20200407 Regular City Council Meeting - PacketAgenda
City of Vernon
Regular City Council Meeting
Tuesday, April 07, 2020, 09:00 AM
City Hall, Council Chamber
4305 Santa Fe Avenue
Vernon, California
Melissa Ybarra, Mayor
Leticia Lopez, Mayor Pro Tern
William Davis, Council Member
Carol Menke, Council Member
Diana Gonzales, Council Member
THIS MEETING WILL BE CONDUCTED PURSUANT TO GOVERNOR NEWSOM'S EXECUTIVE
ORDER N-29-20.
The public is encouraged to view the meeting at http://www.cityofvernon.org/webinar or by calling
(213) 929-4232, Access Code 654-961-112#.
You may submit comments to PublicComment(�ci.vernon.ca.us with the subject line "April 7, 2020
Council Meeting Public Comment Item #_." Comments received prior to 8 a.m. Tuesday, April 7,
2020, will be read into the record.
CALL TO ORDER
I aWmevy_ ill 9 :4
ROLL CALL
APPROVAL OF THE AGENDA
PUBLIC COMMENT
At this time the public is encouraged to address the City Council on any matter that is within the
subject matter jurisdiction of the City Council. The public will also be given a chance to comment
on matters which are on the posted agenda during City Council deliberation on those specific
matters.
Page 2 of 9
Regular City Council Meeting Agenda
April 07, 2020
PUBLIC HEARINGS
Finance/Treasury
General Fee Schedule for Fiscal Year 2020-2021
•Z�Ti1i — IirF%i i iii
Continue the public hearing to a date uncertain.
1. Notice of Public Hearing - General Fee Schedule
PRESENTATIONS
2. City Administration
Fiscal Year 2020/2021 Budget Study Session
Recommendation:
No action required by City Council. This is a presentation only.
1. FY 2020-21 Budget Summary All Funds
2. 2020-2021 Combined Budget
CONSENT CALENDAR
All matters listed on the Consent Calendar are to be approved with one motion. Items may be
removed from the Consent Calendar by any member of the Council. Those items removed will be
considered immediately after the Consent Calendar.
3. City Clerk
Approval of Minutes
Recommendation:
Approve meeting minutes for the March 12, 2020 Special City Council Meeting and
the March 17, 2020 Regular and Special City Council Meetings.
1. 2020-03-12 City Council Minutes (Special)
2. 2020-03-17 City Council Minutes
3. 2020-03-17 City Council Minutes (Special)
4. Finance/Treasury
Operating Account Warrant Register
Recommendation:
Approve Operating Account Warrant Register No. 42, for the period of March 1 through
March 21, 2020, which totals $10,664,989.54 and consists of ratification of electronic
payments totaling $10,061,949.14 and ratification of the issuance of early checks
totaling $603,040.40.
1. Operating Account Warrant Register No. 42
5. City Clerk
Claims Against the City
Recommendation:
Receive and file the claim submitted by Geo Plastics in the amount of $10,000.
1. Claim for Damages -Geo Plastic 3-12-20
Page 3 of 9
Regular City Council Meeting Agenda
April 07, 2020
6. City Council
Public Works Monthly Building Report
Recommendation:
Receive and file the February 2020 Building Report.
1. Public Works Department February 2020 Building Report
7. Public Works
Second Reading of Ordinance No. 1264 - Development Agreement between the City
of Vernon and the Southern California Curling Center, Inc.
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality
Act ("CEQA") review, because it is a continuing administrative activity that will not
result in any direct or indirect physical changes in the environment, and therefore does
not constitute a "project" as defined by CEQA Guidelines section 15378, and to the
extent the Southern California Curling Center, Inc. seeks to engage in actual physical
construction or development, such would be subject to separate and independent
CEQA review and analysis; and
B. Conduct second reading, and adopt Ordinance No. 1264 approving and authorizing
the execution of a Development Agreement between the City of Vernon and the
Southern California Curling Center, Inc for the purpose of facilitating the development
of the Southern California Curling Centers' program and facility located at 4545 Pacific
Boulevard in the City of Vernon.
1. Ordinance No. 1264
8. Human Resources
POST Entry -Level Dispatcher Selection Test Battery Security Agreement with the
California Commission on Peace Officer Standards and Training
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality
Act (CEQA) review, because it is an administrative activity that will not result in direct
or indirect physical changes in the environment, and therefore does not constitute a
"project" as defined by CEQA Guidelines section 15378; and
B. Approve and authorize the Director of Human Resources to execute a POST Entry -
Level Dispatcher Selection Test Battery Security Agreement between the City of
Vernon and the California Commission on Peace Officer Standards and Training in
substantially the same form as submitted.
1. POST Security Agreement (Entry -Level Police Dispatcher)
Page 4 of 9
Regular City Council Meeting Agenda
April 07, 2020
9. Public Works
Project Funded by Senate Bill 1: The Road Repair and Accountability Act of 2017
Recommendation:
A. Find that the proposed action does not constitute a "project" pursuant to sections
15378(b)(2) and (4) of the Guidelines to the California Environmental Quality Act
("CEQA"), because it constitutes an administrative activity and government funding
mechanism that does not involve any commitment to any specific project which may
result in a potentially significant impact on the environment; and even if the adoption
of the proposed resolution did constitute a project, it would be exempt from CEQA in
accordance with CEQA Guidelines Sections 15302, because the proposed project
consists of the replacement of existing structures and facilities where the new structure
will be located on the same site as the structure replaced and will have substantially
the same purpose and capacity as the structure replaced; and 15061(b)(3), the general
rule that CEQA only applies to projects that may have a significant effect on the
environment; and
B. Adopt a resolution adopting a project funded by Senate Bill 1: The Road Repair and
Accountability Act of 2017 for Fiscal Year 2020/2021.
1. Senate Bill 1 - The Road Repair and Accountability Act FY 2020-2021 Resolution
10. Police Department
Drug Enforcement Administration Agreement
Recommendation:
A. Find that the approval of the proposed agreement is exempt from California
Environmental Quality Act ("CEQA") review, because it is a continuing administrative
activity that will not result in direct or indirect physical changes in the environment, and
therefore does not constitute a "project" as defined by CEQA Guidelines section
15378; and
B. Approve and authorize the Police Chief to execute an agreement with the Drug
Enforcement Administration, for continued participation in the Southwest Border
Initiative (SWBI) taskforce with an effective date of April 7, 2020.
1. Drug Enforcement Administration Task Force Agreement
Page 5 of 9
Regular City Council Meeting Agenda
April 07, 2020
11. Fire Department
Authorized Agents for California Governor's Office of Emergency Services (Cal OES)
Public Assistance Grants
Recommendation:
A. Find that approval of the proposed action is exempt from the California
Environmental Quality Act (CEQA), because it is a general policy and procedure
making activity that will not result in direct or indirect physical changes in the
environment, and therefore does not constitute a "project" as defined by CEQA
Guidelines section 15378; and
B. Adopt a resolution recognizing the State of California Governor's Office of
Emergency Services, Form 130, for designation of authorized agents for non -state
agencies.
1. Resolution - Authorized Agents for Cal OES Public Assistance Grants
2. Cal OES 130 City of Vernon April 7 2020
NEW BUSINESS
12. Human Resources
Agreement for Medicare Group Health Coverage
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality
Act (CEQA) review, because it is an administrative activity that will not result in direct
or indirect physical changes in the environment, and therefore does not constitute a
"project" as defined by CEQA Guidelines section 15378; and
B. Approve and authorize the City Administrator to execute the Medicare Advantage
Group Agreement between the City of Vernon and Blue Cross of California doing
business as Anthem Blue Cross in substantially the same form as submitted, for a total
amount of approximately $182,150, for calendar year 2020.
1. Medicare Advantage Group Agreement
2. 2020 Medicare Marketing Presentation
13. City Administration
Temporary Emergency Moratorium on Evictions at Commercial Properties
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality
Act (CEQA) review, because it is a continuing administrative activity that will not result
in direct or indirect physical changes in the environment and, therefore, does not
constitute a "project" as defined by CEQA Guidelines section 15378; and
B. Adopt Emergency Ordinance No. 1267 pursuant to Chapter 4.4 of the City Charter,
enacting a Temporary Emergency Moratorium on Evictions for renters and owners of
commercial properties in the City, and late fee assessments and service shut -offs for
rent and utility payments.
1. Emergency Ordinance No. 1267
Page 6 of 9
Regular City Council Meeting Agenda
April 07, 2020
14. City Administration
Fund Allocation, Eligibility, and Criteria for Vernon CommUNITY Fund Grants
Recommendation:
A. Find that the action is exempt under the California Environmental Quality Act
(CEQA) review, because it is a continuing administrative activity that will not result in
direct or indirect physical changes in the environment and, therefore, does not
constitute a "project" as defined by CEQA Guidelines section 15378; and
B. Introduce and conduct first reading of Ordinance No. 1265 amending Article XX of
Chapter 2, Sections 2.162 and 2.164 through 2.166, of the Vernon Municipal Code to
modify Vernon CommUNITY Fund grant fund allocation, eligibility, and criteria and
direct staff to schedule second reading and adoption at the April 21, 2020 Council
meeting.
1. Ordinance No. 1265
15. Public Works
First Responders Housing Priority
Recommendation:
A. Find that approval of the proposed Ordinance is categorically exempt from California
Environmental Quality Act (CEQA) review, because it is a continuing administrative
activity that will not result in any direct or indirect physical change to the environment,
and therefor does not constitute a "project" as defined by CEQA Guidelines section
15378; and
B. Introduce and conduct first reading of Ordinance No. 1266 amending Chapter 2,
Section 2.125 (b) of the Vernon Municipal Code to delete any reference to a "first
responders" priority and direct staff to schedule second reading and adoption at the
April 21, 2020 Council meeting.
1. Eliminated Procedures for Tenants under First Responder Priority ADOPTED 09-
09-15 REPEALED 03-11-20
2. Ordinance No. 1266
16. City Administration
COVID-19 Emergency Microloan Program
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality
Act (CEQA) review, because it is an administrative activity that will not result in direct
or indirect physical changes in the environment and, therefore, does not constitute a
"project" as defined by CEQA Guidelines section 15378; and
B. Approve the implementation of the City's COVID-19 Emergency Microloan Program
that will offer support to Vernon restaurants with an objective to prevent staff
reductions, offset losses related to COVID-19, and sustain operations through the
COVID-19 crisis.
1. Vernon COVID-19 Emergency Microloan Fact Sheet
2. Vernon COVID-19 Emergency Microloan Application
3. Vernon COVID-19 Emergency Microloan Agreement
Page 7 of 9
Regular City Council Meeting Agenda
April 07, 2020
17. City Administration
Grant Agreement with AltaMed Health Services Corporation for COVID-19
Screening/Testing
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality
Act (CEQA) review, because it is an administrative activity that will not result in direct
or indirect physical changes in the environment, and therefore does not constitute a
"project" as defined by CEQA Guidelines section 15378; and
B. Approve and authorize the City Administrator to execute a Grant Agreement
between the City of Vernon and AltaMed Health Services Corporation (AltaMed) in
substantially the same form as submitted, for a total amount of $75,000 to support
AltaMed's COVID-19 screening/testing services in the Southeast Los Angeles Area.
1. COV-AltaMed Grant Agreement
18. City Administration
Jaw Bone Canyon Property in Kern County
Recommendation:
Hold a discussion and provide direction to staff.
101:7_1NN4101:A&9
City Administrator Reports on Activities and other Announcements
City Council Reports on Activities (including AB1234), Announcements, or Directives to Staff
Page 8 of 9
Regular City Council Meeting Agenda
April 07, 2020
CLOSED SESSION
19. City Attorney
CONFERENCE WITH LEGAL COUNSEL — EXISTING LITIGATION
Government Code Section 54956.9(d)(1)
Signal Hill v. Central Basin Municipal Water District, et al.
Los Angeles Superior Court Case No. 19STCP03882
20. City Attorney
PUBLIC EMPLOYEE PERFORMANCE EVALUATION
Government Code Section 54957(b)(1)
Title: City Administrator
CLOSED SESSION REPORT
ADJOURNMENT
I hereby certify under penalty of perjury under the laws of the State of California, that the foregoing
agenda was posted in accordance with the applicable legal requirements. Regular and Adjourned
Regular meeting agendas may be amended up to 72 hours in advance of the meeting. Dated this
2nd day of April, 2020.
By: /s/
Sandra Dolson, Administrative Secretary
Page 9 of 9
Regular City Council Meeting Agenda
April 07, 2020
Guide to City Council Proceedings
Meetings of the City Council are held the first and third Tuesday of each month at 9:00 a.m. and
are conducted in accordance with Rosenberg's Rules of Order (Vernon Municipal Code Section
2.1-1).
Copies of all agenda items and back-up materials are available for review in the City Clerk
Department, Vernon City Hall, 4305 Santa Fe Avenue, Vernon, California, and are available for
public inspection during regular business hours, Monday through Thursday, 7:00 a.m. to 5:30 p.m.
Agenda reports may be reviewed on the City's website at www.citvofvernon.org or copies may be
purchased for $0.10 per page.
Disability -related services are available to enable persons with a disability to participate in this
meeting, consistent with the Americans with Disabilities Act (ADA). In compliance with ADA, if you
need special assistance, please contact the City Clerk department at CityClerk@ci.vernon.ca.us
or (323) 583-8811 at least 48 hours prior to the meeting to assure arrangements can be made.
The Public Comment portion of the agenda is for members of the public to present items, which
are not listed on the agenda but are within the subject matter jurisdiction of the City Council. The
City Council cannot take action on any item that is not on the agenda but matters raised under
Public Comment may be referred to staff or scheduled on a future agenda. Comments are limited
to three minutes per speaker unless a different time limit is announced. Speaker slips are available
at the entrance to the Council Chamber.
Public Hearings are legally noticed hearings. For hearings involving zoning matters, the applicant
and appellant will be given 15 minutes to present their position to the City Council. Time may be
set aside for rebuttal. All other testimony shall follow the rules as set for under Public Comment. If
you challenge any City action in court, you may be limited to raising only those issues you or
someone else raised during the public hearing, or in written correspondence delivered to the City
Clerk at or prior to the public hearing.
Consent Calendar items may be approved by a single motion. If a Council Member or the public
wishes to discuss an item, it may be removed from the calendar for individual consideration.
Council Members may indicate a negative or abstaining vote on any individual item by so declaring
prior to the vote on the motion to adopt the Consent Calendar. Items excluded from the Consent
Calendar will be taken up following action on the Consent Calendar. Public speakers shall follow
the guidelines as set forth under Public Comment.
New Business items are matters appearing before the Council for the first time for formal action.
Those wishing to address the Council on New Business items shall follow the guidelines for Public
Comment.
Closed Session allows the Council to discuss specific matters pursuant to the Brown Act,
Government Code Section 54956.9. Based on the advice of the City Attorney, discussion of these
matters in open session would prejudice the position of the City. Following Closed Session, the
City Attorney will provide an oral report on any reportable matters discussed and actions taken. At
the conclusion of Closed Session, the Council may continue any item listed on the Closed Session
agenda to the Open Session agenda for discussion or to take formal action as it deems
appropriate.
City Council Agenda Item Report
Agenda Item No. COV-77-2020
Submitted by: Javier Valdez
Submitting Department: Finance/Treasury
Meeting Date: April 7, 2020
SUBJECT
General Fee Schedule for Fiscal Year 2020-2021
Recommendation:
Continue the public hearing to a date uncertain.
Background:
At the February 13, 2020 Business and Industry Commission meeting, staff presented an overview of the
proposed Fiscal Year 2020-21 General Fee Schedule. The Commission received the presentation but
made it known that its preference was to receive the proposed fee schedule in advance in order to be
better informed to make a recommendation to the Council.
In an effort to receive input from the Commission and community and present the actual proposed fees,
staff scheduled a town hall meeting on March 10, 2020, and a special Business and Industry
Commission meeting for March 17, 2020. Many members of the community, business owners,
developers and interested parties attended the workshop, asked questions and provided input on the
proposed fee schedule. Due to COVID-19 and the State of Emergency, the March 17, 2020 Business
and Industry Commission meeting was cancelled.
Pursuant to Government Code Sections 66016 et seq., notice of the hearing of the Fiscal Year
2020-2021 proposed General Fee Schedule was mailed to interested parties on March 12, 2020 and
published in The Wave on March 19, 2020 and March 26, 2020. Due to the uncertain times, staff
recommends continuing the hearing to a date uncertain and re -noticing at the appropriate time.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. Notice of Public Hearing - General Fee Schedule
City of Vernon
4305 Santa Fe Avenue
Vernon, CA 90058
(323)583-8811
NOTICE OF CITY COUNCIL PUBLIC HEARING
The City Council of the City of Vernon will conduct a public hearing, at Vernon City Hall, City Council Chamber, 4305
Santa Fe Avenue, Vernon, CA 90058, on Tuesday, April 7, 2020, at 9:00 a.m. (or as soon thereafter as the matter can
be heard), to:
Consider adoption of the Fiscal Year 2020-2021 General Fee Schedule for Services provided by the City
The proposed General Fee Schedule will be available for public review on the City's website once the agenda for the
meeting is posted or from the City Clerk at CityClerk(a ci.vemon.ca.us or (323) 583-8811, ext.546.
All parties are invited to be present and to submit statements orally or in writing before or during the meeting.
Please send your comments or questions to:
Scott Williams, Director of Finance/City Treasurer
City of Vernon
4305 Santa Fe Avenue, Vernon, CA 90058
(323) 583-8811, ext. 849 Email: silliams@ci.vemon.ca.us
PROPOSED CEQA FINDING: Staff will recommend that the City Council find that this action is statutorily
exempt from review under the California Environmental Quality Act (CEQA), Guidelines section 15273, because
CEQA does not apply to the establishment, modification, structuring, restructuring, or approval of rates, tolls,
fares, and other charges by public entities for the purpose of meeting operating expenses and financial needs.
If you challenge the adoption of the proposed General Fee Schedule for services provided by the City, or any provision
thereof in court, you may be limited to raising only those issues you or someone else raised at the hearing described in
this notice or in written correspondence delivered to the City of Vernon at, or prior to, the meeting.
In compliance with the Americans with Disabilities Act (ADA), if you need special assistance to participate in the
meeting, please contact the Office of the City Clerk at (323) 583-8811, ext. 546.
The hearing may be continued, adjourned, or cancelled and rescheduled to a stated time and place without further
notice of a public hearing.
Dated: March 9, 2020
Lisa Pope, City Clerk
Publish: March 19, 2020 and March 26, 2020
City Council Agenda Item Report
Agenda Item No. COV-129-2020
Submitted by: Scott Williams
Submitting Department: City Administration
Meeting Date: April 7, 2020
SUBJECT
Fiscal Year 2020/2021 Budget Study Session
Recommendation:
No action required by City Council. This is a presentation only.
Background:
The Budget Workshop presentation allows the City Council to gather an understanding of the City's
operation and intended fiscal direction, as staff addresses Citywide issues, functions, and needs.
Because each department faces unique challenges and identifies its own specific goals for a given year,
collaboration between Finance and the individual departments is required in the weeks preceding this
presentation. Presentations will focus on the previous year's highlights and the vision for the City
departments as they move forward into the new fiscal year. The presentations are designed to provide
insight into the Citywide proposed fiscal year budget that will be brought to City Council for approval in
June. On April 7, 2020, Budget Workshop presentations will be delivered as follows:
1. Citywide Budget Overview - presented by Carlos Fandino, City Administrator
2. All City Departmental Budgets - presented by Scott Williams, Director of Finance
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
FY 2020-21 Budget Summary All Funds
2020-2021 Combined Budget
CITY OF VERNON
GENERAL FUND FY 2020-21
BUDGET SUMMARY
19-20 20-21 Difference % change
Revenue
62,462,694
58,325,978
(4,136,716)
-6.62%
Other (grants)
-
1,500,000
1,500,000
Reserves Applied
-
2,892,111
2,892,111
Total Available Resources
62,462,694
62,718,088
255,395
Expenditures
59,613,142
62,718,088
3,104,946
5.21%
Revenues in excess (under)
2,849,552
-
(2,849,551)
REVENUE
19-20
20-21
Difference
% change
Property Taxes
18,714,662
19,260,786
546,124
2.92%
Other Taxes
25,969,008
21,907,817
(4,061,191)
-15.64%
License and Permits
2,322,627
1,831,367
(491,260)
-21.15%
Other Government Revenue
4,349,250
3,706,820
(642,430)
-14.77%
Charges for Service
1,286,499
1,348,724
62,225
4.84%
Fines & Forfeitures
200,038
199,788
(250)
-0.12%
Investment Income
85,000
86,700
1,700
2.00%
Other Revenue
944,084
943,454
(630)
-0.07%
In -lieu Tax
4,925,975
5,301,659
375,684
7.63%
Overhead allocation
3,665,551
3,738,862
73,311
2.00%
Federal/State Assistance
-
1,500,000
1,500,000
0.00%
Reserve Applied
-
2,892,111
2,892,111
-
Total Revenue
62,462,694
62,718,088
255,394
0.41%
EXPENDITURES
19-20
20-21
Difference
% change
Salaries & Benefits
35,485,257
35,837,127
351,870
0.99%
Maintenance and Operations
18,214,885
19,163,601
948,716
5.21%
Capital Projects & Equipment
5,913,000
7,717,360
1,804,360
30.52%
Transfers Out
-
-
-
-
Total Expenditures
59,613,142
62,718,088
3,104,946
5.21%
SALARIES & BENEFITS
19-20
20-21
Difference
% change
Salaries
21,201,227
20,825,681
(375,546)
-1.77%
PERS
8,181,829
8,074,951
(106,878)
-1.31%
Fringe
6,102,201
6,936,495
834,294
13.67%
Total Salaries & Benefits
35,485,257
35,837,127
351,870
0.99%
Revenue
Transfers In
Total Available Resources
Expenditures
Revenues in excess (under)
Charges for Service
Investment Income
Transfers In
CITY OF VERNON
ELECTRIC FUND FY 2020-21
BUDGET SUMMARY
19-20 20-21 Difference
222,206,778 226,394,689 4,187,911
222,206,778
231,514,775
(9,307,997)
226,394,689
4,187,911
228,783,995
(2,730,780)
(2,389,306)
6,918,691
REVENUE
19-20 20-21 Difference
221,206,778 225,394,689 4,187,911
1,000,000 1,000,000 -
% change
1.88%
-1.18%
% change
1.89%
0.00%
0.00%
Total Revenue
222,206,778
226,394,689
4,187,911
1.88%
EXPENDITURES
19-20
20-21
Difference
% change
Salaries & Benefits
8,431,654
8,643,070
211,416
2.51 %
Maintenance and Operations
212,147,121
205,787,214
(6,359,907)
-3.00%
Capital Projects & Equipment
10,936,000
11,462,000
526,000
4.81 %
Transfers Out
-
2,891,711
2,891,711.00
0.00%
Total Expenditures
231,514,775
228,783,995
(2,730,780)
-1.18%
SALARIES & BENEFITS
19-20
20-21
Difference
% change
Salaries
6,054,781
6,118,174
63,393
1.05%
PERS
1,513,418
1,606,601
93,183
6.16%
Fringe
863,455
918,295
54,840
6.35%
Total Salaries & Benefits 8,431,654 8,643,070 211,416 2.51 %
Revenue
Transfers In
Total Available Resources
Expenditures
Revenues in excess (under)
Charges for Service
Proceeds from Long -Term Debt
Transfers In
CITY OF VERNON
WATER FUND FY 2020-21
BUDGET SUMMARY
19-20 20-21 Difference
10,073,244 16,088,719 6,015,475
10,073,244
18,047,462
(7,974,218)
16,088,719
6,015,475
15,793,452
(2,254,010)
295,267
8,269,485
REVENUE
19-20 20-21 Difference
8,573,244 9,537,034 963,790
1,500,000 6,551,685 5,051,685
% change
59.72%
-12.49%
% change
11.24%
336.78%
0.00%
Total Revenue
10,073,244
16,088,719
6,015,475
59.72%
EXPENDITURES
19-20
20-21
Difference
% change
Salaries & Benefits
2,205,476
2,260,153
54,677
2.48%
Maintenance and Operations
7,589,986
6,681,614
(908,372)
-11.97%
Capital Projects & Equipment
8,252,000
6,851,685
(1,400,315)
-16.97%
Transfers Out
-
-
-
0.00%
Total Expenditures
18,047,462
15,793,452
(2,254,010)
-12.49%
SALARIES & BENEFITS
19-20
20-21
Difference
% change
Salaries
1,511,156
1,525,769
14,613
0.97%
PERS
429,985
455,416
25,431
5.91 %
Fringe
264,335
278,968
14,633
5.54%
Total Salaries & Benefits 2,205,476 2,260,153 54,677 2.48%
Revenue
Transfers In
Total Available Resources
Expenditures
Revenues in excess (under)
Charges for Service
Transfers In
CITY OF VERNON
GAS FUND FY 2020-21
BUDGET SUMMARY
19-20 20-21 Difference % change
14,081,125 13,820,674 (260,451) -1.85%
14,081,125
14,638,215
(557,090)
13,820,674 (260,451)
13,820,674 (817,541)
- 557,090
REVENUE
19-20 20-21
14,081,125 13,820,674
Difference
(260,451)
-5.58%
% change
-1.85%
0.00%
Total Revenue
14,081,125
13,820,674
(260,451)
-1.85%
EXPENDITURES
19-20
20-21
Difference
% change
Salaries & Benefits
819,948
1,011,332
191,384
23.34%
Maintenance and Operations
12,693,267
12,439,342
(253,925)
-2.00%
Capital Projects & Equipment
1,125,000
370,000
(755,000)
-67.11%
Transfers Out
-
-
-
0.00%
Total Expenditures 14,638,215 13,820,674 (817,541) -5.58%
SALARIES & BENEFITS
19-20 20-21 Difference % change
Salaries
577,531
700,445
122,914
21.28%
PERS
150,697
193,455
42,758
28.37%
Fringe
91,720
117,432
25,712
28.03%
Total Salaries & Benefits
819,948
1,011,332
191,384
23.34%
Revenue
Transfers In
Total Available Resources
Expenditures
Revenues in excess (under)
Charges for Service
Transfers In
CITY OF VERNON
FIBER OPTIC FUND FY 2020-21
BUDGET SUMMARY
19-20 20-21
983,220 700,000
983,220 700,000
673,084 731,837
310,136 (31,837)
REVENUE
19-20 20-21
983,220 700,000
Difference % change
(283,220) -28.81 %
(283,220)
8.73%
(341,973)
Difference % change
(283,220) -28.81 %
0.00%
Total Revenue
983,220
700,000
(283,220)
-28.81%
EXPENDITURES
19-20
20-21
Difference
% change
Salaries & Benefits
98,898
107,651
8,753
8.85%
Maintenance and Operations
324,186
324,186
-
0.00%
Capital Projects & Equipment
250,000
300,000
50,000
20.00%
Transfers Out
-
-
-
0.00%
Total Expenditures 673,084 731,837 58,753 8.73%
Salaries
PERS
Fringe
Total Salaries & Benefits
SALARIES & BENEFITS
19-20 20-21
68,097 72,238
19,203 22,354
11,598 13,059
98,898 107,651
Difference % change
4,141 6.08%
3,151 16.41%
1,461 12.60%
8,753 8.85%
CITY OF VERNON
Fiscal 2020-2021 Final Budget Summary as of March 17, 2020
Cash Basis
Governmental Funds
Business -Type Funds
Successor
Governmental
Business -type
General
Agency
Funds
Electric
Gas Water Fiber Optics
Funds
City -Wide
Fund
Funds
Total
Fund
Fund Fund Fund
Total
Total
Operating revenues
Taxes
41,168,605
5,91 1,1 13
47,079,718
47,079,718
Special assessments
1,205,000
-
1,205,000
1,205,000
Licenses and permits
1,831,367
1,831,367
1,831,367
Fines, forfeitures and penalties
199,788
199,788
-
-
199,788
Investment income (loss)
86,700
86,700
1,000,000
1,000,000
1,086,700
Interqovernmental revenues
2,501,820
2,501,820
-
- - -
-
2,501,820
Charges for services
1,348,724
1,348,724
215,501,941
13,820,674 9,537,034 700,000
239,559,649
240,908,373
Other revenues
943,454
-
943,454
-
- - -
-
943,454
Total operating revenues
49,285,458
5,911,113
55,196,571
216,501,941
13,820,674 9,537,034 700,000
240,559,649
295,756,220
Operating expenditures
General government
14,883,497
250,000
15,133,497
15,133,497
Public safety- Police
11,968,703
-
11,968,703
11,968,703
Public safety - Fire
17,449,210
17,449,210
17,449,210
Public works
8,163,946
8,163,946
8,163,946
Health services
1,535,455
1,535,455
1,535,455
Community promotion
500,000
500,000
500,000
Community development
499,919
499,919
-
-
499,919
Principal retirement
-
3,105,000
3,105,000
29,520,000
29,520,000
32,625,000
Interest payment
-
2,556,113
2,556,113
15,208,498
15,208,498
17,764,611
Capital outlay
7,717,360
-
7,717,360
11,462,000 370,000 6,851,685
300,000 18,983,685
26,701,045
Cost of sales
-
-
151,366,747 13,450,674 8,343,537
431,837 173,592,795
173,592,795
Total operating expenditures
62,718,090
5,911,113
68,629,203
207,557,245 13,820,674 15,195,222
731,837 237,304,978
305,934,181
Net operating surplus (deficit)
(13,432,632)
(13,432,632)
8,944,696
(5,658,188)
(31,837) 3,254,671
(10,177,961)
Non -operating revenues (expenditures)
Proceeds from lonq-term debt
-
-
-
6,551,685
6,551,685
6,551,685
In -lieu tax transfer in (out)
5,301,659
5,301,659
(5,301,659)
-
(5,301,659)
-
Overhead allocation in (out)
3,738,862
3,738,862
(3,140,632)
(598,230)
(3,738,862)
-
Total non -operating revenues (expenditures)
9,040,521
9,040,521
(8,442,291)
5,953,455
(2,488,836)
6,551,685
Extraordinary items
Estimated Fed/State assistance
1,500,000
1,500,000
-
1,500,000
Reserves applied
2,892,111
2,892,111
(502,405)
(295,267)
31,837 (765,835)
2,126,276
Total extraordinary items
4,392,111
4,392,111
(502,405)
(295,267)
31,837 (765,835)
3,626,276
Net increase (decrease)
CITY OF VERNON
EXPENDITURE BUDGET
2020-2021
FY2021 FY2021 FY2021
SUPPLIES/
DEPARTMENT SALARIES BENEFITS SERVICES
CITY COUNCIL
CITY ADMINISTRATION
CITY ATTORNEY
CITY CLERK
FINANCE
HUMAN RESOURCES
COMMUNITY PROMOTION
COMMUNITY DEVELOPMENT
INFORMATION TECHNOLOGY
SUB -TOTAL ADMIN
HEALTH/ENVIRONMENTAL CTRL
SUB -TOTAL HEALTH
POLICE
FIRE
SUB -TOTAL SAFETY
ADMIN-ENGR-PLANNING
BUILDING DEPARTMENT
PUBLIC WORKS
INDUSTRIAL DEVELOPMENT
CITY GARAGE
CITY WAREHOUSE
CITY HOUSING
CITY BUILDINGS
SUB -TOTAL COMM SER
TOTALGENERALFUND
rteli_IIt3=1►1:1:L1%III ►Ik
$ 152,217
702,881
512,574
348,548
1,310,506
848,996
701,848
4,577,570
769,208
769,208
7,079,452
4,310,568
11,390,020
1,832,047
592,942
443,059
338,590
323,113
163,181
395,950
4,088,882
$ 20,825,680
$ 20,825,680
$ 67,671
299,495
198,216
155,152
602,019
3,596,187
309,639
5,228,379
380,367
380,367
4,446,725
2,818,869
7,265,594
919,931
278,025
277,541
178,867
197,223
94,028
191,492
2,137,107
$ 15,011,447
$ 15,011,447
$ 39,984
128,371
427,500
97,000
1,194,835
403,890
500,000
499,919
1,425,473
4,716,972
385,880
385,880
442,526
10,319,773
10,762,299
1,660,180
388,250
5,840
51,480
274,500
10,950
134,200
773,050
3,298,450
$ 19,163,601
$ 19,163,601
FY2021 FY2021
CAPITAL
OUTLAY TOTAL
1,040,000
1,040,000
272,200
1,780,160
2,052,360
2,505,000
335,000
95,000
270,000
1,420,000
4,625,000
$ 7,717,360
$ 7,717,360
$ 259,872
1,130, 747
1,138, 290
600,700
3,107, 360
4,849,073
500,000
499,919
3,476,960
15,562,921
1,535,455
1,535,455
12,240,903
19,229,370
31,470,273
6,917,158
1,259,217
726,440
51,480
1,126,957
626,286
661,409
2,780,492
14,149,439
$ 62,718,088
$ 62,718,088
EXHIBIT "A" Page 7 of 10
CITY OF VERNON
EXPENDITURE BUDGET
2020-2021
FY2021 FY2021 FY2021 FY2021 FY2021
SUPPLIES/ CAPITAL
DEPARTMENT SALARIES BENEFITS SERVICES OUTLAY TOTAL
RDA OBLIGATION RETIREMENT FUND
UTILITIES
WATER FUND
WATER OPERATIONS
RECYCLED WATER
SUB -TOTAL WATER
LIGHT & POWER
FIELD OPERATIONS
SYSTEM DISPATCH
STATION A
TRANS/DISTRIBUTION
BUILDING MAINTENANCE
CUSTOMER SERVICE
ADMINISTRATION
ELECTRICAL ENGINEERING
RESOURCE MANAGEMENT
ENERGY MANAGEMENT
SUB -TOTAL L & P
o��
FIBER -OPTICS
TOTAL UTILITIES
GRAND TOTAL
- - 5,911,113 - 5,911,113
1,525,769
734,384
6,681,614
6,851,685
15,793,452
1,525,769
734,384
6,681,614
6,851,685
15,793,452
703,244
260,123
512,728
962,000
2,438,095
1,907,683
713,185
825,214
395,000
3,841,082
-
-
808,045
115,000
923,045
-
-
8,127,432
-
8,127,432
62,884
44,192
298,000
385,000
790,076
351,079
184,687
368,800
120,000
1,024,566
1,214,550
539,607
59,690,775
90,000
61,534,932
1,154,073
490,849
372,000
9,395,000
11,411,922
685,441
277,248
134,069,220
-
135,031,909
39,220
15,005
715,000
-
769,225
6,118,174
2,524,896
205,787,214
11,462,000
225,892,284
700,445
310,887
12,439,342
370,000
13,820,674
72,238
35,413
324,186
300,000
731,837
8,416, 626
3,605,580
225, 232, 356
18, 983, 685
256,238,247
$ 29,242,306
$ 18,617,027
$ 250,307,070
$ 26,701,045
$ 324,867,448
EXHIBIT "A" Page 8 of 10
CITY OF VERNON
ESTIMATED REVENUES
2020-2021
GOVERNMENTAL FUND TYPE
GENERAL
FY2021
400110
SECURED PROPERTY TAX -CURRENT
$
4,440,918
400210
PRIOR YEAR SECURED
$
(8,831)
400310
REAL PROPERTY TRANSFER TAX
$
242,299
400311
BNSF
$
624,792
400500
PROPERTY TAX -INTEREST & PENALTIES
$
7,728
400610
PROP "A" FUNDS
$
4,340
400630
PROP "C" FUNDS
$
3,600
400700
HOMEOWNERS' PROPERTY TAX EXEMPTION
$
17,221
400820
PUBLIC SAFETY AUGMENTATION FUND
$
1,877
400900
PARCEL TAXES - WAREHOUSE
$
11,825,874
400950
PARCEL TAXES - SAFETY
$
2,145,162
401000
UTILITY USERS TAX
$
11,016,000
401200
SALES AND USE TAX
$
6,008,310
401205
MEASURE W LOCAL RETURN (STORMWATER)
$
940,000
401206
MEASURE R LOCAL RETURN
$
2,700
401207
MEASURE M LOCAL RETURN
$
3,060
401208
ROAD MAINTENANCE AND REHAB - SB1
$
3,459
401209
TDA ARTICLE 3
$
5,000
401600
ADMINISTRATIVE FEES - SB2557
$
(36,252)
401650
STATE FEE - SB1186
$
1,100
407500
GAS TAX 2103
$
1,783
407510
GAS TAX 2105
$
1,163
407600
GAS TAX 2106
$
5,487
407700
GAS TAX 2107
$
1,527
407800
GAS TAX 2107.5
$
1,000
410100
BUSINESS LICENSES
$
4,768,500
410210
BUILDING PERMITS
$
769,650
410211
FIRE PERMIT FEES
$
22,500
410212
ALARM PERMITS
$
11,690
410240
PUBLIC HEALTH PERMITS
$
325,000
410250
HEALTH PERMIT LATE FEES
$
3,000
410260
CUPA PERMIT FEES
$
600,000
410265
CUPA PERMIT LATE FEES
$
6,000
410270
FILMING PERMITS
$
2,500
410271
SPECIAL EVENT PERMIT FEES
$
600
410280
CONDITIONAL USE PERMITS
$
13,927
410290
ISSUANCE FEE
$
19,000
410300
FRANCHISES AND AGREEMENTS
$
115,008
410310
SOLID WASTE FRANCHISE FEES
$
1,200,000
410320
SOLID WASTE FRANCHISE LATE FEES
$
5,000
410330
FRANCHISE FEES, PRIOR YEARS
$
-
410400
CLOSURE REVIEW FEES
$
2,500
410410
PLAN CHECK REVIEW FEES
$
20,000
410416
CUPA PLAN CHECK REVIEW FEES
$
5,000
410420
CALARP REVIEW FEES
$
5,000
410430
ANNUAL BUSINESS FIRE INSPECTION
$
100,000
410440
FIRE PREVENTION FEES / BUILDING
$
-
410450
FIRE CODE CONSTRUCTION PERMITS
$
-
410460
ANNUAL BUSINESS FIRE RE-INSPECITON
$
1,500
410470
FIVE YEAR SPRINKLER SYSTEM TESTING
$
4,250
410480
FALSE ALARM FEES
$
27,500
410490
FIRE EXTINGUISHER TRAINING
$
200
420100
VEHICLE CODE FINES
$
60,000
420110
OTHER VEHICLE FINES
$
20,000
420120
DUI EMERGENCY RESPONSE
$
-
420130
VEHICLE INSPECTION FEE
$
4,000
420510
PARKING CITATIONS
$
30,000
420515
FRANCHISE TOWING FEES
$
15,000
420520
COMMUNITY SERVICES INCOME
$
37,000
420525
IMPOUNDED VEHICLE RELEASE FEES
$
3,000
420530
DUI VEHICLE RELEASE FEES
$
3,000
420535
REPOSSESSED VEHICLE RELEASE FEE
$
300
430110
INVESTMENT INCOME
$
86,700
431000
RENTS
$
528,920
440100
GRANT REVENUE
$
1,267,931
441010
COPS - SLESF FUNDS
$
100,000
EXHIBIT "B" Page 9 of 10
CITY OF VERNON
ESTIMATED REVENUES
2020-2021
GOVERNMENTAL FUND TYPE
GENERAL
FY2021
441014
OVERTIME REIMBURSEMENT REVENUE
$
441015
TASK FORCE REIMBURSEMENT REVENUE
$
442001
MOTOR VEHICLE IN -LIEU TAX
$
8,670
450110
FIRE SERVICE
$
20,000
450120
ENGINEERING INSPECTION FEES
$
70,000
458000
GENERAL CITY ADMINISTRATIVE SERVICES
$
3,738,862
459030
GROUP MEDICAL REVENUE
$
228,257
461100
MISCELLANEOUS AND PENALTIES
$
53,988
461300
FREE SALES CERTIFICATE FEES
$
25,000
466000
P.O.S.T. REIMBURSEMENT
$
1,000
466200
PLAN CHECK FEES
$
446,330
466220
GREEN BUILDING STANDARDS FEE
$
10,262
466230
ANNUAL FEE
$
1,000
466600
COPIES AND PUBLICATIONS
$
18,425
466700
BACKFLOW CERTIFICATES
$
20,000
466900
MISCELLANEOUS
$
19,517
467000
STRIKE TEAM REIMBURSEMENT
$
50,000
467100
EMS REIMBURSEMENT
$
100,000
467300
BOOKING FEE REIMBURSMENT
$
-
468400
VARIANCES
$
6,597
469300
RESERVE APPLIED
$
2,892,111
499700
CREDIT FOR GARAGE WORK ORDERS
$
375,000
600910
OTHER INCOME
$
387,920
630055
LIGHT AND POWER IN -LIEU TAX
$
5,301,659
670010
SALE OF CAPITAL ASSETS
$
-
690100
OPERATING TRANSFER IN
$
-
TOTAL GENERAL FUND
61,218,089
FIDUCIARY FUND
022
RDA/SUCCESSOR AGENCY TAX INCREMENT
$
5,911,113
SUB -TOTAL
FIDUCIARY FUND
5,911,113
TOTAL GOVERNMENTAL TYPE FUNDS
67,129,202
PROPRIETARY FUND TYPES
WATER DEPARTMENT
020 WATER - REVENUES
$
9,537,034
020 WATER - PROCEEDS FROM LONG-TERM DEBT
$
6,551,685
020 WATER - RESERVES APPLIED
$
(295,267)
LIGHT AND POWER
$
-
055 LIGHT AND POWER - REVENUES
$
226,394,689
055 LIGHT AND POWER - RESERVES APPLIED
$
(502,405)
FIBER -OPTICS
$
-
057 FIBER -OPTICS - REVENUES
$
700,000
057 FIBER -OPTICS - RESERVES APPLIED
$
31,837
GAS UTILITY
$
-
056 GAS - REVENUES
$
13,820,674
056 GAS - RESERVES APPLIED
$
-
SUB -TOTAL ENTERPRISE FUNDS
256,238,247
GRAND TOTAL ALL FUNDS
$
323,367,449
EXHIBIT "B" Page 10 of 10
CITY OF VERNON
Fiscal 2020-2021 Final Budget Summary as of March 17, 2020
Cash Basis
( Governmental Funds (
Successor Governmental
General Agency Funds
Fund Funds Total
(
Electric
Fund
Business -Type Funds
Gas Water Fiber Optics
Fund Fund Fund
Business -type
Funds
Total
Cl
Total
Note
Operating revenues
Taxes
41,168,605
5,911,113
47,079,718
47,079,718
Special assessments
1,205,000
-
1,205,000
1,205,000
Licenses and permits
1,831,367
1,831,367
1,831,367
Fines, forfeitures and penalties
199,788
199,788
199,788
Investment income (loss)
86,700
86,700
1,000,000
1,000,000
1,086,700
Intergovernmental revenues
2,501,820
2,501,820
-
-
2,501,820
Charges for services
1,348,724
1,348,724
225,394,689
13,820,674 9,537,034
700,000
249,452,397
250,801,121
Other revenues
943,454
943,454
-
- -
-
943,454
Total operating revenues
49,285,458
5,911,113
55,196,571
226,394,689
13,820,674 9,537,034
700,000
250,452,397
305,648,968
Operating expenditures
General government
14,883,497
250,000
15,133,497
-
- -
15,133,497
Public safety- Police
11,968,703
-
11,968,703
11,968,703
Public safety - Fire
17,449,210
-
17,449,210
17,449,210
Half -Year City of Vernon
Fire & Half -Year LA County
Public works
8,163,946
8,163,946
8,163,946
Health services
1,535,455
1,535,455
1,535,455
Community promotion
500,000
500,000
500,000
Community development
499,919
499,919
499,919
Principal retirement
- 3,105,000
3,105,000
29,520,000
29,520,000
32,625,000
Interest payment
- 2,556,113
2,556,113
15,208,498
15,208,498
17,764,611
Capital outlay
7,717,360 -
7,717,360
11,462,000 370,000 6,851,685
300,000 18,983,685
26,701,045
Cost of sales
-
-
161,259,495 13,450,674 8,343,537
431,837 183,485,543
183,485,543
Total operating expenditures
62,718,090 5,911,113
68,629,203
217,449,993 13,820,674 15,195,222
731,837 247,197,726
315,826,929
Net operating surplus (deficB) (13,432,632) - (13,432,632) 8,944,696 - (5,658,188) (31,837) 3,254,671 (10,177,961)
Non -operating revenues (expenditures)
Proceeds from long-term debt -
- 6,551,685 6,551,685 6,551,685
In -lieu tax transfer in (out) 5,301,659
5,301,659 (5,301,659) - (5,301,659)
Overhead allocation in (out) 3,738,862
3,738,862 (3,140,632) (598,230) (3,738,862)
Total non -operating revenues (expendifui 9,040,521
9,040,521 (8,442,291) 5,953,455 (2,488,936) 6,551,685
6droordinary items _
Estimated Fed/State assistance 1,500,000 1,500,000 - 1,500,000 Pending Federal assistance
Reserves applied 2,892,111 2,892,111 (502,405) (295,267) 31,837 (765,835) 2,126,276
Total extraordinary Items 4,392,111 4,392,111 (502,405) (295,267) 31,837 (765,835) 3,626,276
Net increase (decrease)
CITY OF VERNON
EXPENDITURE BUDGET
2020-2021
FY2021 FY2021 FY2021
SUPPLIES/
DEPARTMENT SALARIES BENEFITS SERVICES
CITY COUNCIL
CITY ADMINISTRATION
CITY ATTORNEY
CITY CLERK
FINANCE
HUMAN RESOURCES
COMMUNITY PROMOTION
COMMUNITY DEVELOPMENT
INFORMATION TECHNOLOGY
SUB -TOTAL ADMIN
HEALTH/ENVIRONMENTAL CTRL
SUB -TOTAL HEALTH
POLICE
FIRE
SUB -TOTAL SAFETY
ADMIN-ENGR-PLANNING
BUILDING DEPARTMENT
PUBLIC WORKS
INDUSTRIAL DEVELOPMENT
CITY GARAGE
CITY WAREHOUSE
CITY HOUSING
CITY BUILDINGS
SUB -TOTAL COMM SER
TOTALGENERALFUND
TOTAL GENERAL FUND
$ 152,217
702,881
512,574
348,548
1,310,506
848,996
701,848
4,577,570
769,208
FY2021 FY2021
CAPITAL
OUTLAY TOTAL
$ 67,671
$ 39,984
$ - $ 259,872
299,495
128,371
- 1,130,747
198,216
427,500
- 1,138,290
155,152
97,000
- 600,700
602,019
1,194,835
- 3,107,360
3,596,187
403,890
- 4,849,073
-
500,000
- 500,000
-
499,919
- 499,919
309,639
1,425,473
1,040,000 3,476,960
5,228,379
4,716,972
1,040, 000 15,562,921
380,367 385,880 - 1,535,455
769,208
380,367
385,880
- 1,535,455
7,079,452
4,446,725
442,526
272,200 12,240,903
4,310,568
2,818,869
10,319,773
1,780,160 19,229,370
11,390,020
1,832,047
592,942
443,059
338,590
323,113
163,181
395,950
4,088,882
$ 20,825,680
$ 20,825,680
7,265,594
919,931
278,025
277,541
178,867
197,223
94,028
191,492
2,137,107
$ 15,011,447
$ 15,011,447
10,762,299
1,660,180
388,250
5,840
51,480
274,500
10,950
134,200
773,050
3,298,450
$ 19,163,601
$ 19,163,601
2,052,360
2,505,000
335,000
95,000
270,000
1,420,000
4,625,000
$ 7,717,360
$ 7,717,360
31,470,273
6,917,158
1,259,217
726,440
51,480
1,126,957
626,286
661,409
2,780,492
14,149,439
$ 62,718,088
$ 62,718,088
EXHIBIT "A" Page 1 of 2
CITY OF VERNON
EXPENDITURE BUDGET
2020-2021
FY2021 FY2021 FY2021 FY2021 FY2021
SUPPLIES/ CAPITAL
DEPARTMENT SALARIES BENEFITS SERVICES OUTLAY TOTAL
RDA OBLIGATION RETIREMENT FUND
UTILITIES
WATER FUND
WATER OPERATIONS
RECYCLED WATER
SUB -TOTAL WATER
LIGHT & POWER
FIELD OPERATIONS
SYSTEM DISPATCH
STATION A
TRANS/DISTRIBUTION
BUILDING MAINTENANCE
CUSTOMER SERVICE
ADMINISTRATION
ELECTRICAL ENGINEERING
RESOURCE MANAGEMENT
ENERGY MANAGEMENT
SUB -TOTAL L & P
FIBER -OPTICS
TOTAL UTILITIES
GRAND TOTAL
- - 5,911,113 - 5,911,113
1,525,769 734,384 6,681,614 6,851,685 15,793,452
1,525,769
734,384
6,681,614
6,851,685
15,793,452
703,244
260,123
512,728
962,000
2,438,095
1,907,683
713,185
825,214
395,000
3,841,082
-
-
808,045
115,000
923,045
-
-
8,127,432
-
8,127,432
62,884
44,192
298,000
385,000
790,076
351,079
184,687
368,800
120,000
1,024,566
1,214,550
539,607
59,690,775
90,000
61,534,932
1,154,073
490,849
372,000
9,395,000
11,411,922
685,441
277,248
134,069,220
-
135,031,909
39,220
15,005
715,000
-
769,225
6,118,174
2,524,896
205,787,214
11,462,000
225,892,284
700,445
310,887
12,439,342
370,000
13,820,674
72,238
35,413
324,186
300,000
731,837
8,416,626
3,605,580
225,232,356
18,983,685
256,238,247
$ 29,242,306
$ 18,617,027
$ 250,307,070
$ 26,701,045
$ 324,867,448
EXHIBIT "A" Page 2 of 2
CITY OF VERNON
ESTIMATED REVENUES
2020-2021
GOVERNMENTAL FUND TYPE
GENERAL
FY2021
400110
SECURED PROPERTY TAX -CURRENT
$
4,440,918
400210
PRIOR YEAR SECURED
$
(8,831)
400310
REAL PROPERTY TRANSFER TAX
$
242,299
400311
BNSF
$
624,792
400500
PROPERTY TAX -INTEREST & PENALTIES
$
7,728
400610
PROP "A" FUNDS
$
4,340
400630
PROP "C" FUNDS
$
3,600
400700
HOMEOWNERS' PROPERTY TAX EXEMPTION
$
17,221
400820
PUBLIC SAFETY AUGMENTATION FUND
$
1,877
400900
PARCEL TAXES - WAREHOUSE
$
11,825,874
400950
PARCEL TAXES - SAFETY
$
2,145,162
401000
UTILITY USERS TAX
$
11,016,000
401200
SALES AND USE TAX
$
6,008,310
401205
MEASURE W LOCAL RETURN (STORMWATER)
$
940,000
401206
MEASURE R LOCAL RETURN
$
2,700
401207
MEASURE M LOCAL RETURN
$
3,060
401208
ROAD MAINTENANCE AND REHAB - SB1
$
3,459
401209
TDA ARTICLE 3
$
5,000
401600
ADMINISTRATIVE FEES - SB2557
$
(36,252)
401650
STATE FEE -SB1186
$
1,100
407500
GAS TAX 2103
$
1,783
407510
GAS TAX 2105
$
1,163
407600
GAS TAX 2106
$
5,487
407700
GAS TAX 2107
$
1,527
407800
GAS TAX 2107.5
$
1,000
410100
BUSINESS LICENSES
$
4,768,500
410210
BUILDING PERMITS
$
769,650
410211
FIRE PERMIT FEES
$
22,500
410212
ALARM PERMITS
$
11,690
410240
PUBLIC HEALTH PERMITS
$
325,000
410250
HEALTH PERMIT LATE FEES
$
3,000
410260
CUPA PERMIT FEES
$
600,000
410265
CUPA PERMIT LATE FEES
$
6,000
410270
FILMING PERMITS
$
2,500
410271
SPECIAL EVENT PERMIT FEES
$
600
410280
CONDITIONAL USE PERMITS
$
13,927
410290
ISSUANCE FEE
$
19,000
410300
FRANCHISES AND AGREEMENTS
$
115,008
410310
SOLID WASTE FRANCHISE FEES
$
1,200,000
410320
SOLID WASTE FRANCHISE LATE FEES
$
5,000
410330
FRANCHISE FEES, PRIOR YEARS
$
-
410400
CLOSURE REVIEW FEES
$
2,500
410410
PLAN CHECK REVIEW FEES
$
20,000
410416
CUPA PLAN CHECK REVIEW FEES
$
5,000
410420
CALARP REVIEW FEES
$
5,000
410430
ANNUAL BUSINESS FIRE INSPECTION
$
100,000
410440
FIRE PREVENTION FEES / BUILDING
$
-
410450
FIRE CODE CONSTRUCTION PERMITS
$
-
410460
ANNUAL BUSINESS FIRE RE-INSPECITON
$
1,500
410470
FIVE YEAR SPRINKLER SYSTEM TESTING
$
4,250
410480
FALSE ALARM FEES
$
27,500
410490
FIRE EXTINGUISHER TRAINING
$
200
420100
VEHICLE CODE FINES
$
60,000
420110
OTHER VEHICLE FINES
$
20,000
420120
DUI EMERGENCY RESPONSE
$
-
420130
VEHICLE INSPECTION FEE
$
4,000
420510
PARKING CITATIONS
$
30,000
420515
FRANCHISE TOWING FEES
$
15,000
420520
COMMUNITY SERVICES INCOME
$
37,000
420525
IMPOUNDED VEHICLE RELEASE FEES
$
3,000
420530
DUI VEHICLE RELEASE FEES
$
3,000
420535
REPOSSESSED VEHICLE RELEASE FEE
$
300
430110
INVESTMENT INCOME
$
86,700
431000
RENTS
$
528,920
440100
GRANT REVENUE
$
1,267,931
441010
COPS - SLESF FUNDS
$
100,000
441014
OVERTIME REIMBURSEMENT REVENUE
$
-
EXHIBIT "B" Page 1 of 2
CITY OF VERNON
ESTIMATED REVENUES
2020-2021
GOVERNMENTAL FUND TYPE
GENERAL
FY2021
441015
TASK FORCE REIMBURSEMENT REVENUE
$
442001
MOTOR VEHICLE IN -LIEU TAX
$
8,670
450110
FIRE SERVICE
$
20,000
450120
ENGINEERING INSPECTION FEES
$
70,000
458000
GENERAL CITY ADMINISTRATIVE SERVICES
$
3,738,862
459030
GROUP MEDICAL REVENUE
$
228,257
461100
MISCELLANEOUS AND PENALTIES
$
53,988
461300
FREE SALES CERTIFICATE FEES
$
25,000
466000
P.O.S.T. REIMBURSEMENT
$
1,000
466200
PLAN CHECK FEES
$
446,330
466220
GREEN BUILDING STANDARDS FEE
$
10,262
466230
ANNUAL FEE
$
1,000
466600
COPIES AND PUBLICATIONS
$
18,425
466700
BACKFLOW CERTIFICATES
$
20,000
466900
MISCELLANEOUS
$
1,519,517
467000
STRIKE TEAM REIMBURSEMENT
$
50,000
467100
EMS REIMBURSEMENT
$
100,000
467300
BOOKING FEE REIMBURSMENT
$
-
468400
VARIANCES
$
6,597
469300
RESERVE APPLIED
$
2,892,111
499700
CREDIT FOR GARAGE WORK ORDERS
$
375,000
600910
OTHER INCOME
$
387,920
630055
LIGHT AND POWER IN -LIEU TAX
$
5,301,659
670010
SALE OF CAPITAL ASSETS
$
-
690100
OPERATING TRANSFER IN
$
-
TOTAL GENERAL FUND
62,718,089
FIDUCIARY FUND
022
RDA/SUCCESSOR AGENCY TAX INCREMENT
$
5,911,113
SUB -TOTAL
FIDUCIARY FUND
5,911,113
TOTAL GOVERNMENTAL TYPE FUNDS
68,629,202
PROPRIETARY FUND TYPES
WATER DEPARTMENT
020 WATER - REVENUES
$
9,537,034
020 WATER - PROCEEDS FROM LONG-TERM DEBT
$
6,551,685
020 WATER - RESERVES APPLIED
$
(295,267)
LIGHT AND POWER
$
-
055 LIGHT AND POWER - REVENUES
$
226,394,689
055 LIGHT AND POWER - RESERVES APPLIED
$
(502,405)
FIBER -OPTICS
$
-
057 FIBER -OPTICS - REVENUES
$
700,000
057 FIBER -OPTICS - RESERVES APPLIED
$
31,837
GAS UTILITY
$
-
056 GAS -REVENUES
$
13,820,674
056 GAS - RESERVES APPLIED
$
-
SUB -TOTAL ENTERPRISE FUNDS
256,238,247
GRAND TOTAL ALL FUNDS
$
324,867,449
EXHIBIT'B" Page 2 of 2
DEPARTMENT:
011.1001 CITY COUNCIL
EXPENSES:
SALARIES
BENEFITS
SUPPLIES/SERVICES
TOTAL EXPENSES
CITY OF VERNON
Budget Summary
2020-2021
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY-2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
$ 146,349 $ - $ 152,217 $ 5,868 $ (146,349) $ 152,217
61,579 - 67,671 6,092 (61,579) 67,671
39,984 - 39,984 - (39,984) 39,984
$ 247,912 $ - $ 259,872 $ 11,960 $ (247,912) $ 259,872
Salaries Salaries Increase
EMPLOYEE TITLE FTE Budget Budget (Decrease)
Councilmembers 4.0 $ 117,079 $ 121,773 $ 4,694
Mayor 1.0 29,270 30,444 $ 1,174
DEPARTMENT TOTALS 5.0 $146,349 $152,217 $ 5,868
CITY OF VERNON
Fund 011 Department 1001 - General Fund City Council Department
Budget Detail
2020-2021
DEPARTMENT:
011.1001 CITY COUNCIL
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
EXPENSES:
SALARIES
501010 Salaries - Regular
146,349
152,217
5,868
(146,349)
152,217
501012 Salaries - Premium
-
-
-
-
146,349
152,217
5,868
(146,349)
152,217
BENEFITS
502020 Retirement
25,146
27,662
2,516
(25,146)
27,662
502030 Group Insurance Premiums
34,311
37,802
3,491
(34,311)
37,802
502060 Medicare
2,122
2,207
85
(2,122)
2,207
61,579
67,671
6,092
(61,579)
67,671
SUPPLIES/SERVICES
520000 Supplies
1,780
1,780
-
(1,780)
1,780
596500 Travel
38,204
38,204
(38,204)
38,204
596550 Memberships
-
-
-
39,984
39,984
-
(39,984)
39,984
TOTAL EXPENSES
$ 247,912 $
$ 259,872 $
11,960 $
(247,912) $
259,872
1 of 1
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1001 - CITY COUNCIL
2020-2021
Account No. 520000 -
FY2020
FY2021
Name
Description
Budget
Budget
1 Photography
Professional Photo Session (if a new Council member is elected at the April 2021
$ 500
$ 500
election, a professional photo of him/her will be needed for the hallway wall)
2 SILVA'S
Business Cards (if any reorganizational changes occur as a result of the April
400
400
2021 election, new business cards may be needed)
3 STAPLES
General Office/Desk Supplies
150
150
4 Huntington Park Rubber Stamp Company
Desktop Name Plates (if any reorganizational changes occur as a result of the
30
30
April 2021 election, a new set of name plates may be needed for Council Office)
5 Vendor Name
City of Vernon Polos
700
700
$ 1,780
$ 1,780
Account No. 596500 - Travel
FY2020
FY2021
Name
Description
Budget
Budget
1 League of Cities
Conference/Seminar
12,389
12,389
2 CCCA Annual Legislative Orientation Tour
Legislative Orientation Tour/Fall Seminar/Municipal Seminar
9,604
9,604
3 ICA Seminars/Meetings
Winter Seminar/Summer Seminar
9,980
9,980
4 Miscellaneous Conference Attendance
5,000
5,000
5 Mileage Reimbursement
1,231
1,231
$ 38,204
$ 38,204
Account No. 596550 - Membership Dues
Name Description
Eco-Rapid Transit (Orangeline Development
1 Authority) Annual Membership Dues
FY2020 FY2021
Budget Budget
1 of 1
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1002 CITY ADMINISTRATION
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
EXPENSES:
SALARIES
$ 570,062 $
$
702,881
$ 132,819
$ (570,062)
$ 702,881
BENEFITS
295,607
$
299,495
3,888
(295,607)
299,495
SUPPLIES/SERVICES
78,871
$
128,371
49,500
(78,871)
128,371
TOTAL EXPENSES
$ 944,540 $ -
$
1,130,747
$ 186,207
$ (9449540)
$ 1,130,747
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Proposed
(Decrease)
Administrative Analyst
2.0
$ 98,483
$ 209,986
$ 111,503
Administrative Assistant
0.5
22,558
23,463
905
Administrative Assistant, Senior
0.5
27,420
29,945
2,525
City Administrator
1.0
317,618
330,354
12,736
Deputy City Administrator
0.0
-
-
-
Executive Assistant to the City Administrator
1.0
98,483
103,933
5,450
Public Information Officer
0.0
-
-
-
Overtime
1,500
2,000
500
Payout (vacation and sick excess hours)
4,000
3,200
(800)
DEPARTMENT TOTALS
5.0 $ 570,062 $ 702,881 $ 132,819
CITY OF VERNON
Fund 011 Department 1002 - General Fund - City Administrator Department
Budget Detail
2020-2021
DEPARTMENT:
011.1002 CITY ADMINISTRATION
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
EXPENSES:
SALARIES
501010 Salaries- Regular
501012 Salaries - Premium
501020 Salaries - O.T.
BENEFITS
502020
Retirement
502030
Group Insurance Premiums
502060
Medicare
502070
Unemployment
SUPPLIES/SERVICES
520000 Supplies
550000 Advertisement / Promotion
570000 Vehicle Expense
593200 Professional Services - Legal
596200 Professional Services - Other
596500 Travel
596550 Memberships
596600 Books & Publications
596700 Training
TOTAL EXPENSES
$ 559,872 $ 686,182 $ 126,310 $ (559,872) $ 686,182
8,690 14,699 6,009 (8,690) 14,699 Severance pay
1,500 2,000 500 (1,500) 2,000
570,062 - 702,881 132,819 (570,062) 702,881
158,714
201,049
42,335
(158,714)
201,049
128,627
88,254
(40,373)
(128,627)
88,254
8,266
10,192
1,926
(8,266)
10,192
295,607
- 299,495
3,888
(295,607)
299,495
8,932
3,932
(5,000)
(8,932)
3,932
20,500
-
(20,500)
(20,500)
-
8,400
8,400
(8,400)
8,400
-
75,000
75,000
75,000
16,500
16,500
-
(16,500)
16,500
22,439
22,439
(22,439)
22,439
2,100
2,100
(2,100)
2,100
78,871
- 128,371
49,500
(78,871)
128,371
$ 944,540 $
- $ 1,130,747 $
186,207 $
(944,540) $
1,130,747
1 of 1
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1002 - CITY ADMINISTRATION
2020-2021
Account No. 501020 - Overtime
Name
1 Executive Assistant to City Administrator
2 Sr Administrative Assistant
3 Administrative Analyst
Account No. 520000 - Supplies
Name
1 Warehouse
2 Office Depot
3 Huntington Park Rubber Stamp
4 Fed Ex
5 Community Outreach Event
Supplies/Various Vendors
6 Holiday Decor/Various Vendors
7 Vendor TBD
Account No. 550000 -
Advertisement/Promotion
Name
1 Vendor TBD
2 Eastern Group Publications
3 Rio Hondo Rotary
4 Miscellaneous Sponsorship/ Event
Attendance
Account No. 570000 - Vehicle
Name
1 City Admin General Use Vehicle
2 City Admin General Use Vehicle
3 City Administrator Vehicle
4 City Administrator Vehicle
nse
Detailed FY2020
Description Budget
FY2021
Budget
Overtime 500
500
Overtime 500
500
Overtime 500
1,000
$ 1,500
$ 2,000
Detailed
Description
Bottled Water, Copy Paper, Coffee
General office supplies
Name Plates
Mail
City Hall Interior/Exterior
Employee Polo Shirts
FY2020 FY2021
Budget Budget
945
945
1,435
1,435
200
200
102
102
6,000 1,000
250 250
$ 8,932 $ 3,932
Detailed FY2020 FY2021
Description Budget Budget
Professional Printing 5,000 -
Posting - -
Christmas Fundraiser 500 -
15,000 -
$ 20,500 $
Detailed
Description
FY2020
Budget
FY2021
Budget
Gas Usage
1,200
1,200
Garage Work Orders
3,000
3,000
Gas Usage
1,200
1,200
Garage Work Orders
3,000
3,000
$ 8,400
$ 8,400
1 of 3
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1002 - CITY ADMINISTRATION
2020-2021
Account No. 593200 - Legal
Detailed FY2020 FY2021
Name Description Budget Budget
1 City Administrator Legal Reimbursement Allowance Per City - -
Administrator Employment Agreement
Account No. 596200 - Professional
Services Other
Detailed FY2020 FY2021
Name Description Budget Budget
1 Legislative/Regulatory Advocacy Firm Firm to consult on legislative matters/issues of - 75,000
importance to Vernon
$ - $ 75,000
Account No. 596500 - Travel
Detailed FY2020 FY2021
Type Description Budget Budget
1 Air, Hotel, Meals, Etc. Various Seminars/Meetings 5,500 5,500
2 Miscellaneous Conference Attendance 10,000 10,000
3 Mileage Reimbursement 1,000 1,000
$ 16,500 $ 16,500
Account No. 596700 - Traini
Detailed FY2020 FY2021
Type Description Budget Budget
1 Fred Pryor Seminars Performance & Skill Development 600 600
2 Workshops/Conferences Skill Development 1,500 1,500
$ 2,100 $ 2,100
f►�fc3
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1002 - CITY ADMINISTRATION
2020-2021
Account No. 596550 - Membership Dues
Name
1 Gateway Cities Council of Governments
2 California Contract Cities Association
3 League of California Cities - L.A. County
Division
4 Independent Contract Cities
5 League of CA Cities
6 National League of Cities
7 Southern California Association of
Governments
8 ICMA
Account No. 596600 - Books &
Publications
Detailed
FY2020
FY2021
Description
Budget
Budget
Membership Dues
13,000
13,000
Membership Dues
6,000
6,000
Membership Dues
1,000
1,000
Membership Dues
550
550
Membership Dues
74
74
Membership Dues
300
300
Membership Dues
115
115
Membership Dues
1,400 1,400
$ 22,439 $ 22,439
Detailed FY2020 FY2021
Name Description Budget Budget
3 of 3
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1003 CITY CLERK
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
EXPENSES:
SALARIES $ 363,910 $
- $ 348,548 $
(15,362) $
(363,910) $
348,548
BENEFITS 141,725
- 155,152
13,427
(141,725)
155,152
SUPPLIES/SERVICES 93,000
- 97,000
4,000
(93,000)
97,000
TOTAL EXPENSES $ 598,635 $
- $ 600,700 $
2,065 $
(598,635) $
600,700
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Budget
(Decrease)
Administrative Secretary
1.0
$ 64,983
$ 70,830
$ 5,847
City Clerk
1.0
206,239
184,494
(21,745)
Deputy City Clerk
0.0
-
-
-
Records Management Assistant
1.0
88,188
91,724
3,536
Overtime 1,500
Payout (vacation and sick excess hours) 3,000
1,500 -
DEPARTMENT TOTALS 3.0 $ 363,910 $ 348,548 $ (12,362)
CITY OF VERNON
Fund 011 Department 1003 - General Fund City Clerk Department
Budget Detail
2020-2021
DEPARTMENT:
011.1003 CITY CLERK
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
EXPENSES:
SALARIES
501010
Salaries - Regular
$ 338,689
$ 326,419
$ (12,270) $
(338,689) $
326,419
501012
Salaries - Premiums
23,721
20,629
(3,092)
(23,721)
20,629
501020
Salaries - O.T.
1,500
1,500
(1,500)
1,500
363,910
348,548
(15,362)
(363,910)
348,548
BENEFITS
502020
Retirement
102,924
103,348
424
(102,924)
103,348
502030
Group Insurance Premium
33,524
46,750
13,226
(33,524)
46,750
502060
Medicare
5,277
5,054
(223)
(5,277)
5,054
141,725
155,152
13,427
(141,725)
155,152
SUPPLIES/SERVICES
520000
Supplies
5,000
6,000
1,000
(5,000)
6,000
550000
Advertisement/Promotion
6,000
6,000
-
(6,000)
6,000
593200
Professional Services - Legal
10,000
5,000
(5,000)
(10,000)
5,000
596200
Professional Services - Other
32,000
40,100
8,100
(32,000)
40,100
596300
Election Costs
25,000
25,000
-
(25,000)
25,000
596550
Memberships
1,300
1,200
(100)
(1,300)
1,200
596700
Training
13,700
13,700
-
(13,700)
13,700
93,000
97,000
4,000
(93,000)
97,000
TOTAL EXPENSES
$ 598,635 $
$ 600,700
$ 2,065 $
(598,635) $
600,700
1 of 1
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1003 - CITY CLERK
2020-2021
Account No. 520000 - Supplies
Name
1 Huntington Park Rubber Stamp
2 Office Depot / FedEx
3 Passport Supplies
Account No. 550000 - Advertisement/Promotion
Name
1 Los Angeles Wave
2 City Clerk Department Outreach
Account No. 593200 - Professional Services - Legal
Name
1 Colantuono, Highsmith, & Whatley
Account No. 596200 - Professional Services - Other
Name
1 Williams Records Management
2 American Legal Publishing
3 Vernon City Library
4 Records Management Program Development
5 GovQA
6 Granicus
Detailed FY2020
FY2021
Description Budget
Budget
Name Plates 1,000
1,000
Office Supplies 4,000
4,000
Photo paper, equipment
1,000
$ 5,000
$ 6,000
Detailed
Description
Public Notifications
Elections, Community, etc.
