Reso 2005-709RESOLUTION NO. 2005 -709
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
COSTA MESA SANITARY DISTRICT, ADOPTING A BUDGET
FOR THE FISCAL YEAR 2005 -06.
THE BOARD OF DIRECTORS OF THE COSTA MESA SANITARY DISTRICT DOES
HEREBY RESOLVE AS FOLLOWS:
THAT, WHEREAS, the Proposed Budget for the 2005 -06 fiscal year has been prepared
by order of the Board of Directors.
NOW, THEREFORE, BE IT RESOLVED as follows:
SECTION 1: The Annual Budget for the Costa Mesa Sanitary District for the fiscal year
beginning July 1, 2005 and ending June 30, 2006, is hereby adopted as set forth in the Proposed
2005 -06 Budget.
ATTEST:
PASSED AND ADOPTED this 91h day of June 2005, by the following roll call vote.
AYES: BOARD MEMBERS: James Ferryman, Greg Woodside, Arthur Perry,
NOES: BOARD MEMBERS: Arlene Schafer, Dan Worthington
ABSENT: BOARD MEMBERS:
Secretary, Costa,Mesa Sanitary D
Board of Directors
Jr
STATE OF CALIFORNIA )
COUNTY OF ORANGE ) ss
COSTA MESA SANITARY DISTRICT )
L114-�
()P resident, Costa Mesa Anitary District
Board of Dir ctors
I, JOAN REVAK, Clerk of the District, hereby certify that the above and foregoing
Resolution No. 2005 -709 was .duly and regularly passed and adopted by the said Board of
Directors at a regular meeting thereof held on the 9th day of June 2005.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed the Seal of the Costa
Mesa Sanitary District this 91h day of June 2005
Clerk of tob Costa Mesa Sanitary District
t.
COSTA MESA SANITARY DISTRICT
Adopted Budget
Fiscal Year 2005 -06
Maintenance & Operations
4200
10/90 Professional Services
Solid Waste
Liquid Waste
2005 -06
4205
REVENUES
Budget
Budget
Proposed
3001
General Property Tax
30,000
-
30,000
3100
Licenses & Permits
-
20,000
20,000
3200
Fines & Forfeitures
-
-
-
3300
Investment Earnings
50,000
250,000
300,000
3405
Grants
-
-
-
3400
Revenue from Other Agencies
-
10,000
10,000
3510
New Trash Container Fees
5.,000
-
5,000
3525
FOG Recovery Charges
-
143,000
143,000
3600
Charges for Services
5,010,578
2,058,639
7,069,217
3700
Contributions
25,500
-
25,500
3725
Other Reimbursements
1,000
1,000
2,000
3900
Non - Operating Revenue
-
-
-
Total Revenues
5,122,078
2,482,639
7,604,717
EXPENSES
Salaries & Benefits
4001 10/90
Regular Salaries
25,578
230,199
255,776
4002 90/10
Part-Time Salaries
43,524
4,836
48,360
4003 10/90
Board Salaries
5,508
49,572
55,080
4005 10/90
Overtime
2,548
22,928
25,475
4010 10/90
Special Pays
314
2,827
3,141
4015 10/90
Jury Duty Leave
-
-
-
4020 10/90
Vacation Leave
1,810
16,286
18,095
4025 10/90
Sick Leave
1,403
12,631
14,035
4030 10/90
Holiday Leave
1,316
11,842
13,158
4035 10/90
Floating Holiday Leave
263
2,368
2,632
4100 10/90
Cafeteria Plan
3,714
33,426
37,140
4105 10/90
Medicare - Employer
603
5,425
6,028
4110 10/90
FICA - Employer
341
3,073
3,415
4115 10/90
PERS - Employer
4,175
37,573
41,748
4120 10/90
PERS - Employee
2,116
19,045
21,161
4125 10/90
Deferred Medical - RHS
251
2,257
2,508
4130 10/90
Benefits Admin Costs
208
1,871
2,078
4135 10/90
Unemployment
-
-
-
4140 10/90
Workers' Compensation
480
4,320
4,800
Total Salaries & Benefits
94,151
460,479
554,630
Maintenance & Operations
4200
10/90 Professional Services
1,000
9,000
10,000
4205
35/65 District Manager
29,994
55,702
85,696
4210
35/65 Legal Services
16,100
29,900
46,000
4215
0/100 Engineering Services
