlB- TOTAL 318 3,150 2,350 4,350
I
803 TOOLS Alii) WORK EQUPMENT 0 50 74 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
ACCOU\/T #800 SlB- TOTAL 0 50 74 0
-
-
-
-
-
-
-
-
891 TRANSFER TO GEHRAL FlNl 0 0 0 0
892 TRANSFER TO EQUPMENT FlNl 0 0 0 0
ACCOU\/T #900 SlB- TOTAL 0 0 0 0
I
DEPARTMENT/ACCOU\/T TOTALS: 256,109 338,728 308,655 351,867
296
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
UI/e Itelll ,Iccollnts
Recreation Center - Facilities
64-602
R:lc Center - Facilities Account: 64-602 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOlM NAM6'DETAILEDEXPLANATI( Budaet Budaet Budaet Budget
602 STAFF WAGES 283,166 295,083 295,083 314,482
606 AUTO ALL<MIANCE 0 0 0 0
610 OVERTIMEAMJ PR8\IIllJ\/I PAY 6,936 7,834 7,834 7,834
614 STAI03YPAY 5,785 6,999 6,999 6,999
617 TB\lIPORARY PIR>OIIN3... - HOlR.. Y 176,236 205,948 190,000 196,290
619 TB\lI PORARY PERSQIINi. - r<<:lN-HOlR.. , 0 0 0 0
620 RCA EXPENSE- B\lIPLOYffi 28,410 31,984 31,984 32,812
622 MEDlCAUDI:M"AL INSURANCE 65,284 71 ,793 71793 74,589
625 MEDICARE PORTION RCA 6,644 7,480 7,480 7,674
630 CCOERA RETIRBVIENT 9,806 11,803 11,803 11,952
640 ourSIDE PffiSOIIN3... Sffi\lICES 0 0 0 0
600 SUB-TOTAL I 582,267 638,924 622.976 652,632
651 OFRCE SUPPLIES 2,439 2,800 2,500 2,800
654 PHOTOCOPY/PRINTING 0 0 0 0
655 POSTAGE 370 470 470 470
660 OPERATING SUPPLIES 57.574 58,178 55,000 67,085
650 SUB-TOTAL I 60,383 61448 57,970 70,355
702 CClN'mENC6'MEETING 2,425 1,635 1,635 2,435
704 CONTRACT Sffi\lICES 61,605 68.097 65,000 70,597
706 l:U5IBOOKSISlESCRlPTIONS 75 150 150 150
719 SALES TAX REFtN:lS 0 0 0 0
728 TRAlfIING 2,037 1, 632 1,632 1,632
730 UfllFORMS & PROTECTIVE CLOTHNG 1,043 3.848 3,848 1,800
740 AUTO ALL<MIANCE 432 673 673 774
750 PROFESSIONAL Sffi\lICES 0 0 0 0
755 COMPUTffi SOFTWARE 0 3,000 3,000 1,500
758 RENTALS AN) LEASES 2,601 2.280 2,280 3,780
760 UTILITIES 300,846 311.040 311,000 311,040
774 FACILITY REPAIR & MAINTENANCE 77,692 86,374 75,000 79,000
776 OTHffi EQUlPM ENT MAINTENANCE 12,311 12,600 12,000 20,400
799 MISCB-LANEOUS Sffi\IICES & C 0 0 0 0
700 SlB- TOTAL I 461,067 491,329 476,218 493,108
809 OTHffi MAJOR EQUIPMENT 15,000 0 0 6.200
812 BULDlNG IMPROVB\lIENTS 0 0 0 71,708
800 SlB- TOTAL I 15,000 0 0 77. 908
11,118.7171 1,191,7011 1,157,1641 1,294.0031
IDEPARTMENT/ACCOlM TOTALS
297
Une Item .Jcc/lullfs
Recreation Center - Aquatics
64-604
Rec Center - Aquatics Account: 64-604 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM ElDET AILED EXPLANATION Bud(let BudQel Bud(let Bud(let
602 STAFF WAGES 153,878 160,959 160,959 169,049
604 Dt:t-t::KKW COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIME AND PR8\IIIUM PAY 418 7,560 450 3,500
617 TBVI PORARY PffiSONNa - HOURI.. Y 233,290 291,152 289,520 290,428
619 TB\lI PORARY PffiSONNa - NON HOURI.. Y 0 0 0 0
620 RCA EXPENSE- B\lIPLOYffi 23,882 28,500 28,500 28,705
622 MBlICAUDENTAL INSURANCE 16,298 16,434 16,434 21,813
625 MEDICARE PORTION RCA 5,585 6,665 6,665 6.713
630 CCOERA RETIRBVIENT 6,113 6,438 6,438 6,762
640 OUTSIDE PffiSONNa Sffi\lICES 0 0 0 0
600 SUB- TOTAL 439,464 517,708 508,966 526,970