FY2020 FY2021
Budget Budget
5,000 5,000
1,000 1,000
$ 6,000 $ 6,000
Detailed FY2020 FY2021
Description Budget Budget
Elections 10,000 5,000
$ 10,000 $ 5,000
Detailed
FY2020
FY2021
Description
Budget
Budget
Document storage - City wide
18,000
18,000
Municipal Code codification updates
12,000
12,000
Redevelop COVL Plan
1,000
1,000
Ongoing Records Management &
1,000
1,000
Annual Rec's Ret. Sched. Updates
Online Public Records Request
4,500
Program
Disclosure Docs - online Form 700 filing
3,600
software
$ 32,000 $ 40,100
1 of 2
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1003 - CITY CLERK
2020-2021
Account No. 596300 - Election Costs
Name
1 Los Angeles County Registrar Recorder County Clerk
Account No. 596550 - Membership Dues
Name
1 IIMC
2 ARMA
3 National Notary Association
4 CCAC
Account No. 596700 - Train
Name
1 TTC Training
2 Records Management Training(s)
3 League of CA Cities City Clerk's New Law Conference
4 CCAC Annual Conference
5 CCAC Association Meetings throughout CA
6 IIMC Annual Conference 2020
7 ICMA Trainings and Conference
8 Other City Clerk Dept. Related Trainings
9 League of CA Cities Annual Conference
Detailed FY2020 FY2021
Description Budget Budget
Election Consultant, Materials, 25,000 25,000
Supplies, & County Services
$ 25,000 $ 25,000
Detailed
FY2020
FY2021
Description
Budget
Budget
Annual Membership Dues
500
500
Annual Membership Dues
300
300
Annual Membership Dues
100
-
Annual Membership Dues
400
400
$ 1,300
$ 1,200
Detailed
FY2020
FY2021
Description
Budget
Budget
Registration Fees and Travel
1,500
1,500
Registration Fees and Travel
500
500
Registration Fees and Travel
2,500
2,500
Registration Fees and Travel
1,500
1,500
Registration Fees and Travel
700
700
Registration Fees and Travel
2,500
2,500
Registration Fees and Travel
2,500
2,500
Registration Fees and Travel
1,000
1,000
Registration Fees and Travel
1,000
1,000
$ 13,700
$ 13,700
2of2
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1004 FINANCE
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES $ 35,313,267
$ 37,240,975
$ 38,527,081
$ 3,213,814
$ 1,927,708
$ 1,286,106
EXPENSES:
SALARIES
$ 1,334,418
$ 1,316,070
$ 1,310,506 $
(23,912) $
(18,348) $
(5,564)
BENEFITS
562,287
519,721
602,019
39,732
(42,566)
82,298
SUPPLIES/SERVICES
1,458,294
1,449,661
1,194,835
(263,459)
(8,633)
(254,826)
TOTAL EXPENSES
$ 3,354,999
$ 3,285,452
$ 3,107,360 $
(247,639) $
(69,547) $
(178,092)
FY2020
FY2021
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Budget
(Decrease)
Account Clerk
2.0
$ 108,567
$ 115,576
$ 7,009
Accountant, Senior
1.0
93,793
102,432
8,639
Assistant Buyer
1.0
74,990
81,758
6,768
Assistant Finance Director
1.0
194,990
158,906
(36,084)
Business and Account Supervisor
1.0
140,076
145,633
5,557
Business License Clerk
1.0
63,483
51,735
(11,748)
Buyer
1.0
90,827
94,409
3,582
Deputy City Treasurer
1.0
160,419
166,851
6,432
Director of Finance/City Treasurer
1.0
241,811
218,289
(23,522)
Payroll Specialist
1.0
74,990
77,937
2,947
Risk Management Assistant
1.0
63,472
69,180
5,708
Overtime 5,000
Payout (vacation and sick excess hours) 22,000
5,000 -
22.800 800
DEPARTMENT TOTALS 12.0 $ 1,334,418 - $ 1,310,506 $ (23,912)
CITY OF VERNON
Fund 011 Department 1004 - General Fund - Finance Department
Budget Detail
2020-2021
DEPARTMENT:
011.1004 FINANCE
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Comments
REVENUES
400110 Property Taxes - Current Secured
3,863,645
3,863,645
4,440,917.90
577,273
0
577,273 Moved $500k from Health
400210 Property Taxes - Prior Years Secured
(8,658)
(8,658)
(8,831)
(173)
-
(173)
400211 Property Taxes - Prior Year Unsecured
-
-
-
-
-
-
400310 Property Taxes - Real Transfer Tax
237,548
237,548
242,299
4,751
0
4,751
400500 Property Taxes - Penalties
7,576
7,576
7,728
152
(0)
152
400700 Property Taxes - Homeowners' Exemption
16,883
16,883
17,221
338
0
338
400820 PSAF - Public Safety Augmentation Fund
1,840
1,840
1,877
37
(0)
37
401000 Utility Users Tax
12,000,000
12,000,000
11,016,000
(984,000)
-
(984,000)
401200 Sales and Use Tax
7,854,000
7,854,000
6,008,310
(1,845,690)
-
(1,845,690)
401600 Administrative Fees - SB2557
(35,541)
(36,833)
(36,252)
(711)
(1,292)
581
410100 Business Licenses
5,500,000
5,500,000
4,768,500
(731,500)
-
(731,500)
410212 Alarm Permits
9,500
4,500
9,690
190
(5,000)
5,190
410300 Franchises and Agreements
-
-
-
-
-
-
430110 Investment Income
85,000
95,000
86,700
1,700
10,000
(8,300)
442001 In -Lieu Taxes - State Motor Vehicle
8,500
8,500
8,670
170
-
170
458000 General City Administrative Service Rev
3,665,551
3,665,551
3,738,862
73,311
73,311
461100 Fines and Penalties
25,000
25,000
25,500
500
500
466900 Miscellaneous Revenues
6,000
1,930,000
6,120
120
1,924,000
(1,923,880)
469300 Reserve Applied
(2,849,552)
(2,849,552)
2,892,111
5,741,663
-
5,741,663
630055 In -Lieu Taxes from Fund 055
4,925,975
4,925,975
5,301,659
375,684
0
375,684
670010 Sale of Capital Asset
-
-
-
-
-
-
690100 Operating Transfer In
TOTAL REVENUES
35,313,267
37,240,975
38,527,081
3,213,814
1,927,708
1,286,106
SALARIES:
501010 Salaries -Regular
1,249,841
1,112,070
1,235,143
(14,698)
(137,771)
123,073
501012 Salaries - Premiums
79,577
200,000
70,363
(9,214)
120,423
(129,637)
501020 Salaries -O.T.
5,000
4,000
5,000
(1,000)
1,000
1,334,418
1,316,070
1,310,506
(23,912)
(18,348)
(5,564)
BENEFITS:
502020 Retirement
373,030
337,650
383,760
10,730
(35,380)
46,110
502030 Insurance Premiums - Medical
169,908
162,722
199,257
29,349
(7,186)
36,535
502060 FICA Taxes
19,349
19,349
19,002
(347)
(347)
562,287
519,721
602,019
39,732
(42,566)
82,298
SUPPLIES/SERVICES:
502090 Claims Expenditure - SIR Settlements
-
6,467
-
-
6,467
(6,467)
503035Insurance Premiums -Property/Crime
994,663
994,663
835,142
(159,521)
0
(159,521)
520000 Supplies
54,200
54,200
54,200
-
-
530015 Real Estate Taxes
9,500
6,500
6,000
(3,500)
(3,000)
(500)
530034 Cash(Over)Short
-
(0)
-
(0)
0
550000 Advertisement/Promotion
-
-
-
-
-
-
592010 Bank Service Fees
45,000
40,000
46,100
1,100
(5,000)
6,100
593200 Professional Services - Legal
5,000
2,000
5,000
-
(3,000)
3,000
594200 Professional Services - Administrative
150
150
-
(150)
(150)
595200 Professional Services - Technical
274,557
274,557
196,482
(78,075)
(78,075)
596200Professional Services -Other
60,679
60,679
31,550
(29,129)
(29,129)
596500 Travel
7,900
4,000
9,300
1,400
(3,900)
5,300
596550 Membership Dues
2,245
2,245
2,511
266
266
596600 Books & Publications
1,000
1,000
2,550
1,550
-
1,550
596700 Employee Development & Training
3,400
3,200
6,000
2,600
(200)
2,800
790100 Operating Transfer Out
-
-
-
-
-
888200 Emergency Preparedness
1,458,294
1,449,661
1,194,835
(263,459)
(8,633)
(254,826)
TOTAL EXPENDITURES
3,354,999
3,285,452
3,107,360
(247,639)
(69,547)
(178,092)
111%. Sit
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1004 - FINANCE
2020-2021
Account No. 503035 - Insurance Premiums - Property/Crime ■
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 Aon Insurance Services
Excess Liability
227,817
273,381
2 Aon Insurance Services
Public Official Errors & Omissions & Employment Practice Liability
158,388
190,066
3 Aon Insurance Services
Excess Workers Compensation
142,764
171,317
4 Aon Insurance Services
Employee Crime
3,808
4,570
5 Aon Insurance Services
Commercial Property
298,711
-
6 Aon Insurance Services
Residential Property
35,545
42,654
7 Aon Insurance Services
Environmental Impairment Liability
16,893
20,272
8 Aon Insurance Services
Cyber Liability
42,380
50,856
9 Aon Insurance Services
Brokerage Fee
68,355
82,026
994,663 835,142
rAccount No. 520000 - Supplies
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
US Postal Service
Postage
45,000
45,000
Staples and Other
Office Supplies
6,000
6,000
Pospaper.com
Cash register receipt paper
200
200
Staples
Office Supplies
1,500
1,500
Proforma Express Graphics
Business forms (envelopes, checks..etc.)
1,500
1,500
54,200
54,200
Account No. 530015 - Real Estate Taxes
Detailed FY2020 FY2021
Name Description Budget Budget
1 L.A. County Tax Collector Possessory Interest Tax (Austin Trucking Inc.) 9,500 6,000
9,500 6,000
Account No. 592010 - Bank Service Fees
Detailed FY2020 FY2021
Name Description Budget Budget
1 East West Bank Account maintenance fees. 45,000 100
2 OpenEdge Credit card processing fees. - 46,000
45,000 46,100
Account No. 5 - Professional Services - Legal
Detailed FY2020 FY2021
Name Description Budget Budget
1 Orrick, Herrington & Sutcliffe, LLP Legal Compliance Matters 5,000 5,000
5,000 5,000
Account No. 594200 - Professional Services - Administrative
Detailed
Name _
1 No anticipated expenditures this fiscal year.
FY2020 FY2021
Budget Budget
150
150
1 of 3
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1004 - FINANCE
2020-2021
Account No. 595200 - Professional Services Technical
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1
Epic Land Solutions
Infrastructure Asset Valuation Report
100,000
10,000
2
RFP
Audit of City's annual financial report
111,200
150,000
3
Munis Services
UUT Implementation (3-Year contract not to exceed $45,000)
11,250
15,000
4
TBD
Legal and Tax Services
1,875
2,000
5
HDL Coren & Cone
HDL Business License Database Archive
800
-
6
Aon Risk Solutions
Worker's compensation and general liability actuarial reports
5,950
6,000
7
Bank of New York
Bond Trustee
2,482
2,482
8
Calpers
GASB 68 report and census data file (misc. and safety)
6,000
6,000
9
HDL Coren & Cone
Business License Outsourcing
30,000
-
10
Van Iwaarden
GASB 75 - OPEB Actuarial reports
5,000
5,000
274,557
196,482
Account No. 596200 - Professional Services - Other _
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
Munis Services
Sales Taxes (3-Year contract not to exceed $22,500)
5,381
7,500
Munis Services
Property Taxes (3-Year contract not to exceed $21,000)
44,273
7,000
Munis Services
Property Taxes (setup fee)
-
5,000
Caine & Weiner Company
Collection Agency fees
1,940
2,000
County of Los Angeles
LAFCO Charges
7,935
8,900
Novex Global, Inc.
1,150
1,150
60,679 31,550
Account No. 596500 - Travel
Detailed
FY2020
FY2021
Type
Description
Budget
Budget
1
Conferences/Continuing Education
Seminar/Training Travel/Mileage
6,400
7,200
2
Out -of -State travel
Per diem, airfare, and lodging.
1,500
2,100
7,900
9,300
Account No. 596550 - Membership Dues
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1
GFOA
Professional Membership Dues
500
600
2
CSMFO
Professional Membership Dues
500
600
3
American Payroll Association
Professional Membership Dues
-
516
4
CAJPA
California Association of Joint Powers Authorities
450
-
5
PARMA
Public Agency Risk Management Association
150
150
6
League of California Cities
Professional Membership Dues
75
75
7
Cal Municipal Treasurers Assoc.
Professional Membership Dues
310
310
8
Two Purchasing Assistants
CAPPO & CMRTA Dues
260
260
2,245
2,511
Account No. 596600 - Books & Publications
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 GFOA
Accounting/Financial Statement Publications
250
500
2 GASB
Accounting/Financial Statement Publications
250
300
3 Various Providers
Department reference materials
250
250
4 Accounting and Payroll
Reporting guides and regulations
250
1,500
1,000
2,550
2 of 3
Account No. 596700 -
1 Various Providers
2 Risk Management Cert
3 Various Providers
4 Two Purchasing Assistants
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1004 - FINANCE
2020-2021
& Train!
Detailed
Continuing Professional Education
Continuing Professional Education
Training material/courses estimated
CAPPO & CMRTA
Account No. 888200 - Emergency Preparedness
Detailed
Name
1 Agility Recovery OES
2 TBD FEMA/EOC Preparedness
FY2020 FY2021
Budget Budget
1,000 2,000
1,000 2,000
1,000 2,000
400 -
3,400 6,000
FY2020 FY2021
Budget Budget
3 of 3
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1021 COMMUNITY PROMOTION
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
EXPENSES:
SUPPLIES/SERVICES
$
174,500
$
100,000
VERNON COMMUNITY FUND
$
325,500 $
$
400,000 $ $ (500,000) $ 500,000
TOTAL EXPENSES
$
500,000 $
$
500,000 $ $ (500,000) $ 500,000
CITY OF VERNON
Fund 011 Department 1021 - General Fund - Community Promotion Department
Budget Detail
2020-2021
DEPARTMENT:
011.1021 COMMUNITY PROMOTION
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
EXPENSES:
550000
Advertisement/Promotion $
-
$ - $ - $
- $
596200
Professional Services Other
174,500
100,000 (74,500)
(174,500)
100,000
790100
Operating Transfer Out
-
- -
-
797000
Good Neighbor Program
325,500
400,000 74,500
(325,500)
400,000
500,000
500,000 -
(500,000)
500,000
TOTAL EXPENSES $
500,000 $
$ 500,000 $ - $
(500,000) $
500,000
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1021 - COMMUNITY PROMOTION
2020-2021
Account No. 550000 - Advertisement/Promotion
Name
1 Vernon Promotion
Detailed
Description
Miscellaneous community enrichment
Account No. 596200 - Professional Services Other
Name
1 Vendor TBD
Detailed
Description
Contract Services for administration of Good Neighbor
Program/Vernon CommUNITY Fund Grant Committee
Account No. 790100 - Operating Transfer Out
FY2020 FY2021
Budget Budget
FY2020 FY2021
Budget Budget
174,500 100,000
$ 174,500 $ 100,000
Detailed FY2020 FY2021
Name Description Budget Budget
2 Community Development Fund Community Development - -
a
Account No. 797000 - Good Neighbor Program
Name
Vernon Community Fund
Detailed FY2020 FY2021
Description Budget Budget
VCF Grant Awards 325,500 400,000
$ 325,500 $ 400,000
PROPOSED
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
022.1022 Successor Agency Func
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES 5,698,006
5,911,113
213,107
(5,698,006)
5,911,113
EXPENSES:
SUPPLIES/SERVICES 5,698,006
5,911,113
213,107
(5,698,006)
5,911,113
TOTAL EXPENSES 5,698,006
5,911,113
213,107
(5,698,006)
5,911,113
CITY OF VERNON
Fund 022 Department 1022 - Successor Agency Fund
Budget Detail
2020-2021
DEPARTMENT:
022.1022 Successor Agency Fund
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Comments
REVENUES:
400110 Property Taxes - Current Secured
-
-
-
-
400111 ROPS Distribution
5,698,006
5,911,113
213,107
(5,698,006)
5,911,113 Property tax distribution
400410 Property Taxes - Pass Through
-
-
-
-
401600 Administrative Fees - SB2557
610110 Investment Income
610170 Unrealized (Gain)Loss on Investments
-
-
-
TOTAL REVENUES
5,698,006
5,911,113
213,107
(5,698,006)
5,911,113
EXPENSES:
SUPPLIES/SERVICES
530015 Real Estate Taxes
-
-
-
592010 Bank Service Fees
592013 Investment Fees
593200 Professional Services - Legal
-
-
-
-
594200 Professional Services - Administrative
125,000
250,000
125,000
(125,000)
250,000 State allowed administrative
cost to wind down RDA
760005 Principal on Bonds
2,825,000
3,105,000
280,000
(2,825,000)
3,105,000
760010 Interest on Bonds
2,748,006
2,556,113
(191,894)
(2,748,006)
2,556,113
5,698,006
5,911,113
213,107
(5,698,006)
5,911,113
TOTAL EXPENSES
5,698,006
5,911,113
213,107
(5,698,006)
5,911,113
CITY OF VERNON
FUND 026 - SUCCESSOR AGENCY FUND
DEPARTMENT 1022 - REDEVELOPMENT
2020-2021
Account No. 592010 - Bank Service Fees
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Bank of New York Bank Fees
-
-
Account No. 592013 - Investment Fees
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 BLX Group Continuing Disclosure Reporting
-
-
Account No. 530015 - Real Estate Taxes
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 LA County Assessor's Office Property Tax
-
-
Account No. 593200 - Professional Services Legal
Name
1 Best, Best & Krieger
Detailed FY2020 FY2021
Description Budget Budget
Legal Fees - -
Account No. 594200 - Professional Services Administrative
Detailed FY2020 FY2021
Name Description Budget Budget
1 City of Vernon, Bank of New York, State allowed administrative cost to wind 125,000 250,000
BLX Group, and Best, Best & Krieger down RDA
125,000 250,000
1 of 2
CITY OF VERNON
FUND 026 - SUCCESSOR AGENCY FUND
DEPARTMENT 1022 - REDEVELOPMENT
2020-2021
Account No. 760005 - Principal on Bonds
Name
1 2005 Series
2 2011 Series
Detailed FY2020 FY2021
Description Budget Budget
Principal 1,575,000
1,720,000
Principal 1,250,000
1,385,000
2,825,000
3,105,000
Account No. 760010 - Interest on Bonds
Name
1 2005 Series
2 2011 Series
Interest
Interest
Detailed FY2020 FY2021
Description Budget Budget
1,704,381 1,617,888
1,043,625 938,225
2,748,006 2,556,113
2of2
DEPARTMENT:
011.1023 INDUSTRIAL DEVELOPMENT
REVENUES
EXPENSES:
SALARIES
BENEFITS
SUPPLIES/SERVICES
TOTAL EXPENSES
CAPITAL:
EXPENDITURES
CITY OF VERNON
Budget Summary
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
51,230 - 51,480 250 (51,230) 51,480
$ 51,230 $ - $ 51,480 $ 250 $ (51,230) $ 51,480
Salaries Salaries Increase
EMPLOYEE TITLE FTE Budget Budget (Decrease)
Director of Industrial Development - $ - $ - $ -
Economic Development Manager - - - -
Senior Administrative Assistant - - - -
Overtime - - -
Payout (vacation and sick excess hours) - - -
DEPARTMENT TOTALS
CITY OF VERNON
Fund 011 Department 1023 - General Fund Industrial Development Department
Budget Detail
2020-2021
DEPARTMENT:
011.1023 INDUSTRIAL DEVELOPMENT
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
EXPENSES:
SUPPLIES/SERVICES
520000 Supplies
$ 1,000 $
$ 1,000
(1,000)
1,000
550000 Advertisement/Promotion
35,000
35,000
(35,000)
35,000
560000 Utilities
-
-
-
593200 Professional Services - Legal
-
-
-
596200 Professional Services - Other
4,800
4,800
(4,800)
4,800
596500 Travel
5,000
5,000
(5,000)
5,000
596550 Membership Dues
5,000
5,000
(5,000)
5,000
596600 Books & Publications
430
680
250 (430)
680
51,230
51,480
250 (51,230)
51,480
TOTAL EXPENSES
$ 51,230 $
$ 51,480 $
250 $ (51,230) $
51,480
CAPITAL
900000 Capital Outlays $ $ $ $ $ $
TOTAL CAPITAL $ $ $ $ $ $
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1023 - INDUSTRIAL DEVELOPMENT
2020-2021
Account No. 520000 - Supplies
Name
1 Warehouse
2 Staples
3 Huntington Park Rubber Stamp
4 Fed Ex
Detailed FY2020 FY2021
Description Budget Budget
Copy Paper 400 400
General Office Supplies 300 300
Name Plates 100 100
Mail 200 200
Account No. 550000 - Advertisement/Promotion
Name
1 Vernon Chamber
2 LAEDC
3 Miscellaneous Sponsorhip/Event
Attendance
4 TBD
Detailed
Description
Installation Luncheon/Economic Forecast/Golf
Tourney
Eddy Awards
Banners/ Brochures/Promotional items
Account No. 596200 - Professional Services - Other
Name
1 Vernon Business & Industry
Commission
2 Professional Services
Account No. 596500 - Travel
Name
1 Air, Hotel, Etc.
1,000 1,000
FY2020 FY2021
Budget Budget
25,000 25,000
4,000 4,000
5,000 5,000
1,000 1,000
35,000 35,000
Detailed FY2020 FY2021
Description Budget Budget
Meeting Stipends 4,800 4,800
Various Firms
4,800 4,800
Detailed FY2020
FY2021
Description Budget
Budget
Various Seminars/Meetings 5,000
5,000
5,000
5,000
1 of 2
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1023 - INDUSTRIAL DEVELOPMENT
2020-2021
Account No. 596550 - M
Name
1 The Greater Huntington Chamber of
Commerce
2 LAEDC
Dues
Detailed FY2020 FY2021
Description Budget Budget
Membership Dues - -
Membership Dues
Account No. 596600 - Books & Publications
Name
1 Los Angeles Business Journal
2 The Wallstreet Journal
3 The Economist
4 Los Angeles Times
Detailed
Description
Annual Subscription
Annual Subscription
Annual Subscription
Annual Subscription
5,000 5,000
5,000 5,000
FY2020 FY2021
Budget Budget
130
300
130
550
430
680
2of2
DEPARTMENT:
011.1024 CITY ATTORNEY
EXPENSES:
SALARIES
BENEFITS
SUPPLIES AND SERVICES
TOTAL EXPENSES
CITY OF VERNON
Budget Summary
2020-2021
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
$ 785,281 $
342,808
- $ 512,574 $
198,216
(272,707) $ (785,281) $ 512,574
(144,592) (342,808) 198,216
427,500 - 427,500 - (427,500) 427,500
$ 1,555,589 $ - $ 1,138,290 $ (417,299) $ (1,555,589) $ 1,138,290
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE Budget'
Budget
(Decrease)
City Attorney
1.0 $ 307,293
$ 319,423
$ 12,130
Legal Administrative Analyst
- 93,793
-
(93,793)
Senior Deputy City Attorney
1.0 380,695
193,151
(187,544)
Overtime 500 - (500)
Payout (excess vacation and sick hours) 3,000 - (3,000)
DEPARTMENT TOTALS 2.0 $ 785,281 $ 512,574 $ (272,707)
CITY OF VERNON
Fund 011 Department 1024 - General Fund City Attorney Department
Budget Detail
2020-2021
DEPARTMENT:
011.1024 CITY ATTORNEY
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
EXPENSES:
SALARIES
501010 Salaries - Regular $ 763,229 $ - $ 507,774 $ (255,455) $ (763,229) $ 507,774
501012 Salaries - Premiums 21,552 - 4,800 (16,752) (21,552) 4,800
501020 Salaries - O.T. 500 - - (500) (500) -
785,281 - 512,574 (272,707) (785,281) 512,574
BENEFITS
502020
Retirement
264,504
- 155,485
(109,019)
(264,504)
155,485
502030
Group Insurance Premiums
66,917
- 35,299
(31,618)
(66,917)
35,299
502060
Medicare
11,387
- 7,432
(3,955)
(11,387)
7,432
502070
Unemployment
-
- -
-
-
-
342,808
- 198,216
(144,592)
(342,808)
198,216
SUPPLIES/SERVICES
510000
Office Supplies
1,000
- 1,000
-
(1,000)
1,000
520000
Supplies
2,500
- 2,500
-
(2,500)
2,500
593200
Professional Services - Legal
400,000
- 400,000
-
(400,000)
400,000 Budget includes
contingencies
596200
Professional Services - Other
2,000
- 2,000
-
(2,000)
2,000
596500
Travel
6,000
- 6,000
-
(6,000)
6,000
596550
Memberships
3,000
- 3,000
-
(3,000)
3,000
596600
Books & Publications
8,000
- 8,000
-
(8,000)
8,000
596700
Training
5,000
- 5,000
-
(5,000)
5,000
427,500
- 427,500
-
(427,500)
427,500
TOTAL EXPENSES
$ 1,555,589 $
- $ 1,138,290 $
(417,299) $
(1,555,589) $
1,138,290
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1024 - CITY ATTORNEY
2020-2021
Account No. 510000 - Office Expenses
Name
Fed Ex, UPS
Account No. 520000 - Supplies
Name
Office Depot
Account No. 593200 - Professional Services Legal
Name
Legal Professional Services
Account No. 596200 - Professional Services - Othei
Detailed FY2020 FY2021
Description Budget Budget
Shipping Services $ 1,000 $ 1,000
$ 1,000 $ 1,000
Detailed FY2020
FY2021
Description Budget
Budget
General Office Supplies $ 2,500
$ 2,500
$ 2,500
$ 2,500
Detailed FY2020
FY2021
Description Budget
Budget
Various Pending Legal Matters $ 400,000
$ 400,000
$ 400,000
$ 400,000
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
Case Anywhere, LLC
Other Professional Services
$ 500
$ 500
Attorney Filing Services
Other Professional Services
500
500
PACER
Other Professional Services
500
500
Other - For Professional Contingencies
Other Professional Services
500
500
$ 2,000
$ 2,000
Account No. 596500 - Travel
Detailed FY2020 FY2021
Type Description Budget Budget
Conferences and Meetings Legal Conferences $ 6,000 $ 6,000
$ 6,000 $ 6,000
1 of 2
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1024 - CITY ATTORNEY
2020-2021
Account No. 596550 - Membership Dues
Detailed
FY2020
FY2021
Name Description
Budget
Budget
California State Bar Attorneys Memberships
2,000
2,000
Los Angeles County Bar Association Attorneys Memberships
300
300
Various Legal Memberships Attorneys Memberships
700
700
$ 3,000
$ 3,000
Account No. 596600 - Books & Publications
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
Thomson Reuters (WestLaw)
Legal Subscriptions
$ 5,000
$ 5,000
Daily Journal
Legal Journal
-
-
Various Legal Publications
Legal Books and Publications
3,000
3,000
$ 8,000
$ 8,000
Account No. 596700 - Training
Detailed FY2020 FY2021
Type Description Budget Budget
League of California Cities Legal Conferences $ 2,500 $ 2,500
City Attorneys Association of Los Angeles County Legal Conferences 2,500 2,500
$ 5,000 $ 5,000
2 of 2
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1026 Human Resources
A B
C C-A
B-A
C-B
FY2020 FY2020
FY2021 Increase
Increase
Increase
Budget Forecast
Budget (Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES $ 228,257 $ -
$ 228,257 $ -
$ (228,257)
$ 228,257
EXPENSES:
SALARIES
620,442
848,996
228,554
(620,442)
848,996
BENEFITS
2,435,017
3,596,187
1,161,170
(2,435,017)
3,596,187
WORKERS COMP/LIABILITY
83,000
98,000
15,000
(83,000)
98,000
SUPPLIES/SERVICES
343,440
305,890
(37,550)
(343,440)
305,890
TOTAL EXPENSES
$ 3,481,899 $
$ 4,849,073
$ 1,367,174
$ (3,481,899)
$ 4,849,073
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Budget
(Decrease)
Administrative Secretary
1.00
$ 78,664
$ 81,759
$ 3,095
Director of Human Resources
1.00
214,976
223,597
8,621
Human Resources Analyst
1.00
107,369
111,615
4,246
Human Resources Analyst, Senior
1.00
147,005
152,839
5,834
Human Resources Assistant
1.00
52,228
57,038
4,810
Senior Legal & Policy Advisor
1.00
-
203,348
203,348
Overtime
5,000
5,000
-
Payout (vacation and sick excess hours)
15,200
13,800
(1,400)
DEPARTMENT TOTALS
6.00
$ 620,442
$ 848,996
$ 228,554
CITY OF VERNON
Fund 011 Department 1026 - General Fund City Council Department
Budget Detail
2020-2021
DEPARTMENT:
011.1026 Human Resources
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Comments
REVENUES
459030
Group Medical Revenue
$ 228,257 $
$ 228,257 $
$ (228,257) $
228,257
600910
Other Income
-
-
TOTAL REVENUES
$ 228,257 $
$ 228,257 $
$ (228,257) $
228,257
EXPENSES:
SALARIES
501010
Salaries - Regular
$ 577,753 $
$ 796,788 $
219,035
$ (577,753) $
796,788
501012
Salaries - Premium
37,689
47,208
9,519
(37,689)
47,208
501020
Salaries - Over Time
5,000
5,000
-
(5,000)
5,000
620,442
848,996
228,554
(620,442)
848,996
BENEFITS
502020
Retirement
185,391
261,850
76,459
(185,391)
261,850
502030
Group Insurance Premiums
81,873
100,481
18,608
(81,873)
100,481
502031
Retiree Group Insurance Premiums
1,099,437
1,293,066
193,629
(1,099,437)
1,293,066 Retiree group plan premium increase
502060
Medicare
8,996
9,090
94
(8,996)
9,090
502096
Postemployment Benefit Contribution
1,059,320
1,931,700
872,380
(1,059,320)
1,931,700 Actuarially determined contribution as reported on valuation
report dated November 15, 2019.
2,435,017
3,596,187
1,161,170
(2,435,017)
3,596,187
WORKERS
COMP LIABILITY
500245
Self -Insured Assessment Fees State of CA
30,000
40,000
10,000
(30,000)
40,000 Less activity expected in FY2019
502080
Claims Expenditures - Worker's Comp
50,000
55,000
5,000
(50,000)
55,000
502095
Medical Expenditures - Workers Comp
3,000
3,000
-
(3,000)
3,000
83,000
98,000
15,000
(83,000)
98,000
SUPPLIES/SERVICES
520000
Supplies
42,000
15,000
(27,000)
(42,000)
15,000
550000
Advertisement/Promotion
10,000
10,000
-
(10,000)
10,000
594200
Professional Services - Administration
67,520
76,500
8,980
(67,520)
76,500
596200
Professional Services - Other
29,770
15,540
(14,230)
(29,770)
15,540
596500
Travel
4,800
3,800
(1,000)
(4,800)
3,800
596600
Books and Publications
2,000
1,500
(500)
(2,000)
1,500
596700
Citywide Training/Employee Development
25,100
48,600
23,500
(25,100)
48,600
596800
Tuition/Education Reimbursement Program
40,000
40,000
-
(40,000)
40,000
596900
Employee Recognition Program
41,750
42,450
700
(41,750)
42,450
596905
Recruitments
5,500
5,500
-
(5,500)
5,500
597000
Pre -Employment Physicals and Exams
75,000
47,000
(28,000)
(75,000)
47,000
343,440
305,890
(37,550)
(343,440)
305,890
TOTAL EXPENSES $
3,481,899 $
$ 4,849,073 $
1,367,174 $
(3,481,899) $
4,849,073
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1026 - HUMAN RESOURCES
2020-2021
Account No. 500245 - Assessment Fees
Detailed FY2020 FY2021
Name Description Budget Budget
1 Dept. of Industrial Relations Self -Insurer's Annual Report 30,000 40,000
$ 30,000 $ 40,000
Account No. 502080- Workers Comp - Claims Expense
Detailed FY2020 FY2021
Name Description Budget Budget
City of Vernon Self -Insured Medical/Indemnity Claims Expense - Future Medical 50,000 55,000
Costs
$ 50,000 $ 55,000
Account No. 502095 - Medical Expenditure - Workers Com
Detailed FY2020 FY2021
Name Description Budget Budget
1 City of Vernon Self -Insured First Aid - Treat and Release claims 3,000 3,000
$ 3,000 $ 3,000
Account No. 502030 - Group Insurance Premiums
Detailed FY2020 FY2021
Name Description Budget Budget
1 Blue Shield/Met Life/MES Medical/Dental/Vision 80,672 79,589
Vision
2 City of Vernon Vision Plan Vision 1,076 -
3 Mutual Omaha Life Life 125 108
$ 81,873 $ 79,697
1 of 5
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1026 - HUMAN RESOURCES
2020-2021
Account No. 502031 - Retiree/Cobra Group Insurance Premiums
Detailed FY2020 FY2021
Name Description Budget Budget
1 Anthem/MetLife Retiree Group Insurance Premiums 1,036,445 1,260,298
22 BS/MetLife/MES Vision COBRA Insurance Premiums 62,992 32,768
$1,099,437 $1,293,066
Account No. 520000 - Supplies
Detailed
Name Description
1 Various Per Procurement Annual Chamber of Commerce Posters, Forms,
Requirement General Office Supplies, Sympathy cards, and
Mailing.
ACCOUNT NO. 550000 - Advertisement / Promotion
FY2020 FY2021
Budget Budget
42,000 15,000
$ 42,000 $ 15,000
Detailed FY2020 FY2021
Name Description Budget Budget
Various Per Procurement Various Recruitment Ads 10,000 10,000
Requirement
$ 10,000 $ 10,000
Account No. 594200 - Professional Services - Administration
Detailed FY2020 FY2021
Name Description Budget Budget
1 Athens Workers Comp Administration Fee 65,000 75,000
2 IGOES & Company IGOE & Company (FSA Administration) 2,520 1,500
$ 67,520 $ 76,500
2of5
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1026 - HUMAN RESOURCES
2020-2021
Account No. 596200 - Professional Services - Other
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 US Drug Test Centers
Random Drug Testing Program and Policy
2,700
2,700
2 Liebert Cassidy
Labor Relations Consortium
3,370
3,540
3 WRIB
Applicant Testing Materials
1,900
2,500
4 Shaw HR Consulting
Job Function Analysis
5,000
5,000
6 DF Design
Graphic Design Services
1,800
1,800
5 Bickmore
Actuarial Valuation
15,000
-
$ 29,770
$ 15,540
Account No. 596500 - Travel
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 CALPELRA Conference
Monterey (Nov. 16-20, 2020)
2,500
2,500
2 PARMA Conference
Indian Wells (Feb. 2-5, 2021)
2,000
-
3 League of CA Cities
Long Beach Convention Center (Oct. 7-9, 2020)
-
4 LCW
San Diego (Feb. 17-19, 2021)
1,000
5 Travel for Local Conferences and
Trainings
300
300
$ 4,800
$ 3,800
Account No. 596600 - Books and Publications
Detailed FY2020 FY2021
Name Description Budget Budget
1 Thompson Publishing Annual subscription for FMLA Manuals 500 -
2 Professional Memberships Memberships - SCPMA HR $50 ea., or $25 ea., if 1,500 1,500
members of IPMA-HR, So Ca Labor Relations
Council $150/agency, CALPELRA $350 ea., IPMA-
HR $397 for 1-3 Staff members.
$ 2,000 $ 1,500
3of5
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1026 - HUMAN RESOURCES
2020-2021
Account No. 596700 - Employee Development & Training
Detailed
Name Description
1 Various Professional Employee Training and Development, HR Staff
Organizations Trainings (SCPMA-HR, So. CA Labor Relations
Council, IPMA - HR, CALPELRA, PARMA, LCW
Conference and League of California Cities
Conference and HR Training Videos and Manuals
2 Coastal Dupont Safety Training Videos
Project # 169001 Wellness Program/Promotions
Account No. 596800 - Tuition/Education Reimbursement Program
FY2020 FY2021
Budget Budget
20,000 35,000
2,600 2,600
2,500 11,000
$ 25,100 $ 48,600
Detailed FY2020 FY2021
Name Description Budget Budget
Employee Reimbursements Tuition/Education Reimbursement Program 40,000 40,000
Pursuant to MOU's
$ 40,000 $ 40,000
Account No. 596900 - Employee Recognition Program
Detailed
FY2020
FY2021
Name Description
Budget
Budget
1 Miscellaneous Purchases Employee Recognition Program & Holiday Event
32,000
32,000
Including Annual Recognition
Awards
2 2020 Employee Appreciation
3,800
4,500
Luncheon
3 2020 Kickoff Day
1,500
1,500
4 2020 Halloween Event
3,350
3,350
5 2021 Opening Day Event
1,100
1,100
$ 41,750
$ 42,450
4of5
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1026 - HUMAN RESOURCES
2020-2021
Account No. 596905 -Recruitments
Detailed FY2020 FY2021
Name Description Budget Budget
1 Recruitments Recruitment expenses and related supplies 5,500 5,500
$ 5,500 $ 5,500
Account No. 597000 - Pre -Employment Physicals and Exams
Detailed FY2020 FY2021
Name Description Budget Budget
1 Concentra Pre -Employment Physicals and Exams 75,000 35,000
2 DOT Drug & Alcohol DOT Random Drug & Alcohol Testing 12,000
Compliance Random Testing -
Third Party Administrator
$ 75,000 $ 47,000
5of5
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1031 POLICE
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES
$
306,300
$
$
307,300
$ 1,000
$ (306,300)
$ 307,300
EXPENSES:
SALARIES
$
6,765,061
$
$
7,079,452
$ 314,391
$ (6,765,061)
$ 7,079,452
BENEFITS
4,440,220
4,446,725
6,505
(4,440,220)
4,446,725
SUPPLIES/SERVICES
469,426
442,526
(24,900)
(464,426)
401,026
TOTAL EXPENSES
$ 11,674,707
$
$
11,968,703
$ 295,996
$(11,669,707)
$11,927,203
CAPITAL:
REVENUES
$
$
$
-
$ -
$ -
$ -
EXPENDITURES
$
120,200
$
$
272,200
$ 40,000
$ (120,200)
$ 40,000
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Budget
(Decrease)
Administrative Secretary
1.00
$ 77,989
$ 80,858
$ 2,869
Civilian Court Officer
1.00
76,780
79,834
3,054
Police Captain
1.00
232,063
239,888
7,825
Police Chief
1.00
275,370
286,372
11,002
Police Community Services Officer
0.50
24,870
27,761
2,891
Police Dispatcher
6.50
509,575
531,245
21,670
Police Dispatcher, Lead
1.00
92,054
95,721
3,667
Police Lieutenant
2.00
355,285
381,889
26,604
Police Officer
32.00
3,298,420
3,498,801
200,381
Police Records Manager
1.00
109,178
113,532
4,354
Police Records Technician
2.00
102,697
111,861
9,164
Police Records Technician, Lead
1.00
64,083
66,629
2,546
Police Sergeant
7.00
1,009,197
1,051,561
42,364
Overtime
On -Call
Payout (excess vacation and sick hours)
Shooting Pay
DEPARTMENT TOTALS
363,000
350,000 (13,000)
5,000
5,000
169,000
158,000 (11,000)
500
500
57.00 $ 6,765,061 $ 7,079,452 $ 314,391
DEPARTMENT:
011.1031 POLICE
CITY OF VERNON
Fund 011 Department 1031 - General Fund Police Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES
410212 Alarm Permits
$ - $
- $ - $
- $ - $
-
410480 False Alarm Fees
15,000
- 15,000
- (15,000)
15,000
420100 Vehicle Code Fines
60,000
- 60,000
- (60,000)
60,000 Annual projection varies based on fees collected by the local court
420110 Other Vehicle Fines
20,000
- 20,000
- (20,000)
20,000 Annual projection varies based on fees collected by the local court
420120 DUI Emergency Response Cost
-
- -
- -
- Projection based on account history
420130 Vehicle Inspection Fee
4,000
- 4,000
- (4,000)
4,000
420510 Parking Citation Fees
30,000
- 30,000
- (30,000)
30,000
420515 Franchise Towing Fees
15,000
- 15,000
- (15,000)
15,000
420525 Impounded Vehicle Release Fees
3,000
- 3,000
- (3,000)
3,000
420530 DUI Vehicle Release Fees
3,000
- 3,000
- (3,000)
3,000
420535 Repossessed Vehicle Release Fees
300
- 300
- (300)
300
2031 440100 Grant Revenues - Federal
-
- -
- -
- No UASI or SHSGP Grant funding for FY21
2031 440100 Grant Revenues - Federal (Pass -through)
35,000
- 35,000
- (35,000)
35,000 Office of Traffic Safety (OTS) Grant
3031 441010 COPS - SLESF Funds (State)
100,000
- 100,000
- (100,000)
100,000 COPS
441014 Overtime Reimbursement Revenue
-
- -
- -
- Southwest Borders Initiative
441015 Task Force Reimbursement
-
- -
- -
- Reimbursement is credited to 1031 501020 (Salaries - O.T.)
466000 P.O.S.T. Reimbursement
-
- 1,000
1,000 -
1,000 Funding cut by State of California
466600 Copies and Publications
18,000
- 18,000
- (18,000)
18,000
466900 Miscellaneous
3,000
- 3,000
- (3,000)
3,000
467300 Booking Fee Reimbursement
- Funding source discontinued by Court
TOTAL REVENUES
$ 306,300 $
- $ 307,300 $
1,000 $ (306,300) $
307,300
EXPENSES:
SALARIES:
1031 501010 Salaries -Regular
1031 501012 Salaries - Premiums
1031 501020 Salaries - OT
2031 501020 Salaries - OT
3031 501010 Salaries -Regular
3031 501012 Salaries - Premiums
3031 501020 Salaries - OT
BENEFITS:
1031 502020 Retirement
1031 502030 Insurance Premiums - Medical
1031 502060 Medicare
1031 502070 Unemployment
1031 502080 Workers' Compensation Claims
1031 502090 SIR Settlement Claims
1031 502096 Postemployment Benefit Expense
2031 502020 Retirement
2031 502030 Insurance Premiums - Medical
2031 502060 Medicare
3031 502020 Retirement
3031 502030 Insurance Premiums - Medical
3031 502060 Medicare
$ 5,431,766 $ - $ 5,631,612 $ 199,846 $ (5,431,766) $ 5,631,612 Includes one (1) vacant police officer position
836,903 - 958,202 121,299 (836,903) 958,202 FY21 Budget contains Longevity, Bilingual Pay, Uniform Allowance, Corporal Pay,
Service Adjustments and POST; Shooting and Court Pay; Anticipated Compensated
Absences Payout
363,000 - 350,000 (13,000) (363,000) 350,000 Decrease base on performance
120,095 - 124,632 4,537 (120,095) 124,632 Salaries for one (1) Civilian Court Officer; one (1) Part -Time Dispatcher; one (1) Part -
Time Community Service Officer
13,297 - 15,006 1,709 (13,297) 15,006 Salary Premiums for one (1) Civilian Court Officer
6,765,061 7,079,452 314,391 (6,765,061) 7,079,452
3,197,590
960,204
96,159
116,684
29,110
38,539
1,934
3,197,590
- (3,197,590)
969,813
9,609 (960,204)
100,627
4,468 (96,159)
116,684
- (116,684)
33,459 4,349 (29,110)
26,527 (12,012) (38,539)
2,025 91 (1,934)
3,197,590 Employer portion of reportable wages (18.568% Misc; 32.578% Safety); PARS
removed
969,813 Medical, HSA, Life, and Vision
100,627 1.45 % of total earnings
116,684 Projected expense per Human Resources based upon past experience
- Anticipated Settlement Payments
Part-time employees - grant funded
- Part-time employees - grant funded
Part-time employees - grant funded
33,459 For one (1) Civilian Court Officer and one (1) Part -Time Dispatcher
26,527 For one (1) Civilian Court Officer
2,025 For one (1) Civilian Court Officer, one (1) Part -Time Dispatcher and one (1) Part -Time
Community Service Officer
4,440,220 4,446,725 6,505 (4,440,220) 4,446,725
1 of 2
DEPARTMENT:
011.1031 POLICE
SUPPLIES/SERVICES:
1031 503035 Insurance Premiums
1031 520000 Supplies
3031 520000 Supplies
1031 520010 Supplies - IT
1031 520050 Supplies - Community Outreach Consumables
1031 540000 Uniforms
1031 550000 Advertisement/Promotion
1031 560000 Utilities
1031 570000 Vehicle Expense
1031 590000 Repair & Maintenance
1031 593500 Legal Settlements
1031 594200 Professional Services - Admin
1031 596200 Professional Services - Other
1031 596500 Travel
1031 596550 Memberships
1031 596600 Books & Publications
1031 596700 Training
TOTAL EXPENSES
CAPITAL
REVENUES
2031 440100 Grant Revenues -Federal Asset Forfeiture
3031 440100 Grant Revenues -State Asset Forfeiture
CITY OF VERNON
Fund 011 Department 1031 - General Fund Police Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
41,500
5,000
15,000
6 000
41,500
(41,500)
- - - - Inactive account for 1031
- (3,000) Decreased based on actual expenditures
12,800 (2,200) (15,000) 12,800 Decreased based on need
6 000 6 000
6,600
- 6,600
-
(6,600)
6,600
160,000
- 160,000
-
(160,000)
160,000
5,000
- 5,000
-
(5,000)
5,000
118,420
- 97,720
(20,700)
(118,420)
97,720
Increased based on increased staffing levels and anticipated increase in arrests
55,280
- 55,280
-
(55,280)
55,280
25,000
- 30,000
5,000
(25,000)
30,000
Increased for Staff Development and Succession Planning
4,656
- 3,656
(1,000)
(4,656)
3,656
Decreased based on actual expenditures
1,970
- 1,970
-
(1,970)
1,970
25,000
28,000
3,000
(25,000)
28,000
Increased due to need for CAL OSHA required Fit Testing
469,426
442,526
(24,900)
(464,426)
401,026
$ 11,674,707 $ - $ 11,968,703 $ 295,996 $ (11,669,707) $ 11,927,203
EXPENDITURES
1031 840000 Automobile - - - - - -
1031 850000 Non -Automobile 120,200 - 272,200 152,000 (120,200) 272,200 Second payment for the Motorola all -band portable radios lease; Bi-Directional Amplifier
and new radios
$ 120,200 $ - $ 272,200 $ 152,000 $ (120,200) $ 272,200
2of2
Account No. 520000 - Suaalies
Name
1 DOOLEY/SDPE
2 STAPLES/OFFICE DEPOT
3 VARIOUS VENDORS -
FOLLOWING PURCHASING
REQUIREMENT
4 VARIOUS VENDORS -
FOLLOWING PURCHASING
REQUIREMENT
5 PEGASUS/SILVA'S PRINTING
6 VENDOR TBD
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1031 - POLICE
2020-2021
Detailed
FY2020
FY2021
Description
Budget
Budget
Duty and training ammunition
15,000
15,000
Office supplies (including items obtained from the City
9,078
9,078
Warehouse)
Office and necessary field supplies
8,752
8,752
Shooting range supplies (firearms parts, cleaning
solvents, targets)
Paper -based orders (business cards, envelopes,
citations)
Dry cleaning service for jail and locker room towels
Account No. 520010 - Supplies - IT
5,100 5,100
2,550 2,550
1,020 1,020
$ 41,500 $ 41,500
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 VARIOUS VENDORS -
APC Batteries, Live Scan Printer Toner, Digital Media
-
-
FOLLOWING PURCHASING
REQUIREMENT
Account No. 520050 - Supplies - Community Outreach Consumables
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 VARIOUS VENDORS -
Food and beverages purchases for community
5,000
-
FOLLOWING PURCHASING
outreach events including National Night Out, Coffee
REQUIREMENT
with a Cop, Business Watch, DARE, Patrol
checkpoints and staff meetings
$ 5,000
$ -
1 of 5
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1031 - POLICE
2020-2021
Account No. 540000 - Uniforms
Detailed FY2020 FY2021
Name Description Budget Budget
1 VARIOUS VENDORS - Uniforms for newly hired civilian and sworn staff, 9,200 9,200
FOLLOWING PURCHASING helmets, nametags, Sam Brown equipment for new
REQUIREMENT sworn personnel , rainwear, batons, handcuffs, badge
repair and replacement, patches, bulletproof vests,
radio holders, hazardous clothing, replacements for
uniforms damaged in the line of duty.
2 RESERVE OFFICER Uniform stipend for one (1) Reserve Police Officer 3,600 3,600
$ 15,000 $ 12,800
Account No. 550000 - Advertisement/Promotion
Detailed FY2020 FY2021
Name Description Budget Budget
1 VARIOUS VENDORS - Activities and products related to community outreach, 4,000 -
FOLLOWING PURCHASING recruitment materials and recognition awards
REQUIREMENT
DARE program materials 2,000 -
$ 6,000 $ -
Account No. 560000 - Utilities
Detailed FY2020 FY2021
Name Description Budget Budget
1 CITY FIBER OPTICS CHARGE Adjusted Charge assessed by the Fiber Optics 6,600 6,600
Department (includes Internet)
$ 6,600 $ 6,600
Account No. 570000 - Vehicle Expense
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 CITY FUEL CHARGE BACK
Vehicle fuel from the City of Vernon gas pumps
70,000
70,000
2 CITY GARAGE CHARGE BACK
Vehicle maintenance provided by the City of Vernon,
86,000
86,000
including car washing services
3 CITY ISSUED P-CARDS
P-Cards issued for gas purchases for City owned
4,000
4,000
vehicles
$ 160,000
$ 160,000
2of5
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1031 - POLICE
2020-2021
Account No. 590000 - Repairs & Maintenance
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 VARIOUS VENDORS -
Repairs for typewriters, weapons, laser guns, patrol
3,000
3,000
FOLLOWING PURCHASING
unit equipment, office furniture, jail equipment,
REQUIREMENT
shooting range maintenance and miscellaneous
maintenance materials.
2 LIBERTY MANUFACTURING
Shooting range maintenance
2,000
2,000
$ 5,000
$ 5,000
Account No. 594200 - Professional Services Administration
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 HUNTINGTON PARK PD
Outsourced Jail Booking Fees
65,000
75,000
2 ALL CITY MANAGEMENT
Crossing Guard Services (Adding 3rd Intersection)
36,000
-
3 SO. EAST JUDICIAL DISTRICT
Traffic Violation Ticket Processing Fees
11,000
16,000
4 DATA TICKET, INC
Parking Citation Processing Service
5,000
5,000
5 BURRO CANYON
Firearms Training Park Usage
300
600
6 BANDINI TRUCK TERMINAL
Truck Weighing Service (Commercial Enforcement)
100
100
7 VENDOR TO BE DETERMINED
Medical Waste Removal Service
1,020
1,020
$ 118,420
$ 97,720
Account No. 596200 - Professional
Services Other
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 VARIOUS VENDORS -
Background Investigator Services
20,000
20,000
FOLLOWING PURCHASING
REQUIREMENT
2 VARIOUS VENDORS -
Independent Internal Affairs Investigation Services
10,000
10,000
FOLLOWING PURCHASING
REQUIREMENT
3 STACY MEDICAL CENTER
Prisoner Pre -Booking Examinations
14,280
14,280
4 LEXIPOL
Law enforcement policy manual update subscription
11,000
11,000
and training module subscription
$ 55,280
$ 55,280
3of5
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1031 - POLICE
2020-2021
Account No. 596500 - Travel
Name
Event
Name
FY2020
Budget
FY2021
Budget
1 VARIOUS EMPLOYEES
Transportation, meals, hotels and other expenses
25,000
30,000
MANDATED TRAINING AND
associated with employee training
STAFF DEVELOPMENT
$ 25,000
$ 30,000
Account No. 596550 - Membership Dues
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 CA. ANNUAL MEMBERSHIP DUES
Various State Assoc. & Agencies
1,070
570
2 LA COUNTY ANNUAL DUES
Various LA County Assoc. & Agencies
1,040
540
3 INTERNATIONAL ANNUAL DUES
Various International Assoc. & Agencies
790
790
4 FEDERAL ANNUAL DUES
Various Federal Assoc. & Agencies
100
100
5 AREA E DISASTER MGMT
Yearly Membership Fee
1,656
1,656
$ 4,656
$ 3,656
Account No. 596600 - Books & Publications
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 VARIOUS VENDORS -
Current Editions: Various Directories, Legal
1,970
1,970
FOLLOWING PURCHASING
Resources and/or Manuals
REQUIREMENT
$ 1,970
$ 1,970
4of5
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1031 - POLICE
2020-2021
Account No. 596700 - Training
Detailed FY2020 FY2021
Name Description Budget Budget
1 VARIOUS MANDATED OFFICERS & DETECTIVES: Advanced Rifle Course, 25,000 28,000
TRAINING Arrest & Control, Tactical Communications, Search
Warrants, Driver Training, Street Racing, Gang
FIT Testing
COMMUNICATIONS STAFF: Domestic
Violence/Sexual Assault for Dispatchers, Terrorism
Awareness, Critical Incident, Stress Management for
Dispatchers, CALNENA Conference, Communications
Training Officer Update, Customer Service for the
Public Safety Professional, Dispatch Update Course,
Tactical Dispatch Concepts, Advanced
Communications Training for Dispatchers, Cultural
Diversity, Assess Suicide Call, Crisis Negotiations,
Lifetime Fitness/Dispatch Wellness
ADMINISTRATIVE STAFF: Los Angeles County
Chiefs Conference, California Police Chiefs Seminar,
CAL LEEDS, FBI-LEEDA, Internal Affairs Update,
Emergency Management Courses, Suicide Bombing
Attacks Response, California Labor Relations,
Executive Development Course, Pitchess Motion
Review, Asset Forfeiture, Special Events
Management Seminar, Advanced Civilian
Management Seminar, CLEARS
$ 25,000 $ 28,000
Capital Expenditures
Detailed FY2020 FY2021
Name Description Budget Budget
1 Equipment -AUTO One (1) New Patrol Vehicle: Ford Explorer - 55,000
2 Equipment - NON -AUTO Emergency Equipment Package, In -Car Video System - 30,000
Motorola Radio Lease - Second Payment 120,200 102,200
Three (3) Portable Radios APX8000 30,000
Bi-Directional Amplifier 55,000
$ 120,200 $ 272,200
5of5
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT
011.1033 Fire
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget(1/2 Yr) (Decrease) (Decrease) (Decrease)
TOTAL REVENUES $ 393,250 $ 810,150 $ 339,575 $ (53,675) $ 416,900 $ (470,575)
EXPENDITURES:
SALARIES
$ 5,326,889
$ 9,775,688 $
4,310,568
$ (1,016,321) $
4,448,799 $
(5,465,120)
BENEFITS
3,521,026
6,108,717
2,818,869
(702,157)
2,587,691
(3,289,848)
SUPPLIES/SERVICES
8,447,176
938,700
10,319,773
1,872,597
(7,508,476)
9,381,073
CAPITAL
365,800
330,000
1,780,160
1,414,360
(35,800)
1,450,160
TOTAL EXPENDITURES
$ 17,660,891
$17,153,105 $
19,229,370
$ 1,568,479 $
(507,786) $
2,076,265
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Proposed
Proposed
(Decrease)
Administrative Assistant, Senior
1.00
$ 32,803
$ 35,415
$ 2,612
Assistant Fire Marshal
0.00
47,719
-
(47,719)
Fire Administrative Analyst
1.00
50,474
54,527
4,053
Fire Battalion Chief
1.00
338,463
115,603
(222,860)
Fire Captain
12.00
1,124,692
961,681
(163,011)
Fire Chief
1.00
137,516
129,421
(8,095)
Fire Code Inspector
0.50
-
32,266
32,266
Fire Engineer
12.00
926,308
793,726
(132,582)
Firefighter
14.00
907,748
704,737
(203,011)
Firefighter/Paramedic
9.00
662,097
543,278
(118,819)
Firefighter/Paramedic Coordinator
1.00
63,724
61,914
(1,810)
Overtime
950,000
750,000 (200,000)
Payout (excess vacation and sick hours) 85,345 128,000 42,655
DEPARTMENT TOTALS 52.50 $ 5,326,889 $ 4,310,568 $ (1,016,321)
DEPARTMENT:
011.1033 Fire
CITY OF VERNON
Fund 011 Department 1033 - General Fund Fire Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (1/2 Yr) (Decrease) (Decrease) (Decrease) Comments
REVENUES
410211
Fire Permit Fees $
27,500 $
45,000 $
22,500 $
(5,000) $
17,500 $
(22,500)
410212
Alarm Permits
5,000
2,000
2,000
(3,000)
(3,000)
410270
Filming Permits
4,000
5,000
2,500
(1,500)
1,000
(2,500)
410271
Special Event Permit Fees
500
1,200
600
100
700
(600)
410430
Annual Business Fire Inspection
70,000
200,000
100,000
30,000
130,000
(100,000)
410440
Fire Prevention Fees / Building
-
-
-
-
-
410450
Fire Code Construction Permits
-
-
-
-
-
410460
Annual Business Fire Re -Inspection
1,750
1,500
1,500
(250)
(250)
410470
Five Year Sprinkler System Testing
3,750
8,500
4,250
500
4,750
(4,250)
410480
False Alarm Fees
12,750
25,000
12,500
(250)
12,250
(12,500)
410490
Fire Extinguishing Training
250
400
200
(50)
150
(200)
450110
Fire Service (Santa Ana College)
10,000
40,000
20,000
10,000
30,000
(20,000)
461100
Fines and Penalties
1,250
500
500
(750)
(750)
466200
Plan Check Fees
20,000
45,000
22,500
2,500
25,000
(22,500)
466600
Copies and Publications
250
50
25
(225)
(200)
(25)
466900
Miscellaneous Revenues
1,250
1,000
500
(750)
(250)
(500)
467000
Strike Team Overtime
125,000
191,000
50,000
(75,000)
66,000
(141,000)
467100
EMS Transport Fees
72,500
200,000
100,000
27,500
127,500
(100,000)
2033 440100
Federal Grant Revenues (Haz
37,500
44,000
-
(37,500)
6,500
(44,000)
Mat/USAR/Assistance Firefighter)
TOTAL REVENUES
$
393,250 $
810,150 $
339,575 $
(53,675) $
416,900 $
(470,575)
EXPENDITURES:
SALARIES:
501010
Salaries -Regular $
3,632,860 $
5,408,193 $
2,838,767 $
(794,093) $
1,775,333 $
(2,569,426)
501012
Salaries - Premiums
744,029
2,567,495
721,801
(22,228)
1,823,466
(1,845,694)
501020
Salaries - O.T. - Salaries
50,000
100,000
100,000
50,000
50,000
501020
Salaries - Minimum Staffing
900,000
1,700,000
650,000
(250,000)
800,000
(1,050,000)
5,326,889
9,775,688
4,310,568
(1,016,321)
4,448,799
(5,465,120)
BENEFITS:
502020
Retirement
2,562,391
4,807,668
2,047,839
(514,552)
2,245,277
(2,759,829)
502030
Group Insurance
629,781
837,535
446,713
(183,068)
207,754
(390,822)
502060
Medicare
77,240
151,649
62,503
(14,737)
74,409
(89,146)
502080
Claims Expenditure - Worker'sComp
241,414
311,865
241,414
-
70,451
(70,451)
502095
Medical Expense
10,200
-
20,400
10,200
(10,200)
20,400
502096
Postemployment Benefit Expense
-
-
-
-
-
-
3,521,026
6,108,717
2,818,869
(702,157)
2,587,691
(3,289,848)
SUPPLIES/SERVICES:
503035
Insurance Premiums (Property)
18,221
-
-
(18,221)
(18,221)
510000
Office Expense
750
500
500
(250)
(250)
520000
Supplies
43,125
45,000
42,500
(625)
1,875
(2,500)
3033 520000
Supplies
-
-
-
-
-
-
540000
Uniforms
18,500
10,000
20,000
1,500
(8,500)
10,000
550000
Advertisement & Promotion
250
250
250
-
-
-
560000
Utilities
39,500
90,000
50,000
10,500
50,500
(40,000) 1 of 2
570000
Vehicle Expense
71,500
200,000
105,000
33,500
128,500
(95,000)
590000
Repair & Maintenance
25,875
38,000
18,350
(7,525)
12,125
(19,650)
DEPARTMENT:
011.1033 Fire
590110 Repair & Maintenance - IT
594000 Emergency Management Services
595200 Professional Services - Technical
596200 Professional Services - Other
596500 Travel
596550 Membership Dues
596600 Books & Publications
596700 Employee Development & Training
CAPITAL
840000 Capital Equipment - Auto
850000 Capital Equipment - Non Auto
860000 IT Equipment & Software
900000 Capital Outlays
TOTAL EXPENDITURES
CITY OF VERNON
Fund 011 Department 1033 - General Fund Fire Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (1/2 Yr) (Decrease) (Decrease) (Decrease) Comments
10,750
-
-
(10,750)
(10,750)
-
89,500
300,000
322,250
232,750
210,500
22,250
27,500
35,000
40,000
12,500
7,500
5,000
8,080,505
200,000
9,700,323
1,619,818
(7,880,505)
9,500,323
1,250
-
1,250
-
(1,250)
1,250
2,700
2,700
6,600
3,900
3,900
750
750
750
-
-
16,500
16,500
12,000
(4,500)
(4,500)
8,447,176
938,700
10,319,773
1,872,597
(7,508,476)
9,381,073
365,800 330,000 1,780,160 1,414,360 (35,800) 1,450,160
365,800 330,000 1,780,160 1,414,360 (35,800) 1,450,160
$ 17,660,891 $ 17,153,105 $ 19,229,370 $ 1,568,479 $ (507,786) $ 2,076,265
2of2
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1033 - FIRE
2020-2021
Account No. 510000 - Office
Detailed FY2020 FY2021
Name Description Budget Budget
1 Office Depot, UPS, and FedEx Office Expense - Misc. office supplies $ 750 $ 500
$ 750 $ 500
Account No. 520000 - Supplies
Name
1 Multiple Vendors - Bidding procedures to be followed
2 Multiple Vendors - Bidding procedures to be followed
3 Life -Assist
4 Home Depot
5 LB Johnson
6 Jetro
Account No. 540000 - Uniforms/PPE
Name
1 AIIStar Fire Equipment
2 ECMS, Inc.
3 Firefighter Safety
4 Multiple Vendors - Bidding procedures to be followed
5 AIIStar Fire Equipment
6 Multiple Vendors - Bidding procedures to be followed
Account No. 550000 - Advertisement & Promotion
Detailed
FY2020
FY2021
Description
Budget
Budget
Emergency Supplies & Services
$ 43,125
$ 5,000
Non -Emergency Supplies & Services
-
15,000
EMS Supplies
17,500
Building Hardware
3,000
Building Hardware
250
Hydration Supplies
-
1,750
$ 43,125
$ 42,500
Detailed FY2020 FY2021
Description Budget Budget
Station and PPE Boots $ 18,500.00 $ 5,000.00
Turnout Cleaning & Repair - 4,000
Station and PPE Boots - 2,000
Safety Equipment and Tools - 1,000
Station Uniforms - 3,000
Misc. - 5,000
$ 18,500 $ 20,000
Detailed FY2020 FY2021
Name Description Budget Budget
1 Multiple Vendors - Bidding procedures to be followed Fire Prevention & Supplies $ 250 $ 250
$ 250 $ 250
Account No. 560000 - Utilities
Detailed FY2020 FY2021
Name Description Budget Budget
1 Electric Services, So. Cal. Gas Co., California Water Special Fire Protection Charge Fire Alarm $ 39,500 $ 50,000
Services, Maywood Mutual #3 System;
$ 39,500 $ 50,000
1 of 4
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1033 - FIRE
2020-2021
Account No. 570000 - Vehicle
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 Fire Apparatus Solutions
Fire Apparatus Maintenance
$ 71,500
$ 75,000
2 Interdepartmental City Cost
Vehicle maintenance of Fire Department
-
5,000
apparatus & vehicles
3 Dion & Sons and Merrimac Energy Group
Fuel of Fire Department apparatus & vehicles
20,000
4 UL, LLC
Annual Ladder Inspection
2,000
5 FailSafe
Fire Ground Ladder Testing
-
3,000
$ 71,500
$ 105,000
1
2
3
4
5
6
7
8
9
10
Account No. 590000 - Repairs & Maintenance
Name
Air Exchange
Compressed Air Specialty
Dewey Pest Control
L.N. Curtis & Sons
Reliable Ice Equipment
Calox, Inc.
SUEZ Mobile Water, Inc.
Multiple Vendors - Bidding procedures to be followed
South Coast A.Q.M.D
Exercise Equipment
Account No. 590110 - Repairs & Maintenance IT
Detailed
FY2020
FY2021
Description
Budget
Budget
Plymovement Maintenance
$ 25,875
$ 2,500
Air Monitor Maintenance @ Station #76 & 78
-
2,500
Pesticide Services
800
SCBA Maintenance Services/Fit Testing
2,500
Ice Machine Maintenance
1,350
Oxygen Bottle Refilling Service
1,000
Water Purification Maint. - St. #76,77,78,79
-
Various Required Repairs and Maintenance
4,000
Annual Operation Fees
2,200
Exercise Machine Maintenance
-
1,500
$ 25,875
$ 18,350
Detailed
Name Description
1 Digital EMS e-Patient Care Report
2 PSTrax Turnout Maintenance Tracking Software
3 Emgergency Reporting Data Management Software
Account No. 594000 - Emergency Management Services
FY2020 FY2021
Budget Budget
$ 10,750.00 $
$ 10,750 $
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Bearcom
Radio, TV, Electronic ID Maintenance
$ 11,000
$ 11,000
2 City of Glendale
Dispatch Service
60,000
-
3 Multiple Vendors - Bidding procedures to be followed
Various Professional Services Needed
5,000
5,000
4 Verizon
MDC Broadband coverage
1,290
3,750
5 BearCom
Maintenance of Civil Defense Generators &
-
5,000
Sirens, Etc., Radio repair not covered by Maint.
Agreement
6 Foothill Communications
Portable Radio Preventative Maint. & Repair
6,000
7 Bearcom
Portable Radio Batteries
-
1,500
8 LA County
Dispatch Service
290,000
9 WestNet
First -In Alerting System by LA County
5,690
-
10 Motorola
Remote Speaker Mics for LA County
6,520
-
$ 89,500
$ 322,250
2of4
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1033 - FIRE
2020-2021
Account No. 595200 - Professional Services Technical
Detailed FY2020 FY2021
Name Description Budget Budget
1 JSB Fire Protection, LLC Fire system plan check services $ 27,500 $ 40,000
$ 27,500 $ 40,000
Account No. 596200 - Professional Services - Other
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Caine & Weiner
Medical Transport Reimbursement
$ 1,500.00
2 Physio Control
Technical Service Report
3,352
3 Richard Guess MD
Paramedic Advisor
3,500
4 Whitman Enterprises
Transport Billing Percentage
15,000
5 Empire Optical
Prescription Safety Eyewear Program
1,000
6 Amerigas Propane
Propane Storage Tanks Lease
-
7 A -Throne
Portable Restroom at Station 76
1,000
8 Multiple Vendors - Bidding procedures to be followed
Haz Mat equipment maint/repair, Calibration for
3,750
HM monitors
9 Lifecom
RKI Eagle Monitor calibration
1,500
10 MJW Technical Services
Calibration of Radiolgical Dosimeters
2,500
11 AP -Triton
GEMT Contract Services
7,500
12 State of California
QAF
17,000
13 LN Curtis & Sons
SCBA Cylinder Valve Repair and Labor
8,000
14 LN Curtis & Sons
SCBA Hydrostatic Testing
9,000
15 Los Angeles County
Fire Personnel Contracted Services
16,100,000
7,450,000
16 Los Angeles County
Fire Battalion Chief Services
10,000
17 Los Angeles County
LAFCO Review
49,000
18 Los Angeles County
Fire Equipment Conversion Cost
160,000
19 Los Angeles County
Medical Equipment Conversion Cost
12,000
20 Los Angeles County
Fitness Converstion Cost
21,000
21 Los Angeles County
Communications Conversion Cost
81,170
22 Los Angeles County
Personal Protective Equipment & Uniforms
375,000
Conversion Cost
23 Los Angeles County
Apparatus and Vehicles Converstion Cost
449,313
25 Los Angeles County
Training Converstion Cost
1,018,238
$ 16,100,000
$ 9,700,323
Account No. 596500 - Travel
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Bear Paw, League of Cities, FDIC
Various Conferences and Seminars
$ 1,250
$ 1,250
$ 1,250
$ 1,250
3of4
Account No. 596550 - Membership Dues
Name
1 NFPA, Calif. Fire Chief Assoc. & Various
2 LA Area Fire Chief Assoc. & Area E Fire Chief
3 International Assoc. of Fire Chiefs
4 Area E Disaster Management
Account No. 596600 - Books & Publications
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1033 - FIRE
2020-2021
Detailed FY2020 FY2021
Description Budget Budget
Membership & Dues $ 2,700 $ 1,500
Membership & Dues - 1,300
Membership & Dues 300
Los Angeles County (JPA) Dues - 3,500
$ 2,700 $ 6,600
Detailed FY2020 FY2021
Name Description Budget Budget
1 Various Vendors - Bidding procedures to be followed Misc. Books & Publications $ 750 $ 750
$ 750 $ 750
Account No. 596700 - Emolovee Development & Trainin
Detailed
FY2020 FY2021
Name
Description
Budget Budget
1 Target Solutions
Online Risk Management Training
$ 16,500 $ 3,000
2 Various Vendors
EMT, CPR, Paramedic Certification
- 5,000
3 Various Vendors
External Training Courses
2,000
4 Various Vendors
Haz Mat Training
2,000
$ 16,500 $ 12,000
Account No. 850000 - Capital Equipment - Non Autc
Detailed FY2020 FY2021
Name Description Budget Budget
1 Pierce Manufacturing, Inc. Two (2) Fire Engines (Leased) $ 159,000 $ 737,352
2 Pierce Manufacturing, Inc. New Tractor Drawn Aerial (Lease $165k Yr) 165,000 1,042,808
3 Misc 41,800 -
$ 365,800 $ 1,780,160
4of4
DEPARTMENT:
011.1040 Public Works Administration
TOTAL REVENUES
EXPENSES:
SALARIES
BENEFITS
SUPPLIES/SERVICES
TOTAL EXPENSES
CITY OF VERNON
Budget Summary
2020-2021
A
B C C-A
B-A
C-B
FY2020
FY2020 FY2021 Increase
Increase
Increase
Budget
Forecast Budget (Decrease)
(Decrease)
(Decrease)
$ 14,609,528
$ - $ 14,609,528 $ -
$ (14,609,528)
$ 14,609,528
$ 446,080 $
- $ 443,059 $
(3,021) $ (446,080) $
443,059
242,850
- 277,541
34,691 (242,850)
277,541
5,840
- 5,840
- (5,600)
5,600
$ 694,770 $
- $ 726,440 $
31,670 $ (6949530) $
726,200
EMPLOYEE TITLE
FTE
Salaries
Salaries
Increase
(Decrease)
Administrative Analyst
1.00 $
96,213
$ 84,271
$ (11,942)
Administrative Assistant, Senior
2.00
120,982
114,212
(6,770)
Director of Public Works
1.00
221,884
239,576
17,692
Overtime
5,000
5,000
-
Payout (vacation and sick excess hours)
2,001
-
(2,001)
Stand-by
DEPARTMENT TOTALS 4.00 $ 446,080 $ 443,059 $ (3,021)
CITY OF VERNON
Fund 011 Department 1040 - General Fund Public Works Administration Department
Budget Detail
2020-2021
DEPARTMENT:
011.1040 Public Works Administration
A B
C C-A
B-A
C-B
FY2019 FY2020
FY2021 Increase
Increase
Increase
Budget Forecast
Budget (Decrease)
(Decrease)
(Decrease) Comments
REVENUES:
400311
BNSF In -Lieu Parcel Taxes
$ 624,792 $
$ 624,792 $
$ (624,792)
$ 624,792
400900
Parcel Taxes - Warehouse
11,825,874
11,825,874
(11,825,874)
11,825,874
400950
Parcel Taxes - Safety
2,145,162
2,145,162
(2,145,162)
2,145,162
420520
Community Service Revenues
-
-
-
431000
Rents
-
-
- None expected this year
3040 440100
Cal Recycle Container and Oil Grants
10,000
10,000
(10,000)
10,000
466600
Copies and Publications
400
400
(400)
400
466800
Calendar Donation Revenues
-
-
-
-
466900
Miscellaneous Revenues
3,300
3,300
(3,300)
3,300 50th Street lot rent
TOTAL REVENUES
$ 14,609,528 $
$ 14,609,528 $
$ (14,609,528)
$ 14,609,528
EXPENSES:
SALARIES
501010
Salaries - Regular
$ 426,769 $
$ 433,259 $
6,490 $
(426,769) $
433,259
501012
Salaries - Premiums
14,311
4,800
(9,511)
(14,311)
4,800
501020
Salaries - O.T.
5,000
5,000
(5,000)
5,000
446,080
443,059
(3,021)
(446,080)
443,059
BENEFITS
502020
Retirement
191,732
200,820
9,088
(191,732)
200,820
502030
Group Insurance Premiums
44,650
70,297
25,647
(44,650)
70,297
502060
Medicare
6,468
6,424
(44)
(6,468)
6,424
242,850
277,541
34,691
(242,850)
277,541
SUPPLIES/SERVICES
520000
Supplies
1,000
1,000
-
(1,000)
1,000
540000
Uniforms
240
240
550000
Advertisement/Promotion
1,000
1,000
(1,000)
1,000
596500
Travel
1,200
1,200
(1,200)
1,200
596600
Books & Publications
300
300
(300)
300
596700
Training
2,100
2,100
(2,100)
2,100
5,840
5,840
-
(5,600)
5,600
TOTAL EXPENSES
$ 694,770 $
$ 726,440 $
31,670 $
(694,530) $
726,200
1 of 1
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1040 - PUBLIC WORKS ADMINISTRATION
2020-2021
Account No. 520000 - Supplies
Detailed FY2020 FY2021
Name Description Budget Budget
1 OFFICE DEPOT BUSINESS Office Supplies $ 800 $ 800
SOLUTIONS
2 UPS Office Supplies 200 200
$ 1,000 $ 1,000
Account No. 540000 - Uniforms
Detailed FY2020 FY2021
Name Description Budget Budget
1 SPECIALTY APPAREL Departmental Uniform Shirts $ 240 $ 240
$ 240 $ 240
Account No. 550000 - Advertisement / Promotion
Name
1 PROFESSIONAL PUBLICATIONS
2 PLANET BIDS
Detailed
Description
Publishing of notices, information material, and legal
documents
Web Based Publishings for Municipalities
Account No. 595200 - Professional Services - Technical
Name
Account No. 596200 - Professional Services Other
Detailed
Description
FY2020 FY2021
Budget Budget
$ 500 $ 500
500 500
$ 1,000 $ 1,000
FY2020 FY2021
Budget Budget
Detailed FY2020 FY2021
Name Description Budget Budget
1 of 2
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1040 - PUBLIC WORKS ADMINISTRATION
2020-2021
Account No. 596500 - Travel
Detailed
FY2020
FY2021
Type Description
Budget
Budget
1 VARIOUS Meetings and Conferences
$ 1,200
$ 1,200
$ 1,200
$ 1,200
Account No. 596600 - Books & Publications
Detailed
FY2020
FY2021
Name Description
Budget
Budget
1 CEQA Various Publications Updates
$ 300
$ 300
$ 300
$ 300
Account No. 596700 - Training
Detailed FY2020 FY2021
Type Description Budget Budget
1 LEAGUE OF CALIFORNIA CITIES Annual Conference $ 600 $ 600
2 LEAGUE OF CALIFORNIA CITIES Public Works Officers Institute 1,500 1,500
$ 2,100 $ 2,100
2of2
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1041 BUILDING REGULATIONS AND PLANNING
TOTAL REVENUES
EXPENDITURES:
SALARIES
BENEFITS
SUPPLIES/SERVICES
CAPITAL
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
$ 1,466,000 $ $ 1,209,450 $ (256,550) $ (1,466,000) $ 1,209,450
$ 654,764 $ $ 592,942 $ (61,822) $ (654,764) $ 592,942
288,209 278,025 (10,184) (288,209) 278,025
273,250 388,250 115,000 (273,250) 388,250
250,000 - (250,000) (250,000) -
TOTAL EXPENDITURES $ 1,466,223 $ - $ 1,259,217 $ (207,006) $ (1,466,223) $ 1,259,217
Increase
EMPLOYEE TITLE
FTE
Salaries
Salaries
(Decrease)
Assistant Planner
1.00
$ 87,608
$ 90,185
$ 2,577
Building and Planning Manager
-
139,934
-
(139,934)
Building Inspector, Senior
1.00
127,005
130,765
3,760
Electrical Inspector, Senior
1.00
112,453
115,820
3,367
Permit Technician
2.00
68,811
125,152
56,341
Plumbing and Mechanical Inspector, Senior
1.00
113,953
117,320
3,367
Overtime
Payout (vacation and sick excess hours)
2,000 2,000 -
3,000 11,700 8,700
DEPARTMENT TOTALS 6.00 $ 654,764 $ 592,942 $ (61,822)
CITY OF VERNON
Fund 011 Department 1041 - Building Regulations Fund Public Works Department
Budget Detail
2020-2021
DEPARTMENT:
011.1041 BUILDING REGULATIONS AND PLANNING
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease) (Decrease)
(Decrease) Comments
REVENUES
401650
State Fee -SB1186
$ 1,100 $
$ 1,100
$ - $
(1,100) $
1,100
410210
Building Permit Fees
1,026,200
769,650
(256,550)
(1,026,200)
769,650
410280
Conditional Use Permits
13,927
13,927
(13,927)
13,927
461100
Fines and Penalties
27,488
27,488
(27,488)
27,488
466200
Plan Check Fees
373,830
373,830
(373,830)
373,830
466220
Green Building Standards Fee
10,262
10,262
(10,262)
10,262
466900
Miscellaneous Revenues
6,597
6,597
(6,597)
6,597
468400
Variances
6,597
6,597
(6,597)
6,597
TOTAL REVENUES
1,466,000
1,209,450
(256,550)
(1,466,000)
1,209,450
EXPENDITURES:
SALARIES
501010
Salaries -Regular
$ 599,120 $
$ 527,283
$ (71,837) $
(599,120) $
527,283
501012
Salaries - Premiums
53,644
63,659
10,015
(53,644)
63,659
501020
Salaries - O.T.