-
16,068
16,068
4216
0/100 Plan Ck/Inspection- Inside
-
31,200
31,200
4217
0/100 Plan Ck/Inspection- Outside
-
21,000
21,000
4220
35/65 Fiscal Services
34,913
64,838
99,750
4225
35/65 Medical /Employment Services
35
65
100
4300
35/65 Contractual Services
8,883
16,497
25,380
4310
100/0 Trash Hauler
2,334,617
-
2,334,617
4315
100/0 Recycling & Disposal
2,219,864
-
2,219,864
4325
50/50 Election Expense
-
-
-
(Continued)
COSTA MESA SANITARY DISTRICT
Adopted Budget
Fiscal Year 2005 -06
Maintenance & Operations (Continued)
4330 10/90 Building Maintenance
4335 10/90 Equipment Maintenance
4400 10/90 Office Supplies
4405 varies Multi -Media Promotion /Subscriptions
4410 10/90 Postage
4420 10/90 Public Info /Education /Comm Promotion
4425 varies Small Tools & Equipment
4500 varies Professional Memberships /Dues
4505 10190 Staff Development
4515 10/90 Travel & Meetings Reimbursement
4520 90/10 Mileage Reimbursement
4550 10/90 General Liability
4600 10/90 Telephone Service
4605 10/90 Cellular Service
4610 10/90 Gas - Building
4615 10/90 Water - Building
4620 10/90 Electric - Building
4625 0/100 Water -Pump
4630 0/100 Electric - Pumps
4635 10/90 Waste Disposal
4650 10/90 Rent &.Related Costs
4655 10/90 Central Services
Total Maintenance & Operations
Special Programs & Capital Improvements
4300 100 10 Sharps Program
4300 100/0 Household Hazardous Waste Program
4420 100/0 Telephone Book Recycling Program
4310 100/0 Large Item Pick -Up
4300 100/0 Used Tire Roundup Program
4310 100 /0 Christmas Tree Program
4410 100/0 Greeting Card Program
4410 100/0 Educational Tours
4950 100/0 Non - operating Expense - Other
4995 100/0 Container Replacement Program
4800 100/0 Debt Service- Principal Payment
4850 100/0 Debt Service- Interest Payment
4990 50/50 Contingency
varies Sewer Maintenance Program
varies Capital Improvement Projects
Total Special Programs & CIP
Total Expenses
Excess (Deficiency) of Revenues
Over Expenses
Solid Waste
Liquid Waste
2005 -06
Budget
Budget
Proposed
800
7,200
8,000
1,240
11,160
12,400
500
4,500
5,000
1,600
12,600
14,200
4,200
6,000
10,200
1,360
12,240
13,600
500
500
1,000
7,500
20,300
27,800
384
3,506
3,890
642
6,738
7,380
1,350
150
1,500
5,500
49,500
55,000
576
5,184
5,760
1,026
9,234
10,260
56
508
564
168
1,512
1,680
480
4,320
4,800
-
812
812
-
73,200
73,200
4,673,288
473,433
5,146,720
10,000
-
10,000
18,000
-
18,000
10,000
-
10,000
5,000
-
5,000
500
-
500
500
-
500
100
-
100
5,000
-
5,000
5,000
-
5,000
218,682
-
218,682
55,460
-
55,460
26,397
22,227
48,624
-
576,500
576,500
-
950,000
950,000
354,639
1,548,727
1,903,366
5,122,078
2,482,639
7,604,716
0
0
0
COSTA MESA SANITARY DISTRICT
Adopted Budget
Fiscal Year 2005 -06
EXPENSES
varies Capital Improvement Projects -TBD -
Total Expenses -
Excess (Deficiency) of Revenues
Over Expenses 90,500
Facilities
REVENUES
Revolving
3001
General Property Tax
-
3100
Licenses & Permits
-
3200
Fines & Forfeitures
-
3300
Investment Earnings
80,500
3405
Grants
-
3400
Revenue from Other Agencies
-
3510
New Trash Container Fees
-
3525
Other Charges for Services
10,000
3600
Charges for Services
-
3700
Contributions
-
3725
Other Reimbursements
-
3900
Non - Operating Revenue
-
Total Revenues
90,500
EXPENSES
varies Capital Improvement Projects -TBD -
Total Expenses -
Excess (Deficiency) of Revenues
Over Expenses 90,500