651 OFRCE SUPPLIES 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
655 POSTAGE 0 0 0 0
660 OPERATING SUPPLIES 41,298 50,034 49,584 52,498
650 SUB-TOTAL 41,298 50,034 49,584 52,498
702 CONFmENCElM EETING 215 215 215 225
704 CONTRACT Sffi\lICES 0 0 0 0
706 DUES/BOOKS/SUBSCRIPTIONS 38 50 50 50
727 EXPENSE RBM BlR>B\lI ENT 0 0 0 0
728 TRAINING 5,000 4,516 4,956 5,556
730 UfIIFORMS & PROTECTIVE CLOTHING 1,986 2,798 2,600 2,618
740 MILEAGE RBM BlR>B\lIENT 0 0 0 0
741 lJIIFORM ALLOWANCE 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffi EQUIPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AND CHARGES 0 0 0 0
700 SUB-TOTAL 7.239 7,579 7,821 8,449
802 OFRCEEQUPMENT 0 0 0 0
809 OTHffi MAJOR EQUlPM ENT 2,772 10,750 9,850 39,500
800 SUB-TOTAL 2,772 10,750 9,850 39,500
627,4171
I 490,7731 586,0711
576,2211
I DEPARTMENT/ACCOUNT TOTALS.
298
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Une Itelll 1ceoulll.\'
Recreation Center - Fitness
64-6()5
-
Rec Center - Fitness Account: 64-605 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILS) EXPLANATION Budaet Budaet BudQel Bud(let
-
602 STAFF WAGES 39,167 40.738 38,589 39 704
604 lJEFIRRED COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIM E AND PR8\IIIUM PAY 0 0 0 0
617 TBVlPORARY PffiSO/INi.. - H()IR.. Y 165,341 173,038 155,000 154,697
619 TB\lIPORARY PffiSO/INi.. - NON HOURI.. Y 66,177 47,230 80,000 79,870
620 FICA EXPENSE- B\lI PLOYffi 16,691 15,989 17,000 17,005
622 MEDlCAUDENTAL INSURANCE 9,894 12,034 11,000 5,228
625 MEDICARE PORTION RCA 3,903 3.739 4,000 3,977
630 CCOERA RETIR8\IIENT 1,567 1,630 1,544 794
640 OUTSIDE PffiSO/INi.. Sffi\lICES 3,182 3,330 4,000 1,620
600 SUB-TOTAL 305,922 297,728 311133 302.895
-
-
-
-
-
-
651 OFRCE SUPPLIES 0 0 0 0
653 POSTAGE 77 120 120 120
654 PHOTOCOPY/PRINTING 0 0 0 0
660 OPERATING SUPPLIES 7,545 5,420 7,120 7,066
650 SUB-TOTAL 7,622 5,540 7,240 7,186
-
-
-
-
702 CONFmENCElM EETING 215 250 250 225
704 CONTRACT Sffi\lICES 38 365 365 365
706 DlESIBOOKSISUBSCRlPTIONS 0 38 38 38
718 ORDINANCE ENFORCB\lIENT 0 0 0 0
728 TRAlfIING 963 964 964 1,164
730 \JIlIFORMS & PROTECTlVECLOTHNG 0 0 0 0
740 AUTO ALLOWANCE 0 100 100 100
755 COM PUTffi SOFTWARE 0 0 0 0
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffi EQUIPM ENT MAINTENANCE 0 0 0 0
799 MISCB-LANEOUS Sffi\lICES AMJ CHARGEl 0 0 0 0
700 SUB-TOTAL 1,216 1,717 1,717 1,892
-
-
-
-
-
-
-
-
-
-
802 OTHffi EQUIPM ENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 53,609 13.200 11,500 21,900
800 SUB- TOTAL 53,609 13,200 11,500 21,900
-
-
I DEPARTMENT/ACCOUNT TOTALS,
1 368.3691 318,1851
333,8731
331,5901
-
-
-
299
Une Item .jceollnts
Recreation Center - Marketing
64-607
Rec Center - Marketing Account: 64-607 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM ElDET AILED EXPLANATION Budget Budget Budget Budget
602 STAFF WAGES 19,607 20,671 20,671 21,953
604 Dt:t-t::KKW COMPENSATION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIME AND PR8\IIIUM PAY 0 0 0 0
617 TBVI PORARY PERSONIB... - H()IR.. Y 0 0 0 0
619 TBVlPORARY PffiSOIIN3... - NON HOURLY 0 0 0 0