2,000
2,000
(2,000)
2,000
654,764
592,942
(61,822)
(654,764)
592,942
BENEFITS
502020
Retirement
181,876
173,039
(8,837)
(181,876)
173,039
502030
Group Insurance Premiums
96,838
96,388
(450)
(96,838)
96,388
502060
Medicare
9,494
8,598
(896)
(9,494)
8,598
288,209
278,025
(10,184)
(288,209)
278,025
SUPPLIES/SERVICES
520000
Supplies
$ 4,000 $
$ 4,000
$ $
(4,000) $
4,000
540000
Uniforms
400
400
(400)
400
550000
Advertisement/Promotion
2,500
2,500
(2,500)
2,500
570000
Vehicle Expense
5,500
5,500
(5,500)
5,500
593200
Professional Services - Legal
-
-
-
595200
Professional Services - Technical
246,000
361,000
115,000
(246,000)
361,000
596500
Travel
2,000
2,000
-
(2,000)
2,000
596550
Memberships
850
850
(850)
850
596600
Books & Publications
4,000
4,000
(4,000)
4,000
596700
Training
8,000
8,000
(8,000)
8,000
273,250
388,250
115,000
(273,250)
388,250
CAPITAL
ELECTRONIC PLAN REIVEW AND PERMITTING
$ 250,000 $
$ -
$ (250,000) $
(250,000) $
250,000
-
(250,000)
(250,000)
-
TOTAL EXPENDITURES
1,466,223
1,259,217
(207,006)
(1,466,223)
1,259,217
1 of 1
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1041 - BUILDING REGULATIONS AND PLANNING
2020-2021
Account No. 520000 - Supplies
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 VARIOUS VENDORS FOLLOWING PROCUMENT
Office Supplies
$ 200
$ 200
POLICIES
2 UPS
Office Supplies
1,500
1,500
3 OFFICE DEPOT BUSINESS SOLUTIONS
Office Supplies
1,000
1,000
4 SILVA'S PRINTING NETWORK
Office Supplies
600
600
5 PLANBAGS.COM
Office Supplies
500
500
6 WAREHOUSE INVENTORY CONSUMPTION
Office Supplies
200
200
$ 4,000
$ 4,000
Account No. 540000 - Uniforms
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 SPECIALTY APPAREL
Departmental Uniform
Shirts
$ 400
$ 400
$ 400
$ 400
Account No. 550000 - Advertisement/Promotion
Name
PROFESSIONAL PUBLICATIONS
Account No. 570000 - Vehicle Expense
Name
1 FUEL FROM CITY PUMPS
2 CITY GARAGE VEHICLE REPAIRS
3 XPRESS WASH, INC.
Detailed FY2020
FY2021
Description Budget
Budget
Publishing of required notices $ 2,500
$ 2,500
$ 2,500
$ 2,500
Detailed
Description
Gas Usage
Garage Work Orders
Washing city vehicles
FY2020 FY2021
Budget Budget
$ 3,000 $
3,000
2,400
2,400
100
100
$ 5,500 $
5,500
1 of 3
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1041 - BUILDING REGULATIONS AND PLANNING
2020-2021
Account No. 593200 - Professional Services - Legal
Name
1 NONE BUDGETED THIS YEAR
Detailed FY2020 FY2021
Description Budget Budget
Legal services $ - $ -
Account No. 595200 - Professional Services Technical
Name
1 REQUEST FOR PROPOSAL PENDING
2 CONSULTANT TBD
3 DEPARTMENT OF CONSERVATION
4 JAS PACIFIC CONSULTING
5 TBD
6 TBD
7 INTERWEST CONSULTING GROUP
8 TBD
9 TBD
10 CALIFORNIA BUILDING STANDARDS
11 LOS ANGELES COUNTY ASSESSOR
Account No. 596500 - Travel
Name
1 CALBO WORKSHOP
Account No. 596550 - Membership Dues
Detailed
Description
Natural Hazards Mitigation Plan
On -Call Structural Plan Check & Inspection & CaSP
Services
Strong Motion Instrumentation Plans & Seismic
Haz. Mapping
On -Call Plan Check & Inspection Services
Housing Elelment Update
File Scanning
On -Call Plan Check and Inspection Services
Code Enforcement
Plan Check/Inspection/Planning
Revolving Fund
Maps
FY2020 FY2021
Budget Budget
$ 25,000 $ 25,000
125,000 125,000
15,000 15,000
25,000 40,000
50,000 150,000
5,000 5,000
1,000 1,000
$ 246,000 $ 361,000
Detailed FY2020 FY2021
Description Budget Budget
Mileage and parking for staff to attend workshop $ 2,000 $ 2,000
Name
1 CALBO
Membership Dues
2 IAPMO
Membership Dues
3 IAEI
Membership Dues
4 ICC
Membership Dues
$ 2,000 $ 2,000
Detailed FY2020
Description Budget
FY2021
Budget
$ 250 $
250
155
155
125
125
320
320
$ 850 $
850
2 of 3
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1041 - BUILDING REGULATIONS AND PLANNING
2020-2021
Account No. 596600 - Books & Publications
Detailed FY2020 FY2021
Name Description Budget Budget
1 VARIOUS VENDORS FOLLOWING PROCUMENT Code Books $ 4,000 $ 4,000
POLICIES
Account No. 596700 - Training
Name
1 CALBO
2 VARIOUS SERVICE PROVIDERS
Capital Expenditures
Name
ELECTRONIC PLAN REIVEW AND PERMITTING
Detailed
Description
Training
Required staff training/seminars
$ 4,000 $ 4,000
FY2020 FY2021
Budget Budget
$ 4,000 $ 4,000
4,000 4,000
$ 8,000 $ 8,000
Detailed FY2020 FY2021
Description Budget Budget
Hardware, software, customization and migration $ 250,000 $ -
$ 250,000 $ -
3 of 3
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1043 STREET OPERATIONS
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease) (Decrease)
TOTAL REVENUES
$ 713,047 $
$
1,453,047
$ 740,000
$ (713,047) $
1,453,047
EXPENSES:
SALARIES
$ 1,909,563 $
$
1,832,047
$ (77,516)
$ (1,909,563) $
1,832,047
BENEFITS
921,941
919,931
(2,010)
(921,941)
919,931
SUPPLIES/SERVICES
2,326,780
1,660,180
(666,600)
(2,326,780)
1,660,180
TOTAL EXPENSES
$ 5,158,284 $ -
$
4,412,158
$ (746,126)
$ (5,158,284) $
4,412,158
CAPITAL:
REVENUES
2,694,531
1,197,931
(396,600)
(1,594,531)
1,197,931
EXPENDITURES
3,680,000
2,505,000
(1,175,000)
(3,680,000)
2,505,000
Increase
EMPLOYEE TITLE
FTE
Salaries
Salaries
(Decrease)
Assistant Engineer
-
$ 82,017
$
-
$ (82,017)
Engineering Aide
1.00
-
98,010
98,010
Project Engineer
3.00
366,529
386,033
19,504
Public Works Inspector
1.00
-
72,797
72,797
Public Works Superintendent
1.00
57,662
118,578
60,916
Stormwater and Special Project Analy<.
1.00
133,270
137,218
3,948
Street Maintenance Supervisor
1.00
121,038
124,619
3,581
Street Maintenance Worker
7.00
409,595
412,028
2,433
Street Maintenance Worker, Lead
1.00
96,318
104,932
8,614
Street Maintenance Worker, Senior
4.00
394,285
320,232
(74,053)
Warehouse Worker
-
28,866
-
(28,866)
Warehouse Worker, Senior
149,927
(149,927)
Overtime 50,000 50,000
Payout (vacation and sick excess hours) 16,056 3,600 (12,456)
Stand-by 4,000 4,000
DEPARTMENT TOTALS 20.00 $ 1,909,563 $ 1,832,047 $ (77,516)
CITY OF VERNON
Fund 011 Department 1043 - General Fund Street Operations Department
Budget Detail
2020-2021
DEPARTMENT:
011.1043 STREET OPERATIONS
REVENUES
400610 Prop A Local Return
400630 Prop C Local Return
401205 Stormwater- Measure W-SCWP
401206 Measure R Local Return
401207 Measure M Local Return
401208 Road Maintenance and Rehab- SB1
401209 TDA Article 3
407500 State Gas Tax - 2103
407510 State Gas Tax - 2105
407600 State Gas Tax - 2106
407700 State Gas Tax - 2107
407800 State Gas Tax -2107.5
410290 Issuance Fees
410300 Franchises and Agreements
420520 Community Services Revenues
450120 Engineering Inspection Fees
466200 Plan Check Fees
466210 Reconstruction Fee
466230 Annual Fee
466900 Miscellaneous Revenues
469300 Reserve Applied
600910 Other Income
TOTAL REVENUES
EXPENSES:
SALARIES
501010 Salaries -Regular
501012 Salaries -Premiums
501020 Salaries - O.T.
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
$ 4,340 $
- $ 4,340 $
- $ (4,340) $
4,340
3,600
- 3,600
- (3,600)
3,600
-
- 740,000
740,000 -
740,000 New Revenue
2,700
- 2,700
- (2,700)
2,700
3,060
- 3,060
- (3,060)
3,060
3,459
- 3,459
- (3,459)
3,459
5,000
- 5,000
- (5,000)
5,000
1,783
- 1,783
- (1,783)
1,783
1,163
- 1,163
- (1,163)
1,163
5,487
- 5,487
- (5,487)
5,487
1,527
- 1,527
- (1,527)
1,527
1,000
- 1,000
- (1,000)
1,000
19,000
- 19,000
- (19,000)
19,000
115,008
- 115,008
- (115,008)
115,008
37,000
- 37,000
- (37,000)
37,000
70,000
- 70,000
- (70,000)
70,000
50,000
- 50,000
- (50,000)
50,000
1,000
- 1,000
- (1,000)
1,000
387,920
387,920
(387,920)
387,920
713,047
1,453,047
740,000 (713,047)
1,453,047
$ 1,647,343 $ - $ 1,624,499 $ (22,844) $ (1,647,343) $ 1,624,499
212,220 - 157,548 (54,672) (212,220) 157,548
50,000 50,000 (50,000) 50,000
1,909,563 1,832,047 (77,516) (1,909,563) 1,832,047
BENEFITS
502020 Retirement $
382,815 $
- $ 530,061 $
147,246 $
(382,815) $
530,061
502030 Group Insurance Premiums
511,437
- 363,305
(148,132)
(511,437)
363,305
502060 Medicare
27,689
- 26,565
(1,124)
(27,689)
26,565
502080 Claims Expenditure - Worker's Comp
921,941
919,931
(2,010)
(921,941)
919,931
SUPPLIES/SERVICES
520000 Supplies
540000 Uniforms
550000 Advertisement/Promotion
560000 Utilities
570000 Vehicle Expense
590000 Repair & Maintenance
593200 Professional Services - Legal
595200 Professional Services - Technical
596200 Professional Services - Other
3043 596200 Professional Services - Other
596500 Travel
596550 Membership Dues
596600 Books & Publications
596700 Training
TOTAL EXPENSES
CAPITAL
REVENUES
2043 440100 Grant Revenues -Federal
Measure W Stormwater Return
3043 440100 Grant Revenues -State
$ 108,000 $
- $ 108,000 $
- $
(108,000) $
108,000
4,500
- 4,500
-
(4,500)
4,500
3,000
- 3,000
-
(3,000)
3,000
46,760
- 46,760
-
(46,760)
46,760
150,000
- 150,000
-
(150,000)
150,000
1,202,920
- 952,920
(250,000)
(1,202,920)
952,920
10,000
- 10,000
-
(10,000)
10,000
15,000
- 5,000
(10,000)
(15,000)
5,000
201,500
- 191,500
(10,000)
(201,500)
191,500
546,600
- 150,000
(396,600)
(546,600)
150,000
2,500
- 2,500
-
(2,500)
2,500
15,000
- 15,000
-
(15,000)
15,000
1,000
- 1,000
-
(1,000)
1,000
20,000
20,000
(20,000)
20,000
2,326,780
1,660,180
(666,600)
(2,326,780)
1,660,180
5,158,284 4,412,158 (746,126) (5,158,284) 4,412,158
$ 1,047,931 $ - $ 1,047,931 $ - $ (1,047,931) $ 1,047,931
1,100,000 - -
546,600 150,000 (396,600) (546,600) 150,000
2,694,531 1,197,931 (396,600) (1,594,531) 1,197,931
EXPENDITURES
840000 Automobile
$ 376,000 $
- $ 240,000 $
(136,000) $
(376,000) $
240,000
850000 Non -Automobile
60,000
- -
(60,000)
(60,000)
-
1043 900000 Capital Outlays
1,840,000
- 1,140,000
(700,000)
(1,840,000)
1,140,000
2043 900000Capital Outlays - Federal Funding
1,000,000
- 1,000,000
-
(1,000,000)
1,000,000
3043 900000 Capital Outlays - State Funding
404,000
125,000
(279,000)
(404,000)
125,000
3,680,000
2,505,000
(1,175,000)
(3,680,000)
2,505,000
1 of
Account No. 520000 - Su
Name
1 CITY WAREHOUSE
2 PACIFIC PRODUCTS & SERVICES
3 JCL BARRICADE COMPANY
4 HAWKINS TRAFFIC SAFETY SUPPLY
5 VULCAN MATERIALS COMPANY
6 HOME DEPOT CREDIT SERVICES
7 ZUMAR INDUSTRIES
VARIOUS VENDORS BASED ON
8 PROCUREMENT REQUIREMENT
9 CATALINA PACIFIC CONCRETE
10 HANSON AGGREGATES
11 A -THRONE COMPANY, INC.
12 GRAINGER COMPANY
13 CONTECH
Account No. 540000 - Uniforms
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1043 - STREET OPERATIONS
2020-2021
Detailed
Descriptic
Inventory Consumption
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
Materials and Supplies
FY2020
FY2021
Budget
Budget
$ 50,000 $
50,000
14,000
14,000
7,800
7,800
6,300
6,300
5,300
5,300
5,300
5,300
3,000
3,000
5,300 5,300
3,000
3,000
2,000
2,000
2,000
2,000
2,000
2,000
2,000
2,000
$ 108,000 $
108,000
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 SPECIALTY APPAREL
Uniforms
$
4,500
$
4,500
$
4,500
$
4,500
Account No. 550000 -
Advertisement/Promotion
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 PROFESSIONAL PUBLICATIONS
Publishing of Notices
$
750
$
750
2 NPDES
Stormwater Education
250
250
3 PLANET BIDS
Web Based Publishings for Municipalities
2,000
2,000
$
3,000
$
3,000
Account No. 560000 - Utilities
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 VPU
Interfund Utilities
$ 41,000 $
41,000
2 THE GAS COMPANY
Natural Gas Service
3,000
3,000
3 FIBER OPTICS
Interfund Utilities
1,560
1,560
4 SOUTHERN CALIFORNIA EDISON
Street and Traffic Signal Service
1,200
1,200
$ 46,760 $
46,760
1 of 5
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1043 - STREET OPERATIONS
2020-2021
Account No. 570000 - Vehicle Expense
Detailed FY2020 FY2021
Name Description Budget Budget
CITY GARAGE Work Orders $ 110,000 $ 110,000
CITY PROVIDED FUEL Gas Usage 39,700 39,700
XPRESS WASH, INC. Washing city vehicles 300 300
$ 150,000 $ 150,000
Account No. 590000 - Repairs &
Maintenance
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 WEBCO LB, LLC.
Street Sweeping
$ 126,000 $
126,000
2 SIEMENS INDUSTRY
Traffic Signal Repair & Maintenance
110,000
110,000
3 TBD
Annual Street Striping
50,000
50,000
4 RON'S MAINTENANCE
Catch Basin Cleaning
50,000
50,000
5 West Coast Arborist
Tree Trimming
100,000
100,000
6 VARIOUS VENDORS BASED ON
Estimated Other Repairs & Maintenance
9,000
9,000
PROCUREMENT REQUIREMENT
7 VARIOUS VENDORS BASED ON
Sewer Cleaning and Emergency Repairs
10,000
10,000
PROCUREMENT REQUIREMENT
8 CITY OF L.A. DEPT. OF TRANSP.
Traffic Signal Maintenance
8,000
8,000
9 TBD
Sewer System Master Plan/Flow/ Video Inspection
250,000
10 SURVEY MONUMENTS
Surveys
2,000
2,000
11 COUNTY OF LOS ANGELES
Traffic Signal Maintenance
5,000
5,000
12 VARIOUS VENDORS BASED ON
Survey Equipment Maintenance
1,000
1,000
PROCUREMENT REQUIREMENT
13 VARIOUS VENDORS BASED ON
Emergency Sewers & Public Works Repairs
100,000
100,000
PROCUREMENT REQUIREMENT
Public at Grade Crossing 25th Street DOT747602G
14 UNION PACIFIC RR CO
(100% Reimbursable per agreement with Marquez
381,920
381,920
Produce)
$ 1,202,920 $
952,920
Account No. 593200 - Professional
Services - Legal
Detailed FY2020 FY2021
Name Description Budget Budget
VARIOUS VENDORS BASED ON Legal Services for NPDES Matters $ 10,000 $ 10,000
PROCUREMENT REQUIREMENT
$ 10,000 $ 10,000
2 of 5
Account No. 595200 - Professional
Services Technical
Name
1 GATEWAY WATER
MANAGEMENTAUTHORITY
GATEWAY WATER MANAGEMENT
2 AUTHORITY
3 COUNTY OF LOS ANGELES
4 VARIOUS CONSULTANTS BASED ON
PROCUREMENT REQUIREMENT
5 CROSSROADS
VARIOUS CONSULTANTS BASED ON
6 PROCUREMENT REQUIREMENT
VARIOUS CONSULTANTS BASED ON
7 PROCUREMENT REQUIREMENT
GATEWAY WATER MANAGEMENT
$ AUTHORITY
9 GATEWAY CITIES COUNCIL OF GOV
10 TBD
11 TBD
12 TBD
Account No. 596200 - Professional
Services Other
Name
1 GATEWAY WATER MANAGEMENT
AUTHORITY
2 GATEWAY CITIES
3 EAGLE AERIAL SOLUTIONS
4 HAUL -AWAY RUBBISH CO., INC.
5 UNITED PUMPING SERVICES, INC.
6 COALITION FOR PRACTICAL
REGULATION (NPDES)
7 SWRCB
VARIOUS CONSULTANTS BASED ON
$ PROCUREMENT REQUIREMENT
VARIOUS CONSULTANTS BASED ON
9 PROCUREMENT REQUIREMENT
VARIOUS CONSULTANTS BASED ON
10 PROCUREMENT REQUIREMENT
11 VARIOUS CONSULTANTS BASED ON
PROCUREMENT REQUIREMENT
12 TBD
13 SOUTH COAST A.Q.M.D.
VARIOUS CONSULTANTS BASED ON
14 PROCUREMENT REQUIREMENT
15 TBD
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1043 - STREET OPERATIONS
2020-2021
Detailed
FY2020
FY2021
Description
Budget
Budget
Matching funds (50%) of Phase I for John Anson Ford
$ 57,000 $
57,000
Park
Watershed Management Program Plan
40,000
40,000
Implementation Studies
Public works road fund
15,000
15,000
Estimated consulting services costs
4,000
125,000
Data entry for traffic incidents
1,000
1,000
ADA evaluation and transition plan (Carry over to 20-
200,000
200,000
21)
Citywide traffic speed counts
5,000
-
Municipal NPDES Permit On -Call Services (ROWD)
10,000
10,000
Atlantic Boulevard Master Plan
5,000
5,000
Design and Construction Survey
15,000
5,000
Construcion Management
15,000
15,000
Speed Study Survey
5,000
-
$ 372,000 $
473,000
Detailed FY2020 FY2021
Description Budget Budget
Coordinated Integrated Monitoring Plan $ 60,000 $ 60,000
1710 EIR/EIS Report, TMDL Coordination Plan 15,000 15,000
Aerial photo prints 15,000 15,000
Solid waste collection/hauling 25,000 25,000
Emergency Environmental Spill Cleanup Services 10,000 10,000
Professional services 5,000 5,000
System permitting fees 7,000 7,000
Bacteria TMDL monitoring 3,000 3,000
Metals TMDL monitoring
Harbor Toxics TMDL monitoring
Traffic Engineering Services
Contribution to legislation - zinc
Emission & registration fees
Grant Applications
Homeless Encampment Program
1,500 1,500
1,000 1,000
25,000 25,000
3,000 3,000
1,000 1,000
10,000 -
20,000 20,000
$ 201,500 $ 191,500
3 of 5
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1043 - STREET OPERATIONS
2020-2021
Account No. 596200 - Professional
Services Other - Grant Funded 3043
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 VARIOUS CONSULTANTS BASED ON
California High Speed Rail Project"
$ 300,000 $
150,000
PROCUREMENT REQUIREMENT
2 VARIOUS CONSULTANTS BASED ON
1-710 Study"
22,800
PROCUREMENT REQUIREMENT
VARIOUS CONSULTANTS BASED ON
3
Tree Boxes
PROCUREMENT REQUIREMENT
4 CalRecycle
Used Tire Asphalt
13,000
5 VARIOUS CONSULTANTS BASED ON
SCAG Bus Route Feasibility Study—
-
PROCUREMENT REQUIREMENT
6 VARIOUS CONSULTANTS BASED ON
LA River Active Transportation Access Plane
210,800
-
PROCUREMENT REQUIREMENT
$ 546,600 $
150,000
Account No. 596500 - Travel
Detailed FY2020 FY2021
Name Description Budget Budget
1 VARIOUS DEPARTMENT EMPLOYEES Staff training $ 2,500 $ 2,500
$ 2,500 $ 2,500
Account No. 596550 - Membership Dues
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 CASQA
Memberships
$
500
$
500
2 VELOCITY EHS
Annual Subscription
1,500
1,500
3 MUNICIPAL MANAGEMENT ASSOC.
Memberships
500
500
4 GATEWAY WATER MANAGEMENT
AUTHORITY
Annual Membership
Dues
15,000
15,000
$
17,500
$
17,500
Account No. 596600 - Books &
Publications
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 VARIOUS PROFESSIONAL
Publications
$
1,000
$
1,000
PUBLICATIONS
$
1,000
$
1,000
4 of 5
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1043 - STREET OPERATIONS
2020-2021
Account No. 596700 - Trainin
Detailed
Name Description
1 VARIOUS CONSULTANTS BASED ON Training (i.e. confined space, trench shoring,
PROCUREMENT REQUIREMENT pavement design, traffic control, stormwater, etc.)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
1
Capital Expenditures
FY2020 FY2021
Budget Budget
20,000 $ 20,000
$ 20,000 $ 20,000
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
Equipment
1 SUV for Superintendent
$ $
40,000
Equipment
1 F-150 Dual Cab
-
Equipment
1 F-550 Dump Truck Low Body w/ Bed
80,000
Equipment
Second Grafitti Truck
250,000
Equipment
1 F-150 Dual Cab and Equipment
-
Equipment
1 Dual Axle Trailer
Equipment
1 Equipment Caterpillar Work Hammer
Equipment
Bobcat Skid steer and accessories
-
Equipment
2 F-250 pickup trucks
50,000
Equipment
1 CNG Street Sweeper
-
Equipment
1 Caterpillar 420 F2 Backhoe/Loader
-
150,000
Equipment
2 progammable message boards
30,000
-
Equipment
Light tower
10,000
Equipment
Replace sprayers for graffiti truck
6,000
Project
Downey Road Resurfacing (LA River to Fruitland) -
Phase I & II
Project
Sierra Pine Avenue Paving
525,000
Project
53rd, 54th, 55th, 57th, & Hampton Paving
450,000
Project
Miscellaneous Grinding and paving
-
Project
Sidewalk repairs and disabled accessibility ramps at
150,000
-
various City locations
ADA Implementation
150,000
Project
Miscellaneous Rubberized Slurry Seal
250,000
250,000
Project
Catch Basin Inserts
-
-
Project
Miscellaneous Citywide Crack Seal Repair
-
250,000
Project
LA River Flap Gates - Design
50,000
50,000
Project
LA River Flap Gates - Construction
-
-
Project
Sewer System Assesment and repairs
150,000
150,000
Project
Sewer Manhole Repairs
25,000
25,000
Project
Soto LID/Street Improvements (N/o Bandini to Limit)
-
-
Project
Traffic Signal Improvements (Soto @ Vernon)
80,000
Project
Traffic Signal Improvements (Soto @ Leonis)
80,000
Project
Traffic Signal Improvements (Soto @ Fruitland)
80,000
Traffic Signal improvements
200,000
Equipment
Signs Replacement Program - Section 6
35,000
-
Sign Shop equipment and materials
40,000
Equipment
Warning Devices
25,000
25,000
Project
Atlantic Blvd Bridge Widening over LA River - Design
1,000,000
1,000,000
and Right of Way
Project *'
California High Speed Rail Project`*
125,000
125,000
$ 3,401,000 $
2,505,000
5 of 5
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1046 CITY GARAGE
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES
$ 375,000 $ -
$ 375,000
$ - $
(375,000) $
375,000
EXPENDITURES:
SALARIES
$ 378,818 $
$ 338,590
$ (40,228) $
(378,818) $
338,590
BENEFITS
169,580
178,867
9,287
(169,580)
178,867
SUPPLIES/SERVICES
274,500
274,500
-
(274,500)
274,500
CAPITAL
45,000
335,000
290,000
(45,000)
335,000
TOTAL EXPENDITURES
$ 867,898 $
$ 1,126,957
$ 259,059 $
(867,898) $
1,126,957
Salaries
Salaries
Increase
EMPLOYEE TITLE FTE
Budget
Budget
(Decrease)
Fleet Supervisor 1.00
$ 111,342
$ 99,745
$ (11,597)
Mechanic 1.00
-
59,890
59,890
Mechanic, Senior 2.00
250,998
175,955
(75,043)
Public Works Superintendent -
5,766
-
(5,766)
Overtime
3,000
3,000
Payout (vacation and sick excess hours)
7,712
-
(7,712)
Stand-by
DEPARTMENT TOTALS 4.00 $ 378,818 $ 338,590 $ (40,228)
CITY OF VERNON
Fund 011 Department 1046 - General Fund City Garage Department
Budget Detail
2020-2021
DEPARTMENT:
011.1046 CITY GARAGE
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES:
499700 Credit for Garage Work Orders $ 375,000 $ $ 375,000 $ $ (375,000) $ 375,000
TOTAL REVENUES 375,000 375,000 (375,000) 375,000
EXPENDITURES:
SALARIES
501010
Salaries - Regular
$ 343,939 $
$ 308,891 $
(35,048) $
(343,939) $
308,891
501012
Salaries - Premiums
31,879
26,699
(5,180)
(31,879)
26,699
501020
Salaries - O.T.
3,000
3,000
(3,000)
3,000
378,818
338,590
(40,228)
(378,818)
338,590
BENEFITS
502020
Retirement
$ 61,706 $
$ 100,704 $
38,998 $
(61,706) $
100,704
502030
Group Insurance Premiums
102,381
73,253
(29,128)
(102,381)
73,253
502060
Medicare
5,493
4,910
(583)
(5,493)
4,910
169,580
178,867
9,287
(169,580)
178,867
SUPPLIES/SERVICES
520000 Supplies
$ 200,000 $
$ 200,000 $
$ (200,000) $
200,000
540000 Uniforms
1,500
1,500
(1,500)
1,500
570000 Vehicle Expense
6,000
6,000
(6,000)
6,000
590000 Repairs & Maintenance
64,000
64,000
(64,000)
64,000
596600 Books & Publications
500
500
(500)
500
596700 Training
2,500
2,500
(2,500)
2,500
274,500
274,500
(274,500)
274,500
CAPITAL
850000 Non -Automobile
$ 45,000 $
$ 335,000 $
290,000 $ (45,000) $
335,000
45,000
335,000
290,000 (45,000)
335,000
TOTAL EXPENDITURES
867,898
1,126,957
259,059 (867,898)
1,126,957
iM
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1046 - CITY GARAGE
2020-2021
Account No. 520000 - Supplies
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
NAPA AUTO PARTS
auto parts/supplies
$ 27,000
$ 27,000
LOPEZ & LOPEZ TIRE SERVICE
auto parts/supplies
20,000
20,000
CAMINO REAL CHEVROLET
auto parts/supplies
8,000
8,000
BATTERY SYSTEMS
auto parts/supplies
15,000
15,000
DANIELS TIRE SERVICE
auto parts/supplies
10,400
10,400
CALIFORNIA FRAME & AXLE
auto parts/supplies
15,000
15,000
CENTRAL FORD
auto parts/supplies
20,000
20,000
HAAKER EQUIPMENT COMPANY
auto parts/supplies
10,000
10,000
GARVEY EQUIPMENT COMPANY
auto parts/supplies
8,000
8,000
DAPPER TIRE COMPANY
auto parts/supplies
11,500
11,500
SUPER FORD LINCOLN MERCURY
auto parts/supplies
-
-
THE LIGHTHOUSE
auto parts/supplies
10,000
10,000
DION & SONS, INC.,
auto parts/supplies
3,600
3,600
JERRY'S AUTO BODY, INC.
auto parts/supplies
9,000
9,000
H & H WHOLESALE PARTS
auto parts/supplies
5,000
5,000
MCMASTER CARR SUPPLY COMPANY
auto parts/supplies
3,000
3,000
ALL OTHER SUPPLIERS
auto parts/supplies
10,000
10,000
SPEEDO ELECTRIC COMPANY
auto parts/supplies
10,700
10,700
WAREHOUSE INVENTORY CONSUMPTION
auto parts/supplies
1,300
1,300
AFC HYDRAULIC SEALS & REPAIR
auto parts/supplies
2,500
2,500
$ 200,000
$ 200,000
Account No. 540000 - Uniforms
Detailed FY2020 FY2021
Name Description Budget Budget
TBD Uniforms $ 1,500 $ 1,500
Account No. 570000 - Vehicle Expense
$ 1,500 $ 1,500
Detailed FY2020 FY2021
Name Description Budget Budget
1 CITY GARAGE Work Orders $ 4,500 $ 4,500
2 CITY FUEL PUMPS Gas Usage 1,250 1,250
3 HUNTINGTON PARK CAR WASH Washing city vehicles 250 250
$ 6,000 $ 6,000
1 of 3
1
2
3
4
5
6
7
8
9
10
11
12
13
14
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1046 - CITY GARAGE
2020-2021
Account No. 590000 - Repairs & Maintenance
Name
AFC HYDRAULIC SEALS & REPAIR
CENTRAL FORD
DIESEL EMISSIONS DIRECT
HAAKER EQUIPMENT COMPANY
CAMINO REAL CHEVROLET
JERRY'S AUTO BODY INC
INDEPENDENT BRAKE
MORGAN COMPANY
PACIFIC COMMERCIAL TRUCK BODY
PREFERRED AERIAL & CRANE
RVD EMISSIONS
LYNN'S AUTO AIR, INC.
ALL OTHER SUPPLIERS
VENDOR TO BE DETERMINED BASED ON
PURCHASING POLICY
Account No. 596600 - Books & Publications
Name
1 VARIOUS PROFESSIONAL PUBLICATIONS
Account No. 596700 - Training
Detailed
Description
FY2020
Budget
FY2021
Budget
Repairs and maintenance
$ 3,200
$ 3,200
Repairs and maintenance
8,000
8,000
Repairs and maintenance
8,400
8,400
Repairs and maintenance
10,000
10,000
Repairs and maintenance
7,500
7,500
Repairs and maintenance
5,400
5,400
Repairs and maintenance
-
-
Repairs and maintenance
1,000
1,000
Repairs and maintenance
3,500
3,500
Repairs and maintenance
4,500
4,500
Repairs and maintenance
1,200
1,200
Repairs and maintenance
2,300
2,300
Repairs and maintenance
9,000
9,000
Street Sweeper maintenance
$ 64,000 $ 64,000
Detailed FY2020 FY2021
Description Budget Budget
Publications $ 500 $ 500
$ 500 $ 500
Detailed FY2020 FY2021
Name Description Budget Budget
1 DEPARTMENT PERSONNEL TRAINING Training $ 2,500 $ 2,500
$ 2,500 $ 2,500
2 of 3
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1046 - CITY GARAGE
2020-2021
Capital
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 Floor
Non -slip floor
$ 30,000
$ -
2 Scanner Module
Update Module
-
5,000
3 Fuel Pumps and Awning
Replacing 30 year old pumps
-
150,000
4 Lighting
New Lighting through out
-
-
5 Heaters
Garage heater
-
25,000
6 Fueling System
Gas Boy System
15,000
60,000
7 Garage Doors
Door Operators
-
30,000
8 Service Truck
2500 Series w/ boxes etc.
-
65,000
$ 45,000
$ 335,000
3 of 3
DEPARTMENT:
011.1047 CITY WAREHOUSE
CITY OF VERNON
Budget Summary
2020-2021
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
EXPENDITURES:
SALARIES $ 157,490 $
BENEFITS 82,921
SUPPLIES/SERVICES 10,950
CAPITAL 70,000
$ 323,113 $ 165,623 $ (157,490) $ 323,113
197,223 114,302 (82,921) 197,223
10,950 - (10,950) 10,950
95,000 25,000 (70,000) 95,000
TOTAL EXPENDITURES $ 321,361 $ - $ 626,286 $ 304,925 $ (321,361) $ 626,286
EMPLOYEE TITLE
FTE
Salaries
Salaries
Increase
(Decrease)
Facilities Maintenance Supervisor
0.10
$ 9,945
$ 10,243
298
Public Works Superintendent
-
5,766
-
(5,766)
Warehouse Worker
2.00
-
154,322
154,322
Warehouse Worker, Lead
1.00
95,205
98,010
2,805
Warehouse Worker, Senior
1.00
41,236
57,038
15,802
Overtime
2,500
2,500
-
Payout (vacation and sick excess hours)
2,838
1,000
(1,838)
Stand-by
-
-
-
DEPARTMENT TOTALS
4.10
$ 157,490
$ 323,113
$ 165,623
CITY OF VERNON
ind 011 Department 1047 - General Fund City Warehouse Departme
Budget Detail
2020-2021
DEPARTMENT:
011.1047 CITY WAREHOUSE
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
EXPENDITURES:
SALARIES
501010
Salaries - Regular
$ 127,277 $
$ 273,308 $
146,031 $
(127,277) $
273,308
501012
Salaries - Premiums
27,713
47,305
19,592
(27,713)
47,305
501020
Salaries - Overtime
2,500
2,500
-
(2,500)
2,500
157,490
323,113
165,623
(157,490)
323,113
BENEFITS
502020
Retirement
$ 38,615 $
$ 95,065 $
56,450 $
(38,615) $
95,065
502030
Group Insurance Premiums
42,022
97,473
55,451
(42,022)
97,473
502060
Medicare
2,284
4,685
2,401
(2,284)
4,685
82,921
197,223
114,302
(82,921)
197,223
SUPPLIES/SERVICES
520000 Supplies
$ 2,000 $
$ 2,000 $
$ (2,000) $
2,000
540000 Uniforms
1,000
1,000
(1,000)
1,000
570000 Vehicle Expense
7,000
7,000
(7,000)
7,000
596600 Books & Publications
200
200
(200)
200
596700 Training
750
750
(750)
750
10,950
10,950
(10,950)
10,950
CAPITAL
850000 Non -Auto $ 70,000 $ $ 95,000 $ 25,000 $ (70,000) $ 95,000
70,000 95,000 25,000 (70,000) 95,000
TOTAL EXPENDITURES $ 321,361 $ $ 626,286 $ 304,925 $ (321,361) $ 626,286
1 of 1
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1047 - CITY WAREHOUSE
2020-2021
Account No. 520000 - Supplies
Detailed FY2020 FY2021
Name Description Budget Budget
1 VARIOUS VENDORS BASED ON Supplies $ 2,000 $ 2,000
PROCUREMENT REQUIREMENT
$ 2,000 $ 2,000
Account No. 540000 - Uniforms
Detailed FY2020 FY2021
Name Description Budget Budget
1 TBD Uniforms $ 1,000 $ 1,000
$ 1,000 $ 1,000
Account No. 570000 - Vehicle
Detailed FY2020 FY2021
Name Description Budget Budget
1 CITY GARAGE Work Orders $ 5,400 $ 5,400
2 CITY FUEL PUMPS Gas Usage 1,500 1,500
3 HUNTINGTON PARK CAR WASH Washing city vehicles 100 100
$ 7,000 $ 7,000
Account No. 596600 - Books &
Publications
Detailed FY2020 FY2021
Name Description Budget Budget
1 VARIOUS PROFESSIONAL Publications $ 200 $ 200
PUBLICATIONS
$ 200 $ 200
1 of 2
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1047 - CITY WAREHOUSE
2020-2021
Account No. 596700 - Trainin
Name
CITY DEPARTMENT PERSONNEL
Capital Expenditures
Name
Detailed FY2020 FY2021
Description Budget Budget
Training $ 750 $ 750
$ 750 $ 750
1 Cages Equipment
2 Barcode Self Service System Equipment
Detailed
Description
FY2020 FY2021
Budget Budget
$ 50,000 $ 75,000
20,000 20,000
$ 70,000 $ 95,000
2of2
CITY OF VERNON
Budget Summary
2019-2020
DEPARTMENT:
011.1048 CITY HOUSING
A B
C C-A
B-A
C-B
FY2020 FY2020
FY2021 Increase
Increase
Increase
Budget Forecast
Budget (Decrease)
(Decrease)
(Decrease)
REVENUES 291,020
291,020 -
(291,020)
291,020
EXPENSES:
SALARIES
$ 177,657 $
$ 163,181 $
(14,476) $
(177,657) $
163,181
BENEFITS
93,979
94,028
49
(93,979)
94,028
SUPPLIES/SERVICES
134,200
134,200
(134,200)
134,200
TOTAL EXPENSES
$ 405,836 $
$ 391,409 $
(14,427) $
(405,836) $
391,409
CAPITAL
$ 370,000 $
$ 270,000 $
(100,000) $
(370,000) $
270,000
EMPLOYEE TITLE
FTE
Salaries
Salaries
Increase
(Decrease)
Facilities Maintenance Supervisor
0.25
$ 24,862
$ 25,608
$ 746
Facilities Maintenance Worker
1.50
98,887
105,045
6,158
Facilities Maintenance Worker, Lead
0.15
15,677
16,953
1,276
Facilities Maintenance Worker, Senioi
0.15
13,666
14,075
409
Public Works Superintendent
-
23,065
-
(23,065)
Overtime
1,500
1,500
Payout (vacation and sick excess hours)
-
-
Stand-by
-
-
DEPARTMENT TOTALS
2.05
$ 177,657
$ 163,181
$ (14,476)
CITY OF VERNON
Fund 011 Department 1048 - General Fund City Housing Department
Budget Detail
2019-2020
DEPARTMENT:
011.1048 CITY HOUSING
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES:
431000 Rents
290,520
290,520
(290,520)
290,520
461100 Fines and Penalties
500
500
(500)
500
466900 Miscellaneous Revenues
-
-
-
-
670010 Sale of Capital Asset
-
-
-
TOTAL REVENUES
291,020
291,020
-
(291,020)
291,020
EXPENSES:
SALARIES
501010 Salaries - Regular
169,127
154,341
(14,786)
(169,127)
154,341
501012 Salaries - Premiums
7,030
7,340
310
(7,030)
7,340
501020 Salaries - O.T.
1,500
1,500
-
(1,500)
1,500
177,657
163,181
(14,476)
(177,657)
163,181
BENEFITS
502020 Retirement
41,925
48,478
6,553
(41,925)
48,478
502030 Group Insurance Premiums
49,478
43,184
(6,294)
(49,478)
43,184
502060 Medicare
2,576
2,366
(210)
(2,576)
2,366
93,979
94,028
49
(93,979)
94,028
SUPPLIES/SERVICES
520000
Supplies
530015
Real Estate Taxes
550000
Advertisement/Promotion
560000
Utilities
570000
Vehicle Expense
590000
Repair & Maintenance
596200
Professional Services - Other
TOTAL EXPENSES
CAPITAL
469300 Capital Reserve
900000 Capital Outlay
TOTAL CAPITAL
27,000
27,000
(27,000)
27,000
11,000
11,000
(11,000)
11,000
2,000
2,000
(2,000)
2,000
10,800
10,800
(10,800)
10,800
2,400
2,400
(2,400)
2,400
50,600
50,600
(50,600)
50,600
30,400
30,400
(30,400)
30,400
134,200
134,200
(134,200)
134,200
405,836 391,409 (14,427) (405,836) 391,409
370,000 270,000 (100,000) (370,000) 270,000
370,000 270,000 (100,000) (370,000) 270,000
li�
Account No. 520000 - Supplies
Name
HOME DEPOT CREDIT SERVICES
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1048 - CITY HOUSING
2019-2020
Detailed FY2020 FY2021
Description Budget Budget
General Supplies 15,000 15,000
2 ALL OTHER SUPPLIERS
Miscellaneous Supplies
10,250
10,250
3 CURRENT WHOLESALE CORP
General Supplies
750
750
4 PLUMBING & INDUSTRIAL SUPPLY
General Supplies
500
500
CORP
5 CITY WAREHOUSE
Inventory Consumption
500
500
27,000
27,000
Account No. 530015 - Real Estate
Taxes
Detailed FY2020 FY2021
Name Description Budget Budget
1 LOS ANGELES COUNTY TAX 2 properties in Huntington Park - -
2 LOS ANGELES COUNTY TAX Possessory Interest Taxes 11,000 11,000
11,000 11,000
Account No. 550000
Advertisement/Promotion
Name
1 PROFESSIONAL PUBLICATIONS
2 PLANET BIDS
Account No. 560000 - Utilities
Detailed
FY2020
FY2021
Description
Budget
Budget
Quarterly rental notifications
1,000
1,000
Publishings for Municipalities
1,000
1,000
2,000
2,000
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 UTILITIES - INTERNAL FUND
Utilities
5,300
5,300
2 COUNTY SANITATION DISTRICTS
Sewer Utilities
4,450
4,450
3 THE GAS COMPANY
Utilities
900
900
4 SOUTHERN CALIFORNIA EDISON
Utilities
150
150
10,800 10,800
1 of 3
Account No. 570000 - Vehicle
Expense
Name
1 CITY FUEL PUMPS
2 CITY GARAGE
Account No. 590000 - Repairs &
Maintenance
Name
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1048 - CITY HOUSING
2019-2020
Detailed FY2020 FY2021
Description Budget Budget
Gas Usage 1,200 1,200
Garage Work Orders 1,200 1,200
2,400 2,400
Detailed
Description
1 DEWEY PEST CONTROL Maintenance
2 CITY WAREHOUSE Inventory Consumption
3 VARIOUS VENDORS PER CITY Repairs & Maintenance
PROCUREMENT REQUIREMENTS
Account No. 596200 - Professional
Services Other
FY2020 FY2021
Budget Budget
3,600 3,600
1,000 1,000
46,000 46,000
50,600 50,600
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 STIPENDS FOR COMMISSIONERS
Professional services
2,400
2,400
2 MARIPOSA LANDSCAPING
Landscape Architectural Services
7,000
7,000
3 HAUL -AWAY RUBBISH
Professional services
1,000
1,000
5 RUTAN & TUCKER
Legal services
10,000
10,000
6 VARIOUS CONSULTANTS PER
Building Condition Assessment
10,000
10,000
CITY PROCUREMENT
REQUIREMENTS
30,400
30,400
2 of 3
Account No. 900000 - Capital
Expenditures
Name
1 Remodel
PROJECT TO BE BID
2 VARIOUS CONSULTANTS PER
CITY PROCUREMENT
REQUIREMENTS
TBD
3 Pickup Truck
4 Water Softener
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1048 - CITY HOUSING
2019-2020
Detailed
FY2020
FY2021
Description
Budget
Budget
Remodeling one home
150,000
100,000
Concrete Work at Furlong
150,000
City Housing (Various Improvements)
50,000
50,000
Paint stairs and balcony of 50th St. apartments
3/4 ton extended cab w/ boxes and racks
Softener for the 50th street apartments
20,000
65,000
55,000
370,000 270,000
3 of 3
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1049 CITY BUILDINGS
A B
C C-A
B-A
C-B
FY2020 FY2020
FY2021 Increase
Increase
Increase
Budget Forecast
Budget (Decrease)
(Decrease)
(Decrease)
REVENUES: $ 238,400 $ -
$ 238,400 $ -
$ (238,400)
$ 238,400
EXPENSES:
SALARIES $ 416,338 $
- $ 395,950 $
(20,388) $ (416,338) $
395,950
BENEFITS 192,360
- 191,492
(868) (192,360)
191,492
SUPPLIES/SERVICES 773,050
- 773,050
- (773,050)
773,050
TOTAL EXPENSES $ 1,381,748 $
- $ 1,360,492 $
(21,256) $ (1,381,748) $
1,360,492
CAPITAL 689,000 - 1,420,000 731,000 (689,000) 1,420,000
Increase
EMPLOYEE TITLE
FTE
Salaries
Salaries
(Decrease)
Facilities Maintenance Supervisor
0.65 $
64,642
$ 66,581
$ 1,939
Facilities Maintenance Worker
1.50
98,887
105,045
6,158
Facilities Maintenance Worker, Lead
0.85
88,839
96,065
7,226
Facilities Maintenance Worker, Senic
0.85
77,441
79,759
2,318
Public Works Superintendent
-
23,065
-
(23,065)
Warehouse Worker, Senior
-
12,371
-
(12,371)
Overtime 15,000 15,000
Payout (vacation and sick excess hours) 2,593 - (2,593)
Stand-by 33,500 33,500
DEPARTMENT TOTALS 3.85 $ 416,338 $ 395,950 $ (20,388)
CITY OF VERNON
Fund 011 Department 1049 - General Fund City Buildings Department
Budget Detail
2020-2021
DEPARTMENT:
011.1049 CITY BUILDINGS
REVENUES:
431000 Rents
EXPENSES:
SALARIES
501010 Salaries - Regular
501012 Salaries - Premiums
501020 Salaries - Overtime
BENEFITS
502020 Retirement
502030 Group Insurance Premiums
502060 Medicare
SUPPLIES/SERVICES
520000 Supplies
540000 Uniforms
560000 Utilities
570000 Vehicle Expense
590000 Repair & Maintenance
596200 Professional Services - Other
596600 Books & Publications
596700 Training
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
238,400 - 238,400 - (238,400) 238,400 Moved from 1004 -
Union Ice & Austin
238,400 238,400 (238,400) 238,400
328,224 310,758 (17,466) (328,224) 310,758
73,114 70,192 (2,922) (73,114) 70,192
15,000 15,000 - (15,000) 15,000
416,338 395,950 (20,388) (416,338) 395,950
84,673 103,422 18,749 (84,673) 103,422
101,650 82,329 (19,321) (101,650) 82,329
6,037 5,741 (296) (6,037) 5,741
192,360 191,492 (868) (192,360) 191,492
134,500
134,500
(134,500)
134,500
1,500
1,500
(1,500)
1,500
325,000
325,000
(325,000)
325,000
19,000
19,000
(19,000)
19,000
270,750
270,750
(270,750)
270,750
20,000
20,000
(20,000)
20,000
300
300
(300)
300
2,000
2,000
(2,000)
2,000
773,050
773,050
(773,050)
773,050
TOTAL EXPENSES 1,381,748 1,360,492 (21,256) (1,381,748) 1,360,492
CAPITAL
900000 Capital Outlays 689,000 1,420,000 731,000 (689,000) 1,420,000
689,000 1,420,000 731,000 (689,000) 1,420,000
1 of 1
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1049 - CITY BUILDINGS
2020-2021
Account No. 520000 - Supplies
Name
Detailed
Description
1
CITY WAREHOUSE
Inventory Consumption
2
ALL OTHER SUPPLIERS
Supplies
3
QUENCH
Supplies
4
HOME DEPOT
Supplies
5
PLUMBING & INDUSTRIAL SUPPLY
Supplies
6
CURRENT WHOLESALE ELECTRIC
Supplies
7
AAA ELECTRIC MOTOR SALES
Supplies
8
REFRIGERATION SUPPLIES DIST.
Supplies
9
GRAINGER CO.
Supplies
10
ICE MACHINE SALES & SERVICE CO.
Supplies
11
ORANGE COAST PETROLEUM
Supplies
12
L.B. JOHNSON HARD CO.
Supplies
Account No. 540000 - Uniforms
Name
1 SPECIALTY APPAREL
Account No. 560000 - Utilities
FY2020 FY2021
Budget Budget
25,000
25,000
29,800
29,800
10,000
10,000
20,000
20,000
13,000
13,000
16,000
16,000
7,000
7,000
3,000
3,000
5,000
5,000
3,000
3,000
1,500
1,500
1,200
1,200
134,500
134,500
Detailed FY2020 FY2021
Description Budget Budget
Uniforms 1.500 1.500
1,500 1,500
Detailed FY2020 FY2021
Name Description Budget Budget
VPU Interdepartmental Utilities 312,000 312,000
THE GAS COMPANY Utilities 13.000 13.000
Account No. 570000 - Vehicle Expense
Name
CITY GARAGE
CITY FUEL PUMPS
325,000 325,000
Detailed FY2020 FY2021
Description Budget Budget
Garage Work Orders 14,500 14,500
Gas Usage 4,500 4,500
19,000 19,000
1 of 3
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1049 - CITY BUILDINGS
2020-2021
Account No. 590000 - Repairs &
Maintenance
Name
1 PRIORITY
2 EMERGENCY REPAIRS
3 MARIPOSA LANDSCAPING
4 PROFESSIONAL HEATING & AIR
5 ALL OTHER VENDORS
6 FLEMING ENVIRONMENTAL, INC.,
7 SIMPLEX-GRINNELL
8 FACILITIES PROTECTION SYSTEMS
9 DEWEY PEST CONTROL
10 CHEM PRO LAB INC.
11 THYSSENKRUPP ELEVATOR
12 SCOTT CAMPBELL CO.
13 WON DOOR CORPORATION
Account No. 596200 - Professional
Services Other
Name
1 TO BE BID
2 HAUL -AWAY RUBBISH CO., INC
3 SOUTH COAST A.Q.M.D.
4 EXPRESS OIL CO.
Detailed
FY2020
FY2021
Description
Budget
Budget
Janitorial services
115,000
115,000
Repairs and maintenance
45,000
45,000
Grounds maintenance service
40,000
40,000
Repairs and maintenance
35,000
35,000
Repairs and maintenance
9,000
9,000
Repairs and maintenance
10,000
10,000
Repairs and maintenance
6,000
6,000
Repairs and maintenance
4,000
4,000
Pest control
2,750
2,750
Repairs and maintenance
1,000
1,000
Repairs and maintenance
1,000
1,000
Repairs and maintenance
1,000
1,000
Repairs and maintenance
1,000
1,000
270,750 270,750
Detailed FY2020 FY2021
Description Budget Budget
Other professional services as required 8,500 8,500
Solid waste hauling 8,000 8,000
Registration & emission fees 2,000 2,000
Removal of Used Oil, Fuel, Antifreeze & Waste 1,500 1,500
20,000 20,000
Account No. 596600 - Books &
Publications
Detailed FY2020 FY2021
Name Description Budget Budget
1 PROFESSIONAL PUBLICATIONS Publications and books 300 300
300 300
Account No. 596700 - Training
Name
CITY DEPARTMENT PERSONNEL
Detailed FY2020 FY2021
Description Budget Budget
Training 2,000 2,000
2,000 2,000
2 of 3
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1049 - CITY BUILDINGS
2020-2021
Account No. 900000 - Capital Outlay
Name
Detailed
Description
FY2020 FY2021
Budget Budget
Project
Fire St 76 single occupant restrooms
- -
Project
Fire St 76 B/C Dorm Rescue Window
- -
Project
Fire St 76 Concrete Floor
- -
Project
Fire St 76 Duct Cleaning
- -
Project
Fire St 76 Landscaping
- -
Project
Fire St 78 single occupant restrooms
- -
Project
Fire St 78 Panel Replacement/Extractor
- -
Project
Fire St 78 Captains bathroom
- -
Project
Fire St 79 Asphalt Replacement
- -
Project
Fire St 79 Fence Replacement
- -
Project
Fire St 79 Equipment Shed
- -
Project
Misc Fire Station Upgrades for Transfer
$1,150,000
Conference Room 2
Remodel including new furniture
40,000
Lobby, Hallway - Finanance/City Clerk
Remodel including new furniture
50,000
Public Works Office Remodel
Conference Room/ Furniture / Cubicles
50,000
Public Works Yard
Break Room Aircondirin replacement
40,000
New EOC
Small Garage in City Yard
-
OE Clark
Abatement / Repairs
-
Project
City Hall Energy Management System
150,000
Project
PW Garage Restrooms
10,000
Project
City Hall AC unit
175,000
Project
City Hall - Switch Gear Replacement
80,000
Project
PD Basement and 1st floor Carpet
60,000
Project
City Hall - deck seal/repair parking structure
100,000 50,000
Project
Ventilation System in Locker Room
- -
Project
City Hall Duct Cleaning
- -
Project
City Hall - East Roof General Maintenance
- -
Project
Warehouse Ventilation System
- -
Project
PW, Fire and Health - Recarpetting
74,000
Project
New Boiler - City Hall East Wing
- -
Project
Repair City Yard Roof Offices and Garage
- -
Project
Roofing of 2323 Vernon (Petrelli)
- -
Project
City Hall Chiller
- -
Equipement - Auto
Small Street Sweeper
40,000 40,000
Equipment - Auto
1 F-150 Crew Cab w/ Single Tool Box
- -
Equipment - Auto
1 F-250 Utility Body w/ Ladder Rack Oxford
- -
White
689,000 1,420,000
3 of 3
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
057.1057 FIBER OPTICS
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES
$ 673,084 $ -
$ 731,837
$ (283,220)
$ (673,084)
$ 700,000
EXPENSES:
SALARIES
$ 68,097 $
$ 72,238
$ 87,889
$ (68,097)
$ 72,238
BENEFITS
30,801
35,413
4,612
(30,801)
35,413
SUPPLIES/SERVICES
324,186 -
324,186
-
(324,186)
324,186
TOTAL EXPENSES
$ 423,084 $ -
$ 431,837
$ 92,501
$ (4239084)
$ 4319837
CAPITAL 250,000 - 300,000 50,000 (250,000) 300,000
EMPLOYEE TITLE
FTE
Salaries
Budget
Salaries
Budget
Increase
(Decrease)
Computer Aided Drafting Technician
-
$ 14,038
$ -
$ (14,038)
Electric Engineering Technician
0.20
-
16,052
16,052
Utilities Engineering Manager
0.30
53,059
55,186
2,127
Overtime
1,000
1,000
-
Payout (vacation and sick excess hours)
-
-
-
Stand-by
-
-
-
DEPARTMENT TOTALS
0.50
$ 68,097 $
- $ 72,238
$ 4,141
CITY OF VERNON
Fund 057 Department 1057 - Fiber Optic Fund Fiber Optics Department
Budget Detail
2020-2021
DEPARTMENT:
057.1057 FIBER OPTICS
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
Comments
REVENUES
450050 Internet Access Services
645,000
400,000
(245,000)
(645,000)
400,000
450051 Dark Fiber Revenue
215,000
95,000
(120,000)
(215,000)
95,000
450060 Internet Access Services - Gov't Rate
43,400
25,000
(18,400)
(43,400)
25,000
Internal internet services
450061 Dark Fiber Revenue - Gov't Rate
59,820
80,000
20,180
(59,820)
80,000
Inter Dark Fiber services
Miscellaneous Revenues
20,000
100,000
80,000
(20,000)
100,000
Customer connection aid in construction and SCADA water
466900
work
469300 Reserve Applied
(310,136)
31,837
310,136
TOTAL REVENUES
673,084
731,837
(283,220)
(673,084)
700,000
SALARIES
Salaries - Regular
67,057
71,238
86,672
(67,057)
71,238
Initial Budget cost of living and merit increase has not been
501010
proposed. Staff allocation (Manager from 20 to 30%)
Salaries - Premiums
40
-
-
(40)
-
Union change in standby pay rotation through crew, USOP,
501012
vacation & sick excess payout.
501020 Salaries - O.T.
1,000
1,000
1,217
(1,000)
1,000 Weekend service turn ups and equipment replacement on off
TOTAL SALARIES
68,097
72,238
87,889
(68,097)
72,238
BENEFITS
502020 Retirement
19,203
22,354
3,151
(19,203)
22,354
502030 Insurance Premiums - Medical
10,611
12,012
1,401
(10,611)
12,012
502060 FICA Taxes
987
1,047
60
(987)
1,047
TOTAL BENEFITS
30,801
35,413
4,612
(30,801)
35,413
SUPPLIES/SERVICES
Transport Services - Telecommunication
135,000
135,000
-
(135,000)
135,000
Additional charges for technical support will not been invoiced
500173
for this year.
Supplies
36,500
36,500
(36,500)
36,500
Existing inventory has been used and depleted, orders will be
520000
placed prior to end of fiscal year
520010 Supplies - IT
9,000
9,000
(9,000)
9,000
530030 Bad Debt Expense
1,000
1,000
(1,000)
1,000
550000 Advertisement/Promotion
5,000
5,000
(5,000)
5,000
570000 Vehicle Expense
500
500
(500)
500
Pool car
590000 Repairs & Maintenance
1,500
1,500
(1,500)
1,500
Professional Services - Other
119,000
119,000
(119,000)
119,000
Technical support has not been released to Fujitsu for
596200
invoicing
596500 Travel
3,000
3,000
(3,000)
3,000
596550 Membership Dues
5,500
5,500
(5,500)
5,500
1 of 2
DEPARTMENT:
057.1057 FIBER OPTICS
596600 Books & Publications
596700 Employee Development & Training
596706 VPU Credit Program
TOTAL SUPPLIES/SERVICE
TOTAL EXPENDITURES
CAPITAL
860000 IT Equipment & Software
900000 Capital Outlay
TOTAL CAPITAL
CITY OF VERNON
Fund 057 Department 1057 - Fiber Optic Fund Fiber Optics Department
Budget Detail
2020-2021
A B
C C-A
B-A
C-B
FY2020 FY2020
FY2021 Increase
Increase
Increase
Budget Forecast
Budget (Decrease)
(Decrease)
(Decrease) Comments
7,000
7,000
(7,000)
7,000 Required staff training for new equipment/technology.
1,186
1,186
(1,186)
1,186 Passage of Measure R.
324,186
324,186
(324,186)
324,186
423,084 - 431,837 92,501 (423,084) 431,837
20,000 20,000 - (20,000) 20,000
230,000 280,000 50,000 (230,000) 280,000 Scheduled capital work
250,000 300,000 50,000 (250,000) 300,000
CITY OF VERNON
FUND 057 - FIBER OPTICS
DEPARTMENT 1057 - FIBER OPTICS
SUPPLIES & SERVICES
2020-2021
Account No. 500173 - Transportation Services Telecommunication
Detailed FY2020 FY2021
Name Description Budget Budget
1 Level 3/Centurylink Transportation charges 75,000 75,000
2 Broadband Transportation charges 60,000 60,000
135,000 135,000
Account No. 520000 - Supplies
Detailed
FY2020
FY2021
Name Description
Budget
Budget
1 Home Depot Miscellaneous parts for construction
1,500
1,500
2 CSC Splice enclosures, patch panels
20,000
20,000
3 Graybar & CDW Fiber cables, patch cords
15,000
15,000
36,500
36,500
Account No. 520010 - SuaDlies -IT
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
New network monitoring workstation -
1 To be bid - Procurement Process
tablet
2,000
2,000
2 Fiber Mac
Fiber Network Management Software
5,000
5,000
3 GIS Management
2,000
2,000
9,000
9,000
Account No. 530030 - Bad Debt Expenses
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 As requried by Financial Audit Report
Bad Debt Collection
1,000
1,000
1,000
1,000
Account No. 550000 - Advertisement & Promotion
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
Advertising and promotional materials
1 To be bid - Procurement Process
such as flyers and mail inserts
5,000
5,000
5,000
5,000
1 of 3
CITY OF VERNON
FUND 057 - FIBER OPTICS
DEPARTMENT 1057 - FIBER OPTICS
SUPPLIES & SERVICES
2020-2021
Account No. 570000 - Vehicle Expense
Detailed FY2020 FY2021
Name Description Budget Budget
1 Vehicle Truck 1044 Operating Expenses 500 500
500 500
Account No. 590000 - Repairs & Maintenance
Detailed FY2020 FY2021
Name Description Budget Budget
1 City Hall & Fire Sta. UPS Systems repairs and maintenance 1,500 1,500
1,500 1,500
Account No. 596200 - Professional Services Other
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 NOC
System Network Operations
115,000
125,000
2 Emergency Restorations and Maintenance
Annual Maintenance Contract
35,000
40,000
3 ISP
Consultant Services
5,000
10,000
5 FUJITSU
ISP Server Farm Maintenance Services
5,000
10,000
160,000
185,000
Account No. 596500 - Travel
FY2020
FY2021
Name
Location
Budget
Budget
1 City Employee
Visiting Fujistsu central office in Texas
3,000
3,000
3,000
3,000
Account No. 596550 - Membership Dues
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Telecom
Annual membership dues
500
500
2 American Registry of Internet Numbering (ARIN)
Annual membership dues
5,000
5,000
5,500
5,500
2 of 3
Account No. 596600 - Books & Publications
Name
1 ITU, McGraw Hill, etc
Account No. 596700 -
1 Network Training
2 ISP Training
3 Compliance
CITY OF VERNON
FUND 057 - FIBER OPTICS
DEPARTMENT 1057 - FIBER OPTICS
SUPPLIES & SERVICES
2020-2021
Detailed FY2020 FY2021
Description Budget Budget
Subscription Dues
Fujitsu Network
ISP Services
Regulatory
Event
Name
FY2020 FY2021
Budget Budget
3,000
3,000
3,000
3,000
1,000
1,000
7,000
7,000
3 of 3
CITY OF VERNON
FUND 057 - FIBER OPTICS
DEPARTMENT 1057 - FIBER OPTICS
Capital
2020-2021
DEPARTMENT:
057.1057 FIBER OPTICS
Detailed
FY2020
FY2021
Account No.
Name
Description
Budget
Budget
1 860000
Smartnet
Warranties on Software and Firmware purchased through Cisco
20,000
20,000
$ 20,000
$ 20,000
1 900000
Contract Services
Customer Connection to Internet Via Fiber Optic Extensions
50,000
100,000
2 900000
CPE
CPE for Customer Sites
20,000
40,000
3 900000
ISP
ISP Cisco Core Switch Hardware Replacement
75,000
5,000
4 900000
Backbone Expansion
Fiber Optic Backbone Expansions for City Use
100,000
100,000
5 900000
WIFI Network
WIFI Deployment Network Elements
30,000
5,000
6 900000
Contract Services
Internet Service Provider System Enhancement
5,000
30,000
$ 280,000
$ 280,000
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
011.1060 HEALTH
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease) (Decrease)
(Decrease)
TOTAL REVENUES
$ 2,949,000 $
2,884,000 $
2,441,500 $
(507,500) $
(65,000) $
(442,500)
SALARIES
$ 540,226 $
540,226 $
769,208 $
228,982 $
(940) $
229,922
BENEFITS
255,017
255,017
380,367
125,350
-
125,350
SUPPLIES/SERVICES
612,094
486,180
385,880
(226,214)
(125,914)
(100,300)
CAPITAL
11,000
-
-
(11,000)
(11,000)
TOTAL EXPENDITURES $ 1,418,337 $ 1,281,423 $ 1,535,455 $ 117,117 $ (137,854) $ 254,972
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Proposed
Proposed
(Decrease)
Director of Health and Environmental Control
1.00 $
219,776
$ 239,576 $
19,800
Environmental Health Intern (3)
0.30
9,000
9,000
-
Environmental Health Program Administrator
1.00
143,376
156,139
12,763
Environmental Health Specialist
3.00
110,235
245,781
135,546
Environmental Health Technician
2.00
54,839
115,712
60,873
Payout (vacation and sick excess hours) 2,000.00 2,000
Overtime 1,000.00 1,000
DEPARTMENT TOTALS 7.30 $ 540,226 $ 769,208 $ 228,982
DEPARTMENT:
011.1060 HEALTH
CITY OF VERNON
Fund 011 Department 1060 - General Fund Health Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES:
401205
Stormwater- Measure W-SCWP
$ -
$ - $
200,000 $
200,000 $
$
200,000
Remainder in Dept. 1043
410100
Business License Fees
500,000
500,000
-
(500,000)
(500,000)
Moved to Finance Dept.
410240
Public Health Permit Fees
1,100,000
325,000
325,000
(775,000)
(775,000)
-
Separated CUPA permits
410250
Public Health Permit Late Fees
12,000
-
3,000
(9,000)
(12,000)
3,000
410260
CUPA Permit Fees
-
775,000
600,000
600,000
775,000
(175,000)
410265
CUPA Permit Late Fees
-
-
6,000
6,000
-
6,000
410310
Solid Waste Franchise Fees
1,200,000
1,200,000
1,200,000
-
-
410320
Solid Waste Franchise Late Fees
12,000
-
5,000
(7,000)
(12,000)
5,000
410400
CUPA Closure Review Fees
5,000
2,000
2,500
(2,500)
(3,000)
500
410410
Health Plan Check Review Fees
100,000
20,000
20,000
(80,000)
(80,000)
-
410416
CUPA Plan Check Review Fees
-
5,000
5,000
5,000
5,000
-
Separated CUPA plan check
410420
CaIARP Review Fees
-
7,000
5,000
5,000
7,000
(2,000)
3060 440100
Grant Revenues
20,000
25,000
25,000
5,000
5,000
461100
Fines and Penalties
-
-
-
-
-
461300
Free Sales Certificate Fees
25,000
25,000
25,000
25,000
-
466700
Backflow Prevention Device Fees
-
20,000
20,000
-
20,000
466800
Donation Revenues
-
-
-
466900
Miscellaneous Revenues
-
TOTAL REVENUES
$ 2,949,000
$ 2,884,000 $
2,441,500 $
(507,500) $
(65,000) $
(442,500)
SALARIES:
501010
Salaries - Regular
$ 527,626
$ 527,686 $
755,108 $
227,482 $
60 $
227,422
501012
Salaries - Premiums
11,600
11,600
13,100
1,500
-
1,500
501020
Salaries - O.T.
1,000
-
1,000
-
(1,000)
1,000
540,226
539,286
769,208
228,982
(940)
229,922
BENEFITS:
502020
Retirement
148,519
148,519
224,135
75,616
-
75,616
502030
Insurance Premiums - Medical
92,665
92,665
139,078
46,413
46,413
502060
FICA Taxes
7,833
7,833
11,154
3,321
3,321
502070
Unemployment
6,000
6,000
6,000
-
-
502080
Claims Expenditure - Worker's Comp
-
-
-
-
-
255,017
255,017
380,367
125,350
125,350
SUPPLIES/SERVICES:
503035
Insurance Premiums - Property/Crime
44,680
44,680
44,680
-
-
520000
Supplies
12,760
10,000
21,000
8,240
(2,760)
11,000
560000
Utilities
11,730
10,000
10,000
(1,730)
(1,730)
-
570000
Vehicle Expense
3,000
5,000
5,000
2,000
2,000
DEPARTMENT:
011.1060 HEALTH
CAPITAL
CITY OF VERNON
Fund 011 Department 1060 - General Fund Health Department
Budget Detail
2020-2021
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Comments
590000 Repairs & Maintenance
1,224
-
500
(724)
(1,224)
500
595200 Professional Services -Technical
493,700
400,000
278,700
(215,000)
(93,700)
(121,300)
596500 Travel
20,000
5,000
10,000
(10,000)
(15,000)
5,000
596550 Membership Dues
11,500
11,500
5,000
(6,500)
(6,500)
596600 Books & Publications
1,000
-
1,000
(1,000)
1,000
596700 Employee Development & Training
12,500
-
10,000
(2,500)
(12,500)
10,000
612,094
486,180
385,880
(226,214)
(125,914)
(100,300)
900000 Capital Outlay 11,000 (11,000) (11,000)
11,000 (11,000) (11,000)
TOTAL EXPENDITURES $ 1,418,337 $ 19280,483 $ 19535,455 $ 117,117 $ (137,854) $ 254,972
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1060 - HEALTH
2020-2021
Account No. 503035 - Insurance Premiums
Name
AON Risk Insurance Services
Account No. 520000 - Supplies
Name
1 Various Suppliers Per Procurement
Requirement
2 To Be Determined
Account No. 560000 - Utilities
Name
City of Vernon Interdepartment
Account No. 570000 - Vehicle Expense
Detailed
Description
Commercial Property & Environmental Pollution
Site
FY2020 FY2021
Budget Budget
44,680 44,680
44,680 44,680
Detailed FY2020 FY2021
Description Budget Budget
Department Supplies, Water Analysis, Printing, 12,760 10,000
Business Cards, Health Permit Forms, Stationery,
Office Supplies, Mailing Services and
Reproduction Services. Laboratory Fees, Office
Supplies, Laboratory Supplies, Field Supplies,
Hazardous Waste Fees.
Equipment - 11,000
12,760 21,000
Utilities
Detailed
Description
FY2020 FY2021
Budget Budget
11,730 11,730
11,730 11,730
Detailed FY2020 FY2021
Name Description Budget Budget
1 City Fuel Pump and Repairs Vehicle Expenses, Vehicle Fuel, Maintenance and 3,000 5,000
Car Wash
2 Vehicle Replacement - -
3,000 5,000
1 of 4
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1060 - HEALTH
2020-2021
Account No. 590000 - Repairs & Maintenance
Name
Various Service Providers Per Procurement
Requirement
Detailed
Description
Computer Equipment Repair, Office Maintenance,
Servicing of Laboratory Equipment, Battery
Replacement
Account No. 595200 - Professional Services - Technical
Name
AristaTek, Inc.
