Skip to main content
File #: 26-0166    Version: 1
Type: Item(s) for Discussion
In control: Strong Communities Advisory Committee
Final action:
Title: REVIEW FISCAL YEAR 2024-25 FOURTH QUARTER STRONG COMMUNITIES REVENUES AND EXPENDITURES
Attachments: 1. Attachment A – FY24-25 4th Quarter Budget Update, 2. Attachment B - Measure M Revenues CDTFA Quarterly Distribution Report, 3. PPT - Review FY24-25 4th Quarter

title

REVIEW FISCAL YEAR 2024-25 FOURTH QUARTER STRONG COMMUNITIES REVENUES AND EXPENDITURES

 

recommended action

RECOMMENDATION

 

Information item only.

 

body

Summary

 

City ordinance established a citizen advisory committee to review the expenditure of Measure M (Strong Communities) revenues to confirm they are made in accordance with the Measure as approved by the voters (2016-06-07-1212).

 

Background

 

On August 21, 2017, the City Council approved an expenditure plan with revenue and expenditure projections for the 16-year lifespan of the Measure (Resolution 2017-08-21-0801). Restoration of library and recreation services is a key element of the expenditure plan that includes increasing library and community center hours evenings and weekends.

 

As part of the City’s Fiscal Year (FY) 2024-25 budget development process, the City Council approved the Strong Communities budget on June 18, 2024. Total budgeted revenues are $14,307,603 from sales tax activity and investment income. The FY 2024-25 adopted expenditure budget of $15,782,356 was increased by $956,179 for encumbrances and appropriations rolled from the prior year, and $13,500,000 capital appropriations for total expenditure authority of $30,238,535 as of June 30, 2025.

 

Present Situation

 

Attached for review by the Strong Communities Advisory Committee is the Fourth Quarter financial report for FY 2024-25 (Attachment A).

 

Total revenues received from sales tax transactions as of June 30, 2025, were $15,765,284.80. Also attached is the California Department of Tax and Fee Administration (CDTFA) sales tax revenue report for the quarters that ended June 30, 2025 (Attachment B). The CDTFA data shows Strong Communities’ gross revenues of $4,040,901 for the quarter covering April, May, and June 2025.

 

Expenditures through the Fourth quarter of the fiscal year were $19,796,380. Total operating expenditures at the end of the Fourth quarter, 65% of the annual operating budget. Expenses for Library programs were 66% of budget and Recreation Programs were at 72% of budget. Delayed opening of Ursula Meyer Library and Community Center and pools resulted in lower than planned expenditures in the first quarter. Salary savings result from vacancies which are being actively recruited.

 

Total salaries and benefits expenditures were $5,541,924 at the end of the Fourth quarter with approximately 26% for Library programs and 74% for Recreation programs. Staffing expenses reflect the filling of approved full-time positions and part-time positions required to implement the restoration of hours of service which began in July 2018.

 

Other major expense categories and expenses through the Fourth quarter of FY 2024-25 were:

 

                     Library Materials $ 643,053

                     Utilities $ 768,697

                     Facility Maintenance $ 930,530

 

Capital Projects, which are budgeted at $16,000,000 report $9,393,737 through the Fourth quarter of the fiscal year. Many of the capital projects have multiple funding sources. Project expenses occur throughout the year and are later allocated to the correct funding source. The table below shows all project expenditures as of June 30, 2025, of $55,281,264, as well as total funding from Strong Communities tax dollars ($55,414,501) and other funding sources ($39,497,427).

 

As of June 30, 2025 (FY 2024-25 Fourth Quarter)

 

 

Attachment A - Strong Communities FY 2024-25 Budget Update - Fourth Quarter

Attachment B - Measure M Revenues CDTFA Quarterly Distribution Report