620 RCA EXPENSE- BVIPLOYffi 1136 1,282 1,282 1,361
622 MEDlCAUDENTAL INSURANCE 5,221 6,351 6,351 5,861
625 MEDICARE PORTION RCA 266 300 300 318
630 CCOERA RETIRBVIENT 784 827 827 878
640 OUTSIDE PffiSONNa Sffi\lICES 0 0 0 0
ACCOUNT #600 SUB-TOTAL 27,014 29,431 29,431 30,371
I
653 POSTAGE 0 0 0 0
654 PHOTOCOPY/PRINTING 22,094 21,573 18,500 22,210
655 POSTAGE 5,072 6,382 5,500 6,937
660 OPERATING SUPPLIES 12,554 17440 15,500 20,168
ACCOUNT #650 SUB- TOTAL 39,720 45,395 39,500 49,315
I
702 CONFmENCElMEETING 0 0 0 0
704 CONTRACT Sffi\lICES 0 0 0 0
706 DUESlBOOKS/SlBSCRlPTIONS 101 240 100 240
728 TRAlfIING 0 150 100 150
730 UNIFORMS & PROTECTIVE CLOTHNG 0 0 0 0
740 AUTO ALLOWANCE 22 135 135 145
750 PROFESSIONAL Sffi\lICES 0 2,250 2,250 4,250
755 COM PUTffi SOFTWARE 0 150 0 200
759 TB-EPHONE EXPENSE 0 0 0 0
776 OTHffiEQUIPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEOUS Sffi\lICES AMJ CHARGB 0 0 0 0
ACCOUNT #700 SUB- TOTAL 123 2,925 2,585 4,985
I
802 OFRCE EQUPM ENT 0 0 0 0
809 OTHffi MAJOR EQUIPMENT 0 0 0 0
ACCOUNT #800 SUB-TOTAL 0 0 0 0
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I DEPARTM ENT /ACCOUNT TOTALS.
I 66,8571 77,7511
71,5161
84,6711
300
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Line Item 4CCO/lllts
Recreation Center - Therapuetic Recreation
64-608
Rec Center - Theraputie Ree Account: 64-608 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOlM NAM6'1ET AILED EXPLANATION Bud(let Budget Budaet Budaet
602 STAFF WAGES 13,060 13,373 13,373 0
610 OVOOIME AM) PR8III11WI PAY 0 0 0 0
614 ST AfIIEY PAY 0 0 0 0
617 T8'I1PORARY PffiSOfII'ti.. - HOlRL Y 4,147 5,553 4,100 0
619 TB\lI PORARY PERSClI'I'-B.. - IIlJN.HOlRL Y 0 1.500 900 0
620 RCA EXPENSE- B\lIPLOYffi 959 1.266 1,520 0
622 MEDlCAUDENTAL INSI.RAICE 1,968 1,828 1.974 0
625 MEDCARE PaUION RCA 224 296 355 0
630 CCOERA RETIREMENT 511 267 390 0
640 OUTSIDE PERSClI'I'-B.. smvlCES 4,026 4,310 4,310 0
600 SUB-TOTAL I 24,895 28,393 26,922 0
651 OFFICE SLPPUES 0 0 0 0
654 PI-Ol'OCOPY/PRINTING 0 0 0 0
655 POSTAGE 0 0 0 0
660 OPERATING SlJ>PLlES 824 1,985 1.985 0
650 SUB-TOTAL I 824 1,985 1,985 0
702 C~6'MEETING 125 125 0 0
704 CONTRACT smvlCES 0 0 0 0
706 Dl.IBIBOOKSISlI3SCRlPTICN> 0 38 38 0
718 ORDINANCE 8IFORCB\lIENT 0 0 0 0
728 TRAlfIING 30 430 130 0
730 IJIIFCRv'IS & PROTECTIVECLOTHNG 0 80 0 0
740 AUTO ALLOWANCE 0 45 45 0
750 PfUESlONAL smvlCES 0 0 0 0
755 COMPUTffi SOFTWARE 0 0 0 0
760 UTILITIES 0 0 0 0
774 FACILITY REPAIR & MAINTENANCE 0 0 0 0
776 OTI-IR EQUIPMENT MAINTENANCE 0 0 0 0
799 MISCB-LANEOUS smvlCES & CHARGES 0 0 0 0
700 SUB-TOTAL 1 155 718 213 0
802 OFFICE EQUIPMENT 0 0 0 0
809 OTI-IR MAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL I 0 0 0
01
I [S>ARTMENT/ACCOlM TOTALS
25,8741
31,0961
29,1201
301
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U/le Item /lcC/JII/lts
Recreation Center - General Programs
64-609
Rec Center - General Programs Account: 64-609 2004 2005 2005 2006
Actual Adjusted Estimated Adopted
ACCOUNT NAM EIDEr AILED EXPLANATION Bud(let BudQet BudQet Bud(let
602 STAFF WAGES 51745 53,010 53,010 0