DTSC
Daily Journal Corporation
GLACVCD
IEA
PIC
SEAACA
Tetra Tech
Syncta
Other
Account No. 596500 - Travel
Name
Various Employees
FY2020 FY2021
Budget Budget
1,224 500
1,224 500
Detailed
FY2020 FY2021
Description
Budget Budget
Software for HAZMAT and CBRNE Professionals
- 3,500
Volunatry Clean Up Agreement
- 100,000
RMP Publication Services
- 1,200
Vector Control Services
- 20,000
Environmental Outreach and Education Services
- 50,000
Volunatry Clean Up Agreement Sub Contract
- 30,000
Animal Control Services
- 24,000
Voluntary Clean Up Agreement Sub Contract
- 20,000
Backflow Device Testing Data Management
- 10,000
Potential Matters
- 20,000
Detailed
Description
Trainings, Conferences, Meetings
278,700
FY2020
FY2021
Budget
Budget
20,000
10,000
20,000
10,000
2 of 4
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1060 - HEALTH
2020-2021
Account No. 596550 - Membership Dues
Name
Departmental Employees
Account No. 596600 - Books & Publications
Name
Various Professional Publications
Account No. 596700 - Traini
Name
Departmental Employees
Detailed
Description
Various Memberships and Dues (SWANA, Air &
Waste, Recycling Market Dev. Zone, California
Product Stewardship Council, and Other)
FY2020 FY2021
Budget Budget
11,500 11,500
11,500 11,500
Detailed FY2020
FY2021
Description Budget
Budget
Professional Publications and Subscriptions 1,000
1,000
1,000
1,000
Detailed FY2020
FY2021
Description Budget
Budget
Professional and Technical Training 12,500
10,000
12,500
10,000
Account No. 440100 - State Grant Funded Cal Recycle
Detailed FY2020 FY2021
Type Description Budget Budget
Household Hazardous Waste Grant Use Oil Grant Program 5,000 5,000
Account No. 440100 - State Grant Funded Cal Recycle
Name
Local Enforcement Agency Grants
5,000 5,000
Detailed FY2020
FY2021
Description Budget
Budget
Beverage Bottle Recycling 5,000
5,000
5,000
5,000
3 of 4
CITY OF VERNON
FUND 011 - GENERAL FUND
DEPARTMENT 1060 - HEALTH
2020-2021
Account No. 440100 - State Grant Funded Cal Recycle
Name
Detailed
Description
Local Enforcement Agency Grants Solid Waste Program
Account No. 900000 - Capital Outlay Regular
FY2020
FY2021
Budget
Budget
15,532
15,532
15,532
15,532
Detailed FY2020 FY2021
Name Description Budget Budget
To Be Determined Equipment 11,000 -
11,000 -
4 of 4
DEPARTMENT:
011.1070 COMMUNITY DEVELOPMENT
EXPENSES:
SUPPLIES/SERVICES
TOTAL EXPENSES
CITY OF VERNON
Budget Summary
2020-2021
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
$ 500,000 $ - $ 499,919 $ (81) $ (500,000) $ 499,919
$ 500,000 $ - $ 499,919 $ (81) $ (500,000) $ 499,919
CITY OF VERNON
Fund 011 Department 1070 - General Fund - Community Development Departmeni
Budget Detail
2020-2021
DEPARTMENT:
011.1070 COMMUNITY DEVELOPMENT
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
EXPENSES:
SUPPLIES/SERVICES
797000 Community Development $
350,000 $
$ 13,000
$ (337,000) $
(350,000) $
13,000
550000 Advertisement/Promotion
50,000
93,400
43,400
(50,000)
93,400
596200 Professional Services Other
100,000
393,519
293,519
(100,000)
393,519
500,000 499,919 (81) (500,000) 499,919
TOTAL EXPENSES $ 500,000 $ - $ 499,919 $ (81) $ (500,000) $ 499,919
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 1070 - COMMUNITY DEVELOPMENT
2020-2021
Account No. 797000 - Community Development 0
Detailed
FY2020 FY2021
Name
Description
Budget
Budget
1 Community Development Projects
Aligned with community interests
$ 350,000 $
2 Lease/Rent for Community Space(s)
For hosting programs in City
$
6,000
3 Vernon Elementary School Partnership
Periodic donations
$
2,000
4 Resident Programs
Periodic donations/progams to promote wellness (e.g.
$
5,000
Account No. 550000 - Advertisement/Promotion
Name
1 Vernon Community Outreach
2 VARIOUS VENDORS - FOLLOWING PURCHASING REQUIREMENT
3 Professional Printing/Marketing Materials
4 Miscellaneous Sponsorship/ Event Attendance
5 Community Partner Sponsorships
6 Rio Hondo Rotary Partnership
7 Pink Patch Project
home water filters, energy saving light bulbs, air
purifiers)
Detailed
City hosted events for the community (e.g. seasonal
outreach, town hall meetings, business community
engagement)
Food and beverages purchases for community
outreach events including National Night Out, Coffee
with a Cop, Business Watch, DARE, Patrol
checkpoints and staff meetings. Activities and products
related to community outreach, recruitment materials
and recognition awards
Promotional Materials/Collateral
Miscellaneous sponsorships/support for organizations
in Southeast region
Holiday Fundraiser
PD promotion/outreach for Breast Cancer Awareness
Account No. 596200 - Professional Services Other or
Detailed
$ 350,000 $ 13, 000
FY2020 FY2021
Budget Budget
$ 25,000 $ 37,500
8,000
$ 2,000
$ 15,000
25,000 $ 25,000
$ 500
$ 5,400
$ 50,000 $ 93,400
FY2020 FY2021
Name Description Budget Budget
1 YMCA Contracted Services for the provision of $ 100,000 $ 153,519
social/educational programs in Vernon and YMCA
memberships for Vernon residents
2 Advertising/Promotional Opportunities Contract to increase advertising/promotional $ 204,000
opportunities for the City
3 ALL CITY MANAGEMENT Crossing Guard Services (Adding 3rd Intersection) $ 36,000
$ 100,000 $ 393,519
DEPARTMENT:
011.9019 INFORMATION TECHNOLOGY
EXPENDITURES:
SALARIES
BENEFITS
SUPPLIES/SERVICES
CAPITAL
TOTAL EXPENDITURES
CITY OF VERNON
Budget Summary
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
$ 607,879 $
$ 701,848 $
93,969
$ (607,879) $
701,848
236,904
309,639
72,735
(236,904)
309,639
1,261,225
1,425,475
164,250
(1,261,225)
1,425,475
312,000
1,040,000
728,000
(312,000)
1,040,000
$ 2,418,008 $ - $ 3,476,961 $ 19058,954 $ (2,418,008) $ 39476,961
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Budget
(Decrease)
Information Technology Analyst
1.00
$ 89,327
$ 92,909
$ 3,582
Information Technology Analyst, Senior
2.00
234,270
249,310
15,040
Information Technology Manager
1.00
176,862
183,954
7,092
Information Technology Technician
1.00
-
69,330
69,330
Programmer/Analyst
-
-
-
-
Administrative Assistant, Senior
0.50
27,420
29,945
2,525
Overtime 30,000 30,000
Payout (vacation and sick excess hours) 10,000 6,400 (3,600)
Stand-by 40,000 40,000 -
DEPARTMENT TOTALS 5.50 $ 607,879 $ 701,848 $ 93,969
CITY OF VERNON
Fund 011 Department 9019 - General Fund Information Technology Department
Budget Detail
2020-2021
DEPARTMENT:
011.9019 INFORMATION TECHNOLOGY
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
Comments
SALARIES
501010
Salaries - Regular
504,048
604,816
100,768
(504,048)
604,816
501012
Salaries - Premium
73,831
67,032
(6,799)
(73,831)
67,032
501020
Salaries - O.T.
30,000
30,000
-
(30,000)
30,000
607,879
701,848
93,969
(607,879)
701,848
BENEFITS
502020
Retirement
151,168
187,185
36,017
(151,168)
187,185
502030
Group Insurance Premiums
76,922
112,277
35,355
(76,922)
112,277
502060
Medicare
8,814
10,177
1,363
(8,814)
10,177
236,904
309,639
72,735
(236,904)
309,639
SUPPLIES/SERVICES:
520000
Supplies
3,000
3,000
-
(3,000)
3,000
520010
Supplies - IT
159,000
159,000
(159,000)
159,000
560010
Utilities - IT
188,159
188,159
(188,159)
188,159
570000
Vehicle Expense
3,500
3,500
(3,500)
3,500
590110
Repair & Maintenance - IT
770,566
839,816
69,250
(770,566)
839,816
Emergency
services provided
595200
Professional Services - Technical
-
-
-
-
595210
Professional Services - IT
100,000
195,000
95,000
(100,000)
195,000
Contingencies
budgeted
596500
Travel
13,500
13,500
-
(13,500)
13,500
596600
Books & Publications
2,000
2,000
(2,000)
2,000
596700
Training
21,500
21,500
-
(21,500)
21,500
1,261,225
1,425,475
164,250
(1,261,225)
1,425,475
CAPITAL
860000
IT Equipment & Software
312,000
1,040,000
728,000
(312,000)
1,040,000
312,000
1,040,000
728,000
(312,000)
1,040,000
TOTAL EXPENDITURES
$ 2,418,008 $
$ 3,476,961
$ 1,058,954
$ (2,418,008)
$ 3,476,961
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 9019 - INFORMATION TECHNOLOGY
2020-2021
Account No. 520000 - Supplies
FY2020 FY2021
Sponsoring Department Name Description Budget Budget
1 IT(9019) Staples Office Supplies $ 3,000 $ 3,000
$ 3,000 $ 3,000
Account No. 520010 - Suoulies IT
Sponsoring Department
Name
Description
FY2019
Budget
FY2020
Budget
1
IT(9019)
General Data
Toners, printer maintenance kits,
$ -
$ -
other printing supplies
2
IT(9019)
Insight
Miscellaneous software (Adobe,
30,000
30,000
Visio, FileMaker Pro)
3
IT(9019)
Dell
Monitors
10,000
10,000
4
IT(9019)
Canon
Scanners
15,000
15,000
5
IT(9019)
VMWare
VMWare Licenses
15,000
15,000
6
IT(9019)
Dell
Computer Replacements
15,000
15,000
7
IT(9019)
COW
Backup tapes (100x40)
10,000
10,000
8
IT(9019)
HP
Printers replacement
10,000
10,000
9
IT(9019)
COW
Networking equipment (routers,
10,000
10,000
switches, cables, connectors, etc)
10
IT(9019)
CDW
UPS replacements
2,500
2,500
11
IT(9019)
Mitel
Mitel- Business phones accessories
5,000
5,000
& replacement parts
12
IT(9019)
COW
Cell phones accessories (chargers,
4,000
4,000
cases, adapters, phone parts
replacements)
13
City Attomey(1005)
COW
Computer/Monitors/Scanner for
-
-
City Attorney
14
Police(1031)
COW
Hard Drives Replacements
2,500
2,500
15
IT(9019)
COW
Hard Drives Replacements
10,000
10,000
16
IT(9019)
Crosspoint
Mitel IP Phone Licences
10,000
10,000
17
IT(9019)
TBD
Mitel IP Phones
10,000
10,000
$ 159,000
$ 159,000
�r
Account No. 560010 - Utilities IT
FY2019
FY2020
Sponsoring Department
Name
Description
Budget
Budget
1
Finance(1004)
VerizonWireless
Telecommunication Charges
$ 1,296 $
1,296
2
IT(9019)
VerizonWireless
Telecomminication Line Additions
10,000
10,000
3
HR(1026)
VerizonWireless
Telecommunication Charges
2,229
2,229
4
City Attomey(1005)
VerizonWireless
Telecommunication Charges
3,587
3,587
5
IT(9019)
VerizonWireless
Telecommunication Charges
6,420
6,420
6
CS(1040)
VerizonWireless
Telecommunication Charges
19,037
19,037
7
Fire(1033)
VerizonWireless
Telecommunication Charges
22,614
22,614
8
Health(1060)
VerizonWireless
Telecommunication Charges
3,560
3,560
9
City Admin(1002)
VerizonWireless
Telecommunication Charges
5,527
5,527
10
Police(1031)
VerizonWireless
Telecommunication Charges
8,909
8,909
11
Police(1031)
VerizonWireless
Police Patrol Car Modems
10,022
10,022
12
IT(9019)
Iron Mountain
Iron Mountain (backup tapes
7,200
7,200
remote storage services)
13
Finance(1004)
AT&T CaINet3
Telecommunication Charges
229
229
14
IT(9019)
AT&T CaINet3
Telecommunication Charges
14,391
14,391
15
CS(1040)
AT&T CaINet3
Telecommunication Charges
229
229
16
Fire(1033)
AT&T CaINet3
Telecommunication Charges
30,672
30,672
17
Health(1060)
AT&T CaINet3
Telecommunication Charges
249
249
18
Police(1031)
AT&T CaINet3
Telecommunication Charges
11,864
11,864
19
Police(1031)
AT&T
Telecommunication Charges
2,458
2,458
20
Police(1031)
Sprint
Telecommunication Charges
420
420
21
IT(9019)
GoDaddy.com
Web hosting; security certificates for
650
650
City web sites & SSL vpn appliance
22
City Clerk(1003)
VerizonWireless
Telecommunication Charges
596
596
23
IT(9019)
AT Conference
Phone Conferencing Service
2,000
2,000
24
IT(9019)
AT&T CaINet3
Backup Internet Line
24,000
24,000
25
Fire(1033)
VerizonWireless- Verizon BroadBand for 10 Ipads
For New IPADS
-
-
26
Fire(1033)
VerizonWireless- New BroadBand
VerizonWireless- New BroadBand
$ 188,159 $
188,159
1 of 4
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 9019 - INFORMATION TECHNOLOGY
2020-2021
Account No. 570000 - Vehicle Expense
FY2019 FY2020
Sponsoring Department Name Description Budget Budget
1 IT(9019) Vehicle Repair Repairs $ 2,500 $ 2,500
2 IT(9019) Fuel + Community Services IT Vehicle Expenses 1,000 1,000
$ 3,500 $ 3,500
Account No. 590110 - Repairs & Maintenance IT
FY2019
FY2020
Sponsoring Department
Name
Description
Budget
Budget
1
IT(9019)
Tyler Technologies
EDEN System support
$ 90,000 $
90,000
2
IT(9019)
Microsoft Enterprise Agreement
Microsoft Licenses
$ 75,000 $
75,000
3
Police(1031)
TriTech (formerly VisionAIR)
Public Safety Suite (CAD, RMS,
66,000
66,000
FBR)
4
IT(9019)
ECS Imaging
Laserfiche system support
47,000
47,000
5
IT(9019)
Crosspoint
Mitel - business phone system
22,000
22,000
support by Crosspoint
6
IT(9019)
GIS System Support
Nobel Systems
21,000
21,000
7
IT(9019)
Everbridge Notiifcations
Notifications Services
18,000
18,000
8
Health(1060)
Accela Software
EnvisionConnect (annual contract,
20,000
20,000
fiscal year)
9
IT(9019)
Xerox Financial Services, LLC
Managed Print Services
121,000
121,000
10
IT(9019)
Universal Laser
Printers repair & maintenance for all
-
-
City printers/faxes
11
IT(9019)
CalTech
Copiers repairs
-
-
12
IT(9019)
HP + Dell
Hardware support for all City servers
15,000
15,000
13
Police(1031)
GeoSpatial Technologies, Inc.
GST CrimeMap
6,000
6,000
14
IT(9019)
Zscaler
Web Secutiry
17,000
17,000
15
Police(1031)
West Government Services
CLEAR Website Access for
9,300
9,300
Detectives
16
IT(9019)
Lucity
Lucity Work Orders System Support
15,000
15,000
17
Police(1031)
Stancil Corporation
Digital Recorders and Reproducers
2,000
2,000
18
IT(9019)
HP
VMWare Support for 2 servers
10,000
10,000
19
IT(9019)
McAfee
MXLogic maintenance fee (spam
5,116
5,116
filtering for City email)
20
IT(9019)
Symantec
Symantec Backup Exec (backup
10,000
10,000
software support)
21
Police(1031)
Advanced Electronics
Card/Door Access and Closed Circuit
6,000
6,000
TV (Civil Defense)
22
CS(1040)
AutoCAD
AutoCAD Annual Support
5,500
5,500
23
IT(9019)
TrendMicro
vShield Anti -Virus
5,500
5,500
24
Fire(1033)
Angel City Data
FileMaker Pro System Support
10,000
10,000
25
IT(9019)
Sonicwall
SonicWall firewalls (Pro + TZ190 for
3,000
3,000
SCADA), content filtering, SSL VPN
support
26
IT(9019)
Veritas
Veritas Enterprise Vault support
5,000
5,000
(City's email archiving system)
27
IT(9019)
TrendMicro
TrendMicro End Point (antivirus
4,500
4,500
support & upgrades)
28
LP-CustServ(7100)
Itron
MVRS annual support
29
Police(1031)
Webiplex
Electronic Subpoena Management
4,100
4,100
Software*
30
Police(1031)
Network Innovation Associates
EOC Satellite Service (Civil Defense)
3,600
3,600
31
Police(1031)
Insight Public Sector
Symantec Mail/Spam Security
3,600
3,600
32
LP-CustServ(7100)
Pitney Bowes
Mailing Machine Support
33
Police(1031)
Insight Public Sector
Symantec Backup Exec
5,000
5,000
34
Police(1031)
NetMotion Wireless
Mobility XE Server and 29 Device
2,000
2,000
Licenses
35
IT(9019)
Cybernetics
SAN/Virtual Tapes Devices
10,000
10,000
36
Police(1031)
Power Design
UPS and Ferrups/Radio Towers (>
2,000
2,000
Civil Defense)
37
IT(9019)
Quantum
Backup tape library support
1,500
1,500
38
IT(9019)
Vmware
Vmware View Support
2,000
2,000
39
IT(9019)
Onepoint Human Factor
Time Management System Support
2,600
2,600
40
Police(1031)
Kronos
TeleStaff System Support
7,500
7,500
41
Fire(1033)
Kronos
TeleStaff System Support
8,500
8,500
42
Police(1031)
Hewlett-Packard
PDNAS Network Support
1,200
1,200
43
IT(9019)
Zoho Corp
Asset Manager Software Support
1,000
1,000
2of4
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 9019 - INFORMATION TECHNOLOGY
2020-2021
Account No. 590110 - Repairs & Maintenance IT
Con't from previous page
44
Police(1031)
MDE, Inc.
ADORE Training Software
2,500
2,500
Maintenance/Upgrades
45
IT(9019)
ScriptLogic
Privileged Authority Support
750
750
46
Police(1031)
Managed Video Support
Panasonic Arbitrators (Motorcycle
600
600
Videocameras)
47
Police(1031)
Training Innovations, Inc.
TMS (Training) Software Support
800
800
48
IT(9019)
CDW
Cable Management for Server Room
500
500
49
IT(9019)
Exclaimer
Mail Utilities Suite - Email Disclaimer
200
200
50
Police(1031)
Versatile Information Prod, Inc
Puma Software Maintenance
3,500
3,500
51
IT(9019)
SLA Corp
ESChat Maintenance
-
-
52
IT(9019)
Zoho Corp
Desktop Central
2,000
2,000
53
IT(9019)
Canon
Ecopy Software Maintenance
4,000
4,000
54
IT(9019)
TBA
Cyber Security Audit
20,000
20,000
55
Police(1031)
2fa Dual Authentication
Security
700
700
56
Police(1031)
Oversized Machines
Plotter Repair
1,500
1,500
57
HR(1026)
NeoGOV
GovJob.com/App
25,000
25,000
Tracking/Onboarding/Emp Eval
Module/Biddle
58
IT(9019)
TrendMicro Appliance
Security Appliance
16,000
16,000
59
IT(9019)
Kronos
Work Force Ready
14,000
14,000
60
IT(9019)
Knowbe4
Cyber Security Awareness Training
5,000
5,000
61
IT(9019)
Disaster Rev Services
Disaster Recovery Services
5,000
5,000
62
Police(1031)
TriTech (formerly VisionAIR)
IQ Analytics
5,000
5,000
63
CS(1040)
PlanetBids
Bidding Software
7,000
64
Police(1031)
BearCom
Door System
10,000
65
Health(1060)
Snappi
Health Mobile App
5,000
66
City Clerk(1003)
GovQA
PRA Application
5,000
67
CS(1040)
Parcel Data
Parcel Data File
2,000
68
Police(1031)
CrimeMap(Motorola)
CrimeMap(Motorola)
750
69
City Clerk(1003)
Granicus
Agenda Mangement
19,000
70
HR(1026)
Neogov
Text Feature
500
71
Police(1031)
TBD
Computer Upgrade for Police Units
20,000
$ 770,566 $
839,816
Account No. 565210 - Professional Services IT
FY2019
FY2020
Sponsoring Department
Name
Description
Budget
Budget
1 IT(9019)
Eden / Laserfiche / Utility Billing/Vmware/Microsoft Report Services
System Customizations
80,000
80,000
2 IT(9019)
SecureWorks
Managed Security Services
20,000
20,000
3 City Clerk(1003)
TBD
Website Redesign
-
70,000
4 IT(9019)
GIS
Integration with City Hall
25,000
Systems(Lucity, Etap, Milsoft)
$ 100,000
$ 195,000
FY2019
FY2020
Sponsoring Department
Name
Description
Budget
Budget
1
IT(9019)
EDEN User Conference
Travel Expenses
$ 6,000
$ 6,000
2
IT(9019)
Mitel Training
Travel Expenses
-
-
3
IT(9019)
Tritech Conference
Travel Expenses
1,500
1,500
4
IT(9019)
Advanced Utility Conference
Travel Expenses
1,500
1,500
5
IT(9019)
MISAC Annual
Travel Expenses
3,000
3,000
6
IT(9019)
VMWare Annual Conference
Travel Expenses
1,500
1,500
$ 13,500
$ 13,500
Account No. 596600 - Books & Publications
FY2019 FY2020
Sponsoring Department Name Description Budget Budget
1 IT(9019) TBD IT related books and training $ 2,000 $ 2,000
materials
$ 2,000 $ 2,000
3of4
CITY OF VERNON
FUND 011 -GENERAL FUND
DEPARTMENT 9019 - INFORMATION TECHNOLOGY
2020-2021
Account No. 596700 - Training
FY2019 FY2020
Sponsoring Department Name Description Budget Budget
1 IT(9019) TBD Technical Training $ 19,000 $ 19,000
2 IT(9019) PluralSight Technical Training $ 2,500 $ 2,500
$ 21,500 $ 21,500
4of4
CITY OF VERNON
Light and Power
Account No. 860000 - IT Equipment & Software
2020-2021
Account No. 860000 - Capital Outlays
Equipment
Detailed
Vendor
FY2020
FY2021
Software
Sponsoring Department Vendor
Description
Type
Budget
Budget
Software
IT(9019)
Insight
Microsoft Enterprise Agreement (3 years)
Market
Equipment
IT(9019)
Dell
Servers
Market
Software
Finance(1004)
Tyler Technologies Eden Utility Billing System
Sole Source
Software
HR(1026)
TBD
Scantron Software
Market
-
Software
Health(1060)
TBD
Field Laptops
Market
17,000
Software
CS(1040)
Lucity
Lucity GIS Integration
Sole Source
-
Software
Fire(1033)
Angel City
Updating Fire Inspection Software
Sole Source
10,000
Equipment
Fire(1033)
TBD
4 Pads for Fire
Market
-
Software
Fire(1033)
TBD
PSTrax Software
Market
Software
Fire(1033)
TBD
Video Software for Fire
Market
Equipment
Fire(1033)
TBD
Rugg MDCs
Market
-
Equipment
City Clerk(1003)
TBD
Worm Appliance for Document Compliance
Market
30,000
Equipment
Fire(1033)
TBD
15 Tough Books and Docks
Market
100,000
Software
Police(1031)
TBD
Informs NIBRS Software for Compliance
Market
130,000
130,000
Software
Health(1060)
TBD
New Health Permitting System
Market
-
Software
CS-BuildRegulations(1041)Energov
Hardware, software, customization and migration
Market
-
900,000
Software
HR(1026)
TBD
New ScanTron System
Market
10,000
287,000
1,040,000
1 of 1
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
020.1084 WATER
A B
C
C-A
B-A C-B
FY2020 FY2020
FY2021
Increase
Increase Increase
Budget Forecast
Budget
(Decrease)
(Decrease) (Decrease)
REVENUES
$ 18,047,462 $ -
$ 15,793,452
$ (2,254,010) $
(18,047,462) $ 15,793,452
EXPENSES:
SALARIES
$ 1,511,156 $
$ 1,525,769
$ 14,613 $
(1,511,156) $ 1,525,769
BENEFITS
694,320
734,384
40,064
(694,320) 734,384
SUPPLIESISERVICES
6,989,986
6,681,614
(308,372)
(6,989,986) 6,681,614
TOTAL EXPENSES
$ 9,195,462 $
$ 8,941,767
$ (253,695) $
(9,195,462) $ 8,941,767
CAPITAL
REVENUES
-
-
EXPENDITURES
8,852,000
6,851,685
(2,000,315)
(8,852,000) 6,851,685
Increase
EMPLOYEE TITLE
FTE
Salaries
Salaries
(Decrease)
Assistant Civil Engineer - Public Utilities
2.00 $
176,301
$ 192,363
$ 16,062
Electric Operations Supervisor
0.05
30,248
8,760
(21,488)
Electric Operator (5)
0.30
52,540
39,280
(13,260)
Meter Reader
1.00
65,183
71,030
5,847
Meter Reader, Lead
1.00
89,888
93,424
3,536
Utilities Dispatcher (5)
0.75
107,650
114,977
7,327
Utilities Dispatcher, Senior
0.15
-
18,706
18,706
Utilities Operations Manager
0.15
25,266
27,593
2,327
Water Foreman
-
125,589
-
(125,589)
Water Maintenance Worker
4.00
280,761
291,986
11,225
Water Maintenance Worker, Lead
1.00
-
80,258
80,258
Water Maintenance Worker, Senior
4.00
347,523
369,772
22,249
Water Superintendent
1.00
119,707
130,732
11,025
Overtime 63,000 63,000
Payout (vacation and sick excess hours) 12,500 8,888 (3,612)
Stand-by 15,000 15,000
DEPARTMENTTOTALS 15.40 $ 1,511,156 $ 1,525,769 $ 14,613
DEPARTMENT:
020.1084 WATER
REVENUES
431000 Rents
450040 Water Sales
450045 Water -Recycled
450110 Fire Service
450121 Construction Revenue
450122 Installation Charge
450330 Damaged Property
466600 Copies and Publications
600105 Proceeds From Long -Term Debt
610110 Investment Income
469300 Reserve Applied
TOTAL REVENUES
EXPENSES:
SALARIES
501010 Salaries - Regular
501012 Salaries - Premiums
501020 Salaries - O.T.
BENEFITS
502020 Retirement
502030 Insurance Premiums - Medical
502060 FICA Taxes
502080 Claims Expenditure - Worker's Comp
SUPPLIES/SERVICES
500110 Pumped Water
Purchased Water
500130
500140 Water Treatment
520000 Supplies
530030 Bad Debt Expense
540000 Uniforms
550000 Advertisement/Promotion
560000 Utilities
570000 Vehicle Expense
590000 Repairs & Maintenance
593200 Professional Services - Legal
Professional Services - Technical
595200
596200 Professional Services - Other
596500 Travel
596550 Membership Dues
596600 Books & Publications
596700 Employee Development & Training
596706 VPU Credit Program
599800 General City Administrative Service Exp
TOTAL EXPENSES
CITY OF VERNON
Fund 020 Department 1084 - Water Fund Water Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
-
- 225,000
225,000
-
225,000
8,341,994
- 8,508,834
166,840
(8,341,994)
8,508,834
180,000
- 510,000
330,000
(180,000)
510,000
1085 merged with 1084.
44,000
- 51,600
7,600
(44,000)
51,600
Forecast
5,000
- 239,000
234,000
(5,000)
239,000
Forecast
1,500
- 2,600
1,100
(1,500)
2,600
Forecast
750
- -
(750)
(750)
-
Forecast
1,500,000
- 6,551,685
5,051,685
(1,500,000)
6,551,685
Revenue bond issuance for capital outlay
7,974,218
(295,267)
(8,269,485)
(7,974,218)
(295,267)
Bond Proceeds applied
18,047,462
15,793,452
(2,254,010)
(18,047,462)
15,793,452
1,329,099 - 1,361,687 32,588 (1,329,099) 1,361,687
119,057 - 101,082 (17,975) (119,057) 101,082
63,000 63,000 (63,000) 63,000
1,511,156 1,525,769 14,613 (1,511,156) 1,525,769
429,985 - 455,416 25,431 (429,985) 455,416
242,423 - 256,844 14,421 (242,423) 256,844
21,912 - 22,124 212 (21,912) 22,124
694,320 734,384 40,064 (694,320) 734,384
2,259,000
- 2,619,700
360,700
(2,259,000)
2,619,700
1,700,000
- 1,315,000
(385,000)
(1,700,000)
1,315,000
69,060
- 36,414
(32,646)
(69,060)
36,414
186,825
- 196,166
9,341
(186,825)
196,166
40,800
- 41,616
816
(40,800)
41,616
10,000
- 10,200
200
(10,000)
10,200
6,400
- 5,700
(700)
(6,400)
5,700
1,312,000
- 1,338,240
26,240
(1,312,000)
1,338,240
99,400
- 101,388
1,988
(99,400)
101,388
62,488
- 62,737
249
(62,488)
62,737
25,000
- 25,500
500
(25,000)
25,500
144,000
- 271,900
127,900
(144,000)
271,900
Increase in purchased water use due to aging
facilities. Additional increase due to recycled
rate increase (rate increase currently being
disputed).
1085 merged with 1084.
Forecast per audited financial report
Increase due to actuals
Reallocation to another account number
Reduction due to actuals
Increase in design needs due to aging facilities
11,424
- 11,750
326
(11,424)
11,750
Reduction due to reallocation
7,500
- 7,500
-
(7,500)
7,500
16,354
- 23,573
7,219
(16,354)
23,573
1,000
- 1,000
-
(1,000)
1,000
15,000
- 15,000
-
(15,000)
15,000
Reduction due to actuals
437,235
- -
(437,235)
(437,235)
-
Passage of Measure R
586,500
598,230
11,730
(586,500)
598,230
1085 merged with 1084.
6,989,986
6,681,614
(308,372)
(6,989,986)
6,681,614
9,195,462
8,941,767
(253,695)
(9,195,462)
8,941,767
CAPITAL
REVENUES
3084 440100 Grant Revenues
CAPITAL
EXPENDITURES
840000 Capital Equipment - Auto
595,000 - 60,000 (535,000) (595,000) 60,000 Balance Budget
850000 Capital Equipment - Nonauto
- - - - - - Balance Budget
3084 900000 Capital Outlay - State Funding
- - - - - - Time constraint in use of grant funds
900000 Capital Outlay
8,257,000 6,791,685 (1,465,315) (8,257,000) 6,791,685 Balance Budget
8,852,000 6,851,685 (2,000,315) (8,852,000) 6,851,685
1 of 1
CITY OF VERNON
FUND 020 - WATER FUND
DEPARTMENT 1084 - WATER
2020-2021
Account No. 500110 - Pumped Water
Detailed FY2020 FY2021
Name Description Budget Budget
1 WATER REPLENISHMENT DISTRICT (WRD) Replenishment assessment 2,244,000 2,605,000
2 CENTRAL BASIN WATERMASTER - ADMIN BODY Watermaster Service 7,500 7,200
3 CENTRAL BASIN WATERMASTER - WATER RIGHTS PANEL Watermaster Service 7,500 7,500
2,259,000 2,619,700
Account No. 500130 - Purchased Water
Detailed FY2020 FY2021
Name Description Budget Budget
1 CENTRAL BASIN MUNICIPAL WATER DISTRICT (CBMWD) - POTABLE Water purchase 1,000,000 800,000
2 CENTRAL BASIN MUNICIPAL WATER DISTRICT (CBMWD) -RECYCLED Water purchase 500,000 515,000
3 CBMWD DISPUTED RECYCLED RATE INCREASE Escrow account 200,000 -
1,700,000 1,315,000
Account No. 500140 - Water Treatment
OPERATIONS
Detailed FY2020 FY2021
Name Description Budget Budget
1 SODIUM HYPOCHLORITE Water Treatment - Chlorine 35,700 36,414
2 CENTRAL BASIN WATER ASSOCIATION Lab testing/Title 22 18,360 -
3 ANALYTICAL LAB Water sampling Weekly 15,000 -
69,060 36,414
Account No. 520000 - Supplies
OPERATIONS
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 CITY WAREHOUSE
Inventory consumption
63,000
66,150
2 CATALINA PACIFIC CONCRETE
Concrete
25,125
26,381
3 ROBERTSON CONRETE
Concrete
5,250
5,513
4 VULCAN MATERIALS COMPANY
Asphalt used in construction
21,000
22,050
5 HANSON AGGREGATE
Gravel Sand and Rock
4,200
4,410
6 D'ANGELO COMPANY
Water Parts and Hardware
10,500
11,025
7 HD SUPPLIES WATERWORKS
Wate Parts and Hardware
4,725
4,961
8 HOME DEPOT CREDIT SERVICES
Supplies used in daily operations and construction
8,400
8,820
9 LB JOHNSON HARDWARE
Building Materials and Hardware
5,250
5,513
10 WHITE CAP CONSTRUCTION
Building Materials and Hardware
4,200
4,410
11 PLUMBING AND INDUSTRIAL
Plumbing Hareware and Supplies
13,650
14,333
12 McMASTER-CARR SUPPLIES CO.
Building Materials, Hardware and Electrical Supplies
3,150
3,308
13 CURRENT WHOLESALE ELECTRIC
Electrical Supplies
15,750
16,538
14 WALTER'S WHOLWSALE ELECTRIC
Electrical Supplies
2,100
2,205
15 STAPES, OFFICEMAX, HOMEDEPOT, ETC.
General Supplies
525
551
186,825
196,166
Account No. 530030 - Bad Debt Expense
Detailed FY2020 FY2021
Name Description Budget Budget
1 Required Budgeted Expense Bad Debt Expense - Per audited Financial Report 40,800 41,616
40,800 41,616
1 of 5
CITY OF VERNON
FUND 020 - WATER FUND
DEPARTMENT 1084 - WATER
2020-2021
No. 540000 - Uniforms
TIONS
Detailed FY2020 FY2021
Name Description Budget Budget
1 To be bid Uniforms 10,000 10,200
10,000 10,200
Account No. 550000 - Advertisement/Promotion
Detailed FY2020 FY2021
Name Description Budget Budget
1 CONSUMER CONFIDENCE REPORT CCR graphics, printing, and ,mailing 2,000 600
2 PLANET BIDS Web -based bidding platform 3,000 3,100
3 NEWSPAPER PUBLICATIONS Notices Inviting Bids 1,400 2,000
6,400 5,700
Account No. 560000 - Utilities
Detailed FY2020 FY2021
Name Description Budget Budget
1 L&P Interdepartmental Utilities 1,300,000 1,326,000
2 FIBER OPTICS Interdepartmental Utilities 10,000 10,200
3 THE GAS COMPANY Utilities 2,000 2,040
1,312,000 1,338,240
r
Account No. 570000 - Vehicle Expense
OPERATIONS
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 CITY GARAGE
Garage Work Orders
75,000
76,500
2 CITY FUELING STATION
Gas Usage
23,900
24,378
3 Car Wash Services to be bid
Washing city vehicles
500
510
99,400
101,388
ccount No. 590000 - Repairs & Maintenance
OPERATIONS
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
CRAIG WELDING
Welding Services
3,150
3,308
DALE'S TRANSPORT
Trucking Wash
525
551
ECONOMY RENTALS
Equipment and Tools
788
827
UNITED RENTAL NORTHWEST
Equipment and Tools
525
551
ON -CALL MOTOR REPAIR
Motor repair services
50,000
50,000
ON -CALL PUMP REPAIR & MAINT RFP TBD
Pump repair services
-
-
PUMP CHECK
Efficiency Testing
7,500
7,500
62,488
62,737
Account No. 593200 - Professional Services Legal
Detailed FY2020 FY2021
Name Description Budget Budget
1 UNFORESEEN LEGAL SERVICES Water Fund Specialized Legal Services 25,000 25,500
25,000 25,500
2 of 5
CITY OF VERNON
FUND 020 - WATER FUND
DEPARTMENT 1084 - WATER
2020-2021
Account No. 595200 - Professional Services - Technical
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
To be bid
Hydrological Services
125,000
125,000
3rd Party Verfication
Meter etc.
5,000
5,000
IGService
Water Rate Study Update
14,000
-
Health Department
Cross -Connection Survey - to be bid
100,000
CENTRAL BASIN WATER ASSOCIATION
Lab testing/Title 22
26,900
ANALYTICAL LAB
Water sampling Weekly
15,000
144,000
271,900
Account No. 596200 - Professional Services Other
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 SWRCB DIVISION OF DRINKING WATER
Water system fees
5,100
7,500
2 SWRCB DEPARTMENT OF WATER RESOURCES
System Permitting Fees
2,550
-
3 SCAQMD
Emission & Registration Fees
2,142
2,200
4 UNDERGROUND SERVICE ALERT
Dig alerts
1,530
2,000
5 BNSF RAILWAY COMPANY
Rental lease
102
50
11,424
11,750
Account No. 596500 - Travel
Detailed FY2020 FY2021
Name Description Budget Budget
1 City Employees Mileage, airfare, food, parking, lodging 7,500 7,500
7,500 7,500
Account No. 596550 - Membership Dues
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 Southeast Water Coalition (Downey)
Membership
5,100
10,000
2 Central Basin Water Association
Membership
8,500
4,000
3 California Municipal Utilities Association
Membership
1,581
1,613
4 AWWA California Nevada Section
Membership
714
135
5 Gateway Management Authority (GW MA)
Membership
459
7,500
6 American Water Works Association
Membership
459
325
16,813
23,573
Account No. 596600 - Books & Publications
Detailed FY2020 FY2021
Name Description Budget Budget
1 PUBLICATIONS - AWWA, NGWA Training manuals, dvds, and books 1,000 1,000
1,000 1,000
Account No. 596700 - Training
Detailed FY2020 FY2021
Name Description Budget Budget
1 AWWA, Fred Pryor, State Water Board Certifications, and other water training Training Classes, Workshops, Seminars, Conferences, and 15,000 15,000
organizations Certifications
15,000 15,000
3 of 5
CITY OF VERNON
FUND 020 - WATER FUND
DEPARTMENT 1084 - WATER
2020-2021
Account No. 596706 - VPU Credit Program
Detailed FY2020 FY2021
Name Description Budget Budget
1 City of Vernon Measure R Credit 437,235
437,235
Account No. 599800 - Overhead Allocation
Detailed FY2020 FY2021
Name Description Budget Budget
1 City of Vernon Overhead Allocation 586,500 598,230
586,500 598,230
Account No. 840000 - Capital Equipment and Vehicles
OPERATIONS
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 VEHICLE
Light Utility Vehicle Meter Readers
30,000
2 VEHICLE
Construction Truck
120,000
3 VEHICLE
Boom Truck
260,000
4 PAX MIXER
Pax Mixer for 10 mill Gallon Reservoir
70,000
5 RCS UNIT
Auto Chorination 10 mil Gallon Reservoir
35,000
6 VEHICLE
Dump Truck
80,000
-
7 VEHICLE
Ford F-250 Utility Truck
-
60,000
8 VEHICLE
Administration Vehicle
-
-
595,000
60,000
Account No.900000 - Capital Outlay
Detailed FY2020 FY2021
Name
Description
1 PROJECT
lWell 11 Pump and Motor
2 PROJECT
Emergency Generator on Well 11
3 PROJECT
Well 15 Rehabilitation
4 PROJECT
Well 17 Rehabilitation
5 PROJECT
Well 22 Drilling and Casing
6 PROJECT
New Wells Drilling & Casing Construction Management
7 PROJECT
New Wells Wellhead Engineering
8 PROJECT
Operations Analysis and MasterPlan
9 PROJECT
Reservoir condition assessments (6-1MG)
10 PROJECT
Upgrades for Reservior 1 (automation)
11 PROJECT
PAX Mixers for Reservoir 1 (10 MG)
12 PROJECT
Automatic Chlorination for Reservoir 1 (10 MG)
13 PROJECT
Well 5 Destruction
14 PROJECT
Emergency Generator on Well 15
15 PROJECT
Well 22 Wellhead Equipment
16 PROJECT
Emergency Generator on Well 22
17 PROJECT
Elevated Tank Upgrades (automation)
18 PROJECT
Well 20 Rehabilitation
19 PROJECT
Emergency Generator on Well 20
20 PROJECT
Reservoir Demolition at Well 20
21 PROJECT
PP1, PP2, PP3 Engineering Design
22 PROJECT
Design & Construction Repairs for Reservoirs at PP3
23 PROJECT
PP2 Reservoir Supply Redundancy
24 PROJECT
PP1 Pump and Motor Rehabilitation
25 PROJECT
Emergency Generator on Pumping Plant 1
26 PROJECT
PP3 Pump and Motor Rehabilitation
27 PROJECT
PP2 Pump and Motor Rehabilitation
28 PROJECT
Design & Construction Repairs for Reservoirs at PP2
29 PROJECT
Loading Dock Demolition at OE Clark
30 PROJECT
Well 23 Drilling and Casing
31 PROJECT
Well 23 Wellhead Equipment
145,657
300,000
350,000
2,050,000
100,000
80,000
142,000
14,900
50,708
76,258
35,000
250,000
135,000
131,685
125,000
300,000
1,800,000
300,000
150,000
500,000
300,000
100,000
300,000
1,000,000
100,000
4 of 5
32
33
34
35
36
37
38
39
40
CITY OF VERNON
FUND 020 - WATER FUND
DEPARTMENT 1084 - WATER
2020-2021
Account No.900000 - Capital Outlay
PROJECT
Emergency Generator on Well 23
PROJECT
AMI Program
PROJECT
Electrical Upgrades
PROJECT
SCADA
PROJECT
Pilot Main Replacement Program
PROJECT
Packers/Exchange and Downey Rd Pipeline Extension
PROJECT
Pump House 2 Refurbishment
PROJECT
Fence Replacement PP2 & Well 19
PROJECT
On-Callall Pump repair services
Con't from previous page
100,000 100,000
500,000 500,000
250,000 100,000
600,000 600,000
4,794,523 6,791,685
5of5
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.7100 CUSTOMER SERVICE
A B
C
C-A
B-A C-B
FY2020 FY2020
FY2021
Increase
Increase Increase
Budget Forecast
Budget
(Decrease)
(Decrease) (Decrease)
REVENUES $ 184,183,827 $ -
$ 190,532,701
$ 6,348,875
$ (184,183,827) $ 190,532,701
EXPENSES:
SALARIES
BENEFITS
SUPPLIES/SERVICES
TOTAL EXPENSES
CAPITAL
EMPLOYEE TITLE
Business & Account Supervisor
Utilities Customer Service Representative
Customer Service Representative, Senior
Overtime
Payout (vacation and sick excess hours)
Stand-by
$ 256,716 $
$ 351,079
$ 94,363 $
(256,716) $
351,079
132,024
184,687
52,663
(132,024)
184,687
8,848,257
368,800
(8,479,457)
(8,848,257)
368,800
$ 9,236,997 $
$ 904,566
$ (8,332,431) $
(9,236,997) $
904,566
$ 110,000 $ - $ 120,000 $ 10,000 $ (110,000) $ 120,000
Salaries
FTE Budget
0.75 $ 107,736
2.00 142,980
1.00 -
2,000
4,000
Salaries Increase
$ 117,659 $ 9,923
145,127 2,147
69,330 69,330
2,000 -
16,963 12,963
DEPARTMENT TOTALS 3.75 $ 256,716 $ 351,079 $ 94,363
DEPARTMENT:
055.7100 CUSTOMER SERVICE
CITY OF VERNON
Fund 055 Department 7100 - L&P Fund Customer Service Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES:
4.160
441001 AB1890 Revenues
4,950,625
5,080,849
130,224
(4,950,625)
5,080,849
450010 Sale of Electricity
174,910,565
- 182,187,585
7,277,020
(174,910,565)
182,187,585
450012 Discount of Sales
(1,204,430)
- (3,912,188)
(2,707,758)
1,204,430
(3,912,188)
450016 Fuel Cost Adjustment (ECA)
3,898,254
3,439,674
(458,580)
(3,898,254)
3,439,674
450017 Fuel Cost Adjustment Credit
-
-
-
-
450031 RPS Pass -through
1,303,849
3,411,818
2,107,969
(1,303,849)
3,411,818
450080 Temporary Power
-
-
-
-
450301 Special Charges
103,863
103,863
(103,863)
103,863
600910 Other Income
221,101
221,101
(221,101)
221,101
TOTAL REVENUES
184,183,827
190,532,701
6,348,875
(184,183,827)
190,532,701
SALARIES
501010 Salaries - Regular
223,094
- 302,738
79,644
(223,094)
302,738
501012 Salaries -Premiums
31,622
- 46,341
14,719
(31,622)
46,341
501020 Salaries - O.T.
2,000
2,000
(2,000)
2,000
TOTAL SALARIES
256,716
351,079
94,363
(256,716)
351,079
BENEFITS
502020 Retirement
71,798
- 99,069
27,271
(71,798)
99,069
502030 Insurance Premiums -Medical
56,504
- 80,527
24,023
(56,504)
80,527
502060 FICA Taxes
3,722
- 5,091
1,369
(3,722)
5,091
502080 Claims Expenditure - Worker's Comp
TOTAL BENEFITS
132,024
184,687
52,663
(132,024)
184,687
SUPPLIES/SERVICES
520000 Supplies
8,000
10,000
2,000
(8,000)
10,000
530030 Bad Debt Expense
100,000
100,000
-
(100,000)
100,000
560000 Utilities
800
800
-
(800)
800
590110 Repair & Maintenance - IT
89,200
100,000
10,800
(89,200)
100,000
595200 Professional Services - IT
180,000
135,000
(45,000)
(180,000)
135,000
596500 Travel
5,000
8,000
3,000
(5,000)
8,000
596700 Training
9,000
15,000
6,000
(9,000)
15,000
596706 VPU Credit Program
8,456,257
(8,456,257)
(8,456,257)
TOTAL SUPPLIES/SERVICES
8,848,257
368,800
(8,479,457)
(8,848,257)
368,800
TOTAL EXPENDITURES
9,236,997
904,566
(8,332,431)
(9,236,997)
904,566
CAPITAL
860000 IT Equipment & Software 110,000 120,000 10,000 (110,000) 120,000
900000 Capital Outlays
TOTAL CAPITAL 110,000 120,000 10,000 (110,000) 120,000
1of1
Account No. 520000 - Supplies
Name
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 7100 - CUSTOMER SERVICE
SUPPLIES & SERVICES
2020-2021
Detailed
Description
FY2020 FY2021
Budget Budget
1 Staples, Office Depot, etc.
Office supplies and utility bills stock:
8,000
10,000
This would include all various types of Envelopes for utility billing
(Regular, Final, Special, Non -Window, Windows,Self-Address) Postage & Ink
$
8,000
$ 10,000
Account No. 530030 - Bad Debt Expense
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Per Financial Audit Requirements
Write-off on uncollectible accounts
100,000
100,000
This include Electric, Water & Gas Services accounts that have unpaid their utility account
either by filing for Bankruptcy, skip town or unable to pay their bills
$
100,000
$ 100,000
Account No. 560000 - Utilities
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
Verizon
3 phones-Sprint/Nextel (Anthony, Victor & Cust.Svc) @$20.00 per mo per line.$60.00 x 12 =$7
800
800
Cellphone service budget transferred to IT Department 011.9019 $
800
$ 800
1 of 3
Account No. 590110 - Repairs & Maintenance IT
Name
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 7100 - CUSTOMER SERVICE
SUPPLIES & SERVICES
2020-2021
Detailed FY2020 FY2021
Description Budget Budget
1 Pitney Bowes Maintenance Agreement for Pitney Bowes (Mailing Stuffer):Service fee Increase
Added 10% increase from last year since we haven't received new invoice yet
2 Advanced Utilities CIS Infinity Annual Support -cost of Sery increase
3 Itron Mv90xi Annual Support
4 Itron MVRS/FCS Annual Support
Account No. 595200 - Professional Services Technical
Name
4,200 15,000
50,000 50,000
20,000 20,000
15,000 15,000
$ 89,200 $ 100,000
Detailed FY2020 FY2021
Description Budget Budget
1 Itron Mv90xi Maintenance & Support software for time of use programs(big consumers of power) Software n
Maint. & Support software for regular electric, water & gas meters programs & handheld
2 Itron MVRS devices
3 Advanced Utilities Onlline billing CIS
4 Temporary Employment/Staff Temporary Staff/Maternity Leave (6 mos)
20,000 5,000
20,000 20,000
110,000 110,000
30,000 -
$ 180,000 $ 135,000
2 of 3
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 7100 - CUSTOMER SERVICE
SUPPLIES & SERVICES
2020-2021
Account No. 596500 - Travel
Type Name
1 Training Travel lodging, transportation, meals
Account No. 596700 - Train
Type Name
FY2020 FY2021
Budget Budget
5,000 8,000
$ 5,000 $ 8,000
FY2020 FY2021
Budget Budget
1 MV90 Software MV90 training software 3,000 5,000
2 MVRS Software MVRS training software 1,000 5,000
3 Customer Service Training registration, webinars, scppa training, APPA, Fred Pryor, various training 5,000 5,000
$ 9,000 $ 15,000
Account No. 596706 - VPU Credit Program
FY2020 FY2021
pe Name Budget Budget
1 Measure R VPU Credit Program 8,456,257 -
$ 8,456,257 $ -
3 of 3
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.7200 ENERGY MANAGEMENT
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
TOTAL REVENUES $ (46,410) $ - $ - $ 46,410 $ 46,410 $ -
EXPENSES:
SALARIES
$ 35,912 $
$ 39,220 $
3,308 $
(35,912) $
39,220
BENEFITS
13,624
15,005
1,381
(13,624)
15,005
SUPPLIES/SERVICES
1,100,000
715,000
(385,000)
(1,100,000)
715,000
TOTAL EXPENSES
$ 1,149,536 $
- $ 769,225 $
(380,311) $
(1,149,536) $
769,225
Salaries Salaries Increase
EMPLOYEE TITLE FTE Budget Budget (Decrease)
Business & Account Supervisor 0.25 $ 35,912 $ 39,220 $ 3,308
Overtime - - -
Payout (vacation and sick excess hours) - - -
Stand-by - - -
DEPARTMENT TOTALS 0.25 $ 35,912 $ 39,220 $ 3,308
DEPARTMENT:
055.7200 ENERGY MANAGEMENT
CITY OF VERNON
Fund 055 Department 7200 - UP Fund Energy Management Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES:
450035 Solar Rebate (46,410) - 46,410 46,410 -
(46,410) - - 46,410 46,410 -
SALARIES
501010 Salaries - Regular
29,927
32,683
2,756
(29,927)
32,683
501012 Salaries - Premiums
5,985
6,537
552
(5,985)
6,537
TOTAL SALARIES
35,912
39,220
3,308
(35,912)
39,220
BENEFITS
502020 Retirement
10,284
11,617
1,333
(10,284)
11,617
502030 Insurance Premiums - Medical
2,819
2,819
-
(2,819)
2,819
502060 FICA Taxes
521
569
48
(521)
569
TOTAL BENEFITS
13,624
15,005
1,381
(13,624)
15,005
SUPPLIES/SERVICES
520000 Supplies -
15,000
15,000 15,000
596200 Professional Services - Other 100,000
100,000
- (100,000) 100,000
596500 Travel -
-
- -
596701 Solar / Photovoltaic Rebate -
- -
- -
596702 Public Benefit Program Rebate 1,000,000
600,000
(400,000) (1,000,000) 600,000
TOTAL SUPPLIES/SERVICES 1,100,000
715,000
(385,000) (1,100,000) 715,000
TOTAL EXPENDITURES $ 1,149,536 $ - 769,225 (380,311) (1,149,536) 769,225
Account No. 520000 - Supplies
Name
1 Various
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 7200 - ENERGY MANAGEMENT
SUPPLIES & SERVICES
2020-2021
Detailed
Description
Customer Marketing Outeach Supplies
Account No. 596200 - Professional Services Other
Name
1 Energy Audits
FY2020 FY2021
Budget Budget
15,000
$ - $ 15,000
Detailed FY2020 FY2021
Description Budget Budget
Vendor for Energy audits -Supports Public Benefits Programs- 100,000 100,000
Res.#7511 Assembly Bill (AB1890)
Requires COV to offer energy audits free of charge per request by customer
Having most interest for the fiscal year
$ 100,000 $ 100,000
Account No. 596500 - Travel
Type
Name
FY2020 FY2021
Budget Budget
1 of 2
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 7200 - ENERGY MANAGEMENT
SUPPLIES & SERVICES
2020-2021
Account No. 596701 - Solar / Photovoltaic Rebate
Name
Detailed FY2020
Description Budget
Account No. 596702 - Public Benefit Program Rebate
Name
FY2021
Budget
Detailed FY2020 FY2021
Description Budget Budget
1 Customer Incentives This offers customers rebates for replacement
for lighting, motors & energy efficient equipment.
This program is very popular with customers
and the demand is very high
This supports COV Public Benefits Programs
AB1890 Res.#7511- Will be adding EV Charger program
1,000,000 600,000
$ 1,000,000 $ 600,000
2of2
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.8000 FIELD OPERATIONS
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
EXPENSES:
SALARIES
$ 692,033 $ -
$ 703,244
$ 11,211
$ (692,033) $
703,244
BENEFITS
245,899 -
260,123
14,224
(245,899)
260,123
SUPPLIES/SERVICES
510,228 -
512,728
2,500
(510,228)
512,728
TOTAL EXPENSES
$ 1,448,160 $ -
$ 1,476,095
$ 27,935
$(19448,160) $
1,4767095
CAPITAL 536,000 962,000 426,000 (536,000) 962,000
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Proposed
Proposed
(Decrease)
Electric Operations Supervisor
0.95
$ 160,018
$ 166,434
$ 6,416
Electrical Test Technician, Senior
1.00
132,177
137,469
5,292
Metering Technician
1.00
121,407
126,207
4,800
Metering Technician, Senior
1.00
151,031
157,079
6,048
Overtime
31,200
31,200
Payout (vacation and sick excess hours)
35,200
23,855 (11,345)
Utilities System Operation Premium (USOP)
1,000
1,000
Stand-by
60,000
60,000
DEPARTMENT TOTALS 3.95 $ 692,033 $ 703,244 $ 11,211
CITY OF VERNON
Fund 055 Department 8000 - UP Fund Field Operations Department
Budget Detail
2020-2021
DEPARTMENT:
055.8000 FIELD OPERATIONS
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Comments
SALARIES
501010 Salaries - Regular
517,790
538,552
20,762
(517,790)
538,552
Salaries - Premiums
143,043
133,492
(9,551)
(143,043)
133,492 Union change in standby pay rotation through crew, USOP,
501012
vacation & sick excess payout.
501020 Salaries - O.T.
31,200
31,200
-
(31,200)
31,200 AMI metering upgrade
TOTAL SALARIES
692,033
703,244
11,211
(692,033)
703,244
BENEFITS
502020 Retirement
161,522
173,753
12,231
(161,522)
173,753
502030 Insurance Premiums - Medical
74,343
76,173
1,830
(74,343)
76,173
502060 FICA Taxes
10,034
10,197
163
(10,034)
10,197
TOTAL BENEFITS
245,899
260,123
14,224
(245,899)
260,123
SUPPLIES/SERVICES
520000 Supplies
10,331
10,331
-
(10,331)
10,331
540000 Uniforms
11,000
11,000
(11,000)
11,000 Compliance Are Flash Hazard Potential - Safety, Flame Resistant
PPE - Metering Rule changes
560000 Utilities
51,397
51,397
(51,397)
51,397 Metering Communication & City Supplied Fiber
560010 Utilities - IT
10,000
10,000
(10,000)
10,000 Transferred from IT Budget general Fund
570000 Vehicle Expense
20,000
20,000
(20,000)
20,000
590000 Repair & Maintenance
290,000
290,000
(290,000)
290,000 With aging infrastructure, need to perform more proactive
maintenance and testing.
590010 Repair & Maintenance IT
20,000
20,000
(20,000)
20,000 Certification and Support
596200 Professional Services - Other
60,000
60,000
(60,000)
60,000 Potential new services VPU can render (EV, Smart Metering,
Renewables)
596500 Travel
-
-
-
596700 Training
37,500
40,000
2,500
(37,500)
40,000 Staff development, changing regulation & technology, training,
safety and succession planning
TOTAL SUPPLIES/SERVICES
510,228
512,728
2,500
(510,228)
512,728
TOTAL EXPENDITURES
1,448,160
1,476,095
27,935
(1,448,160)
1,476,095
CAPITAL
860000 IT Equipment & Software - - - -
900000 Capital Outlays 536,000 962,000 426,000 (536,000) 962,000 Replacement of aging/deteriorating equipment. Move to
automation in metering. Repair of unsafe electric switchgear
TOTAL CAPITAL 536,000 962,000 426,000 (536,000) 962,000
1 of 1
Account No. 520000 - Supplies
Name
1 City Warehouse Supplies
2 Staples, Office Depot
Account No. 540000 - Uniforms AM
Name
1 Metering Group -Employee Uniforms -To be bid
2 Substation Group- Employee Uniforms -To be bid
3 Electric Ops Supervisor - Employee Uniforms - To be bid
(Increase per person to comply with Eng Arc Flash Hazard
Potential Study)
Account No. 560000 - Utilities
Name
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8000 - FIELD OPERATIONS
SUPPLIES & SERVICES
2020-2021
Detailed
FY2020 FY2021
Budget Budget
Janitorial Supplies - floor wax, coffee, napkins, toilet paper, soap, act. 1,061 1,061
Misc. department and office supplies (training binders, dividers, writing utensils, notepads, etc..) 9,270 9,270
$ 10,331 $ 10,331
Detailed
FY2020
FY2021
Description
Budget
Budget
Flame Restistant Protective Gear, Safety Boots and Vernon Public Utilities Standard Issue
5,000
8,000
Flame Restistant Protective Gear, Safety Boots and Vernon Public Utilities Standard Issue
4,000
2,000
Flame Restistant Protective Gear, Safety Boots and Vernon Public Utilities Standard Issue
2,000
1,000
Detailed
11,000 11,000
FY2020 FY2021
Budget Budget
1 Trilliant Time of Use (TOU) meter connection charges. 22,660 22,660
2 Interdepartmental Billing Fiber Optics 28,737 28,737
$ 51,397 $ 51,397
Account No. 560000 - Utilities IT
Detailed FY2020 FY2021
Name Description Budget Budget
1 Verizon Wireless Telecommunication Charges 10,000 10,000
$ 10,000 $ 10,000
Account No. 570000 - Vehicle Expense
Detailed FY2020 FY2021
Name
1 City Garage Substation, Metering & Supervisory Vehicle Maintenance, Fuel & Equipment 20,000 20,000
20,000 20,000
Account No. 590000 - Repairs & Maintenance
Detailed FY2020 FY2021
Name Description Budget Budget
Technical calibration, technical analysis,
Substation and Metering equipment calibration, certification and analysis including TTR,
1 certification and safety gear suppliers
DGA, High Voltage PPE
30,000
30,000
2 Technical Safety Vendors
Safety Items Replacement and Repair, High Voltage Certification
20,000
20,000
3 Competitive Bid Substation Equipment Vendors
Replacement/Contingency Substation Maintenance Parts
110,000
110,000
4 Competitive Bid Test Equipment Vendors
Substation Test Equipment Purchase or Rental
25,000
25,000
5 Competitive Bid Metering Equipment Vendors
Replacement/Contigency Metering Maintenance Parts
50,000
50,000
6 Weidmann
Dissolved Gas Analysis (DGA) and oil quality test for 30 transformers
15,000
15,000
7 Battery Bank Battery Replacement
Maintenance of Vernon, Leonis, Ybarra Substation
40,000
40,000
290,000 290,000
1 of 2
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8000 - FIELD OPERATIONS
SUPPLIES & SERVICES
2020-2021
Account No. 590010 - Repairs & Maintenance IT
Detailed
FY2020
FY2021
Name Description
Budget
Budget
1 Applied Metering Yearly Rig Certification
5,000
5,000
2 Vendor Support Substation/Metering Systems Support
13,000
13,000
3 Stancill Stancil Recording Maintenance
2,000
2,000
$ 20,000 $
20,000
Account No. 596200 - Professional Services Other me
Event
Name
FY2020 FY2021
Budget Budget
1 To Be Bid DER Consulting 25,000 20,000
2 To Be Bid Smart Meter Consulting 15,000 20,000
3 ESCI OSHA safety consultant 20,000 20,000
$ 60,000 $ 60,000
Account No. 596700 - Training
Event
Name
1 Sweitzer Engineering Laboratory, Infrared Certification Substation Technicians
3 EUSERC, Distributed Generation & Solar, AMI, DER Metering Technicians
3 Hazwoper, OSHA Safety, Utilities Operations Trainee Development Electric Operations Supervisor & Staff
FY2020 FY2021
Budget Budget
15,000 10,000
15,000 15,000
7,500 15,000
$ 37,500 $ 40,000
2of2
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8000 - FIELD OPERATIONS
CAPITAL
2020-2021
Account No. 900000 - Capital Outlays
Detailed FY2020 FY2021
Description Budget Budget
Time of Use Revenue Meter Upgade 2G to 4G (security issues & no future support for
2G, ability to disconnect single phase meters remotely and can transmit gas & water
1 meter signal for remote reads) 150,000 200,000
2
3
4
5
6
7
8
9
10
11
Spare 66kV circuit breaker parts - Must have spare parts in case of failure.
Spare Capacitors and fuses - Experienced capacitor issues due to failure and avian
interruptions
Substation Vehicle
Substation Yard Replacement Lights - Safety issues and weather breaking down
fasteners
SF6 Gas Leak Detection IR Camera (to proactively detect leaks (Aliso Canyon;
Substation Replacement Vehicle (1-1012 is 18 years old & PD surplus)
Substation grounding improvements & rock replacement (Safety per ground grid
study)
AED
Replace deteriorating chain link fence Soto Yard South, Leonis Sub North and South
plus entry gate, Ybarra Sub
Switchgear / motors/ electrical components at well sites
20,000 100,000
10,000 25,000
50,000 50,000
- 25,000
- 50,000
6,000 12,000
100,000 250,000
200,000 250,000
$ 536,000 $ 962,000
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.8100 SYSTEM DISPATCH
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
EXPENSES:
SALARIES
$ 1,888,740 $
- $ 1,907,683 $
18,943
$ (1,888,740) $
1,907,683
BENEFITS
695,700
- 713,185
17,485
(695,700)
713,185
SUPPLIES/SERVICES
797,803
- 825,214
27,411
(797,803)
825,214
TOTAL EXPENSES
$ 3,382,243 $
- $ 3,446,082 $
63,839
$ (3,382,243) $
3,446,082
CAPITAL
340,000
- 395,000
55,000
(340,000)
395,000
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Budget
(Decrease)
Electric Operations Supervisor
-
$ 123,679
$ -
$ (123,679)
Electric Operator (5)
3.70
557,282
450,124
(107,158)
Utilities Dispatcher (5)
4.25
610,015
651,537
41,522
Utilities Dispatcher, Senior
0.85
-
106,001
106,001
Utilities Operations Manager
0.85
143,174
156,360
13,186
Utilities Operations Trainee (3)
2.00
69,990
149,833
79,843
Overtime 250,000 250,000 -
Payout (vacation and sick excess hours) 38,100 27,828 (10,272)
Utilities System Operation Premium (USOP 5% F 1,000 1,000 -
Stand-by 95,500 115,000 19,500
DEPARTMENT TOTALS 11.65 $ 1,888,740 $ 1,907,683 $ 18,943
CITY OF VERNON
Fund 055 Department 8100 - UP Fund System Dispatch Department
Budget Detail
2020-2021
DEPARTMENT:
055.8100 SYSTEM DISPATCH
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Comments
SALARIES
501010Salaries -Regular
1,435,497
1,462,586
27,089
(1,435,497)
1,462,586
Salaries - Premiums
203,243
195,097
(8,146)
(203,243)
195,097 Union change in standby pay rotation through crew, USOP,
501012
vacation & sick excess payout.
Salaries - O.T.
250,000
250,000
-
(250,000)
250,000 Includes built in rotating shift OT for 24/7 coverage, staff
safety training, emergency response and time off coverage.
Based on FY variance projection & includes new hires.
501020
(Utilities Ops Mgr not filled currently)
TOTAL SALARIES
1,888,740
1,907,683
18,943
(1,888,740)
1,907,683
BENEFITS
502020 Retirement
430,285
451,015
20,730
(430,285)
451,015
502030 Insurance Premiums - Medical
238,028
234,509
(3,519)
(238,028)
234,509
502060 FICA Taxes
27,387
27,661
274
(27,387)
27,661
TOTAL BENEFITS
695,700
713,185
17,485
(695,700)
713,185
SUPPLIES/SERVICES
520000 Supplies
22,278
22,279
1
(22,278)
22,279 Replace Office Equipment utilized 24/7
520010 Supplies - IT
20,085
19,995
(90)
(20,085)
19,995 Use by VPU
540000 Uniforms
24,720
24,720
-
(24,720)
24,720 Required PPE per engineering Arc Flash report Staff safety
priority. Additional personell including Utilities Dispatcher,
Electric Operator and Electric Operations Supervisor
560000 Utilities
21,218
21,218
(21,218)
21,218
560010 Utilities - IT
-
-
-
570000 Vehicle Expense
57,742
57,742
(0)
(57,742)
57,742 All vehicles will require new VPU logo
590000 Repairs & Maintenance
590020
Station Maintenance
30,900
30,900
(30,900)
30,900 Supplies& Equipment for new and reassigned vehicles
590110
Repairs & Maintenance IT
2,060
2,060
(2,060)
2,060 Transferred from IT Budget General Fund
595200
Professional Services - Technical
25,000
25,000
(25,000)
25,000 Increased regulation & rapidly changing technology
596200
Professional Services - Other
497,000
515,000
18,000 (497,000)
515,000 Security Guard Services & Inadequate Restroom facilities in
orginal building.
596500
Travel
-
-
-
-
596550
Memberships
1,800
1,800
- (1,800)
1,800
596700
Training
95,000
104,500
9,500 (95,000)
104,500 Increased safety regulation, workforce development,
succession planning, additional staff, implementation of
SCADA simulator for on site training due to shift wolrkof 2
CITY OF VERNON
Fund 055 Department 8100 - UP Fund System Dispatch Department
Budget Detail
2020-2021
DEPARTMENT:
055.8100 SYSTEM DISPATCH
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Comments
TOTAL SUPPLIES/SERVICES 797,803
825,214
27,411
(797,803)
825,214
TOTAL EXPENDITURES 3,382,243
3,446,082
63,839
(3,382,243)
3,446,082
CAPITAL
860000 Capital Outlay IT - - - - IT department budgeting this line item.
900000 Capital Outlays 340,000 395,000 55,000 (340,000) 395,000
TOTAL CAPITAL 340,000 395,000 55,000 (340,000) 395,000
2 of 2
Account No. 520000 - Supplies
Name
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8100 - SYSTEM DISPATCH
SUPPLIES & SERVICES
2020-2021
Detailed
Descriptic
FY2020 FY2021
Budget Budget
1 Staples, Office Max
Misc. department and office supplies (training binders, dividers, writing utensils, notepads,
7,426
7,426
pocket, calculators, electrical tags, PUD forms, time stamps and other miscellaneous items
-
-
of this nature.
-
-
2 City Warehouse, Home Depot
Janitorial Supplies - floor wax, coffee, napkins, toilet paper, soap, etc..
8,487
8,487
LB Johnson, City Warehouse,
3 McMaster Carr
Control Room Supplies used 24 hrs per day 365 days per year
6,365
6,365
$ 22,278 $
22,279
Account No. 520010 - Supplies IT
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Fry's Electronic Miscellaneous computer items (Fry's Electric) Connectors; cables; electrical components Turbines; 20,085 19,995
scada cards; Scada RTU connectors; PLC connectors; batteries; low voltage wire; low voltage -
adaptors; laptop batteries for field pc; radio components for electrical radio system; monitors; -
turbine crt's; specialized ink or printers for turbines and scada; security camera accessories.
$ 20,085 $ 19,995
Account No. 540000 - Uniforms L.
Detailed FY2020 FY2021
Name Description Budget Budget
1 Competitive Bid uniform suppliers Flame Resistant Uniforms, VPU Standard Issue, PPE 21,630 21,630
2 IBEW & Shoeteria Safety Toe Boot 3,090 3,090
Additional personell including Utilities Dispatcher, Electric Operator and Electric Operations Supervisor
$ 24,720 $ 24,720
Account No. 560000 - Utilities
Detailed FY2020 FY2021
Description Budget Budget
AT&T, Sprint, Verizon Control Center Communication Services 21,218 21,218
$ 21,218 $ 21,218
Account No. 570000 - Vehicle Expenses
Detailed FY2020 FY2021
Vehicle Description Budget Budget
1 Electric Operations Fleet Service, Parts, Equipment & Fuel 57,742 57,742
Safety equipment, reassignment and new brandinc $ 57,742 $ 57,742
Account No. 590110 - Repairs & Maintenance IT
1 Stencil Solutions Stencil Recording Maintenance
Detailed FY2020 FY2021
ascription Budget Budget
2,060 2,060
$ 2,060 $ 2,060
1 of 2
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8100 - SYSTEM DISPATCH
SUPPLIES & SERVICES
2020-2021
Account No. 590020 - Station Maintenance
Detailed
FY2020
FY2021
Description
Budget
Budget
1 Home Depot, Auto Supply Dealers Replacement tools and supplies for standby truck, flashlight, safety equipment, gloves
20,085
20,085
2 Equipment Manufacturers, Eagle Maintenance, Certification and Calibration of equipment
10,815
10,815
$ 30,900 $
30,900
Account No. 595200 - Professional Services Technical
Detailed FY2020 FY2021
Name Description Budget Budget
1 To be bid 3rd party assessment of regulatory compliance & technical issues 25,000 25,000
$ 25,000 $ 25,000
(Account No. 596200 - Professional Services Other
Detailed FY2020 FY2021
Name Description Budget Budget
1 Security Services TBD Professional Security Services (assessment, plan, monitoring/reporting) 485,000 500,000
2 A -throne Restroom Rental for Station A, Soto Yard Security Guards 12,000 15,000
$ 497,000 $ 515,000
Account No. 596550 - Memberships
Detailed FY2020 FY2021
Name Description Budget Budget
1 APPA Industry Annual Dues & Safety/ Subscriptions 1,800 1,800
$ 1,800 $ 1,800
Account No. 596700 - Training V IN
Event FY2020 FY2021
Type Name Budget Budget
Technical, Operational & Safety TrainingSCADA Simulator Software, Computer Hardware &
TEEX, Anders, H2OKnow, APPA, EUCI, Associate Engineering & Networking & Training Facility
1 SCPPA, COV, OSHA, ESCI, Northwest for high voltage electric staff. Including logistics involved with rotating shift coverage and staffing 95,000 104,500
$ 95,000 $ 104,500
2of2
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8100 - SYSTEM DISPATCH
CAPITAL
2016-2017
DEPARTMENT:
055.8100 SYSTEM DISPATCH
Detailed FY2020 FY2021
Name Description Budget Budget
Spill & Traffic control response trailer materials (barricades,
1 TBD stop sign) 25,000 30,000
2 TBD Electric Operator Vehicle Crew Truck - 80,000
3 TBD Ergonomic Control Center Console Replacement 250,000 250,000
4 To be bid Remoting Racking System 65,000 35,000
$ 340,000 $ 395,000
1 of 1
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.8200 GENERATION STATION P
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
EXPENSES:
SALARIES
$ $
$
$
$ $
BENEFITS
-
SUPPLIES/SERVICES
635,045
808,045
173,000
(635,045)
808,045
TOTAL EXPENSES
$ 635,045 $
$ 808,045
$ 173,000
$ (635,045) $
808,045
CAPITAL
60,000
115,000
55,000
(60,000)
115,000
Salaries
EMPLOYEE TITLE FTE Budget
Account Clerk, Senior $
Assistant General Manager of Public Utilities
Electric Operations Supervisor
Electrical Test Technician, Senior
Overtime
Payout (vacation and sick excess hours)
Utilities System Operation Premium (USOP)
Stand-by
DEPARTMENT TOTALS
Salaries Increase
Budget (Decrease)
CITY OF VERNON
Fund 055 Department 8200 - L&P Fund Generation Station A Department
Budget Detail
2020-2021
DEPARTMENT:
055.8200 GENERATION STATION A
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
SALARIES
501010 Salaries - Regular Position in 8200 currently not filled
501012 Salary Premium
501020 Salaries - O.T.
TOTAL SALARIES
BENEFITS
502020 Retirement
502030 Group Insurance Premiums
502060 Medicare
502080 Claims Expenditure - Worker's Comp
TOTAL BENEFITS
SUPPLIES/SERVICES
500230 Generation Expense
67,500
91,500
24,000
(67,500)
520000
Supplies
1,545
1,545
-
(1,545)
540000
Uniforms
-
-
-
560010
Utilities IT
16,000
20,000
4,000
(16,000)
570000
Vehicle Expense
-
-
-
590000
Repairs & Maintenance
25,000
100,000
75,000
(25,000)
596200
Professional Services - Other
525,000
595,000
70,000
(525,000)
TOTAL SUPPLIES/SEVICES
TOTAL EXPENDITURES
CAPITAL
900000 Capital Outlays
TOTAL CAPITAL
CH2MHILL, AQMD, for regulatory
emission fees. Additional analysis
91,500 needed for HG SCAQMD BARCT
1,545 Office equipment and supplies
- Compliance due to ARC Flash Hazard
20,000
100,000 Annual Preventative Maintenance
595,000 This account can have a large variable.
Equipment failures hard to predict.
As vendor/equip costs increase, budget
must reflect
Only parts exist for Hgonzales units in
Aberdeen Scotland with Rolls/Wood.
Units are running daily versus only 10-30
hours per year in past. Increase due to
automation needs for efficiency & black
start testing on units. Attempting to put 3
year emergency repair contract in place
based on historical cost.
635,045 808,045 173,000 (635,045) 808,045
635,045 808,045 173,000 (635,045) 808,045
60,000 - 115,000 55,000 (60,000)
115,000 Turbine replacement parts for as needed
basis. Very limited supply
60,000 - 115,000 55,000 (60,000) 115,000
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8200 - GENERATION STATION A
SUPPLIES & SERVICES
2020-2021
Account No. 500230 - Generation Expense
Detailed FY2020 FY2021
Name Description Budget Budget
1 AQMD
AQMD PERMITS & FEES
11,000
15,000
2 Regulatory
Environmental Compliance PERMIT & FEES
11,000
11,000
3 Jacobs
Environmental Reporting, Compliance, Consulting
30,000
50,000
4 CARB
California Air Resources Board for managing AB32 programs.
11,000
11,000
5 LAC Sanitation Waste Water Charge
Station A
4,500
4,500
$ 67,500 $
91,500
Account No. 520000 - Supplies
Detailed FY2020 FY2021
Name Description Budget Budget
1 Office depot, staples, etc Misc. department and office supplies (printer paper binders, dividers, writing utensils 1,545 1,545
$ 1,545 $ 1,545
Account No. 540000 - Uniforms
Name
Detailed
Descriptic
■
Account No. 560010 - Utilities Il
FY2020 FY2021
Budget Budget
Detailed FY2020 FY2021
Name Description Budget Budget
1 Verizon Wireless Utility Meters (Trilliant Lines) 16,000 20,000
$ 16,000 $ 20,000
Account No. 570000 - Vehicle Expense
Name
1 Plant Truck
Account No. 590000 - Repairs & Maintenance
Name
Detailed FY2020 FY2021
Description Budget Budget
Detailed
Descriptic
FY2020 FY2021
Budget Budget
1 TBD Station Repairs (Plant & Aux Equipment) 25,000 100,000
$ 25,000 $ 100,000
Account No. 596200 - Professional Services Othei
Name
1 Northwest
2 DC Systems
3 To Be Bid
4 Calibration/metering Services
5 Blanket Air Conditioning Services
6 TBD (Redhawk) Blanket Fire Suppression
7 Black Start Project
Detailed
Descriptic
Turbine Maintenance, Controls & Automation Work
Service Contract Mechanical (Hgonzales) & Blackstart
Hgonzales On -call Repair Contract
(HGonzales Gas Skid Meter)
HGonzales Air Conditioner Service Contract
HGonzales Fire System Service Contract
Black Start Test Load Bank & Other Services & Equipment
FY2020 FY2021
Budget Budget
225,000 225,000
65,000 75,000
150,000 225,000
5,000 5,000
5,000 5,000
5,000 10,000
70,000 50,000
$ 525,000 $ 595,000
1 of 1
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8200 - GENERATION STATION A
CAPITAL
2020-2021
Account No. 900000 - Capital Outlays
Name
1 TBD
Detailed
Description
Turbine replacement parts for as needed basis Parts Very
Scarce & ship from Aberdeen Scotland or Rolls Wood
Group Houston or other units
& need TCSD replacement cards per turbine controls
upgrade
FY2020 FY2021
Budget Budget
60,000 115,000
$ 60,000 $ 115,000
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.8300 ELECTRICAL TRANSMISSION & DISTRIBUTION
TOTAL REVENUES
EXPENSES:
SUPPLIES/SERVICES
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
950,000 950,000 - (950,000) 950,000
7,182,204 - 8,127,432 945,228 (7,182,204) 8,127,432
TOTAL EXPENSES 7,182,204 - 8,127,432 945,228 (7,182,204) 8,127,432
CAPITAL
CITY OF VERNON
Fund 055 Department 8300 - UP Fund Electrical Transmission & Distribution Department
Budget Detail
2020-2021
DEPARTMENT:
055.8300 ELECTRICAL TRANSMISSION & DISTRIBUTION
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES:
450330 Damaged Property
150,000
150,000
(150,000)
150,000
461900 District Service Change or Miscellaneous
800,000
800,000
(800,000)
800,000
TOTAL REVENUES
950,000
950,000
(950,000)
950,000
SUPPLIES/SERVICES
520000 Supplies
20,300
20,300
(20,300)
20,300
560000 Utilities
7,140
7,140
(7,140)
7,140
570000 Vehicle Expense
77,000
80,000
3,000 (77,000)
80,000
590000 Repair & Maintenance
7,067,764
7,999,992
932,228 (7,067,764)
7,999,992 Petrelli unionized worker
labor increase of 3%
yearly per contract
596200 Professional Services - Other
596700 Training
TOTAL SUPPLIES/SERVICES
TOTAL EXPENDITURES
CAPITAL
900000 Capital Outlays
TOTAL CAPITAL
10,000 20,000 10,000 (10,000) 20,000
7,182,204 8,127,432 945,228 (7,182,204) 8,127,432
7,182,204 8,127,432 945,228 (7,182,204) 8,127,432
All capital improvement
project related to bond
financing will be
assigned to
055.9100.900000
(Engineering Dept.)
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8300 - ELECTRICALTRANSMISSION & DISTRIBUTION
SUPPLIES & SERVICES
2020-2021
Account No. 520000 - Supplies -
Detailed FY2020 FY2021
Name Description Budget Budget
Quill, Staples, Arrowhead,
1 Burlington, Orkin, CDW City Yard daily supplies and services 10,300 10,300
2 DigAlert, Tablet, Platform Underground Service Alert 10,000 10,000
$ 20,300 $ 20,300
Account No. 560000 - Utilities
Detailed FY2020 FY2021
Name Description Budget Budget
1 AT&T Phone service for Petrelli Building Fax for Dig Alert Service 7,140 7,140
$ 7,140 $ 7,140
Account No. 570000 - Vehicle Expense
Name
1 City Yard, Fueling Stations Vehicle Fuel
Account No. 590000 - Repair & Maintenance
Name
1 Petrelli
2 Petrelli
3 Petrelli
4 Petrelli
5 Petrelli
6 Petrelli
7 Petrelli
8 Petrelli
9 Petrelli
10 Lifecom
11 Weidmann
Detailed
Detailed
Maintenance and repairs for various field equipment (2 Troubleman crews)
ON/OFF Orders, repairs for service drops, customer panels, field equipment for electric service
Maintenance mechanic for leased truck service
Inspections: GO 095 and 128 inspection. Underground vaults and customer facilities
Yearly labor for Warehouse, restocking, equipment outlay, and Eden Support
Yearly On call hours for Petrelli crews (Stand-by pay) for emergency call outs.
General Manager, Foreman, admin support teams for various projects and supervision
(2) Secretary for yearly support for billing, purchasing, invoicing, and work order management
General crew for repairs to facilities, substation equipment, offices and General services
Lifecom: Service and calibration for test set, boot meter infer red scope and misc. equip.
Weidmann Electrical technology: Transformer repairs to small KVA transformers.
Account No. 596200 - Professional Services - Other,
Detailed
Name
1 Environmental Disposal Oil & Hazardous waste removal
FY2020 FY2021
Budget Budget
77,000 80,000
$ 77,000 $ 80,000
FY2020 FY2021
Budget Budget
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
642,524
727,272
$ 7,067,764 $
7,999,992
FY2020 FY2021
Budget Budget
10.000 20,000
$ 10,000 $ 20,000
1 of 1
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.8400 BUILDING MAINTENANCE
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
EXPENSES:
SALARIES
$ - $ -
$ 62,884
-
-
$ 62,884
BENEFITS
- -
44,192
14,910
(225,000)
44,192
SUPPLIES/SERVICES
283,090 -
298,000
14,910
(283,090)
298,000
TOTAL EXPENSES
283,090 -
405,076
14,910
(283,090)
298,000
CAPITAL
255,000 -
385,000
130,000
(255,000)
385,000
Salaries Salaries Increase
EMPLOYEE TITLE FTE Budget Budget (Decrease)
Utility Maintenance Worker 1.00 $ - $ 62,884 $ 62,884
Overtime - - -
Payout (vacation and sick excess hours) - - -
Stand-by - - -
DEPARTMENT TOTALS 1.00 $ - $ 62,884 $ 62,884
CITY OF VERNON
Fund 055 Department 8400 - UP Fund Building Maintenance Department
Budget Detail
2020-2021
DEPARTMENT:
A B C
C-A B-A
C-B
FY2020 FY2020 FY2021
Increase Increase
Increase
Budget Forecast Budget
(Decrease) (Decrease)
(Decrease) Comments
EXPENSES:
SALARIES
501010 Salaries - Regular
62,884
62,884
62,884
501012 Salaries - Premiums
-
-
- Union change in standby pay rotation through crew,
501020 Salaries - O.T.
-
-
- Includes built in rotating shift OT for 24/7 coverage,
TOTAL SALARIES
62,884
62,884
62,884
BENEFITS
502020 Retirement
19,256
19,256
19,256
502030 Insurance Premiums - Medical
24,024
24,024
24,024
502060 FICA Taxes
912
912
912
TOTAL BENEFITS
44,192
44,192
44,192
SUPPLIES/SERVICES
520000 Supplies 4,000 4,000 - (4,000) 4,000
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8400 - BUILDING MAINTENANCE
SUPPLIES & SERVICES
2020-2021
Account No. 520000 - Supplies
Detailed FY2020 FY2021
Name Description Budget Budget
Home Depot, Staples,
Office Max, City
1 Warehouse
Janitorial Supplies - floor wax, coffee, napkins, toilet paper, soap, etc..
4,000
4,000
Misc. department and office supplies (training binders, dividers, writing utensils,
notepads, etc..)
$ 4,000
$ 4,000
Account No. 540000 - Uniforms
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
Uniform Supplier/PPE
PPE/FR Gear/Safety Boots/VPU Standard Issue
2,000
Account No. 570000 - Vehicle Expense
Detailed
Name
$ - $ 2,000
FY2020 FY2021
Budget Budget
1 Forklift/Cart Forklift Fuel and Service L182 / Electric Cart Service L411 3,090 3,500
2 Vehicle Expense Vehicle Fuel and Maintenance - 3,500
$ 3,090 $ 7,000
Account No. 590000 - Repair & Maintenance
Detailed
Name
1 To be bid Facilities maintenance items (UPS Routine Maintenance included)
Plant Safety Equipment Replacement/Maintenance items
2 To be bid (Based on Starr Loss Prevention & Risk Assessment recommendation)
FY2020 FY2021
Budget Budget
50,000 50,000
50,000 50,000
3 To be bid Elevator Major Overhaul 100,000 100,000
4 To be bid Bay Door Motor and Repair 25,000 25,000
$ 225,000 $ 225,000
■
Account No. 596200 - Professional Services Other
Name
1 Western Allied
2 Thyssen
3 KoneCrane
4 Competitive Bid
5 Competitive Bid
6 Competitive Bid
7 Dewey Pest Control
8 Advanced Electronics
Detailed
Building Air Conditioner Service Contract
Elevator Maintenance Service Contract
Crane Maintenance Service Contract
Trash Removal Service Contract
Janitorial Service (Common Area Services)
Backflow Device Testing
Pest and Rodent
Electronic Door Lock Service Contract
FY2020 FY2021
Budget Budget
10,000
15,000
5,000
7,000
5,000
7,000
10,000
10,000
11,000
11,000
500
500
4,500
5,500
5,000
4,000
$ 51,000 $
60,000
1 of 1
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 8400 - BUILDING MAINTENANCE
CAPITAL
2020-2021
Account No. 900000 - Capital Outlays
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 To be bid
Replace Cracked Windows & Tint South Facing @ Station A & Leonis
-
25,000
2 To be bid
Engine Room Air Banks & Associated Piping
25,000
25,000
3 To be bid
Install Bollard System to protect VS LS Sub from TC & Sabotage
-
25,000
4 To be bid
Elevator Replacement
-
50,000
5 To be bid
Roofing, Air Conditioning and Safety Improvements including OE Clark
100,000
200,000
Upgrade Remodel Restroom facility from 1930's Station A
6 To be bid
50,000
50,000
Dept. Emergency Operations Center/Backup Control Room
7 COV IT
-
5,000
8 To be bid
Electrical Backup Control Room (ACC Switch)
80,000
5,000
$ 255,000
$ 385,000
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.9000 ADMINISTRATION
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease)
TOTAL REVENUES $ 28,517,808 $ $ 547,595 $ (9,810,402) $ (10,357,997) $ 547,595
EXPENSES:
SALARIES
BENEFITS
SUPPLIES/SERVICES
TOTAL EXPENSES
CAPITAL
$ 1,017,052 $
$ 1,214,550 $
197,498
$ (1,017,052) $
1,214,550
441,981
539,607
97,626
(441,981)
539,607
58,450,677
59,690,775
1,240,097
(58,450,677)
59,690,775
$ 59,909,710 $
$ 61,444,932 $
1,535,221
$ (59,909,710) $
61,444,932
360,000 90,000 (270,000) (360,000) 90,000
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Proposed
Proposed
(Decrease)
Account Clerk, Senior
2.00 $
134,973
$ 129,834 $
(5,139)
Administrative Analyst
1.00
98,483
102,433
3,950
Assistant General Manager of Public Utilities
1.00
225,725
246,515
20,790
General Manager of Public Utilities
1.00
253,662
304,440
50,778
Utilities Compliance Administrator
2.00
291,009
317,811
26,802
Utilities Compliance Analyst
1.00
-
102,432
102,432
Overtime
2,000
2,000
-
Payout (vacation and sick excess hours)
11,200
9,085
(2,115)
Stand-by
-
-
DEPARTMENT TOTALS 8.00 $ 1,017,052 $ 1,214,550 $ 197,498
DEPARTMENT:
055.9000 ADMINISTRATION
CITY OF VERNON
Fund 055 Department 9000 - VPU Fund Administration Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
REVENUES:
9200 450027 Natural Gas Sales - Prepaid/COV Retail
-
- -
- -
-
056.5600.500167 - moved to 9200
9200 450028 Natural Gas Sales - Prepaid/SMUD Whole.
-
- -
- -
-
056.5600.500168 - moved to 9200
466900 Miscellaneous Revenues
-
- -
- -
-
469300 Reserve Applied
9,307,997
- (502,405)
(9,810,402) (9,307,997)
(502,405)
600105 Proceeds From Long -Term Debt
-
- -
- -
-
600910 Other Income
50,000
- 50,000
- (50,000)
50,000
Sell of NOX credit.
610110 Investment Income
1,000,000
- 1,000,000
- (1,000,000)
1,000,000
610170 Unrealized (Gain)Loss on Investments
-
- -
- -
-
690100 Operating Transfer In
-
Transfer -in from Gas Fund
TOTAL REVENUES $
10,357,997 $
$ 547,595
(9,810,402) (10,357,997)
5 77,595
SALARIES
501010 Salaries -Regular $
980,447 $
- $ 1,183,460
203,013
(980,447)
1,183,460
501012 Salaries - Premiums
34,605
- 29,090
(5,515)
(34,605)
29,090
501020 Salaries - O.T.
2,000
2,000
(2,000)
2,000
TOTAL SALARIES
1,017,052
1,214,550
197,498
(1,017,052)
1,214,550
BENEFITS
502020 Retirement
286,099
- 356,651
70,552
(286,099)
356,651
502030 Insurance Premiums - Medical
141,135
- 165,345
24,210
(141,135)
165,345
502060 FICA Taxes
14,747
- 17,611
2,864
(14,747)
17,611
Medicare tax was calculated using gross wages.
TOTAL BENEFITS
441,981
539,607
97,626
(441,981)
539,607
SUPPLIES/SERVICES
503035 Insurance Premiums - Property/Crime
335,000
- 402,000
67,000
(335,000)
402,000
Based on Property Insurance Analysis &
consistent with the 5 year projection
520000 Supplies
20,787
- 22,287
1,500
(20,787)
22,287
Emergency meals and water
520010 Supplies - IT
50,000
- 50,000
-
(50,000)
50,000
Transferred from IT Budget General Fund
530010 In -Lieu Taxes
4,925,975
- 5,301,659
375,684
(4,925,975)
5,301,659
3 % of Retail sales paid as franchise tax to
General Fund. Resource Department Analysis
530015 Real Estate Taxes
-
- -
-
-
-
2/3 Property tax on Kern county Wind Farm
530030 Bad Debt Expense
-
- -
-
-
-
540000 Uniforms
10,000
- 10,000
-
(10,000)
10,000
550000 Advertisement/Promotion
85,000
- 85,000
-
(85,000)
85,000
Rebranding & promote APPA RP3 Diamond
Award
560000 Utilities
448,821
- 448,821
-
(448,821)
448,821
Annual street light electrical expense. Consistent
with 5 year projection
560010 Utilities - IT
14,208
- 14,208
-
(14,208)
14,208
Transferred from IT Budget General Fund
570000 Vehicle Expense
10,000
- 10,000
-
(10,000)
10,000
L1047 - Chevrolet Trailblazer, 1008 - Chevy
Tahoe, 176 Dodge Charger
590000 Repairs & Maintenance
10,000
- 20,000
10,000
(10,000)
20,000
590110 Repairs & Maintenance - IT
-
- -
-
-
-
Typewriter annual service
592010 Bank Service Fees
30,000
- 30,000
-
(30,000)
30,000
Bank of New York admin and wire processing
fees.
592013 Investment Fees
101,000
- 101,000
-
(101,000)
101,000
Future Investment Management Services by
Morgan Stanley Escrow, PFM & Grant Thorton,
LLP - 2015A Bond Issuance closed on July
2015.
593200 Professional Services - Legal
190,000
- 300,000
110,000
(190,000)
300,000
Latham, Kahn Soares, Spiegel, Lewis Brisbois
and Orrick legal services. Removed Nielsen
Merksamer Parrinello services.
595200 Professional Services - Technical
1,830,000
- 2,940,000
11110,000
(1,830,000)
2,940,000
Macias Gin! & O'Connell's & Standard/Poors
Services
596200 Professional Services - Other
1,600,000
- 1,675,000
75,000
(1,600,000)
1,675,000
Port Canaveral, CH2MHILL, Common Area,
RMG services and NERC Compliance, SCPPA
596500 Travel
54,600
- 54,600
-
(54,600)
54,600
NERC/WECC Conference and CUG/CIPUG,
CPUC, CUEA, SCPPA, CEC, SMUA, APPA,
SCAQMD,COTP
596550 Membership Dues
161,994
- 167,150
5,156
(161,994)
167,150
California Municipal Association & Climate
Registry, APPA, ICE, CUEA, APPA, RMG
596600 Books & Publications
27,920
- 27,920
-
(27,920)
27,920
Various publication subscription: APPA, Eastern
Group Publications, Thomson Routers
596700 Employee Development & Training
154,000
- 162,000
8,000
(154,000)
162,000
Nerc Compliance, Performance Fred Pryor,
SCAPPA, APPA, WECC.
599800 General City Administrative Service Exp
3,079,051
- 3,140,632
61,581
(3,079,051)
3,140,632
Transfer to general fund. Resource Department
Analysis
760005 Bond Principal Retirement
25,815,000
- 29,520,000
3,705,000
(25,815,000)
29,520,000
2008, 2009, Series A
760010 Bond Interest Paid
19,497,322
- 15,208,498
(4,288,824)
(19,497,322)
15,208,498
2008, 2009 and 2012 A, B Series
790100 Operating Transfer Out
-
Without Measure Q
TOTAL SUPPLIES/SERVICES
58,450,677
59,690,775
1,240,097
(58,450,677)
59,690,775
TOTAL EXPENDITURES $
59,909,710 $
$ 61,444,932
1,535,221
(59,909,710)
61,444,932
CAPITAL
860000 IT Equipment & Software - - - - - - Budget Transferred to IT Department 011.9019
900000 Capital Outlay 360,000 90,000 (270,000) (360,000) 90,000 City Retained Land Project in Kern County
TOTAL CAPITAL 360,000 90,000 (270,000) (360,000) 90,000
1 Of
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9000 - ADMINISTRATION
SUPPLIES & SERVICES
2020-2021
Account No. 520000 - Supplies
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 Office depot, Staples, Homedepot,
General office supplies and supplies
10,000
10,000
etc
2 Fedex, etc
Delivery services
1,000
1,000
3 To be bid
Annual Preliminary Notice
2,987
2,987
4 To be bid
Ink refills, regular & custom rubber stamps
300
300
5 To be bid
MIRE Small Meals for Emergency
3,000
3,000
6 To be bid
MIRE Full Meals for Emergency
2,000
2,000
7 Office depot, home depot, etc
Emergency supplies, including water and first aid materials
1,000
2,000
8 Silva Printing
Business Cards
500
1,000
$ 20,787 $
22,287
Account No. 520010 - Supplies IT
Detailed FY2020 FY2021
Name Description Budget Budget
1 IT Software and Hardware Miscellaneous IT Purchases 50,000 50,000
$ 50,000 $ 50,000
Account No. 530010 - In -Lieu Taxes
Detailed FY2020 FY2021
Description Budget Budget
3% of Retail sales paid as franchise tax to General Fund, excluding in -lieu tax which is
1 Franchise Taxes accounted for in the rates (formula includes 2.91 % of Sale of Electricity [Retail Sales]) 4,925,975 5,301,659
$ 4,925,975 $ 5,301,659
1
Account No. 503035 - Insurance Premiums (Property)
Detailed FY2020 FY2021
Description Budget Budget
Property Insurance
Account No. 530015 - Real Estate Taxes
335,000 335,000
$ 335,000 $ 335,000
Detailed FY2020 FY2021
Name Description Budget Budget
1 Property Taxes Placed into capital per Finance - Kern County
Account No. 540000 - Uniforms
1 To be bid
Detailed FY2020 FY2021
Name Description Budget Budget
Office Staff Uniforms
10,000 10,000
$ 10,000 $ 10,000
1 of 6
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9000 - ADMINISTRATION
SUPPLIES & SERVICES
2020-2021
Account No. 550000 - Advertisement & Promotions
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 To be bid
Branding and promoting APPA RP3 Diamond Award
50,000
50,000
2 To be bid
Marketing materials: legislative/community outreach
2,000
2,000
3 To be bid
Website
20,000
20,000
4 Various
Job Recruitment
3,000
3,000
5 Vernon Facility Tours
SCPPA, Governmental Affairs, Compliance, Historical
10,000
10,000
$ 85,000 $
85,000
Account No. 560000 - Utilities
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1
Annual Street Light Electrical Expense
448,821
448,821
$ 448,821 $
448,821
Account No. 560000 - Utilities IT
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Verizon Wireless
Telecommunication Charges
7,244
7,244
2 AT&T CalNet2
Telecommunication Charges
4,152
4,152
3 AT&T Wireless
Telecommunication Charges
2,812
2,812
$ 14,208 $
14,208
Account No. 570000 - Vehicle Expense
Detailed FY2020 FY2021
Name Description Budget Budget
1 City Vehicles City Hall Pool Vehicles Repair, Maintenance, & Fuel 10,000 10,000
$ 10,000 $ 10,000
Account No. 590000 - Repair & Maintenance
Detailed FY2020 FY2021
Name Description Budget Budget
1 To be bid Misc. Repairs & Maintenance 1,000 20,000
$ 1,000 $ 20,000
Account No. 590110 - Repair & Maintenance IT
Detailed FY2020 FY2021
Name Description Budget Budget
2of6
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9000 - ADMINISTRATION
SUPPLIES & SERVICES
2020-2021
Account No. 592013 - Investment Fess
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Morgan Stanley Escrow & Custody
Potential Escrow Services
1,000
1,000
Escrow, Grant Thorton, LLP
2 PFM
Potential Investment Management
Services
100,000
100,000
$ 101,000 $
101,000
Account No. 592010 - Bank Service Fees
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 THE BANK OF NEW YORK
Admin and wire processing fees.
30,000
30,000
MELLON, TRUST COMPANY
$ 30,000 $
30,000
Account No. 593200 - Professional Service Legal
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 Spiegel & McDiarmid, LLP
Professional legal services
40,000
-
2 Latham & Watkins
Professional legal services
50,000
50,000
3 Kahn Scares & Conway, LLP
Professional legal services
-
-
4 Lewis Brisbois Bisgaard
Professional legal services
50,000
5 Orrick, Herrington & Sutcliffe
Professional legal services
50,000
-
6 Special Counsel
Litigation Matters
-
250,000
$ 190,000 $
300,000
Account No. 595200 - Professional Service Technical
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 PFM
Investment Management and general financial advisory services fees
25,000
2 BLX Group LLC
L&P Financial Audits
15,000
-
2 Macias Gini & O'Connell
L&P Financial Audits
20,000
40,000
3 Standard & Poor'
Risk Assement Module
20,000
-
4 BLX Group LLC
Financial Advisory Services
200,000
200,000
5 Morgan Lewis
Legal Counsel Asset Acquisition Services
1,550,000
2,550,000
6 To be bid
Gas Compliance Services
150,000
$ 1,830,000 $
2,940,000
3of6
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9000 - ADMINISTRATION
SUPPLIES & SERVICES
2020-2021
Account No. 596200 - Professional Service Other
Detailed FY2020 FY2021
Name Description Budget Budget
1 TBD
2 Jacobs
3 SCPPA
4 RMG
5 Santa Fe Building Maintenance
6 Everbridge
7 To be bid
8 HPI Seminar
9 Interns
10 To be bid
11 To be bid
12 To be bid
13 TBD
14 TBD
Consulting Services for strategic and business plan development
Consultant services for regulatory and environmental compliance matters.
Palo Verde Project
Consulting services to perform credit review of specific trading counterparties
Janitorial Services
Customer Notification Safey Mobile App
Third Party Compliance Consultant / verifier
Human Performance Improvement Expert
Internsship Opportunities
Security Services all facilities
Compliance Management Software & Process Documentation
Legislative Support/ Research/ Technical Writing
Technical Generation Expertise & Jawbone / Litigation Matters
Enterprise Risk Management Program and Mitigation Plan
130,000
150,000
1,000,000
750,000
40,000
40,000
15,000
15,000
25,000
25,000
5,000
5,000
10,000
10,000
-
5,000
50,000
-
200,000
100,000
100,000
25,000
25,000
250,000
250,000
$ 1,600,000 $ 1,675,000
Account No. 596500 - Travel
Event FY2020 FY2021
Type Name Budget Budget
1 APPA
APPA
10,000
10,000
2 CMUA
CMUA
5,000
5,000
3 League of Cities
League of Cities
1,000
1,000
5 SCAQMD
SCAQMD
1,000
1,000
4 CEC
CEC
2,000
2,000
5 COTP
COTP
1,000
1,000
6 OSHA
OSHA
2,000
2,000
7 SCPPA
SCPPA
5,000
5,000
8 CUEA
CUEA
3,000
3,000
9 CPUC
CPUC
3,000
3,000
10 Performance (Fixed Pryor)
Performance (Fixed Pryor)
1,600
1,600
11 Human Performance
Human Performance
10,000
10,000
12 Regulartory Compliance
Regulartory Compliance
10,000
10,000
$ 54,600 $
54,600
Account No. 596550 - Memberships
Detailed
FY2020
FY2021
Name
Description
Budaet
Budaet
1 CMUA
California Municipal Utilities Association - Membership Dues plus 5% annual increases
66,544
70,000
2 RMG
RMG Financial Consulting, Inc. Annual Membership dues
750
750
3 APPA
APPA Annual Dues
37,000
37,000
4 CUEA
Annual Invoice (Mutual Aid)
800
800
5 TBD
Regulatory standards & aging infrastructure & Workflow
22,000
22,000
6 AWWA
Membership
1,000
1,000
7 BizFed
Legislative Resource
5,000
6,000
8 APPA
Deed Program - Research and Development
8,900
8,900
9 ACWA
Water legislative and regulatory issues
15,000
15,000
10 Planet Bids
Competitive Bidding Platform
5,000
5,000
11 Western Energy Institute
Shared membership through SCPPA
615
700
$
162,609 $
167,150
4 of 6
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9000 - ADMINISTRATION
SUPPLIES & SERVICES
2020-2021
Account No. 596600 - Books & Publications
Detailed
Name
1 Incisivemedia
Incisivemedia
2 News Data Corporation
News Data Corporation
3 Eastern Group Publications
RFP and Competitive Bid advertisement
4 The Economist
The Economist
5 The Wall Street Journal
The Wall Street Journal
6 Thomson Reuters/Barclays
Thomson Reuters/Barclays
7 AWWA
Reference, Procedure, Industry Standard
8 IEEE/ANSI Standards
Purchase of Standards
9 APPA and other industry publiciatior Industry Publications
10 CapitolTrack
Legislative Tracking Service
11 California Energy Markets
Publication Subscription - News
Account No. 596700 - Employee Development & Training
Name
1 NERC/WECC
2 Fred Pryor
3 PMP
4 SCPPA
5 APPA/AWWA
6 NERC
7 Industry Training Organization
8 Osha, State and Federal Agencies
9 Enterprise Risk Management
10 Internal Training & Development
FY2020 FY2021
Budget Budget
1,000
1,000
2,500
2,500
2,500
2,500
250
250
250
250
500
500
5,000
5,000
1,000
1,000
11,000
11,000
2,500
2,500
1,420
1,420
$ 27,920 $
27,920
Detailed FY2020 FY2021
Description Budget Budget
NERC/WECC Compliance Program
Performance (Fred Pryor)
Project Management Professional (PMP)
SCPPA Training
Industry Training
NERC Workshop
Regulatory Standards and Cyber Security
Certifications, safety training
training
training
Account No. 599800 - General City Administrative Service
Detailed
Name
10,000
10,000
10,000
10,000
20,000
10,000
30,000
40,000
12,000
20,000
10,000
10,000
50,000
50,000
5,000
5,000
7,000
7,000
$ 154,000 $
162,000
FY2020 FY2021
Budget Budget
1 City of Vernon Overhead Allocation 3,079,051 3,140,632
3,079,051 3,140,632
Account No. 760005 - Principal on Bonds
Detailed FY2020 FY2021
Name Description Budget Budget
1 All Bonds Principal Repayment 25,815,000 $ 29,520,000
$ 25,815,000 $ 29,520,000
5of6
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9000 - ADMINISTRATION
SUPPLIES & SERVICES
2020-2021
Account No. 760010 - Interest on Bonds
Detailed
Name
FY2020 FY2021
Budget Budget
1 All Bonds Interest Payments 19,497,322 $ 15,208,498
$ 19,497,322 $ 15,208,498
Account No. 790100 - Operating Transfer Out
Detailed
Reimbursement transfer for General Government Services (Excludes Legal Services),
Risk Management Services, Fire Services, Police Services, Public Work Services,
1 Transfer Health Services.
FY2020 FY2021
Budget Budget
6of6
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9000 - ADMINISTRATION
CAPITAL
2020-2021
DEPARTMENT:
055.9000 ADMINISTRATION
Name
Detailed
Description
FY2020
Budget
FY2021
Budget
1 TBD
Maintenance Service to all MET towers
-
-
Consultant - additional $250,000 to be paid out of Public
2 Jawbone Property R&D
Benefits for R&D
250,000
-
Strategic Planning Consulting
3 Services
Project Management
10,000
-
4 Simon Wind
Meteorological Studies
35,000
35,000
5 Wireless Innovation
Modem minutes to all MET towers
25,000
15,000
6 Property Taxes
Kern County Wind Farm Property
40,000
40,000
$ 360,000
$ 90,000
1 of 1
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.9100 ENGINEERING
A B
C C-A
B-A
C-B
FY2020 FY2020
FY2021 Increase
Increase
Increase
Budget Forecast
Budget (Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES $ 1,350,000 $ -
$ 1,350,000 $ -
$ (1,350,000) $
1,350,000
EXPENSES:
SALARIES $ 1,114,091 $ $ 1,154,073 $ 39,982 $ (1,114,091) $ 1,154,073
BENEFITS 439,050 490,849 51,799 (439,050) 490,849
SUPPLIES/SERVICES 344,000 372,000 28,000 (344,000) 372,000
TOTAL EXPENSES
$ 1,897,141 $
$ 2,016,922 $
119,781 $
(1,897,141) $
2,016,922
CAPITAL
9,675,000
9,395,000
(280,000)
(9,675,000)
9,395,000
EMPLOYEE TITLE
FTE
Salaries
Budget
Salaries
Budget
Increase
(Decrease)
Administrative Assistant, Senior
1.00 $
66,657
$ 69,330 $
2,673
Associate Electrical Engineer
1.50
288,338
187,160
(101,178)
Computer Aided Drafting Technician
-
56,152
-
(56,152)
Electric Engineering Technician
0.80
-
64,207
64,207
Electrical Engineer
3.00
321,237
464,834
143,597
Utilities Engineering Manager
0.70
123,803
128,767
4,964
Utilities Project Coordinator
1.00
145,704
151,539
5,835
Overtime
8,000
8,000
-
Payout (vacation and sick excess hours)
43,500
19,536
(23,964)
Stand-by
60,700
60,700
DEPARTMENT TOTALS 8.00 $ 1,114,091 $ 1,154,073 $ 39,982
DEPARTMENT:
055.9100 ENGINEERING
REVENUES:
464000 Joint Pole Revenue
450121 Construction Revenue
469300 Reserve Applied
TOTAL REVENUES
SALARIES
501010 Salaries - Regular
Salaries - Premiums
501012
Salaries - O.T.
501020
TOTAL SALARIES
BENEFITS
502020 Retirement
502030 Insurance Premiums - Medical
502060 FICA Taxes
TOTAL BENEFITS
SUPPLIES/SERVICES
520000
Supplies
520010
Supplies - IT
540000
Uniforms
560000
Utilities
570000
Vehicle Expense
590000
Repairs & Maintenance
590110
Repair & Maintenance - IT
596200 Professional Services - Other
596500 Travel
596550 Memberships
596600 Books & Publications
596700 Training
TOTAL SUPPLIES/SERVICE
TOTAL EXPENSES
CAPITAL
860000 IT Equipment & Software
900000 Capital Outlays
TOTAL CAPITAL
CITY OF VERNON
Fund 055 Department 9100 - L&P Fund Electrical Engineering
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
350,000 350,000 (350,000) 350,000
1,000,000 1,000,000 (1,000,000) 1,000,000 Rplanet Earth - Added Facilities Charges (To
be received)
- - - Rplanet Earth - Added Facilities Charges
(Already received)
1,350,000 1,350,000 (1,350,000) 1,350,000
975,550
1,038,438
62,888 (975,550)
1,038,438
Alocation to Dept 8100.
130,541
107,635
(22,906) (130,541)
107,635
Union change in standby pay rotation through
crew, USOP, vacation & sick excess payout.
8,000
8,000
- (8,000)
8,000
FY2016 Budget based on most recent 26 pay.
1,114,091
1,154,073
39,982 (1,114,091)
1,154,073
286,637 321,157 34,520 (286,637) 321,157
136,259 152,958 16,699 (136,259) 152,958
16,154 16,734 580 (16,154) 16,734
439,050 490,849 51,799 (439,050) 490,849
18,000
18,000
(18,000)
18,000
5,000
12,000
7,000
(5,000)
12,000
500
500
-
(500)
500
7,000
10,000
3,000
(7,000)
10,000
237,500
255,500
18,000
(237,500)
255,500 Software and liscencing for addiitonal
equipment purchased
15,000
15,000
-
(15,000)
15,000
12,000
12,000
(12,000)
12,000
2,000
2,000
(2,000)
2,000
2,000
2,000
(2,000)
2,000
45,000
45,000
(45,000)
45,000 Various software and utility practices
344,000
372,000
28,000
(344,000)
372,000
1,897,141 2,016,922 119,781 (1,897,141) 2,016,922
9,675,000 9,395,000 (280,000) (9,675,000) 9,395,000 Scheduled capital projects
9,675,000 9,395,000 (280,000) (9,675,000) 9,395,000
1 of 1
Account No. 520000 -
Name
1 Staples Business Solutions
2 Duron Business Forms
3 Graybar
4 Home Depot
5 ARC
6 Royal Wholesale
7 Walters Technology
8 Current Wholesale
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9100 - ELECTRICAL ENGINEERING
SUPPLIES & SERVICES
2020-2021
Detailed FY2020 FY2021
Description Budget Budget
General offices supplies
Perforated laser sheets forms
General Supplies
General Supplies
General Supplies
General Supplies
General Supplies
General Supplies
Account No. 540000 - Uniforms
2,000
2,000
1,000
1,000
2,000
2,000
3,000
3,000
3,000
3,000
2,000
2,000
3,000
3,000
2,000
2,000
$ 18,000 $
18,000
Detailed FY2020 FY2021
Name Description Budget Budget
1 Shoeteria Steel toe shoes and boots for engineers 1,050 2,000
2 PPE FIR Gear for Field Inspection 5,000 10,000
$ 6,050 $ 12,000
0
Account No. 560000 - Utilities
Detailed FY2020 FY2021
Name Description Budget Budget
Engineering Division use of City utilities
Account No. 570000 - Vehicle Expense
Name
1 City Vehicles
500 500
$ 500 $ 500
Detailed FY2020 FY2021
Description Budget Budget
Engineering Pool and Utilities Engineering Manager Vehicle 7,000 10,000
Maintenance and Fuel $ 7,000 $ 10,000
1 of 3
Account No. 590110 -
Name
1 Survalent Technology
2 Digital Map Products
3 Operation Technology
4 Xerox
5 Milsoft
6 ETAP
7 CAISO Rig Maint/Support
8 AutoCAD
9 GIS - Updates, note pads
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9100 - ELECTRICAL ENGINEERING
SUPPLIES & SERVICES
2020-2021
r & Maintenance IT
Detailed FY2020 FY2021
Description Budget Budget
SCADA annual maintenance service
CITY GIS map data services
ETAP upgrade & maintenance services
Xerox Corporation maintenance services
Milsoft firmware maintenance
ETAP Support
Rig
AutoCAD Annual Support
Updates to GIS and purchase of field note pads
Account No. 596200 - Professional Services Other
50,000
50,000
75,000
75,000
15,000
15,000
10,000
10,000
1,000
5,000
25,000
25,000
20,000
5,500
5,500
50,000
50,000
$ 231,500 $
255,500
Detailed FY2020 FY2021
Name Description Budget Budget
1 SCJP Southern California Joint Pole services 15,000 15,000
$ 15,000 $ 15,000
Account No. 596500 - Travel
Event FY2020 FY2021
Type Name Budget Budget
1 City Employee Various travel expenses related to utility meetings 12,000 12,000
EUSERC, G.O.95, IEEE, Joint Pole Committee
$ 12,000 $ 12,000
Account No. 596550 - Memberships
Name
IEEE, EUSERC, GO 95,
1 P.E., etc.
Membership dues
Detailed FY2020 FY2021
Description Budget Budget
2,000 2,000
$ 2,000 $ 2,000
2 of 3
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9100 - ELECTRICAL ENGINEERING
SUPPLIES & SERVICES
2020-2021
Account No. 596600 - Books & Publications
Detailed FY2020 FY2021
Name Description Budget Budget
ANSI, IEEE and Technical
1 Specs. Engineering and technical articles and standards 2,000 2,000
$ 2,000 $ 2,000
Account No. 596700 - Training
Event FY2020 FY2021
Name Budget Budget
1 SCPPA, Fred Pryor, SCADA, e City Employee training: Engineering, SCADA, 45,000 45,000
Safety, system protection, and employee development
$ 45,000 $ 45,000
3of3
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9100 - ELECTRICAL ENGINEERING
CAPITAL
2020-2021
Account No. 900000 - Canital Outla
Name
FY2020
Budget
FY2021
Budget
1
Engineering Support Contract Svcs (Leonis Transformer bank Replacement)
150,000
150,000
2
Leonis Substation Transformer Upgrades
Bank No. 3 Conversion
-
-
Bank No. 4 Replacement
-
750,000
Bank No. 5 Replacement
1,300,000
750,000
Bank # 2 Replacement
1,000,000
-
Bank No. 1 Replacement
-
1,500,000
3
Engineering Support Contract Services (Vernon Aux Bank #6 & 7)
300,000
-
4
Vernon 66/7KV Bank #2 Replacement/Oil Containmeni
50,000
-
5
Vernon Substation Improvements, Aux 6&7 Replacement, UPS 1 & 2
50,000
1,100,000
6
Vernon Substation Relay replacement and Arc Flash Improvements
200,000
100,000
7
Relay replacement and Arc Flash Improvements at Ybarra Substation
100,000
20,000
8
Engineering Support Contract Services (New West substation)
200,000
-
9
Construction of a new West Side Substation
-
-
10
Construction of a new BNSF Substation
-
-
11
7 to 16 KV Voltage Conversion
1,500,000
500,000
12
54th Street 7KV rebuilt/Soto Street UG Improvements
700,000
-
13
Hi Voltage Cable Replacement - Vernon Substation Getaways
500,000
750,000
14
New electric system extensions and new customer connections
400,000
600,000
15
Department portion of 16 KV Consumer Substation Upgrades/R.P.E.
100,000
100,000
16
Street paving for Public Works due to V&G underground construction in the public right-of-way.
150,000
150,000
17
Distribution Capacitor Banks and Controls/Smart Grid/Reclosers
300,000
200,000
18
Underground Distribution Switch Replacement
100,000
100,000
19
SCADA and Communications System Network Managemeni
100,000
500,000
20
Dist. System Improvements related to Frontage Improvements
200,000
200,000
1 of 2
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9100 - ELECTRICAL ENGINEERING
CAPITAL
2020-2021
Account No. 900000 - Capital Outlays
21 Street Lighting - HPS Conversion to L.E.D.
22 Equipment purchases (transformers, switches)
23 Water Department Projects well sites and pumping stations
24 Deteriated Wood Pole Replacement
25 Leonis Substation Relay replacement and improvements
26 Leonis Substation Augmentation of 66 KV Relays
27 Vernon Substation Sync Check System
28 Vernon Substation and Ybarra Substation Digital Fault Recorders
Cont'd from previous page
200,000
200,000
500,000
500,000
250,000
250,000
800,000
800,000
100,000
100,000
25,000
25,000
200,000
25,000
200,000
25,000
TOTAL 9,675,000
9,395,000
2of2
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
055.9200 RESOURCE PLANNING
A B
C
C-A
B-A
C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES $ 33,719,362 $
$ 32,511,988
$ (1,207,374) $
(33,719,362) $
32,511,988
EXPENSES:
SALARIES $ 1,050,237 $ $ 685,441 $ (364,796) $ (1,050,237) $ 685,441
BENEFITS 408,596 - 277,248 (131,348) (408,596) 277,248
SUPPLIES/SERVICES 131,495,816 134,069,220 2,573,404 (131,495,816) 134,069,220
TOTAL EXPENSES $ 132,954,649 $ - $ 135,031,909 $ 2,077,260 $ (132,954,649) $ 135,031,909
CAPITAL - - - - - -
EMPLOYEE TITLE
FTE
Salaries
Budget
Salaries
Budget
Increase
(Decrease)
Associate Resource Scheduler
1.00 $
240,914
$ 132,232 $
(108,682)
Intergrated Resource Manager
-
257,972
-
(257,972)
Principal Resource Scheduler / Trader
2.00
307,259
349,779
42,520
Resource Planner
-
125,692
-
(125,692)
Settlement Analyst [0000]
1.00
-
102,432
102,432
Overtime
8,500
8,500
-
Payout (vacation and sick excess hours)
39,900
22,498
(17,402)
Stand-by
70,000
70,000
DEPARTMENT TOTALS
4.00 $
1,050,237
$ 685,441 $
(364,796)
DEPARTMENT: I
055.9200 RESOURCE PLANNING
REVENUES:
450011
Sale of Resource Adequacy capacity - Whole
450015
RA Capacity Sales
450022
Transportation Revenue- COV Retail
450026
Natural Gas Sales - COV Retail
450027
Natural Gas Sales - Prepaid/COV Retail
450028
Natural Gas Sales - Prepaid/SMUD Wholesa
450030
ARB Allocated Allowance
450031 Renewables Transactions
450340 Transmission Revenue
500162 Biomethane Option Agreement Settlement
CITY OF VERNON
Fund 055 Department 9200 - L&P Fund Resource Planning Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Explanation
3,137,694
4,841,583
1,703,889
(3,137,694)
426,888
582,863
155,975
(426,888)
8,427,093
7,523,745
(903,348)
(8,427,093)
11,636,245
8,392,748
(3,243,497)
(11,636,245)
5,997,775
6,532,020
534,245
(5,997,775)
2,593,667
3,139,029
545,362
(2,593,667)
1,500,000
1,500,000
(1,500,000)
4,841,583 The City has excess local resources adequacy capacity
582,863 Transportation provided to Gas Fund.
7,523,745 Market gas sold to Gas Fund, reflects lower gas prices
8,392,748 Reflects lower market prices from last year and contract
6,532,020 ARB allocates free GHG allowances to load serving entities
such as the City of Vernon to minimize the rate impact of
- In order to align the accounting with the actual cash flow,
this amount is netted with the cost of renewable energy
purchases.
3,139,029 The City's Transmission Revenue Requirement is a pass -
through of its transmission service contract costs with SCE
and LADWP. The Budget reflects increased Transmission
Revenue Requirement due to an increase in SCE's
transmission service cost.
1,500,000 The City and its biomethane suppliers entered into an
Biomethane Option Agreement pursuant to which the
suppliers sell the biomethane into the transportation
market where its more profitable at this time and the City
purchases cheaper renewable energy from the market. On
a quarterly basis, the parties settle the results of the
transactions and share the benefits resulting from the
transactions. The budget reflects lower revenues received
from settlement of the Biomethane Option Agreements due
to the tightening of the market between the fuel and RINs
prices.
TOTAL REVENUES
33,719,362
32,511,988
(1,207,374)
(33,719,362)
32,511,988
SALARIES
Salaries - Regular
865,391
529,616
(335,775)
(865,391)
529,616 Initial Budget cost of living and merit increase has been
501010
proposed. Staff reallocation
Salaries - Premiums
176,346
147,325
(29,021)
(176,346)
147,325 Union change in standby pay rotation through crew,
501012
USOP, vacation & sick excess payout.
501020 Salaries - O.T.
8,500
8,500
(8,500)
8,500 FY2016 Budget based on most recent 26 pay.
TOTAL SALARIES
1,050,237
685,441
(364,796)
(1,050,237)
685,441
BENEFITS
502020 Retirement
266,793
174,083
(92,710)
(266,793)
174,083 Retirement contribution for Robin Tolmasoff included
502030 Insurance Premiums - Medical
126,575
93,226
(33,349)
(126,575)
93,226
502060 FICA Taxes
15,228
9,939
(5,289)
(15,228)
9,939
TOTAL BENEFITS
408,596
277,248
(131,348)
(408,596)
277,248
1 of 4
DEPARTMENT:
055.9200 RESOURCE PLANNING
Mill CKSIAT MCL[oPI
Fund 055 Department 9200 - L&P Fund Resource Planning Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Explanation
SUPPLIES/SERVICES
500150 Energy
26,854,302
26,169,084 (685,218) (26,854,302)
26,169,084 decreased cost of energy reflects various factors such as:
decreased CAISO charges related to energy transactions
due to market prices decrease for electricity and natural
gas, increased PPTA payment to MGS owner due to
annual price escalation, additional energy purchases due
to expected load increase by Matheson and a small load
increase projection for all other customers.
500154 Renewable Energy
6,811,206
9,053,180 2,241,974 (6,811,206)
9,053,180 The main difference in this year budget is the netting of
revenues received from the CAISO for renewable energy
scheduled into the tCAISO with the cost of renewable
energy cost. Pursuant to the California RPS regulation,
the annual compliance requirement increases every year.
The City procures long-term and short term renewable
energy contracts to cmply with the requirement. The
budger reflects the cost of three long-term renewable
contracts that became effective starting January 2017 and
the cost of additional short-term purchases to meet the
cost of increased RPS compliance target. In addition, the
City and its biomethane suppliers entered into an
Biomethane Option Agreement pursuant to which the
suppliers sell the biomethane into the transportation
market where its more profitable at this time and the City
purchases cheaper renewable energy from the market.
The budget reflects the cost of renewable energy to
replace the biomethane the City is not receiving at this
time and the additional compliance requirement for the
year. .
500160 Natural Gas Expense
28,668,116
25,158,214 (3,509,902) (28,668,116)
25,158,214 decreased cost of natural gas reflects lower natural gas
prices the market is currently trading for the upcoming year
compared to the prior year.
500162 Biomethane Fuel
(2,500,000)
- 2,500,000 2,500,000
- The City and its biomethane suppliers entered into an
Biomethane Option Agreement pursuant to which the
suppliers sell the biomethane into the transportation
market where its more profitable at this time and the City
purchases cheaper renewable energy from the market.
The City plans to exercise the Biomethane Option
Agreement for the upcoming year. The budget reflects no
delivery of biomethane in the upcoming year. The
renewable energy budget reflects additional purchases to
replace the biomethane fuel that will not be delivered in
the upcoming years. 2 of 4
CITY OF VERNON
Fund 055 Department 9200 - L&P Fund Resource Planning Department
Budget Detail
2020-2021
DEPARTMENT:
055.9200 RESOURCE PLANNING
A B C C-A B-A C-B
FY2020 FY2020
FY2021
Increase
Increase
Increase
Budget Forecast
Budget
(Decrease)
(Decrease)
(Decrease) Explanation
500163
Greenhouse Gas Cost
3,990,418
4,390,659
400,241
(3,990,418)
4,390,659 In ourder to comply with the California Global Warming
Solutions Act of 2006 (AB 32) requirements for electricity
generated from fossil fuels and un-specified energy
imported into California from out -of -State, the City
purchases greenhouse gas credits for MGS and for
imported power. The budget for the upcoming reflects
staffs expectation of lower generation from MGS and a
decrease in imported power needs. However, due to
approximately 7% annual increase in the cost of GHG
credit prices, the budget is slightly higher than the prior
year.
500170
Transmission - Firm
17,014,674
16,962,494
(52,180)
(17,014,674)
16,962,494 SCE transmission service rates have decreased while the
CAISO transmission access charge have increased from
the prior year. The Budget reflects the SCE charges and
increased transmission access charge by the CAISO.
500180
Capacity
46,820,978
48,244,660
1,423,681
(46,820,978)
48,244,660 Decreased budget reflects lower capacity cost due to the
termination of the Hoover Contract for Differennce (CFD)
between the City and Bicent effective September 30, 2017.
500190
Ancillary Services
758,298
748,026
(10,272)
(758,298)
748,026 California's push for higher RPS requirement have lead to
a surplus of generation, mostly from solar and wing,
during certain hours of the day. As a result, the cost of
ancillary services has been increasing as more and more
flexible resources are needed to standby to replace
intermittent resources such as solar and wind. The budget
reflects higher ancilliary service requirement due to
increased load (primarily Matheson) and higher prices for
ancillary service due to the surplus renewables energy
geneartion.
500210
Grid Management Charges
746,389
809,428
63,039
(746,389)
809,428
500240
Ferc Filing Charges
74,763
138,976
64,213
(74,763)
138,976
500260
Dispatching Inter
17,100
7,108
(9,992)
(17,100)
7,108
520000
Supplies
4,410
4,200
(210)
(4,410)
4,200
550000
Advertisement & Promotion
1,000
1,000
-
(1,000)
1,000
550022
Natural Gas Transportation Costs
1,605,468
1,645,529
40,061
(1,605,468)
1,645,529 Souther California Gas Company gas transportation rate is
higher than the previous year.
560010
Utilities - IT
-
10,000
10,000
10,000
590000
Repair & Maintenance
10,848
-
(10,848)
(10,848)
-
590110
Repair & Maintenance IT
-
-
-
- Budgeting for IT supplies and services is moved to IT
department
593200
Professional Services - Legal
150,000
350,000
200,000
(150,000)
350,000
595200
Professional Services - Technical
-
-
3 of 4
DEPARTMENT:
055.9200 RESOURCE PLANNING
596200 Professional Services - Other
596500
Travel
596550
Membership Dues
596600
Books & Publications
596700
Training
596706
Electric Rebate Program
TOTAL SUPPLIES/SERVICES
TOTAL EXPENDITURES
CAPITAL
900000 Capital Outlays
TOTAL CAPITAL
CITY OF VERNON
Fund 055 Department 9200 - UP Fund Resource Planning Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020
FY2021
Increase Increase
Increase
Budget Forecast
Budget
(Decrease) (Decrease)
(Decrease)
Explanation
443,850
352,666
(91,184) (443,850)
352,666
Budget decreased due to a delay of additional software
services for on -going IRP administration. It also reflects
annual escalatio to the Settlecore services for energy
settlement and reporting software services.
9,996
9,996
(9,996)
9,996
2,000
2,000
(2,000)
2,000
2,004
2,004
(2,004)
2,004
9,996
9,996
(9,996)
9,996
131,495,816 - 134,069,220 2,573,404 (131,495,816) 134,069,220
132,954,649 135,031,909 2,077,260 (132,954,649) 135,031,909
4 of 4
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9200 - RESOURCE PLANNING
SUPPLIES & SERVICES
2020-2021
Account No. 500150 - Energy
Name
Detailed
Description
FY2020
Budget
1 MGS
MGS Energy Payment (PPTA)
$3,742,917
2 Palo Verde
Palo Verde variable cost component
879,445
3 Hoover
Hoover Energy Cost- CES Credit
334,360
4 MGS Heat Rate Bonus
Hoover Energy Payment-CFD/WAPA
300,000
WSPP FIRM ENERGY PURCHASES
## WSPP Purchase Market Purchase / Balance of Load 19,077,412
## WSPP Purchase Market Purchase / Variable -
5 CAISO ISO MISC Charges 2,520,168
$26,854,302
Account No. 500154 - Renewable Energy Credit
WSPP Purchase
Renewable Contracts /WSPP Purchase
Account No. 500160 - Natural Gas Expense
Detailed FY2020
Description Amount
Renewable Energy credit -
Renewable Energy less CAISO Credits 6,811,206
6,811,206
Detailed FY2020
Name Description Amount
Malburg Generating Station, Gas Retail Gas purchases for MGS and H. Gonzales Turbine, Gas Retail $20,241,023
Retail Gas Gas purchases for Gas Retail 8,427,093
28,668,116
Account No. 500162 - Biomethane Fuel
Detailed FY2020
Description Amount
1 Element Markets/ Clean Energy Biomethane Fuel (2,500,000)
(2,500,000)
Account No. 500163 - Greenhouse Gas Cost
Detailed FY2020
Description Amount
1 MGS / Imported Energy Greenhouse Gas Cost 3,990,418
3,990,418
1 of 5
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9200 - RESOURCE PLANNING
SUPPLIES & SERVICES
2020-2021
Account No. 500170 - Transmission Firm
Detailed FY2020
Name Description Amount
1 CAISO
Transmission Access Charge
13,885,932
2 SCE
Mead -Laguna Bell
1,798,742
3 SCE
Victo"ille-Lugo-Vernon
759,132
4 SCE
Laguna -Bell Interconnection
296,028
5 LADWP
Adelanto to Midpoint VV-Lugo
262440
SCE Added Facilities Charge (MGS RTLI, Tri-Gas) -I nterconection
6 Cal-PX
Cal-Px wind-up cost
12,400
17,014,674
Account No. 500180 - Capacity
Detailed FY2020
Name Description Amount
1 MGS
MGS Capacity Payment (PPTA)
43,158,720
2 Hoover
Hoover Capacity Cost-CES Credit
334,360
3 Hoover
MGS Heat Rate Bonus
-
4 Hoover
Hoover -Uprating Credit Payment- CFD
-
5 Palo Verde
Palo Verde Capacity (minimum cost)
3,227,898
6 SCPPA
SCPPA - Project stabilization Fund
100,000
46,820,978
(Account No. 500190 - Ancillary Services
Detailed FY2020
ascription Amount
1 CAISO Spinning Reserve, non -spinning reserve, regulation up, regulation down,
replacement reserve 758,298
758,298
Account No. 500210 - Grid Management Charges
Detailed FY2020
Name Description Amount
1 CAISO CAISO GRID MANAGEMENT CHARGE 746,389
746,389
Account No. 500240 - Ferc Filing Charges
Detailed FY2020
Name Description Amount
1 CAISO ISO - FERC FEES
2 CAISO ISO - NERC/WECC FEES 74,763
74,763
2of5
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9200 - RESOURCE PLANNING
SUPPLIES & SERVICES
2020-2021
Account No. 500260 - Dispatching Inter
Detailed FY2020
Name Description Amount
1 DWP Scheduling & Dispatching Fee -DWP and SCE Interconnections 17,100
17.100
Account No. 520000 - Supplies
Detailed
FY2020
Name
Description
Amount
1 Staples
Department Supplies and Services
4,410
General purchases from staples for pens, peciIs, binders, paper clips,
writing pads, markers, etc.
4,410
Account No. 550000 - Advertisement & Promotion
Detailed
FY2020
Name
Description
Amount
1 Vernon Sun Newspaper or Other
Advertisement (Rates, TRBAA, etc..)
1,000
1,000
Account No. 560010 - Utilities IT
Detailed
FY2020
Name
Description
Amount
1 AT&T One Net
1 AT&T Business
Telecommunication Charges
Telecommunication Charges
Account No. 550022 - Natural Gas Transportation Cost
Detailed FY2020
Name Description Amount
SoCal Gas Company Gas Transportation, MGS, and Gas Transportation, H. Gonzales Units, Re 1,605,468
1,605,468
Account No. 593200- Legal
Detailed FY2020
Name Description Amount
Specialized Legal Services Legal Services 150,000
150,000
3of5
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9200 - RESOURCE PLANNING
SUPPLIES & SERVICES
2020-2021
Account No. 590000 - Repair & Maintenance
Detailed FY2020
Description Amount
1 City of Vernon City allocated cost 10,848
10,848
Account No. 590110 - Repair & Maintenance IT
Detailed FY2020
Description Amount
1 Stancil Stancil Recording Maintenance (Moved to 055.9200.596200)
2 Settlecore Settlecore Service Software (Moved to 055.9200.596200)
Account No. 595200 - Professional Services Technical
Detailed
FY2020
Name
Description
Amount
1 To be bid
Cost of Service and Rate Design
2 To be bid
IRP Services
Account No. 596200 - Professional Services Other
Detailed
FY2020
Name
Description
Amount
1 ICE
ICE
15,300
2 Bloomberg
Bloomberg (Resource & Finance terminal)
24,972
3 NGI
NGI
8,000
4 Open Access
Open Access Technology
9,862
5 Settlecore
Settlement service software
122,500
6 Stancil
recording device service
4,800
7 to be bid
IRP Valuation Software
100,000
8 SCPPA Charges
Various SCPPA Service
158,416
443,850
Account No. 596500 - Travel
Event FY2020
Type Name Amount
1 CEC/CAISO/SCPPA CEC Workshops, ISO, SCPPA, CMUA, Hoover 9,996
9,996
4of5
CITY OF VERNON
FUND 055 - LIGHT & POWER
DEPARTMENT 9200 - RESOURCE PLANNING
SUPPLIES & SERVICES
2020-2021
Account No. 596550 - Membership Dues
Detailed FY2020
Name Description Amount
1 Various Membership Dues 2,000
2,000
Account No. 596600 - Books & Publications
Detailed FY2020
Name Description Amount
1 NGI Service, technical books Books and Publications 2,004
2,004
Account No. 596700 -
Detailed FY2020
ascription Amount
1 CAISO/SCPPA Training (Gas and Power Trading, ISO Market design) 9,996
9,996
5of5
CITY OF VERNON
Budget Summary
2020-2021
DEPARTMENT:
056.5600 GAS UTILITY
A
B
C
C-A
B-A
C-B
FY2020
FY2020
FY2021
Increase
Increase
Increase
Budget
Forecast
Budget
(Decrease)
(Decrease)
(Decrease)
TOTAL REVENUES
$
14,638,215
$
$ 13,820,674 $
(260,451) $
(5,654,125) $
6,352,971
EXPENSES:
SALARIES
$
577,531
$
$ 700,445 $
122,914 $
(577,531) $
700,445
BENEFITS
242,417
310,887
68,470
(242,417)
310,887
SUPPLIES/SERVICES
12,693,267
12,439,342
705,372
(12,693,267)
12,439,342
TOTAL EXPENSES
$
13,513,215
$
$ 13,450,674 $
896,756 $
(13,513,215) $
13,450,674
CAPITAL
1,125,000
370,000
(755,000) (1,125,000) 370,000
Salaries
Salaries
Increase
EMPLOYEE TITLE
FTE
Budget
Budget
(Decrease)
Gas Systems Specialist
3.00 $
253,284
$ 365,997 $
112,713
Gas Systems Superintendent
1.00
168,440
175,194
6,754
Gas Systems Technician
1.00
105,107
109,254
4,147
Overtime
5,000
5,000
-
Payout (vacation and sick excess hours)
700
-
(700)
Stand-by
45,000
45,000
-
DEPARTMENT TOTALS
5.00 $
577,531
$ 700,445 $
122,914
DEPARTMENT:
056.5600 GAS UTILITY
REVENUES
450022 Transportation Charges - Retail
450024 Commodity Admin Fee
450026 Natural Gas Sales - COV Retail
450101 Monthly Customer Charge
450105 Customer Connection Charge
5610-450030 ARB Freely Allocated Allowance Sales
5610-450032 CA Greenhouse Gas Surcharge
5610-450034 ARB Cap and Trade Emissions Sales
469300 Reserve Applied
600910 Other Income
610110 Investment Income
TOTAL REVENUES
SALARIES
501010 Salaries - Regular
501012 Salaries - Premiums
501020 Salaries- O.T.
TOTAL SALARIES
BENEFITS
502020 Retirement
502030 Insurance Premiums - Medical
FICA Taxes
502060
502080 Claims Expenditure - Worker's Comp
TOTAL BENEFITS
SUPPLIESISERVICES
500160 Natural Gas Expense - Physical Purchases
500167 Natural Gas Expense - PrePay
500230 Generation Expense
5610-596702 Greenhouse Gas Admin/Rebates
5610-596710 Greenhouse Gas to Air Resources Board
520000 Supplies
530030 Bad Debt Expense
540000 Uniforms
550022 Natural Gas Transportation Costs
560000 Utilities
Utilities - IT
560010
570000 Vehicle Expense
Repairs & Maintenance
590000
593200 Professional Services - Legal
595200 Professional Services - Technical
596200 Professional Services - Other
596500 Travel
596550 Membership Dues
596600 Books & Publications
596700 Employee Development & Training
596706 VPU Credit Program
790100 Operating Transfer Out
TOTAL SUPPLIES/SERVICES
TOTAL EXPENDITURES
CAPITAL
900000 Capital Outlays
TOTAL CAPITAL
CITY OF VERNON
Fund 056 Department 5600 - Gas Utility Fund Gas Utility Department
Budget Detail
2020-2021
A B C C-A B-A C-B
FY2020 FY2020 FY2021 Increase Increase Increase
Budget Forecast Budget (Decrease) (Decrease) (Decrease) Comments
2,659,438
- 2,828,434
168,996
(2,659,438)
2,828,434
60,984
- 64,763
3,779
(60,984)
64,763
8,427,000
- 7,467,703
(959,298)
Same as expense 500160
73,000
- 82,000
9,000
(73,000)
82,000
300,000
- 300,000
-
(300,000)
300,000
1,809,600
- 2,180,763
371,163
(1,809,600)
2,180,763 Surcharge Revenue from customers
751,104
- 897,012
145,908
(751,104)
897,012 Sales of ARB holding acct allowances
557,090
-
14,638,215
13,820,674
(260,451)
(5,654,125)
6,352,971
498,315 - 620,730 122,415 (498,315) 620,730
74,216 - 74,715 499 (74,216) 74,715
5,000 5,000 (5,000) 5,000
577,531 700,445 122,914 (577,531) 700,445
150,697 - 193,455 42,758 (150,697) 193,455
83,346 - 107,276 23,930 (83,346) 107,276
8,374 - 10,156 1,782 (8,374) 10,156 Medicare tax was calculated using gross wages.
242,417 310,887 68,470 (242,417) 310,887
8,427,000
- 7,467,703
(8,427,000)
7,467,703
40,000
- 60,000
20,000
(40,000)
60,000
"AB 32 Cost of Implementation Fee"
751,104
- 897,012
145,908
(751,104)
897,012
To be implemented FY16
1,557,344
- 1,926,000
368,656
(1,557,344)
1,926,000
Specifically for Emissions Credits
90,000
- 206,000
116,000
(90,000)
206,000
equipment needed for new dept. truck #1015
7,383
- -
(7,383)
(7,383)
-
Employee uniform and rain gear
640,493
- 590,643
(49,850)
(640,493)
590,643
11,938
- 12,938
1,000
(11,938)
12,938
Minimax units for dialing in for meter readouts
Transffered IT Budget General Fund
25,000
- 20,000
(5,000)
(25,000)
20,000
168,000
- 63,000
(105,000)
(168,000)
63,000
Reg station work and pressure monitoring for
COV Dist(Trans lines
15,000
- 15,000
-
(15,000)
15,000
268,500
- 518,500
250,000
(268,500)
518,500
AM Ortega gas services
176,500
- 141,540
(34,960)
(176,500)
141,540
15,000
- 10,000
(5,000)
(15,000)
10,000 Public awareness
99,000
- 110,000
11,000
(99,000)
110,000
401,006
- 401,006
-
(401,006)
401,006 Passage of Measure R
12,693,267
12,439,342
705,372
(12,693,267)
12,439,342
13,513,215
13,450,674
896,756
(13,513,215)
13,450,674
1,125,000 - 370,000 (755,000) (1,125,000) 370,000 Customer connection, Transmission pipeline
inspection, tools equipment requirement.
1,125,000 370,000 (755,000) (1,125,000) 370,000
1 of 1
CITY OF VERNON
FUND 056 - GAS
DEPARTMENT 5600 - GAS
SUPPLIES & SERVICES
2020-2021
Account No. 500230 - Generation Expense
Detailed FY2020 FY2021
Name Description Budget Budget
1 AQMD CA Air Resources Board Annual Fee 40,000 60,000
40,000 60,000
Account No. 520000 - Supplies
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 American Safety Services
Safety Equipment for Street Application
3,000
5,000
2 Home Depot
Necessary tools for warehouse
15,000
15,000
3 City Garage
Various Supplies
1,000
1,000
Service and meter installation supplies, including concrete, regulators,
4 Various Supply Vendors
valves, pipes
35,000
125,000
5 TBD
Street Traffic Control Safety
-
10,000
6 TBD
Steel Plates/trench and shoring
-
50,000
90,000
206,000
Account No. 540000 - Uniforms
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 to be bid
Flame Resistant Uniform
3,500
-
2 to be bid
Flame Resistant Rain Gear
3,133
-
3 Teamsters & Shoeteria
Safety Toe Work Boot
750
-
7,383
-
1 of 4
CITY OF VERNON
FUND 056 - GAS
DEPARTMENT 5600 - GAS
SUPPLIES & SERVICES
2020-2021
Account No. 560010 - Utilities IT
Detailed
FY2020
FY2021
Name
Description
Budget
Budget
1 AT&T
Minimax units: # of customers x $20/mo x 12 mo/yr
6,000
6,000
2 Verizon Wireless
Telecommunication Charges
1,529
1,529
3 AT&T CalNet2
Telecommunication Charges
4,409
4,409
4 COV IT
Network Cabinet
-
1,000
11,938
12,938
Account No. 570000 - Vehicle Expense
Detailed FY2020 FY2021
Name Description Budget Budget
Vehicle gas usage & maintenance service Safety upgrades to vehicles
1 City Vehicle (light bar, fire ext.) 17,000 20,000
17,000 20,000
Account No. 590000 - Repair & Maintenance
Name
1 TBD
2 Advanced Batteries Systems
3 to be bid
4 to be bid
5 to be bid
6 To be bid if necessary
7 To be bid if necessary
8 TBD
9 To be bid if necessary
10 Home Depot
11 Craig Welding & Supplies
Detailed
Description
Distribution Valve Project
General Supplies
Reg Station SCADA upgrade
Gas pressure monitoring alarm maintenance
Railroad/Transmission Markers
Gas pressure monitoring alarm for Distribution and trans line Comple
General Building new Carpeting
Painting Steel Service (CP)Farmer John
General Building new AC
General Supplies
General Supplies
FY2020 FY2021
Budget Budget
15,000
15,000
3,000
3,000
50,000
5,000
20,000
-
15,000
-
15,000
-
15,000
20,000
20,000
20,000
15,000
-
168,000 63,000
2 of 4
Account No. 593200 - Professional Services
1 Legal
CITY OF VERNON
FUND 056 - GAS
DEPARTMENT 5600 - GAS
SUPPLIES & SERVICES
2020-2021
Detailed FY2020 FY2021
Name Description Budget Budget
Gas Fund Legal Services
Account No. 595200 - Professional Services Technical
Name
1 Con -pro
2 To be bid
3 To be bid
4 Energy World Net
5 MCS
6 To be bid
7 Bob Tyner
8 To be bid
15,000 15,000
15,000 15,000
Detailed FY2020 FY2021
Description Budget Budget
Con -pro for Cathodic Protection Annual Survey & calibration for rectifier
Natural Gas Contruction & Repair Support (RFP Process)
GIS Service (license & device) for USA Dig Alert
OQ Platform
New rectifiers for each regulator station
Financial Services & Business Development
PHMSA Support and Expertise
Transmission Pipleline Assessment (in -Line Instruments/Pigging)
Account No. 596200 - Professional Services Other
Name
1 TBD
2 To be bid
3 TBD
4 Dewey Pest Control
5 Security Network Inc
6 Brad Bean or TBD
Detailed
Description
Janitoral Services
Cost of Service Study and Rate Design
Engineering services to produce Detailed Plans for Major System
Modifications
Pest and Rodent
Security System Services OE Clark
System Modeling
15,000 5,000
150,000 300,000
10,000 10,000
3,500 3,500
20,000 20,000
50,000 150,000
20,000 30,000
268,500 518,500
FY2020 FY2021
Budget Budget
18,000 18,000
140,000 65,040
- 40,000
2,500 2,500
1,000 1,000
15,000 15,000
176,500 141,540
3 of 4
CITY OF VERNON
FUND 056 - GAS
DEPARTMENT 5600 - GAS
SUPPLIES & SERVICES
2020-2021
Account No. 596600 - Books & Publications
Detailed FY2020 FY2021
Name Description Budget Budget
1 TBD Public Awareness Publication - Newspaper Periodicals
2 To be bid Customer Outreach Promotional Materials
Account No. 596700 - Trainin
Detailed
Name Description
1 TBD Simulation Training Facility and Equipment
2 FUR IR Camera Training
3 CAD Training
4 TBD Training /Certifications / Operator Qualification
5 Industry Conferences
Account No. 596706 - VPU Credit Program
5,000
5,000
10,000
5,000
15,000
10,000
FY2020 FY2021
Budget Budget
20,000
45,000
6,000
-
8,000
-
55,000
60,000
5,000
89,000
110,000
Detailed FY2020 FY2021
Name Description Budget Budget
1 Measure R VPU Credit Program 401,006 401,006
401,006 401,006
1
Account No. 790100 - Operating Transfer Out
Detailed FY2020 FY2021
Name Description Budget Budget
4 of 4
1
2
3
4
5
6
7
CITY OF VERNON
FUND 056 - GAS
DEPARTMENT 5600 - GAS
CAPITAL
2020-2021
Account No. 900000 - Capital Outlays
Detailed FY2020 FY2021
Name Description Budget Budget
TBD
Customer Connection Costs (Assumes 10 customers costing''26,000 each
260,000
260,000
to connect)
TBD
Loop over 26th Street Bridge
600,000
-
TBD
Alter transmission line for clock test/hydro test (if required)
TBD
New Regulator Station (s/w)
TBD
Crew Cab Full Size Construction Truck
125,000
-
TBD
Regulator Stations Protective Ballard's (Bandini)
80,000
80,000
TBD
Minimax Metering Instruments
60,000
30,000
1,125,000
370,000
City Council Agenda Item Report
Agenda Item No. COV-128-2020
Submitted by: Sandra Dolson
Submitting Department: City Clerk
Meeting Date: April 7, 2020
SUBJECT
Approval of Minutes
Recommendation:
Approve meeting minutes for the March 12, 2020 Special City Council Meeting and the March 17, 2020
Regular and Special City Council Meetings.
Background:
Staff has prepared draft minutes and hereby submits the minutes for approval.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. 2020-03-12 City Council Minutes (Special)
2. 2020-03-17 City Council Minutes
3. 2020-03-17 City Council Minutes (Special)
MINUTES
VERNON CITY COUNCIL
SPECIAL MEETING
THURSDAY, MARCH 12, 2020
COUNCIL CHAMBER, 4305 SANTA FE AVENUE
CALL TO ORDER
Mayor Ybarra called the meeting to order at 9:02 a.m.
FLAG SALUTE
Mayor Ybarra led the Flag Salute.