604 1A::t-t::KKW COM PENSA TION 0 0 0 0
606 AUTO ALLOWANCE 0 0 0 0
610 OVERTIMEANDPR8\IIIUM PAY 0 0 0 0
617 TBVlPORARY PffiSONNB- - H()IR.. Y 11,700 29,772 20,000 0
619 TBVlPORARY PffiSONNB- - NON HOURI.. Y 24,905 25,120 25,000 0
620 FICA EXPENSE- BVIPLOYffi 5.273 6.938 5.000 0
622 MEDlCAUDENTAL INSURANCE 10,542 12,751 12,751 0
625 MEDICARE PORTION RCA 1,233 1,623 1,500 0
630 CCOERA RETIRBVI ENT 2,070 2,120 2,120 0
640 OUTSIDE PffiSONNa Sffi\lICES 5,916 10,210 5,500 0
600 SUB-TOTAL 113,384 141,544 124,881 0
651 OFRCE SUPPLIES 0 0 0 0
654 PHOTOCOPY/PRINTING 0 0 0 0
655 POSTAGE 0 0 0 0
660 OPERATING SUPPLIES 4,360 5,660 5,000 0
650 SUB- TOTAL 4,360 5,660 5,000 0
702 CONFffiENCElM EEfING 225 252 225 0
704 CONTRACT Sffi\lICES 0 0 0 0
706 DlESIBOOKS/SUBSCRlPTIONS 38 88 88 0
718 ORDINANCE 8'l'ORCBVI ENT 0 0 0 0
728 TRAINING 420 985 985 0
730 UfIIFORMS 0 80 0 0
740 AUTO ALLOWANCE 14 187 187 0
755 COM PUTffi SOFTWARE 0 0 0 0
759 TB-EPHOI>E EXPENSE 0 0 0 0
776 OTHffiEQUPMENT MAINTENANCE 0 0 0 0
799 M ISCB-LANEDUS Sffi\lICES AMJ CHARGEl 0 0 0 0
700 SUB-TOTAL 697 1,592 1,485 0
802 OFFICEEQUPMENT 0 0 0 0
809 OTHffiMAJOR EQUIPMENT 0 0 0 0
800 SUB-TOTAL 0 0 0 0
I DEPARTM ENT/ACCOUNT TOTALS,
1118,4411 148,7961
131,3661
01
302
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GLOSSARY
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Adjusted - Adjusted, as used 111 the depat1ment and
dIV]SIOn SUml11alleS w]thll1 the budget document, rep-
resents the budget Il1cludmg any mId-year altiustments.
M1d-year al~ustments, mcreasmg a department's bud-
get. arc approved by C It) Council VIa the adoptlon of
a supplemental budget appropnatlon. (lther mId-year
adjustments w]thm a department"; budget may be
made VJa budget rCVISlons. movll1g funds !Tom one or
more accounts wlthm a dlvlslon or department to an-
othcr account w1th1l1 that d1vlslon or department. Ad-
.lusted budget m thIS document mcludes any adJust-
ments made through i\ugust 3 I , 2005
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Admission! Amusement Tax - i\n excise ta.\ offour
percent (400), effectIve January 1, 1 9t<6, levled on
each person who pays to gam admlss10n or access to
a performance of a motlOn pIcture or to the use of
lanes and pm setters for bO\\ Ill1g balls m a bowlmg
alley located 111 'vVheat R]dge Effect]ve January I,
19XY, the llty added m1l1iature golfto the classlfica-
t10n and rcqUlred an adnllsslOn tax to be levlCd.
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Adopted - Adopted. as used 111 the department and
dIVISIOn summalles wlthm the budget documcnt. rep-
resents the budget as approved by the Clly COlll1CJ1
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Budget - The Clty's operatlOnal and functIOnal plan
balancmg expendItures for a fiscal year WIth the ex-
pected 1l1come or revenue for the iiscal year
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Budget Message - A summary and general dlscus-
s]on of the proposed budget, accompanymg the bud-
get document. The budget message IS presented 111
Wlltll1g by the City Manager.
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Business License Fees - Effectlve December, I ')g6,
the CIty m1posed an annual busmess hcense fee f()f all
vendors domg busmess wlthm the Clty Inmts of Wheat
RId~e A $5 00 first-tnne applIcatIOn fee IS charged
for new busmesses, and an annual renewal fee of
S20 00 (effective January 1,20(4) IS charged Janu-
ary I of each ycar and collected on the January sales
tax retum torm,
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Capital Investment Pmgram (CIP) - A compre-
hens]ve program whIch proJects the financll1g and con-
structIOn of maiOI' durable and fixed assets. such as
streets, buddll1gs, parks, water and sewer 1ll1es.
Capital Outlay - Those Items such as eqUlpment,
machmery vehIcles, or tl.lmlture mc ludedm the oper-
atmg budgct and necessary t()r the delIvery ofser-
VlCes.
Community De'Vclopmcnt Block Grant (CDBG)
- CDBG funds are receIved annually from the U.S
Depal1ment ofHousmg and lIrbanDewlopment. The
funds are restncted to commulllty development
proJects that benefit lovy and moderate Il1come resI-
dents m the ( It; and help to elnnmate blIght condi-
tions.
Department - A department IS a component ofthe
overall CIty organlzatlon. Otten includmg muluple di-
V]SlOnS, It]S headed by a dIrector and has an estab-
hshed specIfic and ul1llJue set of goals and obJectIves
to proVIde servIces to the c1t1zen and orgal1lzatJon (e.g.
Admmlstral]ve Servlces. PolIce, PublIc Works, Com-
mumty Development, Parks & RecreatIon, etc ).
Encumbrances (encumbered) - An encumbrance
reserves funds wllh111 a budget account tor a speCl-
tied dollar amount for unpertoffi1ed contracts Jor goods
or serVlces. They cease to be encumbrances when
paId, canceled, or when the actual lIabIlIty ]S created.
Elevator Inspection Fees - Busll1esses located 111
Wheat RIdge that have operatlOnal elevators must have
thcm 1l1spectecl each December for safety The City
charges S 150 00 for each elevator II1speCl10n.
Enhanced Sales Tax Incentive Program (ESTlP)-
An econom1C development proh'Tam to encourage the
establIshment and/or substantial ex.panslon of retail
sales tax generatmg busmessess wlthm the City through
the shareback of sales tax revenues above a negol]-
ated base amount.
3113
Glossary
Estimated - As used throughout the budget docu-
ment, thIS term repre,ents an antICIpated year end
expendIture or revenue
Expenditures - The use offinanClal resources for
the operatIons of the Clly Each expenditure results m
a decrease mnet tinanclal resources. They melude
such Items as employee salarIes, operation supplies.
and capItal outlays.
Fire District Dispatching Fees - Thc CIty and the
\Vheat R]dgc FJrc DistrIct cntered mto an Il1tergm-
ern mental agreement which stIpulates that the FIre
DIstrIct will pay to the CIty an agreed upon amount to
be used for fundmg of an emergency services spe-
CIalist (dispatcher) 111 the Police CommUl1lCatlon DIVI-
sIon.
Full Time Equivalent (FTE) - A personnel posIt1On
tinanced for the eqUIvalent of40 hours per wee~ for
52 weeks. For example, a OS FTE could wor" 20
hours per week for 52 weeks or 40 hours per wee~
for 26 weeks.
Fund - Each ImliVldual fund IS a separate accountl11g
entlty havmg Its own assets, Iiabilit]e" revenues and
expenditures. C ]ty finanCial resources are allocated
to and accounted for ll1mdlvldual funds based on le-
gal or admllllstratJve restnctlons or requIrements.
Fund Balance - The net dlflerence between expen-
dltures and revenues at the end of the tiscal year
GASB - GovcmmentAccountl11g Standards Board.
GeneralJ;'und - The fund used to account for all
fmancJaI resources not speCIfically emarked for other
purposes. The General Fund IS Ihe pnmary operatmg
fund for the City of Wheat RIdge
Grants - Contributions or gIfts of cash or other as-
sets from another gO\ emment, or a pnvate or non-
profit entity Grants are generally to be used or ex-
pended for a speclfic purpose, actlv]ty, or faClhty
304
Interest Income - Interest Income IS the amount of
revenue eamed on mvestments and cash depOSIts. The
gUldelmes for generatmg thIS source of revenue arc
found 111 thc l11vestmcnt policIes of the City The re\-
enue IS used to fund CIty programs.
I ntergovernlTIentaI Revenue - Revenue, leVied by
one governmcnt but shared on a predetcrIllIned baSIS
WIth another government or class ofgo\ernments
(grants, loans, vehlclehghway tax, etc ),
.Jefferson Count)' Road and Bridge Tax - Each
county 111 the state mamtal11S a county road and brIdge
fund tor road and bndge constructIOn, mamtenance,
and admll1lstratlon, tunded by a mill levy propcrty tax.
Each mUl1lc]pality located 111 any county IS entltled to
receIve the revenue accrull1g to Said funds, fll]' thc
purpose of construction and mall1tenance ofroads
and streets located wlthm the CIty'S boundanes. Le-
gally, tIllS IS the only use for these funds.
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License Revenue - A fee tllr conductmg busll1ess
wlthll1the CIty of Wheat RIdge ThIS fee I~ tYPIcally
leVIed on beer or hquor, constructIon, and a vanety of
other regulated busll1esses.
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Liquor Hearing Fees - The CIty charges S500 OU
per each new liquor license locatIon, TIllS tee IS for a
pubhc hearll1g and survey for cItIzens hvmg 111 the VI-
CIl1lty orthe new liquor estabhshment, to deten11lne
whether they approvc of the estabhshment bemg 111
theIr neIghborhood, or not.
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Liquor Occupational Tax - An occupatIon tax Ie\-
led on all operators lIcensed to sell vanous claSSifica-
tIOns ofhquor wlthm the Clly lImits, Operators are
bIlled annually based on a schedule and classlficallon
set by mUl1lclpal code.
Lodger's Tax - An excIse tax. effective January I,
] lIl:;6, leVIed on the pnce pmd or charged for the lcase,
rental, or fumIshmg of rooms or other public accom-
modatIons 111 any hotel, apartment hotel, guest house,
guest ranch, mobile home, auto camp, traller court or
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GloSSal)'
park, or any other placc fumlshmg rooms or other
accommodatIOns. I n I l)lJX. \ oters approved an 111-
creasc ofLodger"s Tax to 1 O~O. The tax leVIed and
collected IS at the rate of I ()O" of the purchase prIce
paId. and IS m heu ofthe City" sales tax. The Lodger's
Tax IS dlVlded bet\\een thc (,cneral. elP, and Hotel
Motel !-unds,
MAPO - Multiple Assembly of Procurement om-
clals, Cooperative orgalllzatlOn WIth other mUlllclpaL
county, speCial (lIstnct and school dlstncts for the sole
purpose ofobtall1ll1g the highest level of value t(xtax-
payers by collectIvely ISSUll1g solicltatlons for goods
and servIces common ly required by local government
agencIes.
Materials and ~upplies - Includes adnlll1lstratlve
costs such as otllce supplies, operatmg supphes, pho-
tocopy and pnntmg expenses, postage, 011 and gas.
etc
Motor Vehicle Registration Fees - State law re-
qUIres payment of an aIU1ual regIstratIon tee for all
velllcles. The amount of the fee IS based on the class
and use of the \ ehlc Ie Out of each fee pmd by the
owner of the vehIcle, $2.50 IS credIted to the county
wlthm 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 fees
collected by the County are allocated among the
( ounty and cllles wnhm the county on the baSIS ofthe
number of vehIcles regIstered m each cIty and the un-
mcorporated area of the county The revenue recelVed
by a county. cIty or town from the regIstratIOn fees
must be spent on the construdlon or mamtcnance of
roads and bndges.
Municipal Court Fines - All fines are set by thc
court for each VIOlator. wlthm legally sct Inmts. li-affic
tickets, summons.JUl)' tnab. and forfclturcs arc re-
ceIVed by the Fmance DIVISIOn from the MUl11clpal
Court as cIty revenuc
Operating Budget - Thc 3lU1ual operatmg budget IS
the pnmary means by wlllch most ofthc financmg,
acqUISItion, spcndmg, and servlcc dchvcry actlvltles
ot a government are controlled.
Other Services and Charges - Includes such Items
as dues. subscnptlons, travel and trall1l11g expenscs,
profeSSional fees and Uttllty charges.
Park and Recreation Fces - The fees and charges
assessed for recreatIon programs, actlV'ltles and ser-
vices reflect all thc direct costs of the program plus
3()O" to cover adm1111 stratlve costs. DIrect costs m-
clude such ltems as supphes, referees, stafftlllle and
other direct expendItures made by the Oty to oper-
ate a speCific program Admmlstratlve fees reflect
the cost of Items such as uttlltles. brochure pubhca-
tlons, pcrn1anent statftlllle,.1allltonal \vork and build-
II1g mamtenance Only a portion of these expenses
are coy ered.
Personnel Services - CompensatIOn for direct la-
bor of persons m the employment ofthe City,: mcludes
salanes, wages and benefits for tull-tnne. part-lIIlle,
and temporary work. Il1cludmg overtime and SImilar
compensation.
Property Tax - A tax leVIed by the CIty on the as-
sessed valuatIon ofa11 taxable property located wlthm
the Clly calculated usmg the mIll levy
State Highway Users' Tax Fund (HUTF) - The
HIghway Users' Tax Fund IS compnsed of several
revenue sources. The first IS the net revenues denved
from Imposiuon of any hcense orreg1strahon tee. from
any "ton-mile" or "passenger-mIle" tax, trom penalty
orJudlclal asscssments. from certam mlscellancous
collectIOns, and from excIse taxes on gasolll1e or other
hqUld motor fucl.The second source IS the add1l10nal
revcnue raIsed by eXCIse taxcs on gasohne or other
I1qUld motor fuel. The thIrd source IS an allocatIOn
from thc State as a partial replacemcnt for the rev-
enue loss due to the rcpcal of the Noble Bill 111 19X7.
Funds reccIVed trom thc base HUTF revenues may
be used for engll1eenng, reconstruction. mamtenance.
repan', eqUIpment, Improvement 3l1d admll1lstratlon of
305
Glossal)'
streets and roads. Not more than 50 () ufthese funds
may be used on admll1IstratlOn. Revenues trom the
addItIOnal motor fuel taxes and the General hmd
money may be used tix new constructIon, safety 1111-
provements, mamtenancc and capac Itl' lmpro\ ements,
none may be used for admll11stratIve purposes.
Planning and Development Fee - The City reqUIres
that an applicatIOn fee be paId for all rezonmg re-
quests and site plan revIews. These rezunmg requests
must thcn meet postmg, publicatIon and public hear-
Il1g reqUIrements established by the ( Ity
Police Records/Search Fees - These tees reImburse
the City for costs related to the release of records
mt0t111atlOn,
RFP - Request t()r ProposaL
Sales Tax - All sales, transfers, or cosumptlOn of
tangible personal property wllh the City shall be sub-
Ject to a ,ales and/or use tax, unless specltically ex-
empted Irom taxatIOn, at a rate 0/'3 00 (j (eJTecuve
January 1,2005).
State Cigarette Tax - The State taxes wholesale
thstlibutors of cIgarettes, State tax stamps arc Issued
to the dIstributors as eVIdence of payment. CountIes
and CItIes recerve a dlstributIon li'om the State The
amount receIved IS based upon the proportlon of State
sales tax collected m each mUl11clpalIty, and umncOJ'-
porated areas ofthe countIes.
Swimming Pooll<ees - AdmISSIon and lesson fees
charged fur the use of the City Swnnmmg pooL
Telephone Occupation Tax - A tax leVIed on and
agall1St each telephone utility company uperatmg \vlthm
the City, a tax on the occupal1on and busmess ofmall1-
tammg a telephone exchangc and Imes connected
therewlth Il1 the Clly and of supplymg local exchange
telephone serVice to the mhabltants of the CIty
Transfer Payments - The transfer ofmone'v from
, .
one tund to another.
306
Urban Renewal Area - A deSIgnated area WIth
boundanes established for the purpose ofelimmatmg
slum or blighted areas wlthm the CIty ThIS deSIgna-
tIon makes the area eligible for vanous hmdmg and
allows t()l' the cleanng of such areas lor development
or redevelopment.
Vehicle Ownership Tax - A tax paid by owners of
motorvehtcles, trailers, sem Itral leI's and trailer coaches
111 lIeu of any ad valorem taxes. The amount ofthe tax
paId IS a functIon ofthe class. age and value ofthc
vehIcle Gcnerally, the amount of the tax paId de-
creases WIth the age of the 'vehIcle SpeCIfic owner-
shIp taxes for Class A \ ehlcles, whIch mcludes any
motorvehIele. truck. tractor, trailer or semItrailer used
to transport persons or property over publIc hlgh-
ways for compensatIon are paId to the State The
State dIstributes tIllS revenue among countIes based
upon the prop0l110n that state hIghway mileage Il1 the
county bears to the total state ll1ghway system. There
are no restnctmns on the use OfthlS revenue.
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All other classes ofspeCllic ownershIp are paid to the
County The Jetferson County Treasurer then dlS-
tnbutes thIS revenue based upon the amount that the
property tax collected by the County and each polIti-
cal and govemmental subchvlslOn bears 111 relat10n to
all the propel1y taxes collected 111 the County
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\\ eed Mowing/Cleanup Fees - Re'v enue receIved
from sIte cleanup and weeds that are mowed at tax-
payer expense are accounted for 111 a separate l111e
ltem account.
Xcel Company Franchise Fee - A franclnse pay-
ment IS accepted by the CIty from Xcd Ener!:,'} 111 heu
of all occupancy or occupatIOn and license taxes. and
all other speCIal taxes, assessments or exercises on
the nght to do busmess. Revenues arc derived from
the Imposition of a three percent (30'0) fee on the h'TOSS
re'venue from the sale of gaseous tuel and electncity
w1Ih1l1 the corporate lllTI1ts of the City
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INVESTMENT POLICY
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The total Investment PolIcy IS adopted by <- ouneII
upon recel\'mg advIce from the Clt) Treasurer ThIs
IS mtended as a summary but the adopted CouncIl
PolIcy IS controllmg.
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The C It) consolIdates cash balances from all funds to
maXl1111ZC mvestment cammgs, except for the cash m
restncted and specIal funds. Investment mcome IS
allocated to the vanous funds bases on theIr respeL-
tlve partICIpation and m accordance wIth generally
accepted accountmg pnnclples.
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The City's pnnclpal l11Vestment objectIves are
. Confonnanee WIth all applIcable Clt), State and
h:deral rcgulatlons
. PreservatIon of capItal through the protection of
Il1vestment pnnclpal by mll1ll111zmg credIt nsk
. Investmg operatmg funds m shorter-tem1 secun-
tIes. money market mutual fimds or slmllm'lI1vest-
ment pools to aVOId mcumng unreasonable mar-
ket mterest rate nsk
. Mamtenance of suffiCIent lIqUIdIty to meet the (Ity 's
cash needs
. Attall1mg a market rate ofretum tor elIgible secu-
ntles, whIch 1S secondal) to the saiCty and lIqUId-
Ity stated above
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The City 's assets are managed to the "prudent ll1ves-
tor" standard by the CIty Treasurer whIch states "In-
vestments shall be made With Judgement and care,
under cIrcumstances then prevailmg, whIch persons
of prudence, dIscretion and mtellIgence exercise m
the management of another, not 111 regard to specula-
Hem, but for mvestment eonsldenng the probable sakty
ofthe]r capital as well as the probable mcome to be
denved."
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The CIty Treasurer has further restncted the 1I1vest-
ment otTlty funds to any of the followmg:
. U .S. Treasury OblIgatIons WIth matuntles less than
five years from the date of purchase.
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FederallnstrumentalIt)' Secuntles Issued by Fed-
eral NatIOnal Mortgage ASSOCIatIOn (FNMA),
Federal Fam1 C redll Banks (FFeB), Federal
Home Loan Sanks (FilLS). and Federal Home
Loan Mortgage CorporatIon (FHMLC).
. Pnme CommercIal Paper. at the t1111e of purchase,
wh]ch]s rated 1I1 Its hIghest ratll1g category by one
or more natIOnally recognIzed organlLatlons whIch
regularly rate such oblIgatIOns and whIch have
matuntIes not exceedll1g 270 days.
. Local Govemment Investment pools pursuant to
C.R.S 24-75-101 et seq as amended.
Although the publIc DepOSIt ProtecllonAct allows
mUI11C]palItles to lI1\'est 1I1 denvatlves. the Treasurer
has explICItly state that denvatlves arc an unaccept-
able mvestmcnt.
It IS the mtent of the CIty to dIverSity Ihe lI1vestmenb
With the por1flllIo to aVOId II1cu111ng umeasonable nsks
mherent mover ll1vestll1g m specdic mstruments. or
ll1dlVldual finanCial ll1stltutlOns ormatuntles. The as-
set allocatIon 111 the portfolIo should, however be t1ex-
ible dependl11g upon the outlook forthe economy, the
secuntles market and the City, 's antICIpated cash flow
need.
It IS the polIcy of the CIty to purchase secuntles only
from authonzed l11stIlutlons and tinns. Broker/Deal-
ers and other financ]al mst]tutlOns shall be selected by
thc Trcasureron the baSIS of theIr cxpertlse m pubhc
cash management and theIr abilIty to servIce the City, 's
account.
Elected ot1iClals and employees mvolved lt1 the 1l1-
vestment process shall refram trom personal busmess
actiVIty that could contl]ct with proper exccutlon of
the mvestment proi:,'Tam or whIch could Impair or cre-
ate the appearance of an impamnent ofthe]r ab]lity to
make lmpart]a] mvestment deCISions,
307