ROLL CALL
PRESENT: Melissa Ybarra, Mayor
Leticia Lopez, Mayor Pro Tern
William Davis, Council Member
Carol Menke, Council Member
Diana Gonzales, Council Member
STAFF PRESENT:
Carlos Fandino, City Administrator
Zaynah Moussa, Senior Deputy City Attorney
Lisa Pope, City Clerk
Scott Williams, Finance Director
Jim Enriquez, Interim Fire Chief
Michael Earl, Human Resources Director
Anthony Miranda, Police Chief
Abraham Alemu, Public Utilities General Manager
Dan Wall, Public Works Director
PUBLIC COMMENT
None.
CONSENT CALENDAR
Council Member Menke pulled Item I from the Consent Calendar.
1. Public Utilities
Purchase Contract with Rolls Wood Group for the Inspection and Evaluation of the
H. Gonzales 571K Gas Turbine Unit 1
Recommendation:
A. Find that the proposed action is exempt from the California Environmental Quality Act
(CEQA) review, because purchasing vehicles is an administrative activity that will not
Special City Council Meeting Minutes
March 12, 2020
Page 2 of 3
result in direct or indirect physical changes in the environment, and therefore does not
constitute a "project" as defined by CEQA Guidelines § 15061(b)(3), the general rule that
CEQA only applies to projects that may have a significant effect on the environment; and
B. Approve and authorize the City Administrator to execute a purchase contract in the
amount of $65,100 with Rolls Wood Group to disassemble, clean, and inspect the damage
to H. Gonzales 571K Gas Turbine Unit 1.
Public Utilities General Manager Alemu presented the staff report.
In response to Council questions, Public Utilities General Manager Alemu discussed the
anticipated outage for diagnosis and indicated the necessary fix will be presented to the
Council. City Administrator Fandino explained the age and usage of the turbines and that
the units were bid on ISO.
MOTION
Council Member Menke moved and Mayor Pro Tern Lopez seconded a motion to: A. Find
that the proposed action is exempt from the California Environmental Quality Act (CEQA)
review, because purchasing vehicles is an administrative activity that will not result in
direct or indirect physical changes in the environment, and therefore does not constitute a
"project" as defined by CEQA Guidelines § 15061(b)(3), the general rule that CEQA only
applies to projects that may have a significant effect on the environment; and B. Approve
and authorize the City Administrator to execute a purchase contract in the amount of
$65,100 with Rolls Wood Group to disassemble, clean, and inspect the damage to H.
Gonzales 571K Gas Turbine Unit 1.The question was called and the motion carried
unanimously.
RECESS
Mayor Ybarra recessed the meeting to Closed Session at 9:13 a.m.
CLOSED SESSION
2. PUBLIC EMPLOYMENT DISCIPLINE/DISMISSAL/RELEASE
Pursuant to Government Code Section 54957
One Matter
3. PUBLIC EMPLOYEE APPOINTMENT / PUBLIC EMPLOYMENT
Pursuant to Government Code Section 54957
Title: Interim City Attorney
RECONVENE
At 2:14 p.m., Mayor Ybarra adjourned Closed Session and reconvened the special meeting.
City Administrator Fandino reported that City Council met in closed session and discussed both
items listed on the agenda. In regard to Item 2, on a motion by Council Member Menke, seconded
by Mayor Ybarra, and unanimously approved, a separation agreement with Hema Patel, former
Special City Council Meeting Minutes
March 12, 2020
Page 3 of 3
City Attorney. In regard to Item 3, on a motion by Council Member Menke, seconded by Mayor
Ybarra, and unanimously approved, directed the City Administrator, on behalf of the Council, to
negotiate the terms of an agreement with Arnold Alvarez-Glasman of Alvarez-Glasman & Colvin
to serve as Interim City Attorney for an initial term of three months.
ADJOURNMENT
Mayor Ybarra adjourned the meeting at 2:16 p.m.
MELISSA YBARRA, Mayor
ATTEST:
LISA POPE, City Clerk
(seal)
MINUTES
VERNON CITY COUNCIL
REGULAR MEETING
TUESDAY, MARCH 17, 2020
COUNCIL CHAMBER, 4305 SANTA FE AVENUE
CALL TO ORDER
Mayor Ybarra called the meeting to order at 9:02 a.m.
FLAG SALUTE
Mayor Ybarra led the Flag Salute.
ROLL CALL
PRESENT: Melissa Ybarra, Mayor
Leticia Lopez, Mayor Pro Tern
William Davis, Council Member
Carol Menke, Council Member
Diana Gonzales, Council Member
STAFF PRESENT:
Carlos Fandino, City Administrator
Arnold Alvarez-Glasman, Interim City Attorney
Zaynah Moussa, Senior Deputy City Attorney
Brian Byun, Senior Deputy City Attorney
Lisa Pope, City Clerk
Scott Williams, Finance Director
Jim Enriquez, Interim Fire Chief
Fredrick Agyin, Director of Health and Environmental Control
Michael Earl, Human Resources Director
Anthony Miranda, Police Chief
Dan Wall, Public Works Director
CHANGES TO THE AGENDA
City Clerk Pope announced staff would be deferring Agenda Item No. 5.
PUBLIC COMMENT
None.
Regular City Council Meeting Minutes
March 17, 2020
NEW BUSINESS
Page 2 of 9
1. Appointment of Interim City Attorney
Recommendation:
Approve and authorize the City Administrator to negotiate and execute an agreement with
Arnold Alvarez-Glasman of the firm Alvarez-Glasman & Colvin to serve as Interim City
Attorney.
Human Resources Director Earl presented the staff report.
City Administrator Fandino discussed the proposed hours under the contract. Senior
Deputy City Attorney Moussa stated the number of needed hours depended on how the
existing staff was utilized.
Arnold Alvarez-Glasman stated unused hours could be rolled over to the next month.
MOTION
Mayor Ybarra moved and Council Member Gonzales seconded a motion to approve and
authorize the City Administrator to negotiate and execute an agreement with Arnold
Alvarez-Glasman of the firm Alvarez-Glasman & Colvin to serve as Interim City Attorney.
The question was called and the motion carried unanimously.
RECESS
At 9:10 a.m., Mayor Ybarra recessed the meeting. The meeting reconvened at 10:06 a.m.
with all Council Members present.
PUBLIC HEARINGS
2. Development Agreement between the City of Vernon and the Southern California
Curling Center, Inc.
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality Act
("CEQA") review, because it is a continuing administrative activity that will not result in
any direct or indirect physical changes in the environment, and therefore does not constitute
a "project" as defined by CEQA Guidelines section 15378, and to the extent the Southern
California Curling Center, Inc. seeks to engage in actual physical construction or
development, such would be subject to separate and independent CEQA review and
analysis;
B. Approve the first reading, and adopt at a subsequent meeting, an ordinance approving
and authorizing the execution of a Development Agreement between the City of Vernon
and the Southern California Curling Center, Inc for the purpose of facilitating the
development of the Southern California Curling Centers' program and facility located at
4545 Pacific Boulevard in the City of Vernon.
Mayor Ybarra opened the Public Hearing.
Public Works Director Wall presented the staff report.
Regular City Council Meeting Minutes Page 3 of 9
March 17, 2020
There being no speakers, Mayor Ybarra closed the Public Hearing.
MOTION
Council Member Menke moved and Mayor Pro Tem Lopez seconded a motion to: A. Find
that the proposed action is exempt under the California Environmental Quality Act
("CEQA") review, because it is a continuing administrative activity that will not result in
any direct or indirect physical changes in the environment, and therefore does not constitute
a "project" as defined by CEQA Guidelines section 15378, and to the extent the Southern
California Curling Center, Inc. seeks to engage in actual physical construction or
development, such would be subject to separate and independent CEQA review and
analysis; and B. Approve the first reading, and adopt at a subsequent meeting, an ordinance
approving and authorizing the execution of a Development Agreement between the City of
Vernon and the Southern California Curling Center, Inc for the purpose of facilitating the
development of the Southern California Curling Centers' program and facility located at
4545 Pacific Boulevard in the City of Vernon. The question was called and the motion
carried unanimously.
PRESENTATIONS
3. Employee Service Pin Awards for February 2020
Recommendation: No action required by City Council. This is a presentation only.
Human Resources Director Earl acknowledged Employee Service Pin Awards for February
2020.
4. Recognition of Retired Employee - Shirley U. Salas, Business License Clerk
Recommendation: Acknowledge and present a proclamation to retired employee Shirley
U. Salas, Business License Clerk, in recognition of her dedicated service to the City of
Vernon.
Human Resources Director Earl acknowledged retired employee Shirley U. Salas on her
retirement.
5. Vernon's Transit Service Study
Recommendation: No action required by City Council. This is a presentation only.
This item was deferred upon approval of the agenda.
6. Grantee Certificates for Fiscal Year (FY) 2019/2020 Docket II Grants Awarded by
Vernon CommUNITY Fund Grant Committee
Recommendation:
A. Present Certificates to FY 2019/2020 Docket II Grant Recipients; and
B. Receive and file the report, as it is being provided for informational purposes only
pursuant to Section 2.167(e) of the Vernon Municipal Code.
City Clerk Pope acknowledged the FY 2019/2020 Docket II Grant Recipients.
Regular City Council Meeting Minutes
March 17, 2020
CONSENT CALENDAR
Page 4 of 9
MOTION
Council Member Davis moved and Mayor Pro Tern Lopez seconded a motion to approve
the Consent Calendar. The question was called and the motion carried unanimously.
The Consent Calendar consisted of the following items:
7. Approval of Minutes
Recommendation:
Approve the March 3, 2020 Regular and March 3, 2020 Special City Council meeting
minutes.
8. Operating Account Warrant Register
Recommendation:
Approve Operating Account Warrant Register No. 41, for the period of February 16
through February 29, 2020, which totals $8,859,256.03 and consists of ratification of
electronic payments totaling $8,493,931.35, ratification of the issuance of early checks
totaling $365,324.68 and voided Check No. 605028 totaling $8.00.
9. City Payroll Warrant Register
Recommendation:
Approve City Payroll Warrant Register No. 765, for the period of February 1 through
February 29, 2020, which totals $3,607,215.85 and consists of ratification of direct
deposits, checks and taxes totaling $2,414,647.98 and ratification of checks and electronic
fund transfers (EFT) for payroll related disbursements totaling $1,192,567.87 paid through
operating bank account.
10. Federal Funds for Street Improvements Account Warrant Register
Recommendation:
Approve Federal Funds for Street Improvements Account Warrant Register No. 32, for the
period of February 16 through February 29, 2020, consisting of ratification of electronic
payments totaling $17,399.11.
11. Fire Department Activity Report
Recommendation:
Receive and file the January 2020 Report.
12. Police Department Activity Report
Recommendation:
Receive and file the January 2020 Report.
13. Acceptance of Electrical Easement at 1890 25th Street (APN 6302-009-039)
Recommendation:
A. Find that the acceptance of the Electrical Easement is not a "project" as that term is
defined under the California Environmental Quality Act (CEQA) Guidelines Section
15378, and even if it were a project, it would be categorically exempt in accordance with
CEQA Guidelines Sections 15301 (maintenance, repair or minor alteration of an existing
facility and involves negligible or no expansion of an existing use) and 15061(b)(3)
(general rule that CEQA only applies to projects that may have a significant effect on the
environment); and
B. Accept the Electrical Easement for the property at 1890 25th Street (APN 6302-009-
039) and authorize the Mayor to execute the Certificate of Acceptance.
Regular City Council Meeting Minutes
March 17, 2020
Page 5 of 9
14. Amendment No. 1 to Attorney Services Agreement (Transactional) with Stradling
Yocca Carlson & Rauth for Bond and Disclosure Counsel Services
Recommendation:
A. Find that the proposed action is exempt from California Environmental Quality Act
(CEQA) review, because it is an administrative activity that will not result in direct or
indirect physical changes in the environment, and therefore does not constitute a "project"
as defined by CEQA Guidelines § 15378; and
B. Approve and authorize the City Administrator to execute Amendment No. 1 to the
Attorney Services Agreement (Transactional) Between the City of Vernon and Stradling
Yocca Carlson & Rauth, a Professional Corporation, for Bond and Disclosure Counsel
Services (Agreement), in substantially the same form as submitted, for an additional
$40,000, modifying the Agreement not -to -exceed $210,000.
15. Purchase of Records Management System Software from Tritech Software Systems
Recommendation:
A. Find that the proposed action is exempt from California Environmental Quality Act
(CEQA) review, because it is an administrative activity that will not result in direct or
indirect physical changes in the environment, and therefore does not constitute a "project"
as defined by CEQA Guidelines Section 15378; and
B. Authorize the purchase of Records Management System Software from Tritech
Software Systems in the amount not -to -exceed $148,270.00.
NEW BUSINESS (CONTINUED)
16. Revocable Encroachment Agreement No. 436 with Alisu Investment, Ltd. and Kargo
Group GP, LLC
Recommendation:
A. Find that approval of the proposed action is categorically exempt under the California
Environmental Quality Act (CEQA), in accordance with CEQA Guidelines Sections
15303, because the project involves construction, location, and installation of a limited
number (i.e. 4) of new, small facilities or structures, and 15308, because the installation of
monitoring wells is an action to assure the maintenance, restoration, enhancement, or
protection of the environment; and
B. Approve and authorize the Mayor to execute Revocable Encroachment Agreement No.
436 (Agreement) between the City of Vernon and Alisu Investment, Ltd. and Kargo Group
GP, LLC.
Public Works Director Wall presented the staff report.
MOTION
Council Member Menke moved and Mayor Pro Tem Lopez seconded a motion to: A. Find
that approval of the proposed action is categorically exempt under the California
Environmental Quality Act (CEQA), in accordance with CEQA Guidelines Sections
15303, because the project involves construction, location, and installation of a limited
number (i.e. 4) of new, small facilities or structures, and 15308, because the installation of
monitoring wells is an action to assure the maintenance, restoration, enhancement, or
protection of the environment; and B. Approve and authorize the Mayor to execute
Revocable Encroachment Agreement No. 436 (Agreement) between the City of Vernon
Regular City Council Meeting Minutes
March 17, 2020
Page 6 of 9
and Alisu Investment, Ltd. and Kargo Group GP, LLC. The question was called and the
motion carried unanimously.
17. Master Encroachment Agreement No. 432 between the City of Vernon and
MCIMetro Access Transmission Services Corp., d/b/a Verizon Access Transmission
Services
Recommendation:
A. Find that approval of the proposed action is exempt under the California Environmental
Quality Act (CEQA), in accordance with CEQA Guidelines Section 15061(b)(3), the
general rule that CEQA only applies to projects which have the potential for causing a
significant effect on the environment;
B. Approve and authorize the City Administrator to execute Master Encroachment
Agreement No. 432 between the City of Vernon and MCIMetro Access Transmission
Services Corp., d/b/a Verizon Access Transmission Services.
Public Works Director Wall presented the staff report.
MOTION
Mayor Pro Tem Lopez moved and Council Member Gonzales seconded a motion to: A.
Find that approval of the proposed action is exempt under the California Environmental
Quality Act (CEQA), in accordance with CEQA Guidelines Section 15061(b)(3), the
general rule that CEQA only applies to projects which have the potential for causing a
significant effect on the environment; and B. Approve and authorize the City Administrator
to execute Master Encroachment Agreement No. 432 between the City of Vernon and
MCIMetro Access Transmission Services Corp., d/b/a Verizon Access Transmission
Services. The question was called and the motion carried unanimously.
18. A Resolution Adopting an Amended and Restated Fringe Benefits and Salary
Resolution in Accordance with Government Code Section 20636(B)(1) and Repealing
All Resolutions in Conflict Therewith
Recommendation:
A. Find that approval of the attached resolution in this staff report is exempt from California
Environmental Quality Act (CEQA) review because it is an administrative activity that will
not result in direct or indirect physical changes in the environment and therefore does not
constitute a "project" as defined by CEQA Guidelines Section 15378;
B. Adopt the attached resolution amending and restating the Citywide Fringe Benefits and
Salary Resolution, to Amend Exhibit A, Classification and Compensation Plan adopting
the following: 1. New classification and associated salary range of Electrical Engineering
Technician, Salary Grade 125 (Monthly Salary $6,493 - $7,893); 2. New classification and
associated salary range of Senior Legal & Policy Advisor, Salary Grade M 39 (Monthly
Salary $12,856 - $15,627); and
C. Approve the job descriptions for: 1. Electrical Engineering Technician, 2. Senior Legal
& Policy Advisor.
Human Resources Director Earl presented the staff report.
Regular City Council Meeting Minutes
March 17, 2020
Page 7 of 9
MOTION
Council Member Davis moved and Mayor Pro Tem Lopez seconded a motion to: A. Find
that approval of the resolution exempt from California Environmental Quality Act
(CEQA) review because it is an administrative activity that will not result in direct or
indirect physical changes in the environment and therefore does not constitute a "project"
as defined by CEQA Guidelines Section 15378; B. Adopt the attached resolution amending
and restating the Citywide Fringe Benefits and Salary Resolution, to Amend Exhibit A,
Classification and Compensation Plan adopting the following: 1. New classification and
associated salary range of Electrical Engineering Technician, Salary Grade 125 (Monthly
Salary $6,493 - $7,893); 2. New classification and associated salary range of Senior Legal
& Policy Advisor, Salary Grade M 39 (Monthly Salary $12,856 - $15,627); and C. Approve
the job descriptions for: 1. Electrical Engineering Technician, 2. Senior Legal & Policy
Advisor. The question was called and the motion carried unanimously.
ORAL REPORTS
City Administrator Reports on Activities and other Announcements
City Administrator Fandino provided an update on recent Vernon Police Department and
Fire Department activities. He announced that ballots for the April 14, 2020 election were
mailed on March 16, 2020 and the last day to register to vote is March 30, 2020. He
summarized the City's COVID-19 response plan.
City Council Reports on Activities (including AB 1234), Announcements, or Directives to Staff
Council Member Menke announced that she attended the USC Executive Education
Sustainability Summit on February 21 and 22, 2020, in Palm Springs, with a fiscal impact
of approximately $980 and the National League of Cities Congressional City Conference,
from March 8 — 11, 2020 in Washington DC, at an estimated cost to the City of $4870.
RECESS
Mayor Ybarra recessed the meeting to Closed Session at 10:23 a.m.
CLOSED SESSION
19. CONFERENCE WITH LEGAL COUNSEL — EXISTING LITIGATION (3 cases)
Government Code Section 54956.9(d)(1)
Bicent (California) Malburg LLC et al. v. City of Vernon et al.,
Los Angeles Superior Court Case No. 19STCV08859 and JAMS Reference No.
1100107175
City of Vernon v. Bicent (California) Malburg LLC
Los Angeles Superior Court Case No. 19STCP02411 and JAMS Reference No.
1220062657
Regular City Council Meeting Minutes
March 17, 2020
Page 8 of 9
Vernon Professional Firefighters Association v. City of Vernon
Public Employment Relations Board Unfair Practice Charge No. LA-CE-1423-M
20. CONFERENCE WITH LABOR NEGOTIATORS
Government Code Section 54957.6
Agency Designated Representative: Carlos Fandino, City Administrator
Employee Organizations: Vernon Professional Firefighters Association, and Vernon Fire
Management Association
21. CONFERENCE WITH LEGAL COUNSEL — ANTICIPATED LITIGATION
Significant Exposure to Litigation
Government Code Section 54956.9(d)(2)
Number of potential cases: 1
Facts and Circumstances: Pursuant to Government Code Section 54956.9(e)(3), the City
has received written communication threatening litigation on behalf of former employee
Jerrick Torres related to his termination, in the form of a Complaint of Discrimination filed
with the Department of Fair Employment and Housing (DFEH). The DFEH Complaint
(DFEH No. 201910-08099730) is made available for public inspection pursuant to Section
54957.5.
22. PUBLIC EMPLOYEE PERFORMANCE EVALUATION
Government Code Section 54957(b)(1)
Title: City Administrator
23. CONFERENCE WITH LEGAL COUNSEL - EXISTING LITIGATION
Government Code Section 54956.9(d)(1)
Name of Case: Miguel A. Hernandez, Jr. vs. City of Vernon
Workers Compensation Appeals Board Case No. ADJ10478591
24. CONFERENCE WITH LEGAL COUNSEL - EXISTING LITIGATION
Government Code Section 54956.9(d)(1)
Name of Case: Miguel A. Hernandez, Jr. vs. City of Vernon
Workers Compensation Appeals Board Case No. ADJ10478642
RECONVENE
At 11:42 a.m., Mayor Ybarra adjourned Closed Session and reconvened the regular meeting.
Interim City Attorney Alvarez-Glasman reported that City Council met in closed session,
discussed the items listed on the agenda and approved Amendment No. 3 with Morgan, Lewis &
Bockius LLP, for continued representation of City in pending litigation against Bicent (California) Malburg,
LLC.
Regular City Council Meeting Minutes
March 17, 2020
ADJOURNMENT
Mayor Ybarra adjourned the meeting at 11:42 a.m.
ATTEST:
LISA POPE, City Clerk
(seal)
Page 9 of 9
MELISSA YBARRA, Mayor
MINUTES
VERNON CITY COUNCIL
SPECIAL MEETING
TUESDAY, MARCH 17, 2020
COUNCIL CHAMBER, 4305 SANTA FE AVENUE
CALL TO ORDER
Mayor Ybarra called the meeting to order at 9:02 a.m.
ROLL CALL
PRESENT: Melissa Ybarra, Mayor
Leticia Lopez, Mayor Pro Tern
William Davis, Council Member
Carol Menke, Council Member
Diana Gonzales, Council Member
STAFF PRESENT:
Carlos Fandino, City Administrator
Arnold Alvarez-Glasman, Interim City Attorney Arnold
Zaynah Moussa, Senior Deputy City Attorney
Brian Byun, Senior Deputy City Attorney
Lisa Pope, City Clerk
Michael Earl, Human Resources Director
Scott Williams, Finance Director
Fredrick Agyin, Director of Health and Environmental Control
Dan Wall, Public Works Director
Anthony Miranda, Police Chief
Jim Enriquez, Interim Fire Chief
PUBLIC COMMENT
None.
CHANGES TO THE AGENDA
None.
RECESS
Mayor Ybarra recessed the meeting to Closed Session at 9:10 a.m.
Special City Council Meeting Minutes Page 2 of 2
March 17, 2020
CLOSED SESSION
1. THREAT TO PUBLIC SERVICES OR FACILITIES
pursuant to Government Code Section 54957(a)
Consultation with Police Chief and Legal Counsel
RECONVENE
At 10:06 a.m., Mayor Ybarra adjourned Closed Session and reconvened into Open Session.
Interim City Attorney Alvarez-Glasman reported that the Council met in closed session and there
was no reportable action.
NEW BUSINESS
2. City Administration
Ratification of Proclamation of Local Emergency
Recommendation:
Adopt a resolution ratifying the Chief Executive Officer's proclamation of local emergency
as a result of the threat to public health from the COVID-19 virus.
City Administrator Fandino presented the staff report.
MOTION
Council Member Davis moved and Mayor Pro Tern Lopez seconded a motion to adopt a
resolution ratifying the Chief Executive Officer's proclamation of local emergency as a
result of the threat to public health from the COVID-19 virus.
ADJOURNMENT
Mayor Ybarra adjourned the meeting at 10:06 a.m.
MELISSA YBARRA, Mayor
ATTEST:
LISA POPE, City Clerk
(seal)
City Council Agenda Item Report
Agenda Item No. COV-132-2020
Submitted by: John Lau
Submitting Department: Finance/Treasury
Meeting Date: April 7, 2020
SUBJECT
Operating Account Warrant Register
Recommendation:
Approve Operating Account Warrant Register No. 42, for the period of March 1 through March 21, 2020,
which totals $10,664,989.54 and consists of ratification of electronic payments totaling $10,061,949.14
and ratification of the issuance of early checks totaling $603,040.40.
Background:
Section 2.13 of the Vernon Municipal Code indicates the City Treasurer, or an authorized designee, shall
prepare warrants covering claims or demands against the City which are to be presented to City Council
for its audit and approval. Pursuant to the aforementioned code section, the City Treasurer has prepared
Operating Account Warrant Register No. 42 covering claims and demands presented during the period
of March 1 through March 21, 2020, drawn, or to be drawn, from East West Bank for City Council
approval.
Fiscal Impact:
The fiscal impact of approving Operating Account Warrant Register No. 42, totals $10,664,989.54. The
Finance Department has determined that sufficient funds to pay such claims/demands, are available in
the respective accounts referenced on Operating Account Warrant Register No. 42.
Attachments:
1. Operating Account Warrant Register No. 42
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
I hereby certify that claims and/or demands included in above listed warrant
register have been audited for accuracy and availability of funds for payments and
that said claims and/or demands are accurate and that the funds are available for
payments thereof.
Scott Williams
Director of Finance / City Treasurer
Date: 03/26/2020
This is to certify that the claims or demands covered by the above listed warrants
have been audited by the City Council of the City of Vernon and that all of said
warrants are approved for payments except Warrant Numbers:
Printed: 3/25/2020 1:21:54 P M
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
002412 - CALIFORNIA ISO 055.9200.500150
$ 13,287.96
Recalculation Charges 11/19
202002253144718
393
055.9200.500170
$ 5,695.68
Recalculation Charges 11/19
202002253144718
393
055.9200.500180
$ 14.97
Recalculation Charges 11/19
202002253144718
393
055.9200.500190
$ 2,958.38
Recalculation Charges 11/19
202002253144718
393
055.9200.500210
$ 85.60
Recalculation Charges 11/19
202002253144718
393
055.9200.500240
$ 23.06
Recalculation Charges 11/19
202002253144718
393
055.9200.500151
$ -0.06
Recalculation Charges 11/19
202002253144718
393
055.9200.500150
$ 312,133.73
Initial Charges 02/20
202002253144718
393
055.9200.500190
$ 5,846.73
Initial Charges 02/20
202002253144718
393
055.9200.500210
$ 17,680.07
Initial Charges 02/20
202002253144718
393
055.9200.500151
$ -1.83
Initial Charges 02/20
202002253144718
393
055.9200.500170
$-9,633.00
Initial Charges 02/20
202002253144718
393
055.9200.500150
$ 27,259.22
Recalculation Charges 02/20
202002253144718
393
055.9200.500170
$ 39.63
Recalculation Charges 02/20
202002253144718
393
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
Printed: 3/25/2020 1:21:54PM Page 1 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
a f 00 01re
ACCOUNT
INVOICE
PAYMENT
PAYMENT
PAYMENT
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
INVOICE P.O.#
DATE
NUMBER
AMOUNT
002412 - CALIFORNIA ISO
055.9200.500210
$ 385.75 Recalculation Charges 02/20
202002253144718
393
055.9200.500151
$ -0.01 Recalculation Charges 02/20
202002253144718
393
055.9200.500190
$-2,310.55 Recalculation Charges 02/20
202002253144718
393
03/02/2020
9460
$ 373,465.33
002808 - DEUTSCHE BANK TRUST CO.
055.9200.500163
$ 1,268,770.00 WCI Auction
022620
056.5610.596710
$ 160,830.00 WCI Auction
022620
03/03/2020
9461
$ 1,429,600.00
005067 - BIOFUEL GENERATION
055.9200.500162
$ 28,224.75 Biomethane
RPS12020
SERVICES, L
03/03/2020
9462
$ 28,224.75
002426 - CH21VI HILL ENGINEERS, INC
055.9000.596200
$ 15,863.65 Env Support Services
697275CH017
03/03/2020
9463
$ 15,863.65
003055 - JOAQUIN LEON
011.110021
$ 1,232.36 Employee Computer Loan
022420
03/03/2020
9464
$ 1,232.36
006236 - SUEZ WTS SERVICES USA, INC
011.1033.590000
$ 123.10 Water Purification Services
900248955
011.1033.590000
$ 59.68 Water Purification Services
900264158
03/03/2020
9465
$ 182.78
Printed: 3/25/2020 1:21:54PM Page 2 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
INVOICE
003584 - WILLIAMS DATA
011.1003.596200
$ 375.00 Storage Services
492179
MANAGEMENT
004442 - WIRELESS INNOVATION
055.9000.900000
$ 1,180.00 Iridium
56407
LIMITED
004527 - WITTMAN ENTERPRISES, LLC
011.1033.596200
$ 2,862.80 Billing Services
2001069
006743 - SHOWPRO
011.1070.797000
$ 6,655.00 Water Tower Lighting
220PETVER
005506 - BEST BEST & KRIEGER, LLP
011.1024.593200
$ 4,526.21 Re: Labor & Employment
870011
004438 - FLEMING ENVIRONMENTAL,
011.1049.590000
$ 650.00 Designated Operator 30 Day Inspections
15847
INC
005034 - KRONOS INCORPORATED
011.9019.590110
$ 787.30 Software & Hardware Usage Fees
11565844
001470 - SHAHRAM SHARIFZADEH
055.9200.596500
$ 36.80 SCPPA Renewable Group
021820
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
03/03/2020
9466
$ 375.00
03/03/2020
9467
$ 1,180.00
03/03/2020
9468
$ 2,862.80
03/03/2020
9469
$ 6,655.00
03/05/2020
9470
$ 4,526.21
03/05/2020
9471
$ 650.00
03/05/2020
9472
$ 787.30
03/05/2020
9473
$ 36.80
Printed:3/25/2020 1:21:54PM
Page 3 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
001695 - VULCAN MATERIALS CO
020.1084.520000
$ 83.53
Paving Materials—
72497491
020.1084.520000
$ 359.47
Paving Materials—
72511913
001658 - WATER REPLENISHMENT
020.1084.500110
$ 188,292.55
Groundwater Production & Assessment
021120
DISTRICT
005182 - ANTHEM BLUE CROSS
011.1026.502031
$ 13,467.86
Medicare Retirees
109333520
002459 - PORT CANAVERAL PWR
055.9000.900000
$ 2,575.98
Consulting Services
VERNPVHFEBRUAR
CONSULTANTS
Y2020
055.9000.596200
$ 13,500.00
Consulting Services
VERNPVHFEBRUAR
Y2020
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0013886
011.0013886
03/05/2020
03/05/2020
03/05/2020
9474 $ 443.00
9475 $ 188,292.55
9476 $ 13,467.86
03/05/2020 9480 $ 16,075.98
Printed: 3/25/2020 1:21:54PM Page 4 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
002412 - CALIFORNIA ISO 055.9200.500150
$ 104,357.21
Initial Charges 02/20
202003033144864
452
055.9200.500170
$ 1,061,559.10
Initial Charges 02/20
202003033144864
452
055.9200.500180
$ 19,777.87
Initial Charges 02/20
202003033144864
452
055.9200.500210
$ 13,556.66
Initial Charges 02/20
202003033144864
452
055.9200.500240
$ 6,477.95
Initial Charges 02/20
202003033144864
452
055.9200.500151
$ -1.86
Initial Charges 02/20
202003033144864
452
055.9200.500190
$-175.05
Initial Charges 02/20
202003033144864
452
055.9200.500150
$-551.37
Recalculation Charges 05/17
202003033144864
452
055.9200.500190
$-1,053.15
Recalculation Charges 05/17
202003033144864
452
055.9200.500150
$ 7,895.55
Recalculation Charges 02/20
202003033144864
452
055.9200.500170
$ 303.09
Recalculation Charges 02/20
202003033144864
452
055.9200.500190
$ 428.80
Recalculation Charges 02/20
202003033144864
452
055.9200.500210
$ 134.33
Recalculation Charges 02/20
202003033144864
452
055.9200.500150
$ 13,521.51
Initial Charges 03/20
202003033144864
452
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
Printed: 3/25/2020 1:21:54PM Page 5 of 56
ELECTRONIC
VENDOR NAME AND NUMBER
002412- CALIFORNIA ISO
001490 - ALL CITY MANAGEMENT
SERVICES
000267 - BROADBAND LLC
006198- JRM
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ACCOUNT
INVOICE
NUMBER
AMOUNT
DESCRIPTION
055.9200.500170
$ 322.51
Initial Charges 03/20
055.9200.500190
$ 884.66
Initial Charges 03/20
055.9200.500210
$ 1,336.35
Initial Charges 03/20
055.9200.500151
$ -0.01
Initial Charges 03/20
011.1031.594200
$ 1,525.59 School Crossing Guard Services
011.1031.594200
$ 1,658.25 School Crossing Guard Services
057.1057.500173
$ 4,139.00 Internet Access Services
055.8100.596200
$ 10,000.00 Security Services
055.8100.596200
$ 54,290.67 Security Services
INVOICE
202003033144864
452
202003033144864
452
202003033144864
452
202003033144864
452
66774
67035
315202003744
4004
4009
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
03/09/2020
9481
$ 1,228,774.15
03/10/2020
9485
$ 3,183.84
03/10/2020
9486
$ 4,139.00
03/10/2020 9487 $ 64,290.67
Printed:3/25/2020 1:21:54PM
Page 6 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
003863 - ONESOURCE DISTRIBUTORS,
055.9100.900000
$ 82,104.00 Bid Item #2—
LLC
055.9100.900000
$ 7,799.88 Sales Tax 9.5%
055.9100.900000
$ 41,052.00 Bid Item #2-
055.9100.900000
$ 3,899.94 Sales Tax 9.5%
004854 - TECHCORR USA
056.5600.595200
$ 800.00 PLI Technician —
MANAGEMENT LLC
056.5600.595200
$ 1,320.00 3rd Party Coating Removal &
056.5600.595200
$ 65.00 UT Flaw Detector
056.5600.595200
$ 60.00 Magnetic Particle Inspection Kit - Wet
056.5600.595200
$ 40.00 MT WCP-2 Aerosol
056.5600.595200
$ 80.00 UT Couplant-Per Gallon
000059 - SO CAL EDISON
055.8100.560010
$ 18.62 Period: 01/20
055.9200.560010
$ 652.66 Period:01/20
011.1043.560000
$ 67.09 Period:02/20
INVOICE
S6255593001
S6255593001
S6255593003
S6255593003
214044
214044
214044
214044
214044
214044
013020(2)
020420(2)
021420
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
055.0002761
055.0002761
03/10/2020 9488 $ 134,855.82
056.0000596
056.0000596
056.0000596
056.0000596
056.0000596
056.0000596
03/10/2020
9489 $ 2,365.00
03/03/2020 9490 $ 738.37
Printed:3/25/2020 1:21:54PM
Page 7 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ACCOUNT
INVOICE
PAYMENT
PAYMENT
PAYMENT
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE P.O.#
DATE
NUMBER
AMOUNT
001581-
THE GAS COMPANY
011.1033.560000
$ 149.07
Period: 01/20
021120
011.1033.560000
$ 50.53
Period:01/20
021120(2)
011.1048.560000
$ 36.88
Period:01/20
021120(3)
011.1033.560000
$ 16.03
Period:01/20
021120(4)
011.1049.560000
$ 749.59
Period:01/20
021220
011.1043.560000
$ 374.79
Period:01/20
021220
020.1084.560000
$ 374.79
Period:01/20
021220
011.1049.560000
$ 977.36
Period:01/20
021220(2)
056.5600.560000
$ 77.84
Period:01/20
021220(3)
03/05/2020
9491
$ 2,806.88
001617 -
UPS
011.1041.520000
$ 50.84
Period: 02/20
933312060
011.1033.520000
$ 13.93
Period: 02/20
933312060
011.1041.520000
$ 31.00
Period: 02/20
933312070
03/06/2020
9492
$ 95.77
002517 -
SO CAL PUBLIC POWER
055.9200.500154
$ 273,147.11
Astoria 2 Solar Project
ATSP0320
AUTHORITY
03/12/2020
9493
$ 273,147.11
000059 -
SO CAL EDISON
055.9200.500170
$ 24,669.00
Laguna Bell 02/20
7501126496
055.9200.500170
$ 53,460.00
Victorville Lugo Vernon 02/20
7501126508
055.9200.500170
$ 126,360.00
Mead Laguna Bell 02/20
7501126509
03/12/2020
9494
$ 204,489.00
Printed: 3/25/2020 1:21:54PM Page 8 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT INVOICE
VENDOR NAME AND NUMBER NUMBER AMOUNT DESCRIPTION
006721- TULLETT PREBON AMERICAS 055.9200.596200 $ 200.00 Brokerage Fees
CORP
006666 - WATTS REGULATOR 011.9019.590110 $ 1,125.00 BASE —
COMPANY
004917 - WEBIPLEX, INC
011.9019.590110 $ 675.00 TESTER PORTAL-
011.9019.590110 $ 450.00 CUSTOMER PORTAL-
011.9019.590110 $ 4,090.00 SOFTWARE LICENSE SUBSCRIPTION -
RENEWAL
INVOICE
022820
14027010
14027010
14027010
3229
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
03/12/2020 9495 $ 200.00
011.0014297
011.0014297
011.0014297
03/12/2020
011.0014288
9496 $ 2,250.00
03/12/2020 9497 $ 4,090.00
Printed: 3/25/2020 1:21:54PM Page 9 of 56
ELECTRONIC
ACCOUNT
VENDOR NAME AND NUMBER NUMBER
000209 - MERRIMAC ENERGY GROUP 011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
011.120030
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
INVOICE
AMOUNT DESCRIPTION
$ 11,458.22 Unleaded Fuel
$ 17.54 Ca Enviro / Federal Oil Spill Tax
$ 7.48 Ca. Childhood Lead Fee
$ 19.34 AB32 Fee
$ 2,357.43 State Gasoline Tax
$ 4.98 Lust Fee
$ 623.91 Fuel Sales Tax 4.50%
$ 5,742.90 Diesel Fuel
$ 5.35 Ca Enviro / Federal Oil Spill Tax
$ 11.52 AB32 Fee
$ 899.28 State Diesel Tax
$ 2.50 Lust Fee
$ 878.75 Clear Diesel Sales Tax
005614 - NORTHWEST ELECTRICAL 020.1084.900000 $ 511.43 Technical Design Services
SERVICES,
020.1084.900000 $ 34,529.58 Technical Design Services
055.8200.596200 $ 593.80 Technical Design Services
055.9000.595200 $ 5,278.99 Technical Design Services
INVOICE
2200598
2200598
2200598
2200598
2200598
2200598
2200598
2200599
2200599
2200599
2200599
2200599
2200599
1764
1764
1764
1764
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014274
011.0014274
011.0014274
011.0014274
011.0014274
011.0014274
011.0014274
011.0014274
011.0014274
011.0014274
011.0014274
03/13/2020 9498 $ 22,029.20
03/13/2020 9499 $ 40,913.80
Printed:3/25/2020 1:21:54PM
Page 10 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT INVOICE
VENDOR NAME AND NUMBER NUMBER AMOUNT DESCRIPTION
003049- PETRELLI ELECTRIC, INC
PAYMENT PAYMENT PAYMENT
INVOICE P.O.# DATE NUMBER AMOUNT
055.9100.900000 $ 683,556.12 Electric Service Maintenance 200043
055.8300.590000 $ 810,041.07 Electric Service Maintenance 200043
055.8000.590000 $ 79,483.09 Electric Service Maintenance 200043
03/13/2020 9500 $ 1,573,080.28
Printed: 3/25/2020 1:21:54PM Page 11 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
002412 - CALIFORNIA ISO 055.9200.500150
$ 47,056.63
Recalculation
Charges 05/19
202003103144923
181
055.9200.500151
$ 0.39
Recalculation
Charges 05/19
202003103144923
181
055.9200.500170
$ 39,839.92
Recalculation
Charges 05/19
202003103144923
181
055.9200.500180
$ 102.25
Recalculation
Charges 05/19
202003103144923
181
055.9200.500190
$ 4,003.71
Recalculation
Charges 05/19
202003103144923
181
055.9200.500210
$ 897.68
Recalculation
Charges 05/19
202003103144923
181
055.9200.500150
$ 16,145.23
Recalculation
Charges 02/20
202003103144923
181
055.9200.500190
$ 1,319.17
Recalculation
Charges 02/20
202003103144923
181
055.9200.500210
$ 429.26
Recalculation
Charges 02/20
202003103144923
181
055.9200.500170
$ 1,634.17
Recalculation
Charges 02/20
202003103144923
181
055.9200.500151
$ -0.05
Recalculation
Charges 02/20
202003103144923
181
055.9200.500150
$ 153,524.63
Initial Charges 03/20
202003103144923
181
055.9200.500210
$ 14,021.53
Initial Charges 03/20
202003103144923
181
055.9200.500151
$ -0.14
Initial Charges 03/20
202003103144923
181
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
Printed: 3/25/2020 1:21:54PM Page 12 of 56
ELECTRONIC
VENDOR NAME AND NUMBER
002412- CALIFORNIA ISO
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ACCOUNT INVOICE
NUMBER AMOUNT DESCRIPTION
055.9200.500170 $-5,818.02 Initial Charges 03/20
055.9200.500190 $-5,950.99 Initial Charges 03/20
003336 - BICENT (CALIFORNIA)
055.9200.500150
$ 312,545.70
Monthly Energy Related Payment
MALBURG, L
055.9200.500150
$ 19,244.24
Monthly Heat Rate
055.9200.500180
$ 3,657,717.60
Monthly Capacity Payment
055.9200.500150
$-2,856.41
Fuel Burden
001413 - BLX GROUP, LLC
055.9000.595200
$ 35,995.00
Financial Advisory Services-
006788 - CAUSEY DEMGEN & MOORE
055.9000.595200
$ 2,000.00
Professional Services—
P.C.
000529 - EPIC LAND SOLUTIONS, INC
011.1004.595200
$ 518.75
Infrastructure Valuation Services
005108 - JEMMOTT ROLLINS GROUP,
011.1021.797000
$ 13,750.00
Professional Services—
INC
INVOICE
202003103144923
181
202003103144923
181
2202001
2202001
2202001
2202001
419872224030620
238951
22019074
FEB20(2)
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
03/17/2020 9501 $ 267,205.37
03/19/2020
9502 $
3,986,651.13
03/19/2020
9503 $
35,995.00
03/19/2020
9504 $
2,000.00
03/19/2020
9505 $
518.75
03/19/2020 9506 $ 13,750.00
Printed:3/25/2020 1:21:54PM
Page 13 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT INVOICE
VENDOR NAME AND NUMBER NUMBER AMOUNT DESCRIPTION
002169 - KONECRANES, INC
PAYMENT PAYMENT PAYMENT
INVOICE P.O.# DATE NUMBER AMOUNT
055.8400.590000 $ 705.00 Quarterly Inspection 03/20 154261872
03/19/2020 9507 $ 705.00
Printed: 3/25/2020 1:21:54PM Page 14 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
000209 - MERRIMAC ENERGY GROUP 011.1033.570000
$ 1,060.94
Diesel Fuel-
2200506
011.1033.570000
$ 1.84
AB32 Fuel Fee
2200506
011.1033.570000
$ 0.85
Federal Oil Spill
2200506
011.1033.570000
$ 143.64
State Diesel Tax
2200506
011.1033.570000
$ 0.40
Lust Fee
2200506
011.1033.570000
$ 162.26
Clear Diesel Sales Tax
2200506
011.1033.570000
$ 1,313.90
Unleaded Fuel-
2200507
011.1033.570000
$ 1.75
CA Enviro/Fed Oil Spill Ta
2200507
011.1033.570000
$ 0.74
CA Childhood Lead Fee
2200507
011.1033.570000
$ 1.93
AB32 Fuel Fee
2200507
011.1033.570000
$ 234.61
State Gasoline Excise Tax
2200507
011.1033.570000
$ 0.50
Lust Fee
2200507
011.1033.570000
$ 69.89
Fuel Sales Tax 4.50%
2200507
011.1033.570000
$ 1,060.94
Diesel Fuel-
2200508
011.1033.570000
$ 1.84
AB32 Fuel Fee
2200508
011.1033.570000
$ 0.85
Federal Oil Spill
2200508
011.1033.570000
$ 143.64
State Diesel Tax
2200508
011.1033.570000
$ 0.40
Lust Fee
2200508
011.1033.570000
$ 162.26
Clear Diesel Sales Tax
2200508
011.1033.570000
$ 797.70
Diesel Fuel-
2200509
011.1033.570000
$ 1.38
AB32 Fuel Fee
2200509
011.1033.570000
$ 0.64
Federal Oil Spill
2200509
011.1033.570000
$ 108.00
State Diesel Tax
2200509
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
011.0014279
Printed: 3/25/2020 1:21:54PM Page 15 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ACCOUNT
INVOICE
PAYMENT
PAYMENT
PAYMENT
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
INVOICE
P.O.# DATE
NUMBER
AMOUNT
000209 - MERRIMAC ENERGY GROUP
011.1033.570000
$ 0.30 Lust Fee
2200509
011.0014279
011.1033.570000
$ 121.99 Clear Diesel Sales Tax
2200509
03/19/2020
9508
$ 5,393.19
006687 - NDS
011.1004.520000
$ 320.15 Postage
763051
011.1004.520000
$ 336.61 Postage
763928
03/19/2020
9509
$ 656.76
005433 - RUTAN & TUCKER, LLP
011.1024.593200
$ 2,345.00 Re: General
860672
011.1024.593200
$ 383.50 Re: Torres / Ong Litigation
860673
011.1024.593200
$ 25,293.87 Re: Torres Arbitration
860675
03/19/2020
9510
$ 28,022.37
000574 - STANDARD & POOR'S
055.9000.595200
$ 65,000.00 Analytical Services—
11387270
FINANCIAL SE
03/19/2020
9511
$ 65,000.00
006236 - SUEZ WTS SERVICES USA, INC
011.1033.590000
$ 59.68 Water Purification Services
900264091
011.1033.590000
$ 123.10 Water Purification Services
900289797
011.1033.590000
$ 104.48 Water Purification Services
900289798
011.1033.590000
$ 95.17 Water Purification Services
900292407
03/19/2020
9512
$ 382.43
Printed: 3/25/2020 1:21:54PM Page 16 of 56
ELECTRONIC
VENDOR NAME AND NUMBER
001695 - VULCAN MATERIALS CO
ACCOUNT
NUMBER
056.5600.520000 $
056.5600.520000 $
056.5600.520000 $
020.1084.520000 $
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
INVOICE
AMOUNT DESCRIPTION
124.52 Asphalt-
84.32 Asphalt-
124.52 Asphalt-
360.26 Paving Materials —
004527 - WITTMAN ENTERPRISES, LLC 011.1033.596200 $ 1,850.28 Billing Services
INVOICE
72437757
72442530
72445639
72490048
2002069
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
056.0000573
056.0000573
056.0000573
011.0013886
03/19/2020 9513 $ 693.62
03/19/2020 9514 $ 1,850.28
Printed:3/25/2020 1:21:54PM
Page 17 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ELECTRONIC
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
005356 - HEMA PATEL 011.1024.520000
$ 61.94
Reimb. Meals / Meeting—
021820
011.1024.510000
$ 69.00
Reimb. Meals / Meeting—
030320
055.9000.596500
$ 4,575.74
PPTA Litigation Depositions
030320(2)
011.1024.510000
$ 10.00
PPTA Litigation Meeting
030320(3)
011.1024.510000
$ 14.14
PPTA Litigation Meeting
030320(4)
011.1024.510000
$ 6.66
PPTA Litigation Meeting
030320(5)
011.1024.510000
$ 21.32
PPTA Litigation Meeting
030320(6)
011.1024.510000
$ 20.54
PPTA Litigation Meeting
030320(7)
055.9000.596500
$ 53.89
PPTA Litigation Depositions
030420
055.9000.596500
$ 38.00
Meeting Re: PPTA Litigation
031020
055.9000.596500
$ 13.65
Deposition Re: PPTA Litigation
031020(2)
055.9000.596500
$ 15.27
Deposition Re: PPTA Litigation
031020(3)
055.9000.596500
$ 60.46
Deposition Re: PPTA Litigation
031020(4)
055.9000.596500
$ 53.89
Deposition Re: PPTA Litigation
031020(5)
011.1024.520000
$ 11.75
Reimb. Meals / Meeting—
031920
011.1024.596500
$ 22.00
Meeting w/ Outside Counsel—
110419
011.1024.596500
$ 458.96
Energy Summit
110419(10)
011.1024.596500
$ 10.55
Energy Summit
110419(11)
011.1024.596500
$ 14.36
Energy Summit
110419(12)
011.1024.596500
$ 35.19
Energy Summit
110419(13)
011.1024.596500
$ 32.00
Energy Summit
110419(14)
011.1024.596500
$ 49.08
Reimb. Meals / Meeting—
110419(2)
011.1024.596500
$ 31.97
Meeting w/ Outside Counsel—
110419(3)
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
Printed: 3/25/2020 1:21:54PM Page 18 of 56
ELECTRONIC
VENDOR NAME AND NUMBER
005356 - HEMA PATEL
002190 - OFFICE DEPOT
000059 - SO CAL EDISON
001617- UPS
Printed:3/25/2020 1:21:54PM
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ACCOUNT
NUMBER
INVOICE
AMOUNT
DESCRIPTION
INVOICE
011.1024.596500
$ 8.76
Meeting w/ Outside
Counsel—
110419(4)
011.1024.596500
$ 39.57
Meeting w/ Outside
Counsel—
110419(5)
011.1024.596500
$ 35.00
Reimb. Meeting Re:
PPTA Dispute
110419(6)
011.1024.596500
$ 57.27
Reimb. Meeting Re:
PPTA Dispute
110419(7)
011.1024.596500
$ 110.00
Reimb. Meeting Re:
PPTA Dispute
110419(8)
011.1024.596500
$ 41.97
Reimb. Meeting Re:
PPTA Dispute
110419(9)
011.1031.520000
$ 466.89
Supplies
442527672001
011.1031.520000
$ 75.82
Supplies
442533114001
011.1031.520000
$ 158.63
Supplies
442533115001
055.8100.560010
$ 20.57
Period:02/20
022920
011.1043.560000
$ 34.07
Period:02/20
022920(2)
011.1042.560000
$ 251.89
Period:02/20
030320
055.9200.560010
$ 652.66
Period:02/20
030320(2)
011.1033.520000
$ 13.90
Period:02/20
933312080
011.1041.520000
$ 31.00
Period:02/20
933312080
011.1041.520000
$ 76.62
Period:02/20
933312090
PAYMENT PAYMENT PAYMENT
P.O.# DATE NUMBER AMOUNT
03/20/2020 9515 $ 5,972.93
03/19/2020 9516 $ 701.34
03/19/2020 9517 $ 959.19
03/20/2020
TOTAL ELECTRONIC
9518 $ 121.52
$ 10,061,949.14
Page 19 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
000005 -
A THRONE CO, INC
020.1084.596200
$ 84.95
Portable Restrooms
622128
055.8100.596200
$ 84.95
Portable Restrooms
624656
055.8100.596200
$ 279.14
Portable Restrooms
624657
055.8100.596200
$ 88.95
Portable Restrooms
624658
011.1033.596200
$ 122.43
Portable Restrooms
624659
004686 -
AAA FLAG & BANNER MFG
011.1002.520000
$ 695.00
Single Pole Banners HARDWARE ONLY (30"
INV255204
CO, INC
011.1002.520000
$ 66.03
Sales Tax 9.5%
INV255204
000568 -
ADAM ALVAREZ
011.110021
$ 3,016.99
Employee Computer Loan
022420
001401-
CENTRAL BASIN MWD
020.1084.500130
$ 44,651.36
Potable Water Breakdown
VERJAN20
004163 -
CENTRAL FORD
011.1046.520000
$ 4,174.19
6006 d engine assembly
C55052
011.1046.520000
$ 2,004.29
parts
C55052
011.1046.590000
$ 3,595.23
labor
C55052
011.1046.520000
$ 633.29
Sales Tax 10.25
C55052
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014219
011.0014227
011.0014227
011.0014227
03/03/2020 605093 $ 660.42
03/03/2020
605094
$ 761.03
03/03/2020
605095
$ 3,016.99
03/03/2020
605096
$ 44,651.36
03/03/2020 605097 $ 10,407.00
Printed: 3/25/2020 1:21:54 P M
Page 20 of 56
EARLY CHECKS
VENDOR NAME AND NUMBER
001336 - CURRENT WHOLESALE
ELECTRIC SUP
000741- CERISSA DIAZ
005055 - ECMS, INC
000227 - ANTHONY ENCINAS II
006127- ENERGY EXPERTS
INTERNATIONAL,
ACCOUNT
NUMBER
055.8400.590000 $
020.1084.590000 $
011.1031.596500 $
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
INVOICE
AMOUNT DESCRIPTION
324.12 Electric Parts-
44.49 Electrical Supplies-
175.96 CALNENA 2020 - San Diego
INVOICE
261681
261682
022620
011.1033.540000
$ 28.33
Turnout Cleaning—
INV356454
011.1031.540000
$ 364.09
Reimb. Half Cost of Bulletproof Best
022520
056.5600.596200 $ 3,290.00 Natural Gas Operational Support Services 3265743
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
055.0002740
011.0013878
03/03/2020
605098 $
03/03/2020
605099 $
011.0013970
03/03/2020
605100 $
03/03/2020 605101 $
368.61
175.96
28.33
03/03/2020 605102 $ 3,290.00
Printed: 3/25/2020 1:21:54PM Page 21 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
000899 - GALLS, LLC 011.1031.540000
$ 85.00
Item
No.
SG477
OD
SM REG: Tru-Spec
14683813
011.1031.540000
$ 85.00
Item
No.
SG477
OD
MD REG: Tru-Spec
14683813
011.1031.540000
$ 85.00
Item
No.
SG477
OD
LG REG: Tru-Spec
14683813
011.1031.540000
$ 85.00
Item
No.
SG477
OD
XL REG: Tru-Spec
14683813
011.1031.540000
$ 96.62
Item
No.
SG477
OD
2X REG: Tru-Spec
14683813
011.1031.540000
$ 85.00
Item
No.
TT320
OD
XL REG: XS-XL
14683813
011.1031.540000
$ 88.55
Item
No.
TT320
OD
2X REG: Pant
14683813
011.1031.540000
$ 88.55
Item
No.
TT320
OD
3X SHT: Pant
14683813
011.1031.540000
$ 160.00
Item
No.
UA743S
OD: Sew name tape above
14683813
011.1031.540000
$ 2.87
Freight
14683813
011.1031.540000
$ 81.60
Sales Tax
9.5%
14683813
011.1031.540000
$ 340.00
Item
No.
TT320
OD
MD REG: XS-XL
14684120
011.1031.540000
$ 340.00
Item
No.
TT320
OD
LG REG: XS-XL
14684120
011.1031.540000
$ 170.00
Item
No.
TT320
OD
XL REG: XS-XL
14684120
011.1031.540000
$ 2.92
Freight
14684120
011.1031.540000
$ 80.75
Sales Tax
9.5%
14684120
011.1031.540000
$ 255.00
Item
No.
SG477
OD
MD REG: Tru-Spec
14695185
011.1031.540000
$ 255.00
Item
No.
SG477
OD
LG REG: Tru-Spec
14695185
011.1031.540000
$ 85.00
Item
No.
SG477
OD
LG LNG: Tru-Spec
14695185
011.1031.540000
$ 96.62
Item
No.
SG477
OD
2X REG: Tru-Spec
14695185
011.1031.540000
$ 96.62
Item
No.
SG477
OD
3X LNG: Tru-Spec
14695185
011.1031.540000
$ 170.00
Item
No.
TT320
OD
XL REG: XS-XL
14695185
011.1031.540000
$ 88.55
Item
No.
TT320
OD
2X REG: Pant
14695185
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
011.0014204
Printed: 3/25/2020 1:21:54PM Page 22 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
1_1:7 KO:Ito I; i
ACCOUNT
INVOICE
PAYMENT
CHECK
PAYMENT
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
P.O.#
DATE
NUMBER
AMOUNT
000899 -
GALLS, LLC
011.1031.540000
$ 3.63
Freight
14695185
011.0014204
011.1031.540000
$ 99.46
Sales Tax 9.5%
14695185
011.1031.540000
$ 170.00
Item No. SG477 OD XL REG: Tru-Spec
14865604
011.0014204
011.1031.540000
$ 0.58
Freight
14865604
011.0014204
011.1031.540000
$ 16.15
Sales Tax 9.5%
14865604
03/03/2020
605103
$ 3,213.47
001668 -
LORENZO GAYTAN
011.1031.596500
$ 13.80
Investigative Tactics & Updates for
022620
03/03/2020
605104
$ 13.80
001712 -
GRAINGER, CO
020.1084.520000
$ 154.26
Building Hardware—
9427310173
011.0013880
03/03/2020
605105
$ 154.26
006755 -
MARTIN GUTIERREZ
011.110021
$ 2,859.99
Employee Computer Loan
022420
03/03/2020
605106
$ 2,859.99
004222 -
HEATH CONSULTANTS
056.5600.590000
$ 750.00
DP-IR Mobile Kit Installation
1056772
056.0000593
INCORPORATED
056.5600.590000
$ 1,507.00
DP-IR Mobile Kit Pump
1056772
056.0000593
056.5600.590000
$ 24.00
Vacuum Gauge
1056772
056.0000593
056.5600.590000
$ 145.45
Sales Tax 9.5%
1056772
03/03/2020
605107
$ 2,426.45
006399 -
JOE MAR POLYGRAPH & INV
011.1031.596200
$ 225.00
Pre -Employment Polygraph Exam
202002007
SVC, 1
011.1031.596200
$ 225.00
Pre -Employment Polygraph Exam
202002012
03/03/2020
605108
$ 450.00
Printed: 3/25/2020 1:21:54PM Page 23 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
000255 - LN CURTIS & SONS
011.1033.590000
$ 1,198.50 Fit Testing
001957 - TODD NEWTON
011.1031.596500
$ 32.15 Mental Health Decision Making
001943 - PLUMBING & INDUSTRIAL
020.1084.520000
$ 263.41 Plumbing Hardware & Supplies —
SUPPLY
020.1084.520000
$ 28.70 Plumbing Hardware & Supplies—
000074 - 10SE RAMOS
011.1031.596500
$ 43.20 Cultural Diversity Awareness & Implicit
003271- ROBERTSON'S
020.1084.520000
$ 626.83 Concrete
020.1084.520000
$ 638.83 Concrete
001845 - SECURITY PAVING COMPANY,
020.1084.520000
$ 35.86 Crush Base Material—
INC
000834 - ROBERTO SOUSA
011.1031.596500
$ 156.00 Succeeding as a Police Chief - Beyond
PAYMENT
CHECK
PAYMENT
INVOICE
P.O.#
DATE
NUMBER
AMOUNT
INV356665
03/03/2020
605109
$ 1,198.50
022420
03/03/2020
605110
$ 32.15
S1229913001
011.0013884
S1231582001
011.0013884
03/03/2020
605111
$ 292.11
021120
03/03/2020
605112
$ 43.20
629245
629246
03/03/2020
605113
$ 1,265.66
34565
011.0013885
03/03/2020 605114 $ 35.86
010920
03/03/2020 605115 $ 156.00
Printed:3/25/2020 1:21:54PM
Page 24 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
006711-
SOUTHERN COMPUTER
020.1084.900000
$ 1,401.88
Vmware vCenter Server Foundation v.6.0
IN000621314
WAREHOUSE, I
020.1084.900000
$ 1,429.60
VMware Support and Subscription Basic -
IN000621314
020.1084.900000
$ 7,227.32
Cisco Network and Digital Network
IN000622184
000758 -
STRYKER MEDICAL
011.9019.520010
$ 299.00
vMT X74070 11t12t19—
2841379M
011.9019.520010
$ 208.00
CBL, 4WIBE LIMB LEAD-5FTAHA, 1
2862533M
011.9019.520010
$ 19.76
Sales Tax 9.5%
2862533M
001616 -
PHILLIP SWINFORD
011.1031.596500
$ 32.15
Mental Health Decision Making
031920
006371-
TIREHUB, LLC
011.1046.520000
$ 620.00
2457517 tires
12509029
011.1046.520000
$ 58.90
Sales Tax 9.5%
12509029
005204 -
AMBERWICK CORP
011.1043.520000
$ 2,884.38
Hazardous Waste Removal
56010
006757 -
AMERICAN BAZI, INC
055.110010
$ 778.32
Ref. Closed Acct#923 Cust#6598
062719
006758 -
AMY'S HOUSE, INC
011.110010
$ 500.00
Ref. Closed Acct#2042 Cust#6383
030420
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014213
011.0014213
011.0014223
03/03/2020 605116 $ 10,058.80
011.0014256
011.0014278
011.0014226
03/03/2020 605117 $
03/03/2020 605118 $
526.76
32.15
03/03/2020
605119
$ 678.90
03/05/2020
605120
$ 2,884.38
03/05/2020
605121
$ 778.32
03/05/2020
605122
$ 500.00
Printed:3/25/2020 1:21:54PM
Page 25 of 56
EARLY CHECKS
VENDOR NAME AND NUMBER
001948 - AT&T
002889 - AT&T MOBILITY
ACCOUNT
NUMBER
011.9019.560010 $
011.9019.560010 $
004448 -
BATTERY SYSTEMS, INC
011.120010 $
011.120010 $
011.120010 $
011.120010 $
011.120010 $
011.120010 $
011.120010 $
011.120010 $
001886 -
BCBG MAX AZRIA GROUP,
055.110010 $
INC
006759 -
BENJAMIN NOAM STUDIO
055.110010 $
006761-
BJ21 TEXTILE, INC
055.110010 $
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
INVOICE
AMOUNT
DESCRIPTION
INVOICE
325.85
Period: 12/10/19 - 01/09/20
14153057
46.23
Period: 01/09/20 - 02/08/20
83217648OX02162
020
547.50
0705-1000IL - DRI OIL SORB 50 LBS. PER
5239581
345.60
1210-260 PROCELL 9v CELL ALKALINE #
5239581
576.00
1210-280 PROCELL AAA CELL ALKALINE #
5239581
576.00
1210-290 PROCELL AA CELL ALKALINE #
5239581
230.40
1210-300 PROCELL C CELL ALKALINE #
5239581
216.18
Sales Tax 9.5%
5239581
230.40
1210-600 PROCELL D CELL ALKALINE #
5346857
21.88
Sales Tax 9.5%
5346857
48.32
Ref. Closed Acct#1683 Cust#6626
062719
162.36 Ref. Closed Acct#952 Cust#7031 030420
604.76 Ref. Closed Acct#537 Cust#6269 030420
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014197
011.0014197
011.0014197
011.0014197
011.0014197
011.0014197
03/05/2020 605123 $
03/05/2020 605124 $
325.85
46.23
03/05/2020 605125 $ 2,743.96
03/05/2020
605126
$ 48.32
03/05/2020
605127
$ 162.36
03/05/2020
605128
$ 604.76
Printed:3/25/2020 1:21:54PM
Page 26 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
006760 - BLIND DECKER
055.110010
$ 500.00 Ref. Closed Acct#400 Cust#6512
PRODUCTIONS
006762 - BRIDGE POINT VERNON, LLC
055.110010
$ 157.96 Ref. Closed Acct#7067 Cust#6838
006764 - CALIN SENCIAC
055.110010
$ 163.67 Ref. Closed Acct#913 Cust#5000
006763 - CAL-YORK, LLC
055.110010
$ 299.90 Ref. Close Acct#1239 Cust#213
001473 - CITY OF DOWNEY
011.1060.595200
$ 3,955.79 Animal Control Services—
003511- CITY OF LAKEWOOD
020.1084.593200
$ 44.43 Proportional Amount-
001229 - CITY OF LOS ANGELES
011.1043.590000
$ 1,840.13 Traffic Signal Maintenance 01/01/20 -
TREASURER
005567 - CLW FOODS, LLC
055.110010
$ 296.84 Ref. Closed Acct#1966 Cust#5887
006719 - COAST FITNESS
011.1002.570000
$ 542.80 Gym Repairs
030420
030420
030420
030420
233969
4870
94 M A200000044
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
03/05/2020
605129
$ 500.00
03/05/2020
605130
$ 157.96
03/05/2020
605131
$ 163.67
03/05/2020
605132
$ 299.90
03/05/2020
605133
$ 3,955.79
03/05/2020 605134 $ 44.43
03/05/2020 605135 $ 1,840.13
030420
03/05/2020 605136 $ 296.84
74362
03/05/2020 605137 $ 542.80
Printed: 3/25/2020 1:21:54PM Page 27 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
000331-
COMMERCIAL DOOR OF LOS
011.1049.590000
$ 967.10
Door Maintenance
ANGELES
004970 -
EVE ENGINE PARTS
055.110010
$ 331.31
Ref. Closed Acct#964 Cust#5491
WAREHOUSE
003674 -
FS CONTRACTORS, INC
020.110010
$ 797.77
Ref. Closed Acct#7104 Cust#7128
006765 -
G2 TRADING GROUP, INC
055.110010
$ 328.30
Ref. Closed Acct#5643 Cust#6406
001346 -
HAAKER EQUIPMENT
011.1046.520000
$ 358.93
Repairs of Lights & Sweeper
COMPANY
011.1046.590000
$ 358.92
Repairs of Lights & Sweeper
001221-
HERNDON RECOGNITION
011.1026.596900
$ 1,710.87
Service Pins
COMPANY
006766 -
IDS GLOBAL, INC
055.110010
$ 465.74
Ref. Closed Acct#356 Cust#5353
000829 -
IRON MOUNTAIN
011.9019.560010
$ 269.18
Storage Services
INVOICE
18490
030420
030420
030420
W59275
W59275
3517491RI
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
03/05/2020
605138
$ 967.10
03/05/2020
605139
$ 331.31
03/05/2020
605140
$ 797.77
03/05/2020
605141
$ 328.30
03/05/2020 605142 $ 717.85
03/05/2020 605143 $ 1,710.87
062719
03/05/2020 605144 $ 465.74
202057885
03/05/2020 605145 $ 269.18
Printed:3/25/2020 1:21:54PM
Page 28 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT INVOICE PAYMENT CHECII AYM
VENDOR NAME AND NUMBER NUMBER AMOUNT DESCRIPTION INVOICE ' P.O.# DATE NUMBE5 MOUNI
006767 - JDM TRUST MOTOR, LLC 055.110010 $ 26.48 Ref. Closed Acct#1536 Cust#6820 030420
03/05/2020 605146 $ 26.48
006768 -
JENIN HOME FASHION
055.110010
$
145.40
Ref. Closed
Acct#532 Cust#6589
001096 -
MELVYN GREEN &
011.1041.595200
$
3,517.20
Plan Check
Services
ASSOCIATES, INC
006769 -
METROPOLITAN LIFE
020.110010
$
60.24
Ref. Closed
Acct#916 Cust#6566
INSURANCE CO
006770 -
MILAN CLOTHING, INC
055.110010
$
42.12
Ref. Closed
Acct#1171 Cust#5926
006771 -
MJ AMIGA, INC
055.110010
$
262.18
Ref. Closed
Acct#840 Cust#4776
006772 -
OPULENT ITEMS
055.110010
$
119.66
Ref. Closed
Acct#997 Cust#6744
006773 -
PARADIGM INDUSTRIES
055.110010
$
1,000.00
Ref. Closed
Acct#5439 Cust#6968
006774 -
PREFERRED MEAL SYSTEMS
020.110010
$
153.06
Ref. Closed
Acct#899 Cust#6947
062719
03/05/2020 605147 $ 145.40
14217
03/05/2020 605148 $ 3,517.20
030420
03/05/2020 605149 $ 60.24
030420
03/05/2020
605150 $ 42.12
062719
03/05/2020
605151 $ 262.18
062719
03/05/2020
605152 $ 119.66
030420
062719
03/05/2020
605153
$ 1,000.00
03/05/2020
605154
$ 153.06
Printed: 3/25/2020 1:21:54PM Page 29 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
006775 -
SAN ANTONIO ROSE BAR
055.110010
$
342.84
Ref. Closed
Acct#1625 Cust#995
062719
006776 -
SOL & FELIZ, INC
055.110010
$
201.60
Ref. Closed
Acct#886 Cust#6199
062719
006777 -
STEFANIE, INC
055.110010
$
102.21
Ref. Closed
Acct#242 Cust#5667
030420
006073 -
STREETS AHEAD, INC
055.110010
$
1,000.00
Ref. Closed
Acct#1770 Cust#1069
030420
006778 -
TEN THIRTY ONE
055.110010
$
659.82
Ref. Closed
Acct#1620 Cust#6418
030420
PRODUCTIONS LLC
004521-
THE CONSERVTECH GROUP
020.110010
$
753.36
Ref. Closed
Acct#7093 Cust#5658
030420
000743 -
XEROX FINANCIAL SERVICES,
011.9019.590110
$
3,219.30
Lease Payment
1974253
LLC
006779 -
YEDI, INC
055.110010
$
100.44
Ref. Closed
Acct#228 Cust#6137
030420
005366 - BLACK & WHITE EMERGENCY 011.1031.570000 $ 188.82 Gunlock Installation 3381
VEHICL
P.O.#
DATE NUMBE5 11ILAMOUI�
03/05/2020 605155 $ 342.84
03/05/2020 605156 $ 201.60
03/05/2020
605157
$ 102.21
03/05/2020
605158
$ 1,000.00
03/05/2020 605159 $ 659.82
03/05/2020 605160 $ 753.36
03/05/2020 605161 $ 3,219.30
03/05/2020 605162 $ 100.44
03/10/2020 605163 $ 188.82
Printed:3/25/2020 1:21:54PM
Page 30 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT INVOICE
VENDOR NAME AND NUMBER NUMBER AMOUNT DESCRIPTION
006293 - B-LINE INVESTIGATIONS, INC 011.1031.596200 $ 1,000.00 Background Investigation Services
005449 - CALIFORNIA CHILDREN'S
ACADEMY
011.1021.797000 $ 25,000.00 CommUNITY Fund Grant
INVOICE
1109
030220
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
03/10/2020 605164 $ 1,000.00
03/10/2020 605165 $ 25,000.00
Printed: 3/25/2020 1:21:54PM Page 31 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
005490 - CINTAS CORPORATION 011.1043.540000
$ 137.09
Uniforms
4039018871
011.1046.540000
$ 32.04
Uniforms
4039018871
011.1047.540000
$ 9.68
Uniforms
4039018871
011.1049.540000
$ 54.00
Uniforms
4039018871
011.1049.540000
$ 55.31
Uniforms
4039619413
011.1043.540000
$ 119.26
Uniforms
4039619413
011.1046.540000
$ 32.81
Uniforms
4039619413
011.1047.540000
$ 9.91
Uniforms
4039619413
011.1043.540000
$ 120.42
Uniforms
4040197713
011.1046.540000
$ 32.76
Uniforms
4040197713
011.1047.540000
$ 9.90
Uniforms
4040197713
011.1049.540000
$ 55.21
Uniforms
4040197713
011.1043.540000
$ 119.53
Uniforms
4040784639
011.1046.540000
$ 32.52
Uniforms
4040784639
011.1047.540000
$ 9.82
Uniforms
4040784639
011.1049.540000
$ 61.05
Uniforms
4040784639
011.1043.540000
$ 119.26
Uniforms
4041394705
011.1046.540000
$ 32.81
Uniforms
4041394705
011.1047.540000
$ 9.91
Uniforms
4041394705
011.1049.540000
$ 55.31
Uniforms
4041394705
011.1043.540000
$ 123.27
Uniforms
4042013552
011.1046.540000
$ 32.57
Uniforms
4042013552
011.1047.540000
$ 9.84
Uniforms
4042013552
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
Printed: 3/25/2020 1:21:54PM Page 32 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT
DESCRIPTION
INVOICE
005490 - CINTAS CORPORATION 011.1049.540000
$ 56.24
Uniforms
4042013552
020.1084.540000
$ 137.48
Uniforms
4042516982
055.8000.540000
$ 39.55
Uniforms
4042516982
055.8100.540000
$ 151.61
Uniforms
4042516982
056.5600.540000
$ 52.02
Uniforms
4042516982
011.1043.540000
$ 119.76
Uniforms
4042602608
011.1046.540000
$ 32.76
Uniforms
4042602608
011.1047.540000
$ 9.91
Uniforms
4042602608
011.1049.540000
$ 55.27
Uniforms
4042602608
020.1084.540000
$ 137.75
Uniforms
4043085160
055.8000.540000
$ 38.85
Uniforms
4043085160
055.8100.540000
$ 151.65
Uniforms
4043085160
056.5600.540000
$ 52.23
Uniforms
4043085160
011.1043.540000
$ 121.50
Uniforms
4043283195
011.1046.540000
$ 33.24
Uniforms
4043283195
011.1047.540000
$ 10.04
Uniforms
4043283195
011.1049.540000
$ 56.07
Uniforms
4043283195
020.1084.540000
$ 139.09
Uniforms
4043779307
055.8000.540000
$ 39.02
Uniforms
4043779307
055.8100.540000
$ 153.51
Uniforms
4043779307
056.5600.540000
$ 52.63
Uniforms
4043779307
011.1043.540000
$ 119.30
Uniforms
4043869166
011.1046.540000
$ 47.30
Uniforms
4043869166
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
Printed: 3/25/2020 1:21:54PM Page 33 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
005490 - CINTAS CORPORATION
011.1047.540000
$ 10.04 Uniforms
011.1049.540000
$ 55.95 Uniforms
000331- COMMERCIAL DOOR OF LOS
011.1049.590000
$ 1,682.04 Overhead Door Maintenance
ANGELES
006045 - COMPRESSOR SERVICE
055.8400.590000
$ 550.20 Compressor Maintenance
PROFESSIONA
002566 - DEWEY PEST CONTROL
011.1033.590000
$ 27.00 Pest Control Services
000452- EDWARDHERNANDEZ
005660 - INNERCITY STRUGGLE
000138- LACPCA
011.1033.590000
$ 25.00
Pest Control Services
011.1033.590000
$ 25.00
Pest Control Services
011.1033.590000
$ 25.00
Pest Control Services
056.5600.590000
$ 65.00
Pest Control Services
011.1031.596500
$ 12.65
Asset Forfeiture Seminar
011.200200
$ 45,000.00
CommUNITY Fund Grant
011.1031.596700
$ 300.00
Registration/A. Miranda
INVOICE
4043869166
4043869166
18434
2086
13254083
13254084
13254085
13256122
13267998
021820
030220
030220
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
03/10/2020 605166 $ 3,147.05
03/10/2020 605167 $ 1,682.04
03/10/2020 605168 $ 550.20
03/10/2020
605169 $
167.00
03/10/2020
605170 $
12.65
03/10/2020
605171 $
45,000.00
03/10/2020
605172 $
300.00
Printed: 3/25/2020 1:21:54PM Page 34 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT DESCRIPTION
000804 - LB JOHNSON HARDWARE CO 055.8000.590000
$ 65.67 Small Tools, Plumbing & Building
#1
055.8000.590000
$ 153.25 Small Tools, Plumbing & Building
055.8000.590000
$ 3.27 Small Tools, Plumbing & Building
055.8000.590000
$ 875.89 Small Tools, Plumbing & Building
055.8000.590000
$ 118.51 Small Tools, Plumbing & Building
055.8000.590000
$ 93.02 Small Tools, Plumbing & Building
055.8000.590000
$ 64.54 Small Tools, Plumbing & Building
055.8000.590000
$ 145.73 Small Tools, Plumbing & Building
055.8000.590000
$ 177.60 Small Tools, Plumbing & Building
055.8000.590000
$ 279.12 Small Tools, Plumbing & Building
055.8000.590000
$ 149.91 Small Tools, Plumbing & Building
006489 - METROPOLITAN 011.9019.590110 $ 1,500.00 StreetSaver Annual Subscription-
TRANSPORTATION CO
006124 - ANTHONY MIRANDA 011.1031.596500 $ 107.00 LACPCA 2020 Spring Conference
006586 - OCCUPATIONAL HEALTH 011.1026.597000 $ 93.50 Medical Services
CENTERS OF
011.1026.597000 $ 138.00 Medical Services
INVOICE
102531
102547
102565
102579
102772
102821
102999
414888
421052
421055
421056
4926AR11513
030220
66903546
67061702
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
055.0002742
055.0002742
055.0002742
011.0014270
03/10/2020 605173 $ 2,126.51
03/10/2020
605174
$ 1,500.00
03/10/2020
605175
$ 107.00
03/10/2020 605176 $ 231.50
Printed:3/25/2020 1:21:54PM
Page 35 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT INVOICE
VENDOR NAME AND NUMBER NUMBER AMOUNT DESCRIPTION INVOICE
006475 - ONEPOINT HUMAN CAPITAL 011.9019.520010 $ 215.00 Time Tracking System 47278
MGMT
001943 - PLUMBING & INDUSTRIAL 011.1049.590000 $
SUPPLY
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
011.1049.590000 $
006612 - QUALIFIED MOBILE, INC 011.1046.590000 $
011.1046.590000 $
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
218.00
AS 2234.001.020 Madera Eing Bwl Wht
S1230698001
011.0014271
3.42
Harvey 006005 #5 No Seep Wax Ring
S1230698001
011.0014271
4.20
Pasco 28 1/4 x 2-1/4 Closet Bolt Set
S1230698001
011.0014271
47.30
Church 295ct-000 O/F L/Cover Wht
S1230698001
011.0014271
138.34
As 0355.012.020 Lucerne 3H Lav Wht
S1230698001
011.0014271
276.00
CHI-FCT 420-ABCP SGL LVR LAV FCT
S1230698001
011.0014271
45.14
Keeney 450pc 1-1/1 CP LA P-Trap
S1230698001
011.0014271
6.78
163-10120 1/2 x 1/2 x 20 SS Flex Conn
S1230698001
011.0014271
26.34
Kingston KB5001 Grid Strainer
S1230698001
011.0014271
287.18
Sloan 3910168 Royal 1111.28 FV
S1230698001
011.0014271
633.47
AS 6590.001.020 Washbrook Urinal Wht
S1230698001
011.0014271
287.18
Sloan 3012636 Royal 186-1 Urnl FV
S1230698001
011.0014271
187.47
Sales Tax 9.5%
S1230698001
391.00 Car Wash Services 267175
272.00 Car Wash Services 267415
03/10/2020 605177 $ 215.00
03/10/2020 605178 $ 2,160.82
03/10/2020 605179 $ 663.00
Printed: 3/25/2020 1:21:54PM Page 36 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
006637 -
RUSHER AIR CONDITIONING
055.8400.596200
$ 892.36
Air Conditioner Maintenance
2077987
001062 -
SPEEDO ELECTRIC CO
011.1031.570000
$ 1,320.00
Speed Calibrations
102307
001017 -
SPRINT
011.9019.560010
$ 34.25
Period: 01/20
677975318219
006780 -
THE HITT COMPANIES, INC
011.1004.520000
$ 57.90
Shiny Printer S-846 Self Inking Stamp-
OE80731
011.1004.520000
$ 10.50
Freight
OE80731
011.1004.520000
$ 5.50
Sales Tax 9.5%
OE80731
006528 -
THE HOME DEPOT PRO
011.120010
$ 80.96
(0578-600) Cleaner Deodorizer Pine Oil
535185052
011.120010
$ 300.00
(0562-100) National Toilet Seat Covers
535185052
011.120010
$ 506.40
(0515-440) Rest Stop Restroom
535185052
011.120010
$ 84.30
Sales Tax 9.5%
535185052
003873 -
THE PAIGE COMPANY, INC.
011.1049.520000
$ 499.50
Miracle Box Letter/Legal 12W x 15L x 10H
272321
011.1049.520000
$ 20.00
Freight
272321
011.1049.520000
$ 47.45
Sales Tax 9.5%
272321
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014280
011.0014280
011.0014277
011.0014277
011.0014277
011.0014275
011.0014275
03/10/2020
605180
$ 892.36
03/10/2020
605181
$ 1,320.00
03/10/2020
605182
$ 34.25
03/10/2020 605183 $ 73.90
03/10/2020 605184 $ 971.66
03/10/2020 605185 $ 566.95
Printed:3/25/2020 1:21:54PM
Page 37 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
006132 - THYSSENKRUPP ELEVATOR
055.8400.590000
$ 443.97
Elevator Service & Maintenance
3005013169
CORPORAT
006415 - UNION PACIFIC RAILROAD
011.1043.590000
$ 7,914.97
Flashing Lights & Gates Installation
90093894
COMPANY
001481- VERIZON WIRELESS
011.9019.560010
$ 822.56
Period: 01/11/20 - 02/10/20
9848063851
002075 - WEIDMANN ELECTRICAL
055.8000.590000
$ 1,031.25
Substation Oil Samples
5900268860
TECHNOLOGY
055.8000.590000
$ 1,375.00
Substation Oil Samples
5900269945
000005 - ATHRONE CO, INC
011.1043.520000
$ 111.33
Portable Restrooms
624655
006305 - ASTRO PLUMBING SUPPLY
011.1049.520000
$ 8.17
Plumbing Supplies & Building Hardware—
S1327371002
CO
011.1048.520000
$ 929.74
Plumbing Supplies & Building Hardware—
S1333550001
011.1048.520000
$ 54.72
Plumbing Supplies & Building Hardware—
S1333936001
004303 - ATHENS INSURANCE
011.1026.594200
$ 6,105.33
TPA Fees 02/20
IVC20716
SERVICES, INC
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
03/10/2020 605186 $ 443.97
03/10/2020 605187 $ 7,914.97
03/10/2020 605188 $ 822.56
03/10/2020
605189
$ 2,406.25
03/12/2020
605190
$ 111.33
011.0013887
011.0013887
011.0013887
03/12/2020 605191 $ 992.63
03/12/2020 605192 $ 6,105.33
Printed:3/25/2020 1:21:54PM
Page 38 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
INVOICE
001598 - TIMOTHY BASS
055.9100.596550
$ 116.00 Reimb. Board of Prof. Engineers Renewal
030520
004448 - BATTERY SYSTEMS, INC
011.1046.520000
$ 95.18 Vehicle Batteries, Alternators &
5337942
011.1046.520000
$ 958.66 Vehicle Batteries, Alternators &
5377852
001973 - CALIFORNIA FRAME & AXLE
011.1046.590000
$ 127.50 Front End Repairs—
57865
000778 - CALIFORNIA WATER SERVICE
011.1043.560000
$ 42.71 Period: 02/20
022420
CO
000818 - CAMINO REAL CHEVROLET
011.1046.520000
$ 246.97 Auto Parts—
35546
011.1046.520000
$ 129.52 Auto Parts—
36378
004163 - CENTRAL FORD
011.1046.520000
$ 13.72 Auto Parts—
349856
011.1046.520000
$ 37.18 Auto Parts—
349884
011.1046.520000
$ 70.57 Auto Parts—
349916
003846 - CITY OF HUNTINGTON PARK
011.1031.594200
$ 13,639.54 Prisoner Booking Log—
19691
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
03/12/2020 605193 $ 116.00
011.0013870
011.0013870
03/12/2020 605194 $ 1,053.84
011.0013871
03/12/2020 605195 $ 127.50
03/12/2020 605196 $ 42.71
011.0013872
011.0013872
03/12/2020 605197 $ 376.49
011.0013873
011.0013873
011.0013873
03/12/2020 605198 $ 121.47
03/12/2020 605199 $ 13,639.54
Printed:3/25/2020 1:21:54PM
Page 39 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
001336 - CURRENT WHOLESALE
011.1049.520000
$ 635.10
Electrical Supplies & Hardware —
ELECTRIC SUP
011.1049.520000
$ 71.28
Electrical Supplies & Hardware-
011.1049.520000
$ 25.19
Electrical Supplies & Hardware-
011.1049.520000
$ 306.60
Electrical Supplies & Hardware-
011.1049.520000
$ 30.44
Electrical Supplies & Hardware-
011.1049.520000
$ 21.79
Electrical Supplies & Hardware-
011.1049.520000
$ 93.86
Electrical Supplies & Hardware-
011.1049.520000
$ 106.20
Electrical Supplies & Hardware-
011.1049.520000
$ 28.96
Electrical Supplies & Hardware-
001027 - D&R OFFICE WORKS, INC
011.1004.520000
$ 4,878.31
Office Furniture
011.1004.520000
$ 436.91
Office Furniture
006154 - STEVE ROGOFF
011.100002
$ 459.22
Ref. Closed Acct#870 Cust#6374-
011.100002
$ 251.65
Ref. Closed Acct#5985 Cust#6374—
INVOICE
261700
261701
261702
261703
261704
261705
261877
261901
261903
117006IN
117039IN
092917
092917(2)
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0013889
011.0013889
011.0013889
011.0013889
011.0013889
011.0013889
011.0013889
011.0013889
011.0013889
03/12/2020
605200 $ 1,319.42
03/12/2020 605201 $ 5,315.22
03/12/2020 605202 $ 710.87
Printed:3/25/2020 1:21:54PM
Page 40 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
INVOICE
001936 - EMPIRE CLEANING SUPPLY
011.120010
$ 200.80 (1628-105) 24 x 23 - 0.9 Black Trash
1157539
011.120010
$ 379.00 (1628-115) 33 x 39 - 1.7 Black Trash
1157539
011.120010
$ 382.40 (1628-120) 40 x 46 - 1.25 Black Trash
1157539
011.120010
$ 91.41 Sales Tax 9.5%
1157539
011.120010
$ 382.40 (1628-120) 40 x 46 - 1.25 Black Trash
11575391
011.120010
$ 2,397.50 (1628-150) 36 x 60 1.5 Clear Trash Bags
11575391
011.120010
$ 264.09 Sales Tax 9.5%
11575391
011.120010
$ 677.70 (1628-105) 24 x 23 - 0.9 Black Trash
11575392
011.120010
$ 64.38 Sales Tax 9.5%
11575392
004730 - EXTREME SAFETY, INC
011.120010
$ 386.70 (0625-010) Leather Driver Glove
94019
011.120010
$ 200.00 (0624-025) N-DEX 8-mil Blue Nitrile
94019
011.120010
$ 373.68 (0730-100) Eyewear Wrap Around Frame
94019
011.120010
$ 324.20 (0624-061) Nitrile Palm w/Dotsr Glove
94019
011.120010
$ 103.04 Sales Tax 9.5%
94019
003917 - GEOSPATIAL TECHNOLOGIES,
011.9019.590110
$ 400.00 The following AMF items cover from
17394
INC
006077 - GLADWELL GOVERNMENTAL
011.1003.596200
$ 3,250.00 Records Retention Legal Review
4340
SERVICES
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014272
011.0014272
011.0014272
011.0014272
011.0014272
011.0014272
011.0014282
011.0014282
011.0014282
011.0014282
011.0014289
03/12/2020 605203 $ 4,839.68
03/12/2020 605204 $ 1,387.62
03/12/2020 605206 $ 400.00
03/12/2020 605207 $ 3,250.00
Printed:3/25/2020 1:21:54PM
Page 41 of 56
EARLY CHECKS
ACCOUNT
VENDOR
NAME AND NUMBER
NUMBER
000686 -
IGOE & COMPANY, INC
011.1026.594200 $
000804 -
LB JOHNSON HARDWARE CO
055.8400.590000 $
#1
011.1046.520000 $
055.8400.590000 $
055.8400.590000 $
003908 -
LOPEZ & LOPEZ TIRE SERVICE
011.1046.520000 $
011.1046.590000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.590000 $
000121-
LU'S LIGHTHOUSE, INC
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
INVOICE
PAYMENT
CHECK
PAYMENT
AMOUNT DESCRIPTION
INVOICE
P.O.#
DATE
NUMBER
AMOUNT
88.50 Participation Fee
210026
03/12/2020
605208 $
88.50
43.78 Small Tools, Plumbing & Building
106153
055.0002742
111.03 Plumbing & Building Hardware-
106178
011.0013893
12.47 Small Tools, Plumbing & Building
106425
055.0002742
91.94 Small Tools, Plumbing & Building
106670
055.0002742
03/12/2020
605209 $
259.22
463.40 Tires, Accessories & Repairs-
23152
011.0013875
40.00 Tires, Accessories & Repairs
23152
011.0013875
215.27 Tires, Accessories & Repairs-
23169
011.0013875
182.42 Tires, Accessories & Repairs-
23254
011.0013875
93.08 Tires, Accessories & Repairs-
23309
011.0013875
200.00 Tires, Accessories & Repairs
23309
011.0013875
03/12/2020
605210 $
1,194.17
44.41 Supplies-
1161469
011.0013909
24.10 Supplies-
1161494
011.0013909
73.01 Supplies-
1161866
011.0013909
111.13 Supplies-
1162382
011.0013909
03/12/2020
605211 $
252.65
Printed:3/25/2020 1:21:54PM
Page 42 of 56
EARLY CHECKS
VENDOR NAME AND NUMBER
ACCOUNT
NUMBER
000309 - NAPA AUTO PARTS
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
005934 - O'REILLY AUTO PARTS
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
001943 - PLUMBING & INDUSTRIAL
011.1049.520000 $
SUPPLY
011.1048.520000 $
011.1043.520000 $
011.1049.520000 $
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
INVOICE
AMOUNT DESCRIPTION
186.76 Auto Parts & Accessories-
121.53 Auto Parts & Accessories-
13.05 Auto Parts & Accessories-
24.39 Auto Parts & Accessories-
128.10 Auto Parts & Accessories-
151.30 Auto Parts & Accessories-
159.85 Auto Parts & Accessories-
23.84 Auto Parts & Accessories-
48.14 Auto Parts & Accessories-
-46.69 Auto Parts & Accessories-
98.52 Auto Parts & Accessories-
46.31 Auto Parts & Accessories-
19.32 Auto Parts & Accessories-
10.15 Auto Parts & Accessories-
INVOICE
14187
14589
15441
15613
15706
16584
16592
17465
17671
3049259335
3049262607
3049262844
3049262925
3049262954
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0013876
011.0013876
011.0013876
011.0013876
011.0013876
011.0013876
011.0013876
011.0013876
011.0013876
03/12/2020
011.0013877
011.0013877
011.0013877
011.0013877
011.0013877
605212 $ 856.96
03/12/2020 605213 $ 127.61
4.14
Plumbing Supplies &
Building
Hardware-
S1229581001
011.0013894
5.12
Plumbing Supplies &
Building
Hardware-
S1229723001
011.0013894
43.60
Plumbing Supplies &
Building
Hardware-
S1230232001
011.0013894
30.09
Plumbing Supplies &
Building
Hardware-
S1230464001
011.0013894
03/12/2020 605214 $ 82.95
Printed: 3/25/2020 1:21:54PM Page 43 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
001457 - QUINN COMPANY
011.1046.590000
$ 15.84
Freight from PC810872424
003149 - RICHARD C. SLADE &
020.1084.900000
$ 27,778.78
Groundwater Services
ASSOCIATES
020.1084.900000
$ 10,091.51
Groundwater Services
003775 - SILVA'S PRINTING NETWORK
055.7100.520000
$ 334.06
Door Hangers - Blank Stock,-
055.7100.520000
$ 31.74
Sales Tax 9.5%
000191- STATE STREET LAUNDRY
011.1031.520000
$ 13.50
Laundry Services-
011.1031.520000
$ 8.10
Laundry Services-
011.1031.520000
$ 8.10
Laundry Services-
011.1031.520000
$ 10.80
Laundry Services-
001159 - SUSAN SAXE-CLIFFORD,
011.1026.597000
$ 800.00
Psychological Evaluations
PH.D.
001447 - TYLER TECHNOLOGIES, INC
011.9019.590110
$ 79,850.25
Maintenance & Support Services
INVOICE
PC810872542
5418
5419
27101
27101
11926
11927
11928
11929
2002244
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
055.0002781
03/12/2020 605215 $ 15.84
03/12/2020 605216 $ 37,870.29
03/12/2020 605217 $ 365.80
011.0013958
011.0013958
011.0013958
011.0013958
03/12/2020 605218 $ 40.50
03/12/2020 605219 $ 800.00
45284620
03/12/2020 605220 $ 79,850.25
Printed:3/25/2020 1:21:54PM
Page 44 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
000883 - UNITED RENTALS (NORTH
011.1049.590000
$ 1,197.28 Equipment & Tools Rental
AMERICA)
011.1049.590000
$ 1,536.13 Equipment & Tools Rental
004318 - A -BEST INDUSTRIAL, INC
056.5600.590000
$ 3,211.80 FILTER ELEMENT, FOR FILTER
056.5600.590000
$ 1,155.40 FILTER ELEMENT, 30 FILTER, MOONEY-
056.5600.590000
$ 349.24 Freight
056.5600.590000
$ 414.88 Sales Tax 9.5%
001624- ALLSTAR FIRE EQUIPMENT,
011.1033.540000
$ 296.68 Haix Structure Boots—
INC
005182 - ANTHEM BLUE CROSS OF
011.1033.467100
$ 1,221.00 Ref. Overpayment RE:XDM968A52223
CALIFORNI
004303 - ATHENS INSURANCE
011.1026.594200
$ 5,844.41 TPA Fees 01/20
SERVICES, INC
011.1026.594200
$ 260.92 TPA Fees 01/20-
011.1026.594200
$ 6,105.33 TPA Fees 03/20
006786 - BELL BURNETT & EDWARDS
055.9000.593200
$ 50,000.00 Arbitration Analysis—
PAYMENT
CHECK
PAYMENT
INVOICE
P.O.#
DATE
NUMBER
AMOUNT
177638037001
177738068001
03/12/2020
605222 $
2,733.41
IN13004
056.0000592
IN13004
056.0000592
IN13004
056.0000592
IN13004
03/17/2020
605223 $
5,131.32
221791
011.0013980
03/17/2020 605224 $ 296.68
022520
03/17/2020
605225 $
1,221.00
IVC20500
IVC20717
IVC20927
03/17/2020
605226 $
12,210.66
031220
03/17/2020
605227 $
50,000.00
Printed:3/25/2020 1:21:54PM
Page 45 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
1_1:7 KO:Ito INi
ACCOUNT
INVOICE
PAYMENT
CHECK
PAYMENT
VENDOR NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE P.O.#
DATE
NUMBER
AMOUNT
006720 - BRICKLEY ENVIRONMENTAL
011.1048.900000
$ 8,760.00
Lead & Asbestos Abatement
17198AA
03/17/2020
605228
$ 8,760.00
005078 - BURKE, WILLIAMS &
011.1024.593200
$ 1,645.96
Re: Garcia -Martinez v. City of Vernon
251061
SORENSEN, LL
011.1024.593200
$ 186.00
Re: Lopez, Reina v. City of Vernon
251062
011.1024.593200
$ 306.83
Re: Martines, Ismael v. City of Vernon,
251064
011.1024.593200
$ 88.50
Re: General
251596
03/17/2020
605229
$ 2,227.29
000778 - CALIFORNIA WATER SERVICE
011.1033.560000
$ 90.99
Period: 02/20
022420(2)
CO
03/17/2020
605230
$ 90.99
006785 - SHANE CARTER
011.1033.596700
$ 500.00
Reim. Driver Operator 1A Course
031020
03/17/2020
605231
$ 500.00
000256 - CALPORTLAND COMPANY
020.1084.520000
$ 1,313.41
Concrete
94507386
03/17/2020
605232
$ 1,313.41
003846 - CITY OF HUNTINGTON PARK
011.1031.594200
$ 8,157.44
Prisoner Booking Log 02/20
19693
03/17/2020
605233
$ 8,157.44
003088 - CLINICAL LAB OF SAN
020.1084.500140
$ 719.00
Lab Services
973404
BERNARDINO
03/17/2020
605234
$ 719.00
Printed: 3/25/2020 1:21:54PM Page 46 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
001336 - CURRENT WHOLESALE
055.8400.590000
$ 190.98 Electrical Parts —
ELECTRIC SUP
006717 - RONIT DAHAN-EDRY
011.1048.596200
$ 100.00 Committee Attendance Stipend—
000947 - DAILY JOURNAL
011.1003.550000
$ 300.00 Publication Services
CORPORATION
006191- DATA TICKET, INC
011.1031.594200
$ 597.20 Parking Citations Processing Service
002566 - DEWEY PEST CONTROL
055.8400.590000
$ 122.00 Pest Control Services
004397 - DO IT AMERICAN MFG CO,
056.5600.520000
$ 51.44 Various Materials & Tools—
LLC
005055 - ECMS, INC
011.1033.540000
$ 721.75 Turnout Cleaning-
001746 - ENTENMANN-ROVIN CO
011.1033.520000
$ 172.69 Badges
INVOICE
261902
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
055.0002740
03/17/2020
605235
$ 190.98
031220
03/17/2020
605236
$ 100.00
B3349344
03/17/2020
605237
$ 300.00
109683
03/17/2020
605238
$ 597.20
13254946
03/17/2020
605239
$ 122.00
9648
056.0000562
03/17/2020
605240
$ 51.44
INV365973
011.0013970
03/17/2020
605241
$ 721.75
1499861N
03/17/2020
605242
$ 172.69
Printed:3/25/2020 1:21:54PM
Page 47 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
000524 - FERGUSON WATERWORKS
011.120010
$ 3,436.48 Mueller 2'-0" Verticle Fire Hydrant
011.120010
$ 326.47 Sales Tax 9.5%
011.120010
$ 980.05 (3088-970) 8" MJ x FLG DI RW OL GATE
011.120010
$ 2,508.68 (3088-950) 6" MJ x FLG DI RW OL GATE
011.120010
$ 272.16 (3040-247) 6" ELBOW 90 Bend M.J.
011.120010
$ 357.28 Sales Tax 9.5%
011.120010
$ 146.16 (3010-620) 6" MJ SOILD PLUG
011.120010
$ 216.72 (3010-627) 8" MJ SOLID PLUG
011.120010
$ 34.48 Sales Tax 9.5%
003796 - FIRE APPARATUS SOLUTIONS
011.1033.570000
$ 1,764.21 Vehicle Maintenance & Repairs
011.1033.570000
$ 1,237.66 Vehicle Maintenance & Repairs
011.1033.570000
$ 1,048.71 Vehicle Maintenance & Repairs
000159 - FRED PRYOR SEMINARS &
055.9000.596700
$ 4,725.00 April 2020 Renewals
CAREER
006622 - FULLER ENGINEERING, INC
020.1084.500140
$ 840.63 Sodium Hypochlorite
004937 - MICHAEL J GAVINA
011.1021.596200
$ 100.00 Committee Attendance Stipend —
INVOICE
704053
704053
706908
706908
706908
706908
7069081
7069081
7069081
14966
14974
14975
245211
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014224
011.0014287
011.0014287
011.0014287
011.0014287
011.0014287
055.0002789
03/17/2020 605243 $ 8,278.48
03/17/2020 605244 $ 4,050.58
03/17/2020 605245 $ 4,725.00
140819
03/17/2020 605246 $ 840.63
021920
03/17/2020 605247 $ 100.00
Printed:3/25/2020 1:21:54PM
Page 48 of 56
EARLY CHECKS
VENDOR NAME AND NUMBER
003490 - H&H WHOLESALE PARTS
001346- HAAKER EQUIPMENT
COMPANY
ACCOUNT
NUMBER
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.590000 $
011.1046.520000 $
011.1046.520000 $
011.1046.590000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.520000 $
011.1046.590000 $
011.1046.520000 $
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
INVOICE
AMOUNT DESCRIPTION
495.00 5w40wt oil
47.03 Sales Tax 9.5%
222.00 1465717000 main broom
290.00 1466670000 side broom
41.00 Freight
48.64 Sales Tax 9.5%
57.00 1466616000 skirt
13.00 Freight
5.42 Sales Tax 9.5%
232.50 1466606000 skirt front
155.00 1466602000 Plate Gallv
36.81 Sales Tax 9.5%
18.67 shop supplies / environmental charges
186.69 labor
1.77 Sales Tax 9.5%
INVOICE
11N0327415
11N0327415
C59524
C59524
C59524
C59524
C59525
C59525
C59525
C59813
C59813
C59813
W 59440
W 59440
W 59440
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014228
011.0014169
011.0014169
011.0014169
011.0014169
011.0014169
011.0014230
011.0014230
011.0014178
011.0014178
03/17/2020 605248 $ 542.03
03/17/2020 605249 $ 1,308.50
Printed:3/25/2020 1:21:54PM
Page 49 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR
NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
005350 -
HAUL AWAY RUBBISH
011.1048.596200
$ 67.50
Disposal & Recycling Services
02XO2681
SERVICE CO,
011.1049.596200
$ 213.00
Disposal & Recycling Services
02XO2682
055.8400.596200
$ 142.00
Disposal & Recycling Services
02XO2687
055.8400.596200
$ 352.25
Disposal & Recycling Services
02XO2688
011.1043.596200
$ 5,870.05
Disposal & Recycling Services
02XO2689
004239 -
HSA BANK
055.9100.502030
$ 1,250.00
Employer Contribution 04/01/20
031120
004239 -
HSA BANK
011.1031.502030
$ 1,250.00
Employer Contribution 04/01/20
031220
001800 -
JSB FIRE PROTECTION, LLC
011.1033.595200
$ 3,221.89
Plan Check Services
20201
006151-
KAISER FOUNDATION HEALTH
011.1033.467100
$ 1,678.00
Ref. Overpayment RE:59980495-01
022520
PLAN
011.1033.467100
$ 2,270.00
Ref. Overpayment RE: 55986776-01
022520(2)
011.1033.467100
$ 1,530.00
Ref. Overpayment RE:56731004-01
022520(3)
005340 -
LA POOL GUYS
011.1049.590000
$ 210.00
Pool Maintenance
4429
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
03/17/2020
605250 $
6,644.80
03/17/2020
605251 $
1,250.00
03/17/2020
605252 $
1,250.00
03/17/2020
605253 $
3,221.89
03/17/2020
605254
$ 5,478.00
03/17/2020
605255
$ 210.00
Printed:3/25/2020 1:21:54PM
Page 50 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
006567 - LACHER INVESTIGATIONS
011.1031.596200
$ 1,200.00 Background Investigation
001060 - LIFE -ASSIST, INC
011.1033.520000
$ 1,683.72 Medical Supplies-
011.1033.520000
$ 46.75 Medical Supplies—
002361- LITTLEJOHN REULAND CORP
055.8100.590000
$ 2,538.75 Repair & Replace Pump Shaft
006784 - INGRAM LIU
011.199999
$ 885.00 Duplicate Pmt Reimb C-2020-1434
006652 - MARKEN PPE RESTORATION
011.1033.540000
$ 832.80 Turnout Cleaning—
000304 - MCAVOY & MARKHAM
055.8000.900000
$ 5,300.00 CENTRONPOLY, CP3SDR3 FM9S, CL20,
ENGINEERING A
055.8000.900000
$ 503.50 Sales Tax 9.5%
001150 - MCMASTER CARR SUPPLY
055.8400.590000
$ 181.84 Hardware Supplies —
COMPANY
055.8400.590000
$ 573.01 Hardware Supplies-
055.8400.590000
$ 366.58 Hardware Supplies—
PAYMENT
CHECK
PAYMENT
INVOICE
P.O.#
DATE
NUMBER
AMOUNT
2020VPD001
03/17/2020
605256
$ 1,200.00
976466
011.0013963
977440
011.0013963
03/17/2020
605257
$ 1,730.47
58413
03/17/2020
605258
$ 2,538.75
Ref000223220
03/17/2020
605259
$ 885.00
43055
011.0014043
03/17/2020
605260
$ 832.80
161331
055.0002758
161331
03/17/2020
605261
$ 5,803.50
30722477
055.0002743
35829812
055.0002743
36428994
055.0002743
03/17/2020
605262
$ 1,121.43
Printed:3/25/2020 1:21:54PM
Page 51 of 56
EARLY CHECKS
VENDOR NAME AND NUMBER
001096 - MELVYN GREEN &
ASSOCIATES, INC
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
ACCOUNT INVOICE
NUMBER AMOUNT DESCRIPTION
011.1041.595200 $ 2,528.61 Plan Check Services
INVOICE
14224
005632 -
NATIONAL AUTO FLEET
011.1031.840000
$ 38,128.00
2020 DODGE DURANGO (WDDS75) R/T RWD
031020
GROUP
per
011.1031.840000
$ 8.75
Tire Tax
031020
011.1031.840000
$ 3,622.16
Sales Tax 9.5%
031020
006715 -
JORGE L. NEVAREZ JR
011.1048.596200
$ 100.00
Committee Attendance Stipend—
031220
000610 -
NICK ALEXANDER
011.1046.520000
$ 110.00
material
3747
RESTORATION
011.1046.590000
$ 180.00
labor to reupholster 2 seats
3747
011.1046.520000
$ 11.28
Sales Tax 10.25
3747
006586 -
OCCUPATIONAL HEALTH
011.1026.597000
$ 957.00
Medical Services
67137596
CENTERS OF
011.1026.597000
$ 169.50
Medical Services
67282940
000629 -
OPEN ACCESS TECHNOLOGY
055.9200.596200
$ 841.76
Electronic Tagging—
154172
INTL, I
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014308
011.0014308
011.0014229
011.0014229
055.0002734
03/17/2020 605263 $ 2,528.61
03/17/2020
605264
$ 41,758.91
03/17/2020
605265
$ 100.00
03/17/2020 605266 $ 301.28
03/17/2020 605267 $ 1,126.50
03/17/2020 605268 $ 841.76
Printed:3/25/2020 1:21:54PM
Page 52 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT DESCRIPTION
006612 - QUALIFIED MOBILE, INC
011.1046.590000
$ 561.00 Car Wash Services
011.1046.590000
$ 510.00 Car Wash Services
003869 - RICHARD P GUESS MD, INC
011.1033.596200
$ 750.00 Medical Director Fees
000805 - RIO HONDO COLLEGE
011.1031.596700
$ 2,480.50 Enrollment Fee
006420 - NAVDEEP SINGH SACHDEVA
011.1023.596200
$ 100.00 Commission Attendance Stipend—
006631- JOSHUA SALAETS
011.1033.596700
$ 500.00 Reimb. Driver Operator 1A Course
006702 - SALLY SWANSON
011.1043.595200
$ 7,395.00 ADA Self Evaluation & Transition Plan
ARCHITECTS, INC
005790 - SIMON WIND, INC
055.9000.900000
$ 2,645.00 Meteorological Services
000380 - STACY MEDICAL CENTER
011.1031.596200
$ 1,200.00 Medical Services
PAYMENT
CHECK
PAYMENT
INVOICE P.O.#
DATE
NUMBER
AMOUNT
267689
267923
03/17/2020
605269
$ 1,071.00
030520
03/17/2020
605270
$ 750.00
S20135ZVRN
03/17/2020
605271
$ 2,480.50
021320
03/17/2020
605272
$ 100.00
031020
03/17/2020
605273
$ 500.00
245536
03/17/2020 605274 $ 7,395.00
022920
03/17/2020 605275 $ 2,645.00
521137164
03/17/2020 605276 $ 1,200.00
Printed:3/25/2020 1:21:54PM
Page 53 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER
NUMBER
AMOUNT
DESCRIPTION
INVOICE
000141- THOMSON REUTERS - WEST
011.1024.596600
$ 438.71
West Information Charges
841921502
011.4031.596200
$ 1,578.65
West Information Charges
841941844
000449 - UNDERGROUND SERVICE
020.1084.596200
$ 128.80
New Ticket Charges
220200786
ALERT
020.1084.596200
$ 65.43
New Ticket Charges
DSB20191229
006713 - VALLEN DISTRIBUTION, INC
011.1043.520000
$ 366.00
3101575 SRL Nano-Lok 8 ft. AF
834460300
011.1043.520000
$ 970.29
3503822 Smart Lock Leading Edge SRL 30
834460300
011.1043.520000
$ 300.00
1107976 Exofit Harness V EST Style Back
834460300
011.1043.520000
$ 17.33
Freight
834460300
011.1043.520000
$ 155.46
Sales Tax 9.5%
834460300
011.1043.520000
$ 309.00
1107977 Exofit Fullbody Harness W/Back
834460301
011.1043.520000
$ 309.00
1107981 Exofit Fullbody Harness W/Back
834460301
011.1043.520000
$ 19.90
Freight
834460301
011.1043.520000
$ 58.70
Sales Tax 9.5%
834460301
000404- W.I.S.E., INC
011.1046.520000
$ 98.49
dcd780b drill
117513301
011.1046.520000
$ 9.36
Sales Tax 9.5%
117513301
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014286
011.0014286
011.0014286
011.0014286
011.0014286
011.0014286
011.0014286
[1yfIE11110VAN
03/17/2020 605277 $ 2,017.36
03/17/2020 605278 $ 194.23
03/17/2020 605279 $ 2,505.68
03/17/2020 605280 $ 107.85
Printed:3/25/2020 1:21:54PM
Page 54 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
EARLY CHECKS
ACCOUNT
INVOICE
VENDOR NAME AND NUMBER NUMBER
AMOUNT DESCRIPTION
INVOICE
000986 - WAXIE SANITARY SUPPLY 011.120010
$
67.21 (0515-500) #32 Standard Economical
78929291
011.120010
$
6.38 Sales Tax 9.5%
78929291
011.120010
$
134.42 (0515-500) #32 Standard Economical
78929656
011.120010
$
633.60 (0552-900) Clean & Soft White No Touch
78929656
011.120010
$
231.60 (0515-485) WAXIE Mango Plus Liquid
78929656
011.120010
S
94.96 Sales Tax 9.5%
78929656
005904- WESTNET, INC
PAYMENT CHECK PAYMENT
P.O.# DATE NUMBER AMOUNT
011.0014291
011.0014291
011.0014291
011.0014291
03/17/2020
011.1033.594000 $ 4,955.00 First -In Alerting System 26289
03/17/2020
011.1048.596200 $ 100.00 Committee Attendance Stipend— 031220
03/17/2020
TOTAL EARLY CHECKS
605281
$ 1,168.17
605282
$ 4,955.00
605283
S 100.00
Printed: 3/25/2020 1:21:54PM Page 55 of 56
CITY OF VERNON
OPERATING ACCOUNT
WARRANT REGISTER NO. 42
APRIL 7, 2020
RECAP BY FUND
FUND
ELECTRONIC TOTAL
EARLY CHECK TOTAL
WARRANT TOTAL
GRAND TOTALS
011- GENERAL
$ 117,654.09 $
405,897.55 $
0.00 $
523,551.64
020 - WATER
224,511.61
99,748.23
0.00
324,259.84
055 - LIGHT & POWER
9,552,038.24
86,273.53
0.00
9,638,311.77
056 - NATURAL GAS
163,606.20
11,121.09
0.00
174,727.29
057 - FIBER OPTIC
4,139.00
0.00
0.00
4,139.00
GRAND TOTAL $ 10,061,949.14 $ 603,040.40 $ 0.00 $ 10,664,989.54
TOTAL CHECKS TO BE PRINTED 0
Printed:3/25/2020 1:21:54PM
510�-
Page 56 of 56
City Council Agenda Item Report
Agenda Item No. COV-121-2020
Submitted by: Sandra Dolson
Submitting Department: City Clerk
Meeting Date: April 7, 2020
SUBJECT
Claims Against the City
Recommendation:
Receive and file the claim submitted by Geo Plastics in the amount of $10,000.
Background:
On March 12, 2020, the City received the attached claim (Attachment 1). Pursuant to Municipal Code
Section 2.11-1, the following information is listed on the public agenda for the City Council meeting:
Name of Claimant Amount Demanded
Geo Plastics $10, 000
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. Claim for Damages -Geo Plastic 3-12-20
CLAIM FOR DAMAGES
TO PERSON OR PROPERTY
INSTRUCTIONS
1. Claims for death. injury to person or to personal property must be filed not later
than six (6) months after the occurrence. (Gov. Code Sec 9112)
2. Claims for damages to real property must be filed not later than one (1) year
after the occurrence. (Gov. Code Sec.911.2)
3. Read entire claim before filing.
4. See page 2 for diagram upon which to locate place of accident
5. This claim form must be signed on page 2 at bottom.
6. Attach separate sheets, if necessary, to give full details. SIGN EACH SHEET
7. Claim must be filed with City Clerk (Gov Code Sec 915a)
ITY OF VERNON CITY COUNCIL
Claimant
�G
ome Address of Claimant
an
RESERVE FOR FILING STAMP
CLAIM No.
COO CITY CLERK'S QFFICF
RECEIVED
MAR12120 Ft :29
me I elevnone NUM
Business Address of Claimant A
ty and State Business Telephone Number
Give address to which you desire notices or communications to b sent regarding this claim:
��
How did QAMA or INJURY occur? Give full particulars.
D,1 LV�c,�resc(a(311iho) moir>1 tt�, L e kAd - 'wo over i n'f *rr*v pl,vr5
1 � 7'. �+� S }'I nu c �lep� okt our C �e yti"�a
o ce-w ra -}+�nree Wco�3 A �' �r a ti''e (coo rr�e Ki , 1� i`A�
lit r C+kt'p1(- (.DI'u�r�ls), are s�p�c�,>~5
When d AMAG o INJURY occur? Give full parttl5ulars, date,
'3I+.Xa o a too -f-o y% (!%3 r o V
time of day, etc
men( 3�i���u� A�uuKeQ l0'VC Awk
WherePTErXWAr INJURY occur? Describe fully. and locate on diagram on reverse side of this sheet, where
appro a street names and address and measurements from landmarks:
C,1124tki <<'e'r-
WhatparticularACTorOMISSIONdoyouclaimcausedthe injuryr ma a ive names of City employees, if any,
causing the injury or damage. if known: '� 0.
�wo f owe!' 0V'*25 � •� eca
Wh DAMAGE INJURIES do you claim resulted? Give full extent of injuries or damages claimed:
VLC
WhatAMOUNTdo youclaimofeach item of injury or damage as of date of presentation of this claim, givingbasisof
com utatio !'l Pam( + ole
p �,� C 9'h�0� '� WQ � '� r 6 ir1 S� PP k 0
If �
e,Q t00 uer —' lO,ovo�i-►�►o. �le5s
Give ESTIMATED AMOUNT as far as known you claim on account of each item of prospective inju< rd
basisof computation i i - CT� `
Were you insured at the time of the incident? If so. provide name of insurance company, policy numbers and amount of insurance
payments received:
Yec, ;2^+ry Irskk ra,x Cf
Expenditures made on account of accident or Injury: (Date - Item)
Name and address of Witnesses. Doctors and Hospitals:
(Amount)
READ CAREFULLY
For all accident claims place on following diagram names of streets. including North, East. South, and West: indicate place
of accident by "X" and by showing house numbers or distances to street corners.
If City Vehicle was Involved, designate by letter "A" location of City vehicle when you first saw it,and by "B" location of yourself
oryour vehicle when you first saw City vehicle: location of City vehicle at time of accident by'A-1"and location of yourself or your
vehicle at the time of accident by "8 1" and the point of Impact by' X."
NOTE:lf diagrams do not fit the situation, attach hereto a proper diagram signed by claimant.
FOR AUTOMOBILE ACCIDENTS
fFOR OTHER ACCIDENTS
SIDEWALK
CURIS
7
declare, under
Tvoed/Printed {Name
nalty of
PARKWAY
ur , that the fare i lud
Signature Clai t lerg
relationshl to CI i a
CURB
,rents, is true and correct.
behalf, giving Date:
13/1-d2DaD
NOTE. ALL CLAIMANTS MAY BE REQUESTED TO BE EXAMINED AS TO THEIR CLAIM UNDER OATH PRESENTATION OF A FALSE CLAIM IS A FELONY (CAL.
PEN. CODE SEC 72). CLAIMS MUST BE FILEE)W$TH CITY 1 ' EFRK (GOV CODE SEC 915a) STATE LAW PROVIDES THAT IF YOU ARE NOT NOTIFIED OF ANY
ACTION 9Y THE CITY OF THIS CLAIM WITHIN 45 DAYS OF FILING THEN THE CLAIM IS DEEMED DENIED (SEE GOV. CODE SEC. 911.6 & 912.4) o_. o
RENTAL AGOREEMENT
A IRINC.
0
6326 West Boulevard • Los Angeles, CA 90043
(310) 258-9100 • (800) 452-2732 • Fax: (310) 258-9110
CUSTOMER NUMBER: New
RENTEE: Geo Mastics, Inc. DATE: 3/12/20
BILLING ADDRESS:
2200 E. 52nd St.
Vernon, CA 90058
CONTACT: Romy Favellc
PHONE: 323-630-3585
DELIVERY ADDRESS:
Same as billing address
CONTACT: Romy Ravellc
PHONE: 323-630-3585
TERMS: Net 30 days
DELIVERY INSTRUCTIONS: Deliver - Thursday, 03/12/20, same day order.
Rental cancellation and pick up by arrangemlent upon customer's notification
EQUIPMENT DESCRIPTION:
One (1) nominal 100-ton air cooled chiller (460V-32h-25oAmps), trailer mounted_
Rental includes adequate hose and porter cable.
Weekly rate tar all above: $2,800.00
Daily rate after the 1= week is $400.00, max of, $6,800.00 per month.
Delivery and nick -•gip during normal work hours: $ 300.00
Hook-up and dismantle durinq D=r,al wark hours: $2,640.00
Total for the first week rental: $5,740.00 or
Total for the first month rental: $9,740.00.
NOTES:
1. Licenses, permits and approvalf� if required by others.
2. Electrical supply by others.
3. Security of the equ-ipment by others.
Rentee understands that the efficiency and performance of air conditioning equipment is dependent upon numerous variables.
Unless otherwise expressly provided herein. Rentor makes no warranties, and Rentor shall not by virtue of having rented the
equipment covered by this agreement be deemed to have made any representation or warranty as to the merchantability, fitness,
design, or condition of the equipment or as to the suitability of equipment for Rentee's use. Rentor shall not be liable to Rentee for,
and Rentee shall indemnify and hold Re.r or harmless from any liability, claim, loss, damage or expense of any kind or nature caused
directly or indirectly,by (a) .the inadequacy of any equipment for any purpose; (b) any deficiency or defect in any equipment; (c)
the use or p mance of any-equioment: (d) any interruption or loss of service, use, or performance of any equipment; or (e)
any loss of usine6s or other C6nseg4entia1 damage whether or not resulting from any of the foregoing.
Sign belq�v after dar,ofoy rga ing theicontinuatiori of this agreement.
Signature. k Date: ~; 1d %.20. U Submitted by: xuem /%l,allt&, General Manager
Printed name: Tale: / �,� � `�
City Council Agenda Item Report
Agenda Item No. COV-104-2020
Submitted by: Cynthia Cano
Submitting Department: City Council
Meeting Date: April 7, 2020
SUBJECT
Public Works Monthly Building Report
Recommendation:
Receive and file the February2020 Building Report.
Background:
The attached building report consists of total issued permits, major projects, demolition permits, new
building permits and certificate of occupancy status reports for the month of February 2020.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. Public Works Department February 2020 Building Report
January
February
March
April
May
June
July
Augusl
September
October
November
December
City of Vernon
Building Division
Monthly Report Summary
2019
2020
Year to Date
Construction
Value
Number of
Permits
Year to Date
Value
Year to Date
Permits
Construction
Value
Number of
Permits
Year to Date
Value
Year to Date
Permits
Permit
Difference
Valuation
Difference
$ 6,968,160
49
$ 6,968,160
49
$ 8,046,145
43
$ 8,046,145
43
-12%
15%
$ 4,973,135
63
$ 11,891,295
112
$ 2,979,923
48
5 11,026,068
91
-19%
-7%
Monthly
$9,000,000 70
$8,000,000 60
$ 7,000,000
$6,000,0D0 so
$5,000,000 40
54,000,000 30
$ 3,000,000
$2,000,000 z0
$1,000,000 10
s 0
2019 Construction Value 2020 Construction Value
-2019 Number of Permits -2020 Number of Permits
Year to Date
514,000,000 120
$12,000,000 100
S1080
,ODO,000
58,DD0,000
$6,000,000 60
$4 D00 000 40
$2,000,000 20
$- o
� t
2019 Year to Date Value 2020 Year to Date Value
.2019 Year to Date Permits 2020 Year to Date Permits
City of Vernon
Building Department
Monthly Report from 2/1/2020 to 2/29/2020
Type
Value
# of Permits
Electrical
$541,150.00
10
Grading
$225,000.00
1
Industrial - Remodel
$243,500.00
7
Mechanical
$1,334,390.00
7
Miscellaneous
$446,500.00
11
Plumbing
$81,358.00
11
Roof
$108,025.00
1
February 2020 TOTALS PERMITS:
$2,979,923.00
48
PREVIOUS MONTHS TOTAL
$8,046,145.00
43
YEAR TO DATE TOTAL
$11,026,068,00
91
February 2019 TOTALS PERMITS:
$4,923,135,42
63
PREVIOUS MONTHS TOTAL
$6.968,160.00
49
YEAR TO DATE TOTAL
$11,891,295.42
112
, 'I ), Wy,,,,!
Daniel Wall
Director of Public Works
None
City of Vernon
Building Department
New Buildings Report - February 2020
-v,,AL,o,
-Daniel Wall
Director Public Works
None
City of Vernon
Building Department
Demolition Report - February 2020
Daniel Wall
Director of Public Works
City of Vernon
Building Department
Major Projects from 2/1/2020 to 2/29/2020
Valuations > 20,000
Permit No. Project Address Tenant Description Job Value
Electrical
B-2020-3958 2126 52ND ST Electrical service switchgear 53950
APN 6308016022 replacement
B-2020-3963 3883 SOTO ST Install new parking lot lightin and 36000
APN 6302020059 power for irrigation controller
B-2020-3992 2929 54TH ST Electrical - Warehousing lighting 100000
APN 6310009021
B-2020-3906 4510 ALAMEDA ST Fishermans's LED lighting upgrade. Remove and 122000
APN 6308013044 Pride replace existing HID light fixtures
with new LED light fixtures
B-2019-3786 2651 45TH ST Electrical for new cooler, freezer 170200
APN 6308005021 and dock.
5 Record(s) $482,150.00
Grading
B-2019-3852 3851 SOTO ST Parking lot improvements 225000
APN 6302020059
1 Record(s) $225,000.00
Industrial - Remodel
B-2019-3718 2080 49TH ST 1996 sq.ft. tenant improvement, 50000
APN 6308015077 remodel of existing offices.
B-2018-3098 2111 51 ST ST New cooler and freezer 100000
APN 6308015024
B-2019-3800 2425 37TH ST Architectural and structural. 42000
APN 6302005017 Renocate existing bathroom at
office and warehouse, upgrade to
ADA. Office to include New finish
floor and new acoustical the ceiling,
patch and repair as needed.
3 Record(s) $192,000.00
Mechanical
8-2020-3974 3301 FRUITLAND AVE Tijuana's Produce (10) Condensing units and 10 evap 45000
APN 6303027002 coils
Fw #8-2020-3972
B-2020-3912 3049 VERNON AVE Adding refrigeration equipment to 1171588
APN 6303005034 existing facility
B-2019-3702 4305 SANTA FIE AVE City of Vernon Replacing boiler on roof. 48000
APN 6302017901
B-2019-3841 3615 VERNON AVE Install (1) ammonia diffusion tank 55000
APN 6303009015
4 Record(s) $1,319,588.00
Miscellaneous
B-2019-3749
3049 VERNON AVE
Structural for new Dehair machine
275000
APN 6303005034
B-2020-3977
2455 27TH ST
Installation of 8 foot wrought iron
21500
APN 6302004025
fence and gates
includes 2457 27TH ST
B-2020-3962
4701 SANTA FF AVE
Asphalt overlay
37000
APN 6308014031
B-2019-3784
3049 VERNON AVE
Rebuild of existing refrigeration
55000
APN 6303005034
condenser platform
4
Record(s)
$388,500.00
Roof
B-2020-3993
2100 49TH ST
Install new bur roof system
108025
APN 6308015077
1
Record(s)
$108,025.00
18
Permit(s)
Total
$2,715,263.00
r a (,J,4
Daniel Wall
Director of Public Works
VA
Request for Inspection
Approved
Pending
Temporary Occupancies
City of Vernon
Building Department
Status of Certificates of Occupancy Requests
Month of February 2020
Daniel Wall
Director of Public Works
10
4-V
IN
City of Vernon
Certificate of Occupancy
Applications Date From 2/1/2020 to 2/29/2020
Issued Permit No.
Project Address
Tenant
Description
Fees Paid
Square FE
C-2020-1444
2701 SANTA FE AVE
Consolidated West
Office use
385.00
39
APN 6302007033
Distributing, Inc.
C-2020-1445
2438 27TH ST
plates and beyond
Warehousing
1,046,00
837-
APN 6302004023
C-2020-1446
3305 VERNON AVE
Hana Meat Processing
Meat processing
885.00
54
APN 6303006071
Company
C-2020-1447
4323 BANDINI BLVD
Aramburo Produce Inc.
Wholesale produce
885.00
214,
APN 5243019019
C-2020-1448
3121 FRUITLAND AVE ACIED IRON WORKS
Cutting and welding
385.00
32
APN 6303028003
of steel
C-2020-1449
2528 ALAMEDA ST
Pizza Place 123
Restaurant pizza
385.00
14
APN 6302009045
pasta salad
C-2020-1450
6095 MALBURG WAY
Majestic International Spice
Packaging and distr.
885.00
264-
APN 6310027043
Corp.
spices
C-2020-1451
3201 BANDINI BLVD
Everest Trading Corp.
Warehousing
1,046,00
603
APN 6303001008
storage and
distribution of bags
C-2020-1452
4433 PACIFIC BLVD
TWO GUYS AND ONE,
385.00
33
APN 6308006015
LLC
C-2020-1453
4719 BOYLE AVE
SEVENTH DAY INC.
Garment
885.00
70
APN 6303021016
warehousing
Total for Certificate of Occupancy:
10 Permits(s)
7,172.00 216,265.00
Total Fees Paid 7,172.00
1
City of Vernon
Certificate of Occupancy
Issued Date From 2/1/2020 to 2/29/2020
Issued
Permit No.
Project Address
Tenant Description
Fees Paid
Square Fee
2I612020
C-2020-1417
4720 DISTRICT BLVD
HP TIRES & WHEELS Warehousing and
885.00
1194�
APN 6304015002
CORP distribution of tires
2/12/2020
C-2019-1297
2750 ALAMEDA ST
S. K S INDUSTRIES, INC. Warehousing and
1,046.00
6300,
APN 6302009035
distribution of
automotive parts
2/19/2020
C-2017-0576
3285 26TH ST
EVONIK CORPORATION Warehousing &
689,00
22231
APN 5169033018
distribution of
hazardous materials
2/19/2020
C-2019-1320
2455 VERNON AVE
FASHION HUB LLC Screen printing
885.00
16601
APN 6302018017
Total for Certificate of Occupancy:
3,605.00
113,770.00
Total Fees Paid
3,505.00
4
Permits(s)
City Council Agenda Item Report
Agenda Item No. COV-127-2020
Submitted by: Daniel Wall
Submitting Department: Public Works
Meeting Date: April 7, 2020
SUBJECT
Second Reading of Ordinance No. 1264 - Development Agreement between the City of Vernon and the
Southern California Curling Center, Inc.
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality Act ("CEQA")
review, because it is a continuing administrative activity that will not result in any direct or indirect physical
changes in the environment, and therefore does not constitute a "project" as defined by CEQA
Guidelines section 15378, and to the extent the Southern California Curling Center, Inc. seeks to engage
in actual physical construction or development, such would be subject to separate and independent
CEQA review and analysis; and
B. Conduct second reading, and adopt Ordinance No. 1264 approving and authorizing the execution of a
Development Agreement between the City of Vernon and the Southern California Curling Center, Inc for
the purpose of facilitating the development of the Southern California Curling Centers' program and
facility located at 4545 Pacific Boulevard in the City of Vernon.
Background:
The Southern California Curling Center (SCCC) has entered into a lease for the property located at 4545
Pacific Boulevard, Vernon, with the goal of building an ice facility for the sport of curling.
Pursuant to Municipal Code Section 26.11.2, a development agreement is required for fitness and
recreational facilities.
On March 17, 2020, the City Council conducted a public hearing and introduced on first reading
Ordinance No 1264, approving and authorizing the execution of a Development Agreement between the
City of Vernon and the Southern California Curling Center, Inc for the purpose of facilitating the
development of the Southern California Curling Centers' program and facility located at 4545 Pacific
Boulevard in the City of Vernon.
Staff requests Council conduct second reading and adopt Ordinance No. 1264.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. Ordinance No. 1264
ORDINANCE NO. 1264
AN UNCODIFIED ORDINANCE OF THE CITY COUNCIL
OF THE CITY OF VERNON APPROVING AND AUTHORIZING THE
EXECUTION OF A DEVELOPMENT AGREEMENT BY AND BETWEEN
THE CITY OF VERNON AND THE SOUTHERN CALIFORNIA
CURLING CENTER, INC.
WHEREAS, in November 2019, the Southern California Curling
Center, Inc. ("Southern California Curling") approached the City about
locating their dedicated curling facility in Vernon; and
WHEREAS, the City and Southern California Curling have
negotiated and prepared the form of the attached Development Agreement
for the development of Southern California Curling's operations in the
City (the "Development Agreement" or the "Agreement"); and
WHEREAS, the planned development project will benefit the
City through positive public relations and media exposure, as well as
the generation of additional revenues in the form of a development fee,
which will be derived from gross receipts generated by Southern
California Curling's operations; and
WHEREAS, the City Council has held a duly noticed public
hearing on the proposed Development Agreement, and has considered the
testimony presented at such public hearing; and
WHEREAS, the City Council of the City of Vernon desires to
approve the Agreement.
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF VERNON
HEREBY ORDAINS:
SECTION 1: Recitals. The City Council of the City of Vernon
hereby finds and determines that all of the foregoing recitals are
true and correct.
SECTION 2: Purpose and Authority. The purpose of this
Ordinance is to approve a Development Agreement with Southern
California Curling. This ordinance is authorized pursuant to
Government Code Section 65864 through 65860.5.
SECTION 3: Findings. In adopting this ordinance, the City
Council of the City of Vernon makes the following findings:
a) Approval of the Development Agreement is categorically exempt from
review under the California Environmental Quality Act ("CEQA")
because it is a continuing administrative activity that will not result in
direct or indirect physical changes in the environment, and therefore does
not constitute a "project" as defined by CEQA Guidelines section 15378,
and to the extent Southern California Curling seeks to engage in actual
physical construction or development, such would be subject to separate
and independent CEQA review and analysis; and
b) The proposed Development Agreement is consistent with the
objectives, policies, and general land uses and programs of the City
of Vernon General Plan; and
c) The Development Agreement is compatible with the uses authorized in,
and the regulations prescribed for, the land use district in which
the real property is located; and
d) The proposed Development Agreement will not be detrimental to the
health, safety and general welfare of persons residing in the
immediate area, or detrimental to the general welfare of residents
of the City as a whole; and
e) The associated project will further important citywide goals and
policies that have been officially recognized by the City Council;
and
f) The proposed Development Agreement is consistent with the provisions
of Government Code Sections 65864 through 65869.5.
- 2 -
SECTION 4: Action. The City Council of the City of Vernon
hereby approves the Development Agreement, in substantially the same
form attached hereto as Exhibit A.
SECTION 5: The City Council of the City of Vernon hereby
authorizes the Mayor or Mayor Pro-Tem to execute said Development
Agreement for and on behalf of the City of Vernon, and the City Clerk
is hereby authorized to attest thereto.
SECTION 6: The City Council of the City of Vernon hereby
instructs the City Administrator, or his designee, to take whatever
actions are deemed necessary or desirable for the purpose of
implementing and carrying out the purposes of this Ordinance and the
transactions herein approved or authorized, including but not limited
to, any non -substantive changes to the Agreement attached herein.
SECTION 7: Severability. If any chapter, article, section,
subsection, subdivision, paragraph, sentence, clause, phrase, or word
in this Ordinance or any part thereof is for any reason held to be
unconstitutional or invalid or ineffective by any court of competent
jurisdiction, such decision shall not affect the validity or
effectiveness of the remaining portions of this Ordinance or any part
thereof. The City Council hereby declares that it would have adopted
this Ordinance and each chapter, article, section, subsection,
subdivision, paragraph, sentence, clause or phrase thereof,
irrespective of the fact that any one or more chapters, articles,
sections, subsections, subdivisions, paragraphs, sentences, clauses,
phrases or words be declared unconstitutional, or invalid, or
ineffective.
SECTION 8: Book of Ordinances.
The City Clerk shall attest
and certify to the adoption of this Ordinance and shall cause this
- 3 -
Ordinance and the City Clerk's certification to be entered in the Book
of Ordinances of the Council of this City. The City Clerk shall cause
this ordinance to be published or posted as required by law.
SECTION 9: This Ordinance shall go into effect and be in
full force and effect at 12:01 a.m. on the thirty-first (31st) day
after its passage.
APPROVED AND ADOPTED this day of , 2020.
ATTEST:
Lisa Pope, City Clerk
APPROVED AS TO FORM:
Brian Byun,
Senior Deputy City Attorney
- 4 -
Name:
Title: Mayor / Mayor Pro-Tem
STATE OF CALIFORNIA )
) ss
COUNTY OF LOS ANGELES )
I, Lisa Pope, City Clerk of the City of Vernon, do hereby certify
that the foregoing Ordinance, being Ordinance No. 1264 was duly and
regularly introduced at a regular meeting of the City Council of the
City of Vernon, held in the City of Vernon on Tuesday, March 17, 2020,
and thereafter adopted at a meeting of said City Council held on
Tuesday, 2020, by the following vote:
AYES Councilmembers:
NOES: Councilmembers:
ABSENT: Councilmembers:
And thereafter was duly signed by the Mayor or Mayor Pro-Tem of
the City of Vernon.
Executed this day of 2020, at Vernon, California.
Lisa Pope, City Clerk
- 5 -
EXH I BIT A
BETWEEN THE CITY OF VERNON AND SOUTHERN CALIFORNIA CURLING CENTER
This Development Agreement ("Agreement") is dated as of 2020 (the "Effective
Date") and is made by and between the City of Vernon, a California charter City and California
municipal corporation ("City"), and Southern California Curling Center, a Delaware corporation
("Company"). The City and Company are sometimes individually referred to herein as a "Party"
and, together, as the "Parties."
RECITALS
A. The Company has identified a site at 4545 Pacific Boulevard in the City of Vernon
(the "Property") where the Company will hold a lease on the site for months with the
possibility of a year option to renew. The Company plans to operate an athletic training
facility and corporate events facility connected to the sport of curling (together, the "Project").
B. After public notice and hearing, the Vernon City Council, by ordinance adopted on
2020 (Ordinance No. _), has found that this Agreement (i) is consistent
with the General Plan objectives, policies, land uses, and implementation programs and all other
adopted plans or policies applicable to the Agreement; (ii) is compatible with the uses authorized
in, ,and the regulations prescribed for, the zone in which the real property is located; (iii) will
promote the public convenience, health, interest, safety, and general welfare of the City and will
not be detrimental to or cause adverse effects to adjacent property owners, residents, or the
general public; (iv) will further important citywide goals and policies that have been officially
recognized by the Council; and (v) is consistent with the provisions of California Government
Code Section 65864 et seq. Moreover, the Agreement is of substantial benefit to the City and its
residents for (a) the Company to locate the Project in the City, because it would, among other
things, introduce a new, positive public relations vehicle for the City as the hub of the emerging
sport of curling in the greater Los Angeles region, and (b) increase community services resources
to City residents and surrounding communities.
C. This agreement is exempt from California Environmental Quality Act ("CEQA")
review, because it is an administrative activity that will not result in direct or indirect physical
changes in the environment, and therefore does not constitute a "project" as defined by CEQA
Guidelines section '15378. To the extent the Company seeks to engage in actual; physical
construction or development of the Project, such would be subject to and conditioned upon both
discretionary permitting and separate and independent CEQA review and analysis.
NOW, THEREFORE, the Parties agree as follows:
Section 1. Recitals. The foregoing recitals are true and correct and are hereby
incorporated into this Agreement.
Section 2. Term and Renewal.
(a) Unless terminated earlier as provided in this Agreement, this Agreement shall
continue in full force and effect from the Effective Date until , 2025 — i.e., 5
years from the Effective Date (the "Term").
(b) At least thirty (30) days prior to the end of the Term, the Parties shall come to
agreement on whether this Agreement is to be renewed for an additional term of years to be
-1-
determined or is to expire by its own terms. If the former, the Parties shall execute a written
amendment to this Agreement ("Amendment"), which shall be approved by resolution of the City
Council. If the Parties have agreed to enter into the Amendment prior to the expiration of the
Term, then the Term shall automatically be extended to the day prior to the effective date of the
Amendment:
(c) If this Agreement expires on its own terms or is otherwise terminated earlier
pursuant to Section 7 of this Agreement, then within thirty (30) days after the termination of this
Agreement, the Company and the City shall execute a written cancellation of this Agreement
which may be recorded with the County Recorder.
Section 3. Company Covenants and Representations.
(a) The Company represents to the City that it is authorized to conduct business in
California; has the authority to enter into the Agreement and perform the requirements of this
Agreement; and, to the Company's best knowledge, its performance under this Agreement shall
not violate any applicable judgment, order, law or regulation.
(b) The Company covenants to reference the City in media and PR initiatives related
to the Company's move to the City of Vernon. During the Term, Company will reference the City
of Vernon in media and PR efforts at appropriate and organic opportunities.
(c) The Company covenants to participate in City of Vernon -sponsored events, as
appropriate, provided that such events are not in conflict with Company's brand or stated mission.
(d) The Company represents that the Property is approximately 33,360 square foot.
(e) The Company will host at least two (2) charitable events per calendar year with
proceeds benefitting The Vernon CommUNITY Fund.
(f) The Company will host at least two (2) Community Learn to Curl events per
calendar year be offered free to greater Vernon community.
(g) The Company agrees to participate up four (4) times per calendar year in City
hosted community events as may requested by City by providing street curling or other activities
as may be mutually agreed upon:
Section 4. Development Fee.
The Project's regular league play and periodic spectator events to be held after hours and/or over
weekends, as well as corporate team building events, will have an impact on the City's human
resources — namely, personnel from the Public Works and Police Departments. Such impact is
difficult to calculate. Company and the City agree that a development fee tied to gross revenues
generated by Company would adequately mitigate all such impacts to the City. The Parties
therefore agree that Company shall pay a development fee to the City equal to 0.51 % of the sum
of gross receipts (as shown in Company's annual federal tax returns). The Development Fee shall
be paid to the City by July 1 of the following year. Additionally, Company agrees that Property will
be assessed at the warehouse rate for property tax assessment purposes.
!
Section 5. Audit and Inspection Rights.
(a) The City shall review this Agreement and the Project to ensure compliance at least
once every twelve (12) months, at which time the Company, or successor in interest thereto, shall
be required to demonstrate good faith compliance with the terms of this Agreement. If, as a result
of such periodic review, the City finds and determines, on the basis of substantial evidence, that
the Company has not complied materially and in good faith with the terms and conditions of the
Agreement, the City may terminate or modify the Agreement.
(b) The Company shall provide the City access to the Property as the City deems
reasonably necessary to determine whether the Project conforms to the requirements of this
Agreement. The Company shall make available to the City all reasonable facilities and assistance
to facilitate the performance of inspections by the City's representatives. All records relevant to
the Company's obligations under this Agreement shall be and remain available at the Company's
place of business at all reasonable times during the Term of this Agreement and for two (2) years
after the termination of this Agreement. The City shall be allowed to audit, examine, and make
copies, excerpts or transcripts of all data relevant to confirm the Company's compliance with this
Agreement.
(c) The City shall be allowed to conduct a written compliance check on the number of
employees employed by the Company, at its sole discretion. The Company shall fully cooperate
with the City by providing access to appropriate payroll documentation to verify the total number
of employees and whether such employees are part-time or full-time.
Section 7. Indemnification and Hold Harmless.
(a) The Company assumes any and all risk of personal injury and property damage to
the extent attributable to the intentional and negligent acts or omissions of the Company and its
officers, employees, representatives and agents thereof while acting within the scope of their
employment with the Company and performing the Company's requirements and obligations
under the terms and conditions set forth in this Agreement.
(b) The Company shall indemnify, defend and hold the City, its officers, employees,
representatives (whether elected or appointed) and agents harmless from and against any and
all third party claims or causes of action and liabilities, expenses, losses, costs of personal injury
(including death), damages, fines, and penalties of every kind and character or incurred or
suffered by the City as a result thereof, based upon events arising out of or resulting from the
Company's performance of the requirements and obligations under the terms and conditions of
this Agreement.
(c) The obligations arising under this paragraph shall survive the expiration or
termination of this Agreement, as to claims or causes of action, liabilities, expenses, losses, costs,
reasonable attorneys' fees, damages, fines and penalties of every kind and character or incurred
or suffered by the City as a result thereof, based upon events arising prior to the date of
termination of this Agreement.
Section 8. Default and Termination.
(a) Event of Default. For purposes of this Agreement, "Event of Default" shall mean
any of the following:
-3-
(i) Any representation made by the Company herein or in any statement,
application or certificate furnished to the City in connection with the performance of this
Agreement proves to be untrue in a material respect as of the date of issuance of making
thereof and is not corrected or brought into compliance within thirty (30) days after written
notice thereof to the Company by the City.
(ii) The Company materially breaches any covenant contained in this
Agreement and such breach is not corrected or cured within thirty (30) days after written
notice thereof to the Company by the City; provided, however, that the City may declare
a lesser cure period in the event that it finds, in its sole and absolute discretion, that such
lesser period is necessary to protect the public health, safety, or welfare.
(iii) The Company does not operate the business according to the Project
(unless otherwise agreed to in writing by the City) or moves out of the City at any time
during the Term of this Agreement. The Company shall provide thirty (30) days written
notice to the City of any such move -out, and the effective termination date of this
Agreement will bethedate of move -out, unless agreed to otherwise in writing by the
Parties. If the Company fails to provide notice, the effective termination date of the
Agreement will be retroactive to the date of actual move -out.
(iv) The Company assigns or attempts to assign this Agreement in violation of
Section 9 of this Agreement.
(b) Termination. Company may terminate this Agreement, without default, in the event
that the Company's underlying lease expires or is earlier terminated and Company is unable to
secure a new lease on an appropriate location in the City within three (3) months following such
expiration or earlier termination.
(c) Remedies. Upon the occurrence of an Event of Default, The City shall provide
written notice to the Company. The Company shall immediately proceed to cure or remedy such
default, and in any event such default shall be cured within thirty (30) days after receipt of the
notice, or such longer time as the City and the Company may agree to in writing. Upon the failure
of the Company to so cure any such default, the City shall have all remedies available to it, in law
or in equity including, but not limited to, the right to: termination of this Agreement, effective and
retroactive to the date of Event of Default; termination of pending economic incentives;
withholding of future economic incentives; or termination of any other obligation required
hereunder.
Section 9. General Provisions.
(a) Complete Agreement. This Agreement constitutes the complete agreement of the
Parties regarding the Incentives and shall supersede and nullify all prior drafts and agreements,
oral or written, concerning the same.
(b) Compliance with Bradley -Burns Uniform Local Sales and Use Tax Law. The
Company shall carry out the operation of its Point of Sale transactions through the Project in
conformity with the Sales Tax Law.
ME
(c) Relationship. This Agreement does not evidence the creation of, nor shall it be
construed as creating, a partnership or joint venture between the City and the Company. No Party
can create any obligation or responsibility on behalf of the other or bind the other in any manner.
Each Party is acting for its own account, and it has made its own independent decision to enter
into this Agreement and as to whether the same is appropriate or proper for it based upon its own
judgment and upon advice from such advisers as it has deemed necessary. Each Party
acknowledges that neither of the Parties hereto is acting as a fiduciary for or an adviser to it in
respect of this Agreement or any responsibility or obligation contemplated herein. The Company,
further represents and acknowledges that it has paid no one a fee, commission, gift or other
consideration as an inducement to enter into this Agreement.
(d) Personal Liability. No provision of this Agreement is intended, nor shall any be
construed, as a covenant of any official (either elected or appointed), employee, representative
or agent of the City in an individual capacity and neither shall any such individuals be subject to
personal liability by reason of any covenant or obligation of the City hereunder.
(e) Amendments. No amendment to, or modification of, this Agreement shall be
effective unless and until it is in writing and is approved by both the authorized representatives of
the Company and the City.
(f) Notices. Any notices or other communications required or permitted to be given
under this Agreement' shall be in writing, and shall be deemed delivered to and received by the
addressee thereof when delivered in person at the address set forth below, when delivered by
reputable overnight courier at the address set forth below, or three (3) business days after deposit
thereof in any main or branch United States Post Office, certified or registered mail, return receipt
requested, postage prepaid, properly addressed to the Parties, respectively, as follows:
For notices and communications to the City:
City of Vernon
Attention: City Administrator
4305 Santa Fe Avenue
Vernon, California 90058
With copies to:
City of Vernon
Attention: City Attorney
4305 Santa Fe Avenue
Vernon, California 90058
For notices and communications to the Company:
Southern California Curling Center
Attention: Chief Executive Officer
4545 Pacific Boulevard
Vernon, California 90058
(g) Governing Law. Choice of Venue and Attorneys' Fees. This Agreement and the
rights of the Parties hereunder shall be governed by, and construed, interpreted, and enforced in
accordance with, the laws of the State of California, regardless of any conflict of law principles.
-5-
Should either Party initiate litigation against the other Party, both Parties agree that such litigation
may only be commenced in a state or federal court of competent jurisdiction in the County of Los
Angeles, State of California, In the event of any action between the City and the Company seeking
enforcement of any of the terms and conditions to this Agreement, the prevailing Party in such
action shall be awarded, in addition to such relief to which such Party is entitled under this
Agreement, its reasonable litigation costs and expenses, including without limitation its expert
witness fees and reasonable attorneys' fees.
(h) Interpretation. This Agreement has been negotiated by both Parties and shall not
be interpreted or construed against the Party drafting the Agreement.
(i) Change in Laws. Unless otherwise explicitly provided in this Agreement, any
reference to laws,. ,ordinances, rules, or regulations of any kind shall include such laws,
ordinances, rules, or regulations of any kind as they may be amended or modified from time to
time hereafter.
(j) Headings. The headings of the sections, paragraphs, and other parts of this
Agreement are for convenience and reference only and in no define, extend, limit, or describe
the meaning, scope, or intent of this Agreement, or the meaning, scope, or intent of any provision
hereof.
(k) Time of Essence. Time is of the essence in the performance of all terms and
provisions of this Agreement.
(1) Severability. It is the express intent of the Parties hereto that should any provision,
covenant, agreement, or portion of this Agreement or its application to any person, entity, or
property be held void, invalid, or unenforceable by a court of competent jurisdiction, such action
shall not affect the remainder of this Agreement, which shall continue in full force and effect.
(m) No Third Party Beneficiaries. Nothing in this Agreement shall create, or be
construed to create any third party beneficiary rights in any person or entity not a signatory to this
Agreement.
(n) Counterparts and Originals. This Agreement may be executed in any number of
multiple identical counterparts and all of said counterparts shall, individually and taken together,
constitute the Agreement. There shall be two (2) original Agreements — one held by each Party.
(o) Assignment. The Company may not assign this Agreement, in whole or in part,
without the City's prior written consent, which consent may be withheld in the City's sole
discretion. The Parties acknowledge that this Agreement is an obligation which runs to the
Company and is not a covenant running with the land. Notwithstanding the foregoing, in the event
that the Company sells all of its assets, or the principals of the Company sell all or substantially
all of their stock and, following the sale, the operations of Company's business remain
substantially the same (according to the Project) and in conformance with all obligations of this
Agreement, this Agreement will remain in full force and effect and the City will grant its approval
of the assignment of the Agreement. The assignee shall be bound by all of the terms and
conditions of the Agreement. In the event of the foregoing, the Company shall provide notice of
such assignment to the City within three (3) days of the closing of any such sale.
(p) Loss of Authority. In the event that the City's authority to enter into this Agreement
or to grant the Incentives pursuant to this Agreement are repealed, become unexercisable, null
I M.
and void or otherwise become invalid, then the Agreement shall be terminated, City's obligations
hereunder shall cease and no further obligations shall be required of the City.
(q) Living Wage. The Company, and any contractor or subcontractor(s) hired and used
by the Company, shall comply with the City's Living Wage Ordinance at Vernon Municipal Code
Article XVIII. The current Living Wage Standards are set forth in Exhibit A attached hereto and
incorporated by reference. Upon the City's reasonable request, certified payroll records shall be
promptly provided to the City.
(r) The Company hereby certifies and represents that, during the Term of this
Agreement, it and any other parties with whom it may subcontract, shall_ adhere to equal
employment opportunity practices to assure that applicants, employees and recipients of service
are treated equally and are not discriminated against because of their race, religion, color, national
origin, ancestry, ,disability, sex, age, medical condition, sexual orientation or marital status. The
Company further agree to comply with The Equal Employment Opportunity Practices provisions
as set forth in Exhibit B attached hereto and incorporated herein by reference.
IN WITNESS WHEREOF, the Parties have caused this Agreement to be executed by their duly
authorized representatives as of the date first above written.
l'Sianatures Beain on Next Paael
-7-
{
CITY OF VERNON, a California charter City
and California municipal corporation
By.
Carlos R. Fandino, Jr., City Administrator
ATTEST:
Lisa Pope, City Clerk
APPROVED AS TO FORM:
Brian Byun,
Senior Deputy City Attorney
Southern California Curling Center, a Delaware corporation
By:
Name:
Title:
By:
Name:
Title`.
EXHIBIT "A"
LIVING WAGE PROVISIONS - VMC § 2.131 et seq.
Minimum Living Wages:
A requirement that Employers pay qualifying employees a wage of no less than $10.30 per hour
with health benefits, or $11.55 per hour without health benefits.
Paid and Unpaid Days Off:
Employers provide qualifying employees at least twelve compensated days off per year for sick
leave, vacation, orpersonal necessity, and an additional ten days a year of uncompensated
time for sick leave.
No Retaliation:
A prohibition on employer retaliation against employees complaining to the City with regard to
the employer's compliance with the Living Wage Ordinance. Employees may bring an action in
Superior Court against an employer for back pay, treble damages for willful violations, and
attorney's fees, or, to compel City officials to terminate the service contract of violating
employers.
EXHIBIT "B"
EQUAL EMPLOYMENT OPPORTUNITY PRACTICES PROVISIONS
A. The Company certifies and represents that, during the performance of this
Agreement.. The Company, its affiliates, and each contractor or subcontractor hired thereby and
serving as an agent of the Company or any of its affiliates shall adhere to equal opportunity
employment practices to assure that applicants and employees are treated equally and are not
discriminated against because of their race, religious creed, color, national origin, ancestry,
handicap, sex, or age. The Company further certifies that they will not maintain any segregated
facilities. ;
B. The Company agrees that it shall, in all solicitations or advertisements for
applicants for employment placed by or on behalf of the Company, state that they are "Equal
Opportunity Employers" or that all qualified applicants will receive consideration for employment
without regard to their race, religious creed, color, national origin, ancestry, handicap, sex or age.
C. The Company agrees that it shall, if requested to do so by the City, certify
that it does not have, in the performance of this Agreement, discriminated against applicants or
employees because of their membership in a protected class.
D. The Company agrees to provide the City with access to, and, if requested
to do so by City, through its awarding authority, provide copies of all of their records pertaining or
relating to their employment practices, except to the extent such records or portions of such
records are confidential or privileged under state or federal law.
E. Nothing contained in this Agreement shall be construed in any manner as
to require or permit any act which is prohibited by law.
-10-
City Council Agenda Item Report
Agenda Item No. COV-64-2020
Submitted by: Karina Rueda
Submitting Department: Human Resources
Meeting Date: April 7, 2020
SUBJECT
POST Entry -Level Dispatcher Selection Test Battery Security Agreement with the California Commission
on Peace Officer Standards and Training
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality Act (CEQA)
review, because it is an administrative activity that will not result in direct or indirect physical changes in
the environment, and therefore does not constitute a "project" as defined by CEQA Guidelines section
15378; and
B. Approve and authorize the Director of Human Resources to execute a POST Entry -Level Dispatcher
Selection Test Battery Security Agreement between the City of Vernon and the California Commission
on Peace Officer Standards and Training in substantially the same form as submitted.
Background:
The City of Vernon Police Department has requested to fill a part-time Police Dispatcher position. As
part of the recruitment process, a written examination is administered by Human Resources staff. The
California Code of Regulations mandates that public safety dispatchers shall demonstrate verbal,
reasoning, memory, and perceptual abilities at levels necessary to perform the job. These abilities can
be measured by administering the POST (Peace Officer Standards and Training) Entry -Level Dispatcher
Selection Test Battery or an alternative job -related test that measures such abilities. Since scores on the
POST Entry -Level Dispatcher Selection Test Battery are predictive of both training proficiency and job
success, many law enforcement agencies and communication centers use said test to measure the
applicant's aptitude for performing public safety dispatcher duties.
In order for the Human Resources Department to use the POST Entry -Level Dispatcher Selection Test
Battery as part of the recruitment process, the Human Resources Director must electronically execute the
agreement as required by POST. POST requires that the agreement be electronically signed by the
individual who oversees the recruitment and selection process. The agreement will be in effect through
December 31, 2021.
The POST Entry -Level Dispatcher Selection Test Battery Security Agreement has been reviewed and
approved as to form by the City Attorney's Office.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. POST Security Agreement (Entry -Level Police Dispatcher)
POST ENTRY-LEVEL DISPATCHER SELECTION TEST BATTERY
SECURITY AGREEMENT (1/2019)
Parties to the Agreement
The parties to this Agreement are the California Commission on Peace Officer
Standards and Training, hereinafter referred to as POST, and the City of
Vernon, hereinafter referred to as the Examining Agency.
The above -named Examining Agency enters into this Agreement, accepts it, and
agrees to be bound by it in consideration and exchange for acquiring the right to use
the POST Entry -Level Dispatcher Selection Test Battery. Agreements are required to
be updated biennially at the beginning of the calendar year.
II Purpose of the Agreement
This Agreement is intended to protect the mutual interests of POST, and all public
agencies that use the POST Entry -Level Dispatcher Selection Test Battery for
screening purposes, as well as the interests of the persons who take the tests, in order
that no person may gain special advantage by having improper access to the material.
POST requires, as a condition for making the POST Entry -Level Dispatcher Selection
Test Battery available, that the Examining Agency execute this Agreement and fulfill
its terms.
A. Required Proctor Training
This agreement does not authorize the Examining Agency to administer the
POST Entry -Level Dispatcher Selection Test Battery without POST
supervision. Staff of the Examining Agency must complete POST approved
training on testing procedures to receive authorization to administer the POST
Entry -Level Dispatcher Selection Test Battery without POST supervision.
III Terms and Conditions
POST agrees to make available to the Examining Agency the POST Entry -Level
Dispatcher Selection Test Battery, subject to the conditions set forth in this
Agreement. POST will take appropriate and reasonable precautions to assure that all
test materials are delivered to the Examining Agency in a secure manner. As a user of
the POST Entry -Level Dispatcher Selection Test Battery, the Examining Agency
agrees to the following terms and conditions:
A. Security of Test Material
All test materials supplied by POST will be used only for the official
purposes of the Examining Agency in testing candidates for
employment as an entry-level dispatcher. Furthermore, under no
circumstances will the supplied materials be made available to
prospective job seekers or other unauthorized persons for the purposes
of study or to persons who have taken the POST Entry -Level
Dispatcher Selection Test Battery and want to review the test
questions.
2. All test materials supplied by POST will be handled and stored by the
Examining Agency in a manner that will prevent unauthorized persons
(i.e., any person not having signed an Attachment A, Acknowledgement
of the Requirement to Adhere to the Terms and Conditions of The
POST Entry -Level Dispatcher Selection Test Battery Security
Agreement) from having access to the materials.
The Examining Agency may print a sufficient number of copies of the
Entry -Level Dispatcher Selection Test Battery booklets to meet the
current month's need for test booklets. Examining Agencies may not
print large numbers of test books and store them for future month's
use. Scantron forms, however, may be held for future use. To increase
test security, POST will scramble items within test forms monthly.
Thus, the test booklets and scoring key will change each month. Test
Materials for tests scheduled in the first week of a month will be
mailed the final week of the preceding month. Test Booklets must be
given a unique identifying number so that they can be inventoried. All
printing of test material will be conducted under the direct supervision
of an authorized person at the examining agency. Under no
circumstances shall test material be sent to any printer without the
supervision of an authorized person. Test booklets must be shredded
after each test use. Unused booklets must be shredded monthly.
4. The Examining Agency will reimburse POST for a portion or all the
replacement costs, as determined by POST, for test materials that are
lost, stolen or otherwise compromised while in the possession of the
Examining Agency. Replacement costs include all costs associated
with the development and validation of new test materials to take the
place of those test materials that were compromised. See A.6 for
further details.
In the event any test materials supplied by POST should become
involved in legal proceedings conducted by a court or other body
vested with legal authority, the Examining Agency will inform the
legal authority of the existence and terms of this Agreement and will
2
move that POST's materials be covered by a protective order that
safeguards its confidentiality. POST will be promptly notified in
writing of any such proceedings.
6. In the event an examinee is caught cheating (e.g., copying answers
from another examinee's test, providing answers to another examinee;
or using any other prohibited aid or information) the Examining
Agency should take appropriate measures against individuals violating
testing rules. The Examining Agency will notify the POST Testorders
within 24 hours of the test administration and document the incident on
the Proctor's Report.
B. Fees for Use of the Test Battery
Agencies participating in the voluntary POST Public Safety Dispatcher
Program will not be charged for test materials or services, except for optional
test proctoring services. The Examining Agency agrees to pay for proctoring
services, if used, in accordance with the prevailing schedule of fees.
Agencies that are not participants in the POST Public Safety Dispatcher
Program will, in addition to the above charges, be assessed for the use of test
materials. The Examining Agency, if not participating in the Public Safety
Dispatcher Program, agrees to pay for the use of the POST Entry -Level
Dispatcher Selection Test Battery in accordance with the prevailing schedule
of fees.
All payments will be made to POST or an agent thereof in arrears no later than
30 days following the receipt of initial invoice.
C. Agency Responsibilities
Only personnel authorized by POST may administer the POST Entry -
Level Dispatcher Selection Test Battery in accordance with the
instructions provided by POST; and immediately following the test
administration will return all answer sheets (used and unused), test
book control sheets, candidate code of conduct, and inventory sheets
to:
Commission on Peace Officer Standards and Training
SCRB-Test Orders
860 Stillwater Road, Suite 100
West Sacramento, CA 95605
2. Test materials supplied to the Examining Agency will be used in
accordance with relevant professional standards (e.g., Standards for
Educational and Psychological Testing, AERA, APA, NCME) and state
and federal law.
3. The Examining Agency will designate one or more persons who are
authorized to receive test materials from POST. Staff is defined as non -
student assistant or cadet personnel who work for the public safety
department or academy in a paid or volunteer capacity.
a. The Examining Agency will require each designee to read this
agreement and sign Attachment A, Acknowledgement of the
Requirement to Adhere to the Terms and Conditions of The
POST Entry -Level Dispatcher Selection Test Battery Security
Agreement.
b. The Examining Agency will notify POST, in writing, of each
designee's name, title, proctor/proctor assistant status, mailing
address, and telephone number prior to the receipt of any test
materials. Staff is defined as non -student assistant or cadet
personnel who work for the public safety department or
academy in a paid or volunteer capacity.
C. The Examining Agency will keep a signed copy of Attachment
A on file for each designee and will make these signed copies
of Attachment A available for inspection by POST.
d. Whenever one of the Examining Agency's designees leaves the
Examining Agency's employment or is relieved of the
responsibility for carrying out the terms of this agreement, the
Examining Agency will promptly notify POST in writing by
submitting a revised list of designees (Attachment B).
e. Examining Agency staff is prohibited from taking the POST
Entry -Level Dispatcher Selection for which they have access to
the test materials for a period of 2 years.
4. The Examining Agency will limit access to the test materials to persons
from the Examining Agency who have direct responsibility for the
Examining Agency's testing function.
5. Before an examinee can retest, he/she must wait for a period of 30
calendar days. The Examining Agency will need to notify all
examinees of the waiting period.
2
6. Examining Agency will retain the examinee's identification card (e.g.
license, passport) for the duration of the exam. Identification cards
should be returned to examinees at the end of the exam once all
materials have been inspected.
7. All candidates will be required to read and sign a candidate rules
agreement prior to each test administration.
D. Scoring/Retention/Review of Test Materials
POST will provide the Examining Agency with a report of test results for each
test administration. If requested by the Examining Agency in writing, POST
will retain answer sheets for such reasonable time as the Examining Agency's
rules may prescribe. Keyed copies of the tests will not be made available for
inspection, nor will candidates be allowed to review any test at any time.
The Examining Agency will provide each candidate with a POST T-Score
breakdown on Agency letterhead within 30 days of completion of the exam.
The results letter must also contain the test date, candidates first and last name
along with their complete mailing address.
E. Exceptions
Any exception to this Agreement must be stated in writing and agreed to by
both parties before such exception may be in effect.
F. Termination of Agreement
If officials of the Examining Agency should, in the future, find that they are no
longer able to assure fulfillment of the Agreement, the signer or other official
will promptly notify POST to that effect in writing, and upon request, the
Examining Agency will return all testing materials obtained from POST.
POST reserves the right to terminate this Agreement, or to withhold access to
its testing materials, if it has reason to believe that the terms of the Agreement
are not being fulfilled.
5
VI Acceutance of Terms and Conditions of this Agreement
On behalf of the Agency I represent, I accept the terms and conditions of this
agreement and agree to comply with them. By signing, I understand that I am
accepting responsibility for any test related actions on behalf of all Agency
Representatives.
EXAMINING AGENCY
NAME TITLE
(Please Print)
AGENCY
STREET ADDRESS
CITY/STATE/ZIP
EMAIL ADDRESS
DATE SIGNATURE
PHONE ( )
COMMISSION ON POST
NAME Chau N. Chan TITLE Sr. Personnel Selection Consultant
ADDRESS 860 Stillwater Road, Suite 100
CITY/STATE/ZIP West Sacramento, CA 95605
DATE SIGNATURE
Revised 1/2019 DISPATCH
0
ATTACHMENT A
ACKNOWLEDGEMENT OF THE REQUIREMENT
TO ADHERE TO THE TERMS AND CONDITIONS
OF THE POST ENTRY-LEVEL DISPATCHER SELECTION TEST BATTERY
SECURITY AGREEMENT
(To be retained on File at the Examining Agency)
I have been provided with a copy of the POST Dispatcher Selection Test Battery Security
Agreement with the California Commission on Peace Officer Standards and Training. I have
read and understand the terms and conditions of this agreement, and I agree to carry out my
duties and responsibilities in accordance with all applicable provisions. I understand that I
cannot take the POST Dispatcher Selection Test Battery for a period of one year from the
date I signed this acknowledgement.
NAME
TITLE
AGENCY
STREET ADDRESS _
CITY/STATE/ZIP
TELEPHONE( )
EMAIL ADDRESS _
SIGNATURE _
DATE
Revised 1/2019 DISPATCH
(Please Print)
7
I,
below to be POST designees for
ATTACHMENT B
DESIGNEE LIST
(Authorized person), designate the individuals listed
(Examining Agency).
A designee is anyone that will handle POST test material. I acknowledge that the individuals
listed below and myself have all read POSTS security agreement, signed Attachment A and
will adhere to the terms as presented to maintain the integrity and security of POST's testing
materials.
(Please Print)
Name
Job Title
Phone number
Email address
Test
Coordinator/
Primary
contact Y/N?
SIGNATURE
DATE
Revised 1/2019 DISPATCH
City Council Agenda Item Report
Agenda Item No. COV-99-2020
Submitted by: Claudia Arellano
Submitting Department: Public Works
Meeting Date: April 7, 2020
SUBJECT
Project Funded by Senate Bill 1: The Road Repair and Accountability Act of 2017
Recommendation:
A. Find that the proposed action does not constitute a "project" pursuant to sections 15378(b)(2) and (4)
of the Guidelines to the California Environmental Quality Act ("CEQA"), because it constitutes an
administrative activity and government funding mechanism that does not involve any commitment to any
specific project which may result in a potentially significant impact on the environment; and even if the
adoption of the proposed resolution did constitute a project, it would be exempt from CEQA in
accordance with CEQA Guidelines Sections 15302, because the proposed project consists of the
replacement of existing structures and facilities where the new structure will be located on the same site
as the structure replaced and will have substantially the same purpose and capacity as the structure
replaced; and 15061(b)(3), the general rule that CEQA only applies to projects that may have a
significant effect on the environment; and
B. Adopt a resolution adopting a project funded by Senate Bill 1: The Road Repair and Accountability
Act of 2017 for Fiscal Year 2020/2021.
Background:
On April 28, 2017, the Governor signed Senate Bill 1 (Beall, Chapter 5, Statute 2017), which is known as
the Road Repair and Accountability Act of 2017 to address basic road maintenance, rehabilitation and
critical safety needs on both the state highway and local street and road systems. Senate Bill 1 increases
per gallon fuel excise taxes, increases diesel fuel sales taxes and vehicle registration fees, and provides
for inflationary adjustments to tax rates in future years.
On November 1, 2017, the State Controller commenced depositing a portion of this new funding into the
newly created Road Maintenance and Rehabilitation Account (RMRA). Part of the RMRA funding will be
apportioned by formula to eligible cities and counties pursuant to Streets and Highways Code Section
2032(h)(2) for basic road maintenance, rehabilitation, and critical safety projects on the local streets and
road systems. Pursuant to Streets and Highways Code Section 2030, RMRA local streets and roads
allocations must be used for projects "that include, but are not limited to," the following:
• Road maintenance and rehabilitation
• Safety projects
• Railroad grade separations
• Traffic control devices
• Complete street components, "including active transportation purposes, pedestrian and bicycle
safety projects, transit facilities, and drainage and stormwater capture projects in conjunction with any
other allowable project."
The City's allocation for Fiscal Year 2020/2021 is estimated to be $5,685 pursuant to the formula in the
Streets and Highways Code Section 2103(a)(3)(C)(i) and (ii). The formula essentially proportions the
total population the City bears to the total population of all the cities in the state.
MAINTENANCE OF EFFORT: RMRA
The Road Repair and Accountability Act contains a local agency Maintenance of Effort (MOE)
requirement that applies to funds allocated through the RMRA. The Act states that the MOE requirement
is to ensure that these new road funds do not supplant existing levels of city and county general revenue
spending on streets and roads. The MOE for the receipt of RMRA funds state that a city or county must
maintain general fund spending for street, road, and highway purposes at no less than the average of
fiscal years 2009/2010, 2010/2011, and 2011 /2012 as reported to the State Controller pursuant to
Streets and Highways Code Section 2151. In making this calculation an agency may exclude one-time
funds. A city or county that fails to comply in a particular year may make it up with additional expenditures
in the following year. The Act provides that the State Controller may perform audits to ensure compliance
with these MOE rules. If the State Controller determines that a city or county has not met its MOE, the
agency will be required to reimburse the state for the funds it received during that fiscal year. However, a
city or county that fails to comply in a particular fiscal year may expend during that fiscal year and the
following fiscal year a total amount that is sufficient to comply. Any funds withheld or returned as a result
of a failure to comply will be reapportioned to the other counties and cities whose expenditures are in
compliance.
The City's annual average of its expenditures from its general fund during Fiscal Years 2009/2010,
2010/2011, and 2011/2012 is $830,243 as shown below:
Maintenance of Effort - General Fund for Streets & Roads
Road Maintenance and Rehabilitation Account per Streets & Hwys Code Sec 2036
(Revised Est.: 08/07/2017)
Streets and Roads Annual Report - Reported General Fund for Street Purposes
FY2009/2010 FY2010/2011 FY2011/2012 AVERAGE ADJUSTMENT RMRA MOE
$789,165 $616,736 $1,084,827 $830,243 - $830,243
The City's local match identified by the State is significantly higher. As indicated above, the City's MOE
is $830,243 and the State's allocation for Fiscal Year 2020/2021 is estimated at $5,685 which means
the City would be required to expend $830,243 in approved projects in order to receive the allocated
funds of $5,685. The sum of the preliminary budgeted street improvements for Fiscal Year 2020/2021 is
$2.175 million.
SPENDING PLANS AND REPORTS: RMRA
The Road Repair and Accountability Act stipulates that, prior to receiving RMRA funds in a fiscal year, a
city or county must submit to the California Transportation Commission (CTC) a project list pursuant to an
adopted budget. The list must include for each project: description, location, schedule, useful life [Streets
and Highways Code Section 2034(a)]. The Road Repair and Accountability Act also requires that a city
or county submit to the CTC an annual report of project completion in order to receive RMRA funds. The
report must include descriptions of all projects for which RMRA funds were expended including:
description, location, funds expended, completion date, and estimated useful life of the project.
The procurement of equipment and supplies for the City's Sign Replacement Program project is
identified as a potential candidate for Fiscal Year 2020/2021 Senate Bill 1 funding.
Fiscal Impact:
There is no fiscal impact with the adoption of a resolution approving the Road Maintenance and
Rehabilitation Account Program project for Fiscal Year 2020/2021 Senate Bill 1 funding. The Citywill
allocate funding, once it fulfills the requirements under the Road Repair and Accountability Act of 2017.
Attachments:
1. Senate Bill 1 - The Road Repair and Accountability Act FY 2020-2021 Resolution
RESOLUTION NO.
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
VERNON TO ADOPT A PROJECT FUNDED BY SENATE BILL 1
THE ROAD REPAIR AND ACCOUNTABILITY ACT FOR FISCAL
YEAR 2020-2021
WHEREAS, Senate Bill 1, the Road Repair and Accountability
Act of 2017 (Chapter 5, Statutes of 2017) was passed by the Legislature
and signed into law by the Governor in April 2017 in order to address
the significant multi -modal transportation funding shortfalls
statewide; and
WHEREAS, Senate Bill 1 includes accountability and
transparency provisions that will ensure that the residents and
business community of our City are aware of the projects proposed for
funding in our community and which projects have been completed each
fiscal year; and
WHEREAS, the City must adopt a list of all projects proposed
to receive funding from the Road Maintenance and Rehabilitation Account
(RMRA), created by Senate Bill 1, by resolution, which must include a
description and the location of each proposed project, a proposed
schedule for the project's completion, and the estimated useful life of
the improvement; and
WHEREAS, Streets and Highways Code Section 2032(h)(2)
specifies that fifty (50) percent of the balance of revenues deposited
into the RMRA, after certain funding is set aside for various programs,
will be continuously appropriated for apportionment to cities and
counties by the State Controller pursuant to the formula in Streets and
Highways Code Section 2103(a)(3)(C)(i) and (ii); and
WHEREAS, the City, will receive an estimated $5,685.00 in
RMRA funding in Fiscal Year 2020-2021 from Senate Bill 1; and
WHEREAS, in order to receive an allocation or apportionment
pursuant to Streets and Highways Code Section 2032, the City shall
annually expend from its general fund for street, road, and highway
purposes an amount not less than the annual average of its expenditures
from its general fund during the 2009-2010, 2010-2011, and 2011-2012
fiscal years, as reported to the State Controller pursuant to Streets
and Highways Code Section 2151; and
WHEREAS, the City's annual average of its expenditures from
its general fund during the 2009-10, 2010-11, and 2011-12 fiscal years
is $830,243; and
WHEREAS, by memorandum dated April 7, 2020, the Director of
Public Works has recommended the adoption of a project funded by Senate
Bill 1: The Road Repair and Accountability Act for Fiscal Year 2020-
2021.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE
CITY OF VERNON AS FOLLOWS:
SECTION 1: The City Council of the City of Vernon hereby
finds and determines that the above recitals are true and correct.
SECTION 2: The City Council of the City of Vernon finds
that this action does not constitute a "project" pursuant to sections
15378(b)(2) and (4) of the Guidelines to the California Environmental
Quality Act ("CEQA"), because it constitutes an administrative activity
and government funding mechanism that does not involve any commitment
to any specific project which may result in a potentially significant
impact on the environment; and even if the adoption of the proposed
resolution did constitute a project, it would be exempt from CEQA in
accordance with CEQA Guidelines Sections 15302, because the proposed
- 2 -
project consists of the replacement of existing structures and
facilities where the new structure will be located on the same site as
the structure replaced and will have substantially the same purpose and
capacity as the structure replaced; and Section 15061(b)(3), the
general rule that CEQA only applies to projects that may have a
significant effect on the environment.
SECTION 3: The City Council of the City of Vernon hereby
adopts the following project planned to be funded with Road Maintenance
and Rehabilitation Account revenues:
Project
Location
Estimated
Useful
Life
Estimated
Construction
Dates
Procurement of
Section 7 of the Sign
10 - 15
Pre -
equipment and
Replacement Program. The
years
Construction
supplies for Sign
area limits are: Downey Road
07/2020
Replacement
on the West side, Bonnie
Program - Traffic
Beach Place on the east
Completion
signs replacement
side, Washington Boulevard
06/2021
program to comply
on the North and Exchange
with the
Avenue on the South. The
CAMUTCD's
streets included within
Maintaining
those limits are: Portion of
Minimum
Washington Boulevard, 26th
Retroreflectivity
Street, Bandini Boulevard,
standards
Portion of Downey Road and
Indiana Avenue.
- 3 -
SECTION 4: The City Clerk of the City of Vernon shall
certify to the passage, approval and adoption of this resolution, and
the City Clerk, of the City of Vernon shall cause this resolution and
the City Clerk's certification to be entered in the File of Resolutions
of the Council of this City.
APPROVED AND ADOPTED this 7th day of April, 2020.
ATTEST:
Lisa Pope, City Clerk
APPROVED AS TO FORM:
Brian Byun,
Senior Deputy City Attorney
Name:
Title: Mavor / Mavor Pro-Tem
- 4 -
STATE OF CALIFORNIA )
) ss
COUNTY OF LOS ANGELES )
I, Lisa Pope, City Clerk of the City of Vernon, do hereby certify
that the foregoing Resolution, being Resolution No. , was duly
passed, approved and adopted by the City Council of the City of Vernon
at a regular meeting of the City Council duly held on Tuesday, April 7,
2020, and thereafter was duly signed by the Mayor or Mayor Pro-Tem of
the City of Vernon.
Executed this day of April, 2020, at Vernon, California.
(SEAL)
- 5 -
Lisa Pope, City Clerk
City Council Agenda Item Report
Agenda Item No. COV-107-2020
Submitted by: Robert Sousa
Submitting Department: Police Department
Meeting Date: April 7, 2020
SUBJECT
Drug Enforcement Administration Agreement
Recommendation:
A. Find that the approval of the proposed agreement is exempt from California Environmental Quality Act
("CEQA") review, because it is a continuing administrative activity that will not result in direct or indirect
physical changes in the environment, and therefore does not constitute a "project" as defined by CEQA
Guidelines section 15378; and
B. Approve and authorize the Police Chief to execute an agreement with the Drug Enforcement
Administration, for continued participation in the Southwest Border Initiative (SWBI) taskforce with an
effective date of April 7, 2020.
Background:
Since 2008, the Vernon Police Department (VPD) has dedicated one Detective to participate in the
SWBI narcotics investigation taskforce. The goal of the SWBI narcotics taskforce is to disrupt illicit drug
traffic in the region by immobilizing targeted violators and trafficking organizations, and gather and report
intelligence data relating to narcotics trafficking and dangerous drugs.
Participation in the SWBI taskforce has been advantageous for the VPD. The assigned Detective has
gained vast experience and knowledge from the taskforce investigations. The VPD has also utilized
resources from the taskforce with multifaceted investigations when there is a need for additional
personnel and expertise. In addition, participation in the taskforce provides the VPD revenues from
asset forfeiture proceeds related to narcotics investigations.
In order to continue its participation in the SWBI taskforce, the VPD must enter into an agreement with
the Drug Enforcement Administration (DEA). Each year, the agreement requires renewal on October 1,
due to federal requirements. Because of lower staffing levels in recent months, the VPD did not establish
a DEA Agreement on October 1, 2019. Now adequately staffed, VPD is prepared to dedicate an officer
to the DEA program, and will return to City Council for a renewal on or before October 1, 2020.
City legal staff has reviewed and approved the agreement as to form.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. Drug Enforcement Administration Task Force Agreement
STATE AND LOCAL TASK FORCE AGREEMENT
BETWEEN
THE DRUG ENFORCEMENT ADMINISTRATION
LOS ANGELES FIELD DIVISION
AND
Vernon Police Department
PROGRAM - FUNDED STATE AND LOCAL TASK FORCE AGREEMENT
This agreement is made this 7th day of April, 2020, between the United States Department of
Justice, Drug Enforcement Administration (hereinafter "DEA"), and the Vernon Police
Department (hereinafter "VPD "). The DEA is authorized to enter into this cooperative
agreement concerning the use and abuse of controlled substances under the provisions of 21
U.S.C. § 873.
WHEREAS there is evidence that trafficking in narcotics and dangerous drugs exists in the Los
Angeles area and that such illegal activity has a substantial and detrimental effect on the health
and general welfare of the people of the City of Vernon, the parties hereto agree to the following:
1. The Task Force will perform the activities and duties described below:
a. disrupt the illicit drug traffic in the area by immobilizing targeted violators and trafficking
organizations;
b. gather and report intelligence data relating to trafficking in narcotics and dangerous drugs;
and
c. conduct undercover operations where appropriate and engage in other traditional methods
of investigation in order that the Task Force's activities will result in effective prosecution before
the courts of the United States and the State of California.
2. To accomplish the objectives of the Task Force, the VPD agrees to detail (1) experienced
officer to the Task Force for a period of not less than two (2) years. During this period of
assignment, the officers will be under the direct supervision and control of DEA supervisory
personnel assigned to the Task Force.
3. The officers assigned to the Task Force shall adhere to DEA policies and procedures.
Failure to adhere to DEA policies and procedures shall be grounds for dismissal from the Task
Force. The VPD officer assigned to the Task Force shall also remain subject to the policies,
procedures and regulations of their parent agency. Any conflict between DEA policies,
procedures and those of the parent agency shall be resolved under DEA policies and procedures,
and by the DEA Special Agent in Charge or his designee, and the chief law enforcement officials
of the participating agency.
4. The officers assigned to the Task Force shall be deputized as Task Force Officers of
DEA pursuant to 21 U.S.C. Section 878.
5. To accomplish the objectives of the Task Force, DEA will assign (7) Special Agents to the
Task Force. DEA will also, subject to the availability of annually appropriated funds or any
continuing resolution thereof, provide necessary funds and equipment to support the activities of
the DEA Special Agents and officers assigned to the Task Force. This support will include:
office space, office supplies, travel funds, funds for the purchase of evidence and information,
investigative equipment, training, and other support items.
6. During the period of assignment to the Task Force, the VPD will remain responsible for
establishing the salary and benefits, including overtime, of the officer assigned to the Task Force,
and for making all payments due them. DEA will, subject to availability of funds, reimburse
them for overtime payments made by it to officers assigned to the Task Force for overtime, up to
a sum equivalent to 25 percent of the salary of a GS-12, step 1, (RUS) Federal employee
(currently $18,649.00), per officer. Note: Task Force Officer's overtime "shall not include any
costs for benefits, such as retirement, FICA, and other expenses."
7. In no event will the VPD charge any indirect cost rate to DEA for the administration or
implementation of this agreement.
8. The VPD shall maintain on a current basis complete and accurate records and accounts of all
obligations and expenditures of funds under this agreement in accordance with generally
accepted accounting principles and instructions provided by DEA to facilitate on -site inspection
and auditing of such records and accounts.
9. The VPD shall permit and have readily available for examination and auditing by DEA, the
United States Department of Justice, the Comptroller General of the United States, and any of
their duly authorized agents and representatives, any and all records, documents, accounts,
invoices, receipts or expenditures relating to this agreement. The VPD shall maintain all such
reports and records until all audits and examinations are completed and resolved, or for a period
of three (3) years after termination of this agreement, whichever is sooner.
10. The VPD shall comply with Title VI of the Civil Rights Act of 1964, Section 504 of the
Rehabilitation Act of 1973, the Age Discrimination Act of 1975, as amended, and all
requirements imposed by or pursuant to the regulations of the United States Department of
Justice implementing those laws, 28 C.F.R. Part 42, Subparts C, F, G, H and I.
11. The VPD agrees that an authorized officer or employee will execute and return to DEA the
attached OJP Form 4061/6, Certification Regarding Lobbying; Debarment, Suspension and
Other Responsibility Matters; and Drug -Free Workplace Requirements. The VPD acknowledges
that this agreement will not take effect and no Federal funds will be awarded to the VPD by DEA
until the completed certification is received.
12. When issuing statements, press releases, requests for proposals, bid solicitations, and other
documents describing projects or programs funded in whole or in part with Federal money, the
VPD shall clearly state: (1) the percentage of the total cost of the program or project which will
be financed with Federal money and (2) the dollar amount of Federal funds for the project or
program.
13. The term of this agreement shall be effective from the date in paragraph number one until
September 30, 2020. This agreement may be terminated by either party on thirty days' advance
written notice. Billing for all outstanding obligations must be received by DEA within 90 days of
the date of termination of this agreement. DEA will be responsible only for obligations incurred
by during the term of this agreement.
For the Drug Enforcement Administration:
Date:
William D. Bodner
Special Agent in Charge
For the Vernon Police Department:
Date:
Anthony Miranda
Chief of Police
ATTACHMENTS:
(1). OJP Form 4061/6 (3-91): Certifications Regarding Lobbying; Debarment, Suspensions and
Other Responsibility Matters; and Drug Free Workplace Requirements.
(2). Roster of Local, State, or Federal Agency Personnel Assigned to the United States Drug
Enforcement, Los Angeles Field Division.
J U.S. DEPARTMENT OF JUSTICE
— OFFICE OF JUSTICE PROGRAMS
- OFFICE OF THE COMPTROLLER
CERTIFICATIONS REGARDING LOBBYING; DEBARMENT, SUSPENSION AND
OTHER RESPONSIBILITY MATTERS; AND DRUG -FREE WORKPLACE REQUIREMENTS
Applicants should refer to the regulations cited below to determine the certification to which they are required to
attest. Applicants should also review the instructions for certification included in the regulations before completing this
from. Signature of this form provides for compliance with certification requirements under 28 CFR Part 69, "New
Restrictions on Lobbying" and 28 CFR Part 67, "Government -wide Department and Suspension (Nonprocurement) and
Government -wide Requirements for Drug -Free Workplace (Grants)." The certifications shall be treated as a material
representation of fact upon reliance will be placed when the Department of Justice determines to award the
covered transaction, grant, or cooperative agreement.
1. LOBBYING
As required by Section 1352, Title 31 of the U.S. Code, and
implemented at 28 CFR Part 69, for persons. entering into a
grant or cooperative agreement over $100,000, as defined at
28 CFR Part 69, the applicant certifies that:
(a) No Federal appropriate funds have been paid or will be
paid, by or on behalf of the undersigned, to any person for in-
fluencing or attempting to influence an officer or employee of
any agency, a Member of Congress, an officer or employee of
Congress, or an employee of a Member of Congress in con-
nection with the making of any Federal grant, the entering into
of any cooperative agreement, and extension, continuation,
renewal, amendment, or modification of any Federal grant or
cooperative agreement;
(b) if any funds other than Federal appropriated funds have
been paid or will be paid to any person for Influencing or at-
tempting to influence an officer or employee of any agency, a
Member of Congress, an officer or employee of Congress, or
an employee of a Member of Congress in connection with this
Federal grant or cooperative agreement, the undersigned shall
complete and submit Standard Form - LLL, 'Disclosure of
Lobbying Activities,' in accordance with its instructions;
{c) The undersigned shall require that the language of this cer-
fification be included in the award documents for akl subawards
at all tiers (including subgrants, contracts under grants and
cooperative agreements, and subcontracts) and that all sub -
recipients shall certify and disclose accordingly.
2. DEBARMENT RESPONSIBILIW MATTERSION, AND OTHER
(DIRECT RECIPIENT)
As required by Executive Order 12549 Debarment and
Suspension, and implemented at 28 CFR Ort 67, for prospec-
tive participants in primary covered transactions, as defined at
26 CFR Part 67, Section 67.510-
A. The applicant certifies that it and its principals
(a) Are not presently debarred, suspended, proposed for debar-
ment declared ineligible sentenced to a denial of Federal
benefits by a State or Federal court, or voluntarily excluded
from covered transactions by any Federal department
or agency;
b) Have not within a three-year period preceding this applica-
ion been convicted of or had a civil judgment rendered against
them for commission of fraud or a criminal offense in connec-
tion with obtaining, attempting to obtain, or performing a
public (Federal, State, or local) transaction or contract under a
public transaction; violation of Federal or State antitrust
statutes or commission of embezzlement, theft forgery,
bribery, falsification or destruction of records, making alse
statements, or receiving stolen property;
(c) Are not presently indicted for or otherwise criminally or
civilly charged by a governmental entity (Federal, State, or
l=" with commission of any of the offenses enumerated in
paragraph (1)(b) of this Certification; and
(d) Have not within a three-year period preceding this applica-
tion had one or more public transactions (Federal, State, or
local) terminated for cause or default; and
B. Where the applicant is unable to certify to any of the
statements in this certification, he or she shall attach an
explanation to this application.
(GRANTEES OTHER T WORKPLACE
INDIVIDUALS)
As required by the Drug -Free Workplace Act of 1988, and
implemented al 28 CFR Part 67, Subpart F for grantees, as
defined at 28 CFR Part 67 Sections 67.�15 and 67.620-
A. The applicant certifies that it will or will continue to provide
a drug -free workplace by:
(a) Publishing a statement notifying employees that the
unlawful manufacture, distribution, dispensing, possession, or
use of a controlled substance is prohibited in the grantee's
workplace and specifyingq the actions that will be taken against
employees for violation oT such prohibition;
(b) Establishing an on -going drug -free awareness program to
infform employees about-
(1) The dangers of drugs abuse in the workplace;
(2) The grantee's policy of maintaining a drug -free workplace;
(3) Any available drug counseling, rehabilitation, and employee
assistance programs; and
(4) The penalties that may be imposed upon employees for
drug abuse violations occurring in the workplace;
(c) Making it a requirement that each employee to be engaged
in the performance of the grant be given a copy of the state-
ment required by paragraph (a);
(d) Notifying the employee in the statement required by
paraggraph �a) that, as a condition of employment under the
granf, the employee will-
OJP FORM 406116 (3-91) REPLACES OJP FORMS 4061/2, 406213 AND 406114 WHICH ARE OBSOLETE.
(1) Abide by the terms of the statement; and
(2) Notify the employer in writing of his or her conviction for a
violation of a criminal drug statute occurring in the workplace
no later than five calendar days after such conviction;
(e) Notifying the agency, in writing, within 10 calendar days
affffer receiving notice under subparagraph (d)(2) from an
employee or otherwise receiving actual no of such convic-
tion. Employers of convicted employees must provide notice
including position title to: Department of Justice, Office of
Justice Programs, AffN: Control Desk, 633 Indiana Avenue,
N.W., Washington, D.C. 20531. Notice shall include the iden-
tification number(s) of each affected grant;
(f) Taking one of the following actions, within 30 calendar
days of receiving notice under subparagraph (d)(2), with
respect to any employee who is so convicted-
(1) Taking appropriate personnel action against such an
employee, up to and including termination, consistent with the
requirements of the Rehabilitafion Act of 1973, as amended; or
(2) Requiring such employee to participate satisfactorily in a
drug abuse assistance or rehabilitation program approved for
suc purposes by a Federal, State, or local health, law enforce-
ment, or other appropriate agency;
fg) Making a good faith effort to continue to maintain a dru -
ree workplace through implementation of paragraphs (a), {b)l,
(c), (d), (e), and (f).
Check [ if there are workplace on file that are not identified
here.
Section 67, 630 of the regulations provides that a grantee that
is a State may elect to make one certification in each Federal
fiscal year. A copy of which should be included with each ap-
plication for Department of Justice funding, States and State
agencies may elect to use OJP Form 406117.
Check C if the State has elected to complete OJP Form
4061/7,
DRUG -FREE WORKPLACE
(GRANTEES WHO ARE INDIVIDUALS)
As required by the Drug -Free Workplace Act of 1988, and
implemented at 28 CFR art 67, Sub art F, for ggrantees, as
defined at 28 CFR Part 67; Sections 67.915 and 67.620-
A. As a condition of the grant, 1 certify that I will not engage
in the unlawful manufacture distribution, dispensing, posses-
sion, or use of a controlled substance in condition any
activity with the grant; and
B. The grantee may insert in the space provided below the B. If convinced of a criminal drug offense resulting from a
site(s) for the performance of work done in connection with violation occurring during the conduct of any grant activity, I
the specific grant: will report the. conviction, m wnlin , within 10 calendar days
of the conviction, to: Department ogf Justice, Office of Justice
Place of Performance (Street address, city, country, state, zip Programs, ATTN: Control Desk, 633 Indiana Avenue, N.W„
code) Washington, D.C. 20531.
As the duly authorized representative of the applicant, 1 hereby certify that the applicant will comply with the above certifications
1. Grantee N me and Ad ress:
Vernon �o7�ce department
4305 Santa Fe Avenue
Vernon, CA 90058
2. Application Number and/or Project Name 3. Grantee IRSNendof Number
4. Typed Name and Title of Authorized Representative
Anthony Miranda, Chief Of Police, Vernon Police Department
5. Signature
6. Date
ROSTER OF LOCAL, STATE, OR FEDERAL AGENCY PERSONNEL
ASSIGNED TO THE DEA TASK FORCE
NAME OF AGENCY; Vernon Police Department
Full Name of Officer
ATTACHMENT 2
City Council Agenda Item Report
Agenda Item No. COV-134-2020
Submitted by: Lisa Pope
Submitting Department: Fire Department
Meeting Date: April 7, 2020
SUBJECT
Authorized Agents for California Governor's Office of Emergency Services (Cal OES) Public Assistance
Grants
Recommendation:
A. Find that approval of the proposed action is exempt from the California Environmental Quality Act
(CEQA), because it is a general policy and procedure making activity that will not result in direct or
indirect physical changes in the environment, and therefore does not constitute a "project" as defined by
CEQA Guidelines section 15378; and
B. Adopt a resolution recognizing the State of California Governor's Office of Emergency Services, Form
130, for designation of authorized agents for non -state agencies.
Background:
Cal OES requires a Designation of Subrecipient's Agent Resolution for Non -State Agencies to be on file
for the purpose of obtaining certain federal financial assistance under Public Law 93-288 as amended by
the Robert T. Stafford Disaster Relief and Emergency Assistance Act of 1988, and/or state financial
assistance under the California Disaster Assistance Act. A new Designation of Applicant's Agent
Resolution for Non -State Agencies is required if the previously submitted document is older than three
(3) years from the last date of approval, or if changes are required to the name and/or title of authorized
agents. The attached resolution designates the City Administrator, Director of Finance and Deputy City
Treasurer as authorized agents for the City of Vernon.
Fiscal Impact:
If a current Designation of Subrecipient's Agent Resolution (Cal OES Form 130) is not on file with Cal
OES, the Citywill be ineligible to apply for reimbursement under any future public assistance grants
available for declared disasters. FEMA mandates current designations as a condition of qualifying for
Cal OES public assistance grants.
Attachments:
1. Resolution - Authorized Agents for Cal OES Public Assistance Grants
2. Cal OES 130 City of Vernon April 7 2020
RESOLUTION NO.
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
VERNON RECOGNIZING THE STATE OF CALIFORNIA
GOVERNOR'S OFFICE OF EMERGENCY SERVICES, FORM 130
FOR DESIGNATION OF AUTHORIZED AGENTS FOR NON -STATE
AGENCIES
WHEREAS, the City of Vernon (the "City") has applied for
Federal Emergency Management Agency ("FEMA") and State of California,
Governor's Office of Emergency Services ("Cal-OES") funding
reimbursement for the California COVID-19 Pandemic; and
WHEREAS, the State of California, Governor's Office of
Emergency Services requires that all non -State agencies have a current
Form 130 on file, and for it to be updated every three years; and
WHEREAS, the Form 130 requires the City of Vernon to
designate three individuals to serve as authorized agents to engage
with FEMA and Cal-OES regarding grant applications and reimbursement
and
WHEREAS, the City Council of the City of Vernon desires to
designate the City Administrator, Director of Finance, and Deputy City
Treasurer, as the three designated positions to serve as the
authorized agents to engage with FEMA and Cal-OES regarding grant
applications and reimbursement for, and on behalf of, the City.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE
CITY OF VERNON AS FOLLOWS:
SECTION 1: The City Council of the City of Vernon hereby
finds and determines that the above recitals are true and correct.
SECTION 2: The City Council of the City of Vernon finds
that this action is exempt from the California Environmental Quality
Act (CEQA), because it is a general policy and procedure making
activity that will not result in direct or indirect physical changes
in the environment, and therefore does not constitute a "project" as
defined by CEQA Guidelines section 15378.
SECTION 3: The City Council of the City of Vernon hereby
designates the City Administrator, Director of Finance, and Deputy
City Treasurer, as the three designated positions to serve as the
authorized agents to engage with FEMA and Cal-OES regarding grant
applications and reimbursement for, and on behalf of, the City of
Vernon.
SECTION 4: The City Council of the City of Vernon hereby
authorizes the Mayor to execute said Form 130 for, and on behalf of,
the City of Vernon and the City Clerk is hereby authorized to attest
thereto.
SECTION 5: This authorization is effective for three (3)
years from the date of its adoption.
- 2 -
SECTION 6: The City Clerk of the City of Vernon shall
certify to the passage, approval and adoption of this resolution, and
the City Clerk, of the City of Vernon shall cause this resolution and
the City Clerk's certification to be entered in the File of
Resolutions of the Council of this City.
APPROVED AND ADOPTED this 7th day of April, 2020.
ATTEST:
Lisa Pope, City Clerk
APPROVED AS TO FORM:
Zaynah Moussa,
Senior Deputy City Attorney
- 3 -
Name:
Title: Mayor / Mayor Pro-Tem
STATE OF CALIFORNIA )
) ss
COUNTY OF LOS ANGELES )
I, Lisa Pope, City Clerk of the City of Vernon, do hereby certify
that the foregoing Resolution, being Resolution No. , was duly
passed, approved and adopted by the City Council of the City of Vernon
at a regular meeting of the City Council duly held on Tuesday, April 7,
2020, and thereafter was duly signed by the Mayor or Mayor Pro-Tem of
the City of Vernon.
Executed this day of April, 2020, at Vernon, California.
(SEAL)
- 4 -
Lisa Pope, City Clerk
STATE OF CALIFORNIA
GOVERNOR'S OFFICE OF EMERGENCY SERVICES
Cal OES 130
Cal OES ID No: 037-82422
DESIGNATION OF APPLICANT'S AGENT RESOLUTION
FOR NON -STATE AGENCIES
BE IT RESOLVED BY THE City Council OF THE City of Vernon
(Governing Body) (Name of Applicant)
THAT City Administrator OR
(Title of Authorized Agent)
Director of Finance OR
(Title of Authorized Agent)
Deputy City Treasurer
(Title of Authorized Agent)
is hereby authorized to execute for and on behalf of the City of Vernon a public entity
(Name of Applicant)
established under the laws of the State of California, this application and to file it with the California Governor's Office of Emergency
Services for the purpose of obtaining certain federal financial assistance under Public Law 93-288 as amended by the Robert T. Stafford
Disaster Relief and Emergency Assistance Act of 1988, and/or state financial assistance under the California Disaster Assistance Act.
THAT the City of Vernon a public entity established under the laws of the State of California,
(Name of Applicant)
hereby authorizes its agent(s) to provide to the Governor's Office of Emergency Services for all matters pertaining to such state disaster
assistance the assurances and agreements required.
Please check the appropriate box below:
❑■ This is a universal resolution and is effective for all open and future disasters up to three (3) years following the date of approval below.
❑This is a disaster specific resolution and is effective for only disaster number(s)
Passed and approved this
I Lisa Pope
City of Vernon
of
20
Melissa Ybarra, Mayor
(Name and Title of Governing Body Representative)
Melissa Lopez, Mayor Pro-Tem
(Name and Title of Governing Body Representative)
, Council Member
(Name and Title of Governing Body Representative)
CERTIFICATION
duly appointed and
City Clerk
(Name) (Title)
(Name of Applicant)
of
do hereby certify that the above is a true and correct copy of a
Resolution passed and approved by the City Council
(Governing Body)
on the day of , 20_
(Signature)
of the City of Vernon
(Name of Applicant)
City Clerk
(Title)
Cal OES 130 (Rev.9/13) Page 1
STATE OF CALIFORNIA
GOVERNOR'S OFFICE OF EMERGENCY SERVICES
Cal OES 130 - Instructions
Cal OES Form 130 Instructions
A Designation of Applicant's Agent Resolution for Non -State Agencies is required of all Applicants to be eligible to
receive funding. A new resolution must be submitted if a previously submitted Resolution is older than three (3) years
from the last date of approval, is invalid or has not been submitted.
When completing the Cal OES Form 130, Applicants should fill in the blanks on page 1. The blanks are to be filled in as
follows:
Resolution Section:
Governing Body: This is the group responsible for appointing and approving the Authorized Agents.
Examples include: Board of Directors, City Council, Board of Supervisors, Board of Education, etc.
Name of Applicant: The public entity established under the laws of the State of California. Examples include: School
District, Office of Education, City, County or Non-profit agency that has applied for the grant, such as: City of San Diego,
Sacramento County, Burbank Unified School District, Napa County Office of Education, University Southern California.
Authorized Agent: These are the individuals that are authorized by the Governing Body to engage with the Federal Emergency
Management Agency and the Governor's Office of Emergency Services regarding grants applied for by the Applicant. There are
two ways of completing this section:
1. Titles Only: If the Governing Body so chooses, the titles of the Authorized Agents would be entered here, not
their names. This allows the document to remain valid (for 3 years) if an Authorized Agent leaves the position
and is replaced by another individual in the same title. If "Titles Only" is the chosen method, this document
must be accompanied by a cover letter naming the Authorized Agents by name and title. This cover letter can
be completed by any authorized person within the agency and does not require the Governing Body's signature.
2. Names and Titles: If the Governing Body so chooses, the names and titles of the Authorized Agents would be
listed. A new Cal OES Form 130 will be required if any of the Authorized Agents are replaced, leave the position
listed on the document or their title changes.
Governing Body Representative: These are the names and titles of the approving Board Members.
Examples include: Chairman of the Board, Director, Superintendent, etc. The names and titles cannot be one of the
designated Authorized Agents, and a minimum of two or more approving board members need to be listed.
Certification Section:
Name and Title: This is the individual that was in attendance and recorded the Resolution creation and approval.
Examples include: City Clerk, Secretary to the Board of Directors, County Clerk, etc. This person cannot be one of the
designated Authorized Agents or Approving Board Member (if a person holds two positions such as City Manager and
Secretary to the Board and the City Manager is to be listed as an Authorized Agent, then the same person holding the
Secretary position would sign the document as Secretary to the Board (not City Manager) to eliminate "Self
Certification."
Cal OES 130 (Rev.9/13) Page 2
City Council Agenda Item Report
Agenda Item No. COV-92-2020
Submitted by: Karina Rueda
Submitting Department: Human Resources
Meeting Date: April 7, 2020
SUBJECT
Agreement for Medicare Group Health Coverage
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality Act (CEQA)
review, because it is an administrative activitythat will not result in direct or indirect physical changes in
the environment, and therefore does not constitute a "project" as defined by CEQA Guidelines section
15378; and
B. Approve and authorize the City Administrator to execute the Medicare Advantage Group Agreement
between the City of Vernon and Blue Cross of California doing business as Anthem Blue Cross in
substantially the same form as submitted, for a total amount of approximately $182,150, for calendar year
2020.
Background:
Each year, with the assistance of the City's Health Benefits Brokerage and Consulting Firm, currently
Alliant Insurance Services ("Alliant"), the City reviews the insurance plans for Medicare eligible retirees
and eligible spouses. For calendar year 2020, Alliant solicited proposals from various providers to
ensure that the City was receiving competitive rates for the Medicare plans, while maintaining the
desired level of benefit coverage.
Alliant solicited proposals and rate quotations from various Medicare providers. There were two carriers
that declined to quote, two carriers submitted competitive quotes, as well as the current provider, Aetna.
All three competitive quotes came in with an increase in premiums rates. Based on the review of benefit
coverage and premium rates from the three competitive quotes received, it was recommended to
change carriers for calendar year 2020 and approve the proposal from Anthem.
The Anthem proposal results in an annual increase of premiums of 4.8%, which equates to an annual
increase of $622.27, while maintaining and/or exceeding the level of benefit coverage as compared to
our current plans. Anthem will offer two plans; the Senior Secure (HMO) Plan at a monthly premium of
$291.41 and the Anthem Medicare Preferred (PPO) Plan at a monthly premium of $418.55, with both
plans including a Prescription Drug Plan. The proposal submitted by our current carrier, Aetna, resulted
in an annual increase of premiums of 13.9%, which equates to an annual increase of $1,791.56 while
maintaining the same level of benefit coverage and the proposal submitted by The Hartford, resulted in
annual increase of premiums of 3.4%, which equates to an annual increase of $441.88, with a substantial
decrease in the level of coverage, in their PPO plan.
The Medicare Advantage Group Agreement has been reviewed and approved as to form by the City
Attorney's Office with recommendations regarding the automatic renewal language in the agreement.
Per the CityAttorney's Office, automatic renewal/"evergreen" contract provisions are generally
disallowed under VMC Sec. 2.17.30(A), unless it would be commercially unreasonable to include an end
date.
Based on the aforementioned provisions, the Human Resources Department is recommending the
approval of said Medicare Advantage Group Agreement as is. It is in the City's and its retiree's best
interest to maintain the same carrier as long as they remain competitive. The premium rates and level of
benefits will be reviewed annually with the assistance of the City's Health Benefits Brokerage and
Consulting Firm.
Fiscal Impact:
The approximate annual premium for the Medicare Advantage Group Agreement as proposed by
Anthem is approximately $162,059.88, based on the 2019 enrollment. This amount will vary slightly
based on the enrollment of Medicare eligible retirees and their eligible spouses in 2020. The total annual
premium is offset by retiree contributions, which is estimated to be approximately $62,554.08. Adequate
funds have been included in the 2019-2020 fiscal year budget approved by City Council and will be
requested for the 2020-2021 fiscal year budget.
Attachments:
Medicare Advantage Group Agreement
2020 Medicare Marketing Presentation
Medicare Advantage Group Agreement
This Medicare Advantage Group Agreement (hereinafter "Agreement") is entered into as of January 1, 2020
(hereinafter "Effective Date") by and between the City of Vernon (hereinafter "Group"), located at 4305 S.
Santa Fe Avenue, Vernon, CA 90058 and Blue Cross of California doing business as Anthem Blue Cross,
sponsor of the Senior Secure (HMO) Plan, and Anthem Insurance Companies, Inc. doing business as
Anthem BC Health Insurance Company, sponsor of the Anthem Medicare Preferred (PPO) Plan. Blue Cross
of California and Anthem Insurance Companies, Inc. are sometimes collectively referred to herein as
"Anthem" with regard to the Medicare Advantage with Prescription Drug Plan (hereinafter "MAPD Plan"),
upon the following terms and conditions.
ARTICLE 1 - PURPOSE
Group has requested Anthem to provide health insurance coverage to its eligible retirees and other eligible
individuals as described in this Agreement. Upon Anthem's receipt and acceptance of Group's signed
application and payment of the first premium, this Agreement will be deemed executed by Group and shall
be effective in accordance with its terms. This Agreement supersedes any prior agreements between the
Parties regarding the subject matter of this Agreement. Anthem's standard Policies, as they may be
amended from time to time, will be used in the performance of services specified in this Agreement and
the provision of benefits described in the Evidence of Coverage.
ARTICLE 2 - DEFINITIONS
In this Agreement, the following terms will have the meanings set forth below. Capitalized terms used in
this Agreement that are not defined below are defined in the Evidence of Coverage.
AGREEMENT. The following documents will constitute the entire Agreement between the parties: this
Agreement, and any addenda, endorsements, and schedules which are hereby incorporated by reference;
the Evidence of Coverage and any riders thereto; the Group application; the individual Applications and any
reclassifications thereof submitted by Members of the Group; and applicable Anthem Policies.
AGREEMENT PERIOD. The 12-month period beginning on the Effective Date, and consecutive 12-month
periods thereafter until the Agreement is terminated pursuant to the termination provisions herein.
APPLICATION. Any mutually agreed upon enrollment mechanism, including, without limitation, paper
applications provided by Members or Group and spreadsheets or electronic enrollment files.
CMS. Centers for Medicare & Medicaid Services, a federal agency within the United States Department of
Health and Human Services.
COVERED SERVICE. Any hospital, medical, prescription or other health care service rendered to Members
for which benefits are provided pursuant to the Evidence of Coverage.
CREDITABLE COVERAGE. Coverage is creditable if the actuarial value of the coverage equals or
exceeds the actuarial value of standard Medicare prescription drug coverage, as demonstrated through
the use of generally accepted actuarial principles and in accordance with CMS actuarial guidelines.
EFFECTIVE DATE. This Agreement shall be effective at 12:01 a.m. on January 1, 2020, and shall continue
in full force and effect thereafter until terminated as provided herein. The Anniversary Date of this Agreement
shall be as set forth in the attached Addendum A. All periods of time under this Agreement will begin and end
at 12:01 A.M. local time at the Group's address.
EVIDENCE OF COVERAGE. The Evidence of Coverage provided to Members and any endorsements or
riders thereto which defines those covered services and benefits available to Members under this
Agreement. The Evidence of Coverage also defines the rights and responsibilities of the Member and the
MAPD Plan.
MEMBER. A person with Medicare who is eligible to get covered services, who has enrolled in the MAPD
plan and whose enrollment has been confirmed by CMS.
Anthem 1 June 2019
POLICIES. Anthem underwriting assumptions, and administrative practices and procedures applicable to the
MAPD Plan, as adopted and revised from time to time.
PRESCRIPTION DRUG COVERAGE. Prescription drug benefits offered through MAPD Plan that provide
Medicare Part D Prescription Drug Coverage, which helps pay for certain outpatient prescription drugs,
vaccines, biologicals, and some supplies not covered by Medicare Part A or Part B, combined with non -
Medicare prescription drug coverage that supplements the Part D coverage.
ARTICLE 3 - ELIGIBILITY AND ENROLLMENT
3.A Eli ibilit . Individuals eligible to be covered under this Agreement shall be as specified in this
Agreement, the Evidence of Coverage and Anthem Policies.
3.13 Initial Enrollment of Members. Those individuals initially enrolled shall be eligible individuals for whom
an Application shall have been timely filed for enrollment for themselves and any eligible dependents
and who have satisfied Anthem's Policies. Upon acceptance of such Application by Anthem and
CMS, or acceptance following modification thereof, and payment of the applicable premiums, such
individuals shall become enrolled under this Agreement for the type of coverage elected in such
Application on the Effective Date.
3.0 Addition of New, Transferred and Newly Eligible Members. The Group or its designee shall have the
opportunity to submit Applications to add new, transferred and newly eligible individuals to the group
of Members initially enrolled under this Agreement. However, before qualifying for enrollment, the
new, transferred or newly eligible individual must meet all of the applicable eligibility requirements as
set forth in this Agreement, and any subsequent modifications thereto. Addition of the Members shall
be made in accordance with the following procedures:
1. The effective date of coverage for any such additional Member whose Application is accepted by
Anthem shall be in accordance with Anthem's Policies, the Evidence of Coverage, and CMS
regulations in effect at the time the Member's Application is approved.
2. Applications may be submitted to Anthem by eligible individuals who are enrolled in another
benefit plan or alternate delivery system offered by the Group.
3. Individuals transferred or residing within the MAPD Plan's Service Area may apply to enroll for
benefits under this Agreement.
3.D Commencement of Coverage. Coverage hereunder for Members enrolled on or before the Effective
Date of this Agreement shall commence as of such Effective Date, subject to the provisions of the
Evidence of Coverage. Thereafter, coverage for any eligible individual for whom a timely Application
for enrollment has been filed shall begin on the date determined in accordance with Anthem Policies
and CMS requirements.
3.E Eligibility Notice and Other Reports. The Group or its designee shall furnish to Anthem initial
information regarding eligible individuals and/or Members and shall thereafter furnish with such
frequency as the Parties agree notices of additions, deletions, and changes to this listing on or prior to
the billing date. The Group or its designee shall keep such records and furnish to Anthem such
notification and other information as may be required by Anthem for the purpose of enrolling
Members, processing terminations, effecting changes in this Agreement, effecting changes due to an
individual becoming eligible for Medicare, effecting changes due to a Member becoming disabled,
determining the amount payable by the Group under this Agreement, or for any other purpose
reasonably related to the administration of this Agreement.
Anthem reserves the right to limit retroactive changes to enrollment, per CMS guidance. Acceptance
of payments from the Group or the payment of benefits to persons no longer eligible will not obligate
Anthem to provide or continue to provide benefits for such persons.
35 Termination of Coverage. A Member who is determined by the Group or its designee to be ineligible
for benefits shall be reported on the eligibility notice as a deletion from the listing of Members. Upon
Anthem 2 June 2019
the Group's or its designee's direction to Anthem, the coverage of such Member shall terminate after
providing notice to such Member in accordance with Anthem Policies, the Evidence of Coverage and
CMS requirements.
The Group or its designee shall give Anthem reasonable advance notice of any Member terminations
in order to enable Anthem to remove the Member from its list of Members.
Retroactive disenrollment must be submitted to Anthem, so that Anthem can submit the retroactive
disenrollment request to CMS. The Group or its designee shall be responsible for providing
Anthem with applicable data or information required to substantiate Anthem's request to CMS for
retroactive disenrollment.
If Anthem verifies a Member's eligibility according to the membership information which the Group
or its designee provides, the Group will indemnify and hold Anthem harmless for any losses or
damages arising from Anthem's erroneous verification of eligibility because of the Group's or its
designee's failure to provide timely, accurate and complete eligibility information in a manner and
format acceptable to Anthem.
ARTICLE 4 - OBLIGATIONS OF ANTHEM
4.A Anthem shall provide health care benefits to Members who receive Covered Services under the terms
of this Agreement and the Evidence of Coverage. However, in no event will Anthem provide benefits
for services rendered prior to the Effective Date or after the termination of this Agreement or for any
period for which full premium payment has not been paid to Anthem, except as provided in the
Evidence of Coverage and applicable CMS requirements.
4.13 Anthem shall furnish or make available an identification card, Evidence of Coverage and all other
CMS -required documents for each Member enrolled in the applicable plan(s) covered by this
Agreement.
4.0 Anthem shall furnish appropriate Application forms and related material necessary and appropriate for
the enrollment of Members and shall provide such assistance to the Group or its designee as may
reasonably be necessary for enrollment purposes. Anthem shall maintain current eligibility status
records on all Members as submitted by the Group or its designee for the adjudication of claims.
4.D Anthem shall send a Creditable Coverage attestation form to applicable Members, based on CMS
guidelines regarding the administration of the Late Enrollment Penalty.
4.E If a Member is assessed a Late Enrollment Penalty by CMS as a result of a lapse or other gap in
Creditable Coverage, the Group may pay any Late Enrollment Penalty on behalf of its membership.
If the Group chooses not to pay any Late Enrollment Penalty, Anthem will bill the Member directly
for any late Enrollment Penalty assessed by CMS.
4.F Per CMS requirements, members may receive a communication regarding the impact of enrolling
in or remaining in the Group MAPD Plan versus enrolling in an individual Plan with lower
prescription drug premiums, as further discussed in the Evidence of Coverage.
4.G Anthem is responsible for pursuing recoveries of claim payments as appropriate and as required
by law. Anthem shall determine which recoveries it will pursue. However, Anthem may not pursue a
recovery if the cost of collection is likely to exceed the recovery amount, or if the recovery is
prohibited by law or an agreement with a Provider or other vendor.
4.H Anthem will process claims, including investigating and reviewing the claims to determine what
amount, if any, is due and payable according to the terms and conditions of this Agreement and the
Evidence of Coverage. Anthem has the right to make benefit payments to either Providers or
Members as described in the Evidence of Coverage. Anthem will coordinate benefits with other
payors as required by law. Anthem will give notice in writing to the Member when a claim for
Anthem 3 June 2019
benefits has been denied. The notice will provide the reasons for the denial and the right to an
appeal of the denial in accordance with the procedures set forth in the Evidence of Coverage.
4.1 Either Party may subcontract any of its duties under this Agreement without the prior written
consent of other Party; provided, however, that the Party subcontracting such duties shall remain
responsible for fulfilling its obligations under this Agreement.
ARTICLE 5 - OBLIGATIONS OF GROUP
5.A The Group or its designee shall timely provide Anthem with any information as may reasonably be
required by Anthem for the purposes of determining eligibility for coverage, enrolling and disenrolling
Members, determining the amount of premium payable by the Group or any other purpose reasonably
related to the administration of this Agreement. The Group or its designee will give notification of
eligibility to each Member who is or will become eligible for enrollment, and will collect and submit to
Anthem an Application for each Member desiring to enroll.
5.13 The Group or its designee will promptly forward to Anthem all Applications, notices or other writings
delivered to the Group or its designee from individuals applying for coverage or from Members
pursuant to this Agreement.
5.0 The Group or its designee will timely distribute to Members any notices or information relating to this
Agreement that may be addressed or directed to the Members enrolled under this Agreement,
including but not limited to, notices of premium changes and termination of this Agreement. When
applicable, the Group or its designee will also timely distribute to Members the identification cards and
Evidence of Coverage. Group or its designee shall comply with all applicable laws and regulations
relating to the distribution of notices and information to Members, including, if applicable, the
Department of Health and Human Services regulations under Section 1557 of the Affordable Care
Act.
5.D Group hereby acknowledges, agrees and certifies its compliance with the following requirements
as they relate to Group's MAPD Plan(s).
5.D.1 Premium — Group hereby agrees and certifies, as to waiver premium, if any, that:
(i) Different amounts can be subsidized for different classes of Members in an MAPD
Plan, provided such classes are reasonable and based upon objective business criteria
(i.e., years of service, business location, job category, nature of compensation).
Accordingly, Group hereby certifies that such classes (if any) are reasonable and
based upon objective business criteria.
(ii) The premium within a given class does not vary by Member, and
(iii) Members are not charged more than the premium an individual would pay if they
purchased the applicable MAPD Plan individually (i.e., Members are not charged more
than 100% of the premium for the standard coverage plus any supplemental coverage
added by the group; thereby, passing along to the Member the CMS subsidy payment).
5.D.2 Low Income Subsidy — Group hereby agrees and certifies, as to Members who are subsidy
eligible Individual pursuant to, but not limited to, 42 C.F.R. 423.773, that:
(i) The monthly premium subsidy amount for a Member eligible for the low-income
subsidy will be first used to reduce the Member's portion of the monthly premium, and
any remaining amount will be used to reduce Group's premium contribution. If the
Group pays 100% of the premium, the Group may retain the full subsidy.
It is the Group's responsibility to reimburse or refund Members who are subsidy eligible
individuals any premium credit resulting from the Low Income Subsidy, if applicable in
accordance with paragraph (i) above. Group agrees and certifies that any such credit owed to
eligible Members shall be returned within forty-five (45) days of discovering the Member
premium credit or notice from Anthem (whichever occurs first).
Anthem 4 June 2019
ARTICLE 6 — PREMIUM AND GRACE PERIOD
6.A The premium rates for coverage under this Agreement are provided in Addendum A. Premium
rates are based on the data provided by Group, consistent with applicable laws.
6.13 The full amount due, including premium, taxes, fees or assessments, must be paid in advance by
Group on or before the due date. Anthem does not have an obligation to accept a partial payment.
Group must make payments regardless of any contributions to those payments by Members.
6.0 The full amount due, including premium, taxes, fees or assessments, is due and payable on the
1st of the month. Group is entitled to a 30-day period (the "Grace Period"), for the payment of any
premium or other amounts due. The payment amount must equal the "TOTAL DUE" amount
shown on the billing statement, less any payment previously remitted but not reflected on the
current billing statement. Once the Group exceeds its Grace Period and enters into a delinquency
process it must pay 100% of the "TOTAL DUE" to avoid termination.
ARTICLE 7 - NOTICES
7.A Any required notice under this Agreement will be deemed sufficient when made in writing and
delivered by first class mail; personal delivery; electronic mail, as permitted by law, or overnight
delivery with confirmation capability. Such notice will be deemed to have been given as of the date
of the mailing. Anthem will provide notice to Group's principal place of business as shown on
Anthem's records. Group will provide notice to its designated Anthem MAPD Representative.
7.13 The Group or its designee shall act as the agent of Members to receive all notices and shall notify the
Members affected by such notices. It shall also be the responsibility of the Group or its designee to
notify all Members of the termination of the Agreement. In the case of either changes in or termination
of the Agreement, notice by Anthem to the Group shall be deemed to constitute notice to all Members
in order to effectuate any change in or termination of the Agreement or coverage under the Evidence
of Coverage; however, Anthem reserves the right to provide such notice if it deems it appropriate.
ARTICLE 8 - CHANGES IN THE AGREEMENT
&A Anthem may modify the benefit provisions and the terms and conditions thereof, by giving at least
sixty (60) days' advance written notice prior to the Anniversary Date of this Agreement; however,
such notice requirement shall not apply to changes in benefit provisions that are required by law.
Group can also propose changes to the benefit provisions at any time by giving at least sixty (60)
days' advance written notice of any such requested change to Anthem. The effective date of such
requested changes shall be agreed to by the Parties in writing. In addition, Anthem may modify the
terms of this Agreement by giving at least sixty (60) days' advance written notice to Group of such
changes.
8.13 Anthem may change the premium rates or other amounts due under the Agreement by providing
written notice to the Group at least sixty (60) days before the effective date of such change;
however, such notice requirement shall not apply to changes in premium rates which are the
results of changes in benefits provisions that are required by CMS or federal law, nor to changes in
premium rates that are the result of changes in benefit provisions requested by Group and agreed
to by Anthem in writing.
8.0 An amendment to this Agreement will not be effective unless in writing and signed by an authorized
representative of Anthem and Group, except as otherwise provided in this Section 8.C. If any change
to the Agreement or the benefits, including premium amounts, is unacceptable to Group, Group has
the right to terminate coverage under this Agreement by giving written notice of termination to Anthem
before the effective date of the change. Payment of the new amount in the event of a premium rate
change, or continued payment of the current amounts in the event of an Agreement or benefit change
only, will constitute acceptance of the change by Group, without the necessity of securing Group's
signature on the schedule or amendment. The schedule or amendment will then become a part of
this Agreement.
Anthem 5 June 2019
ARTICLE 9 - TERMINATION AND/OR SUSPENSION OF PERFORMANCE
9.A Group may terminate this Agreement at any time by giving Anthem at least sixty (60) days'
advance written notice of termination. Group must pay the amounts due for each Member covered
through the effective date of termination of this Agreement. Unless Group provides timely advance
notice of termination, this Agreement will automatically renew on each Anniversary Date, upon
Group's payment and Anthem's acceptance of premium.
9.13 Notwithstanding any other provision of this Article, if the Group fails to make in full any payment when
due under this Agreement within the allowable time frame specified in Article 6 hereof, Anthem shall
have the right, in its sole discretion, to terminate this Agreement, with written notice. Notwithstanding
such termination or suspension, Anthem, in its sole discretion, may accept late payment of delinquent
amounts along with written request to reinstate and, upon acceptance, this Agreement may be
reinstated effective retroactively to the last date for which full premium payment was made. Any such
acceptance of a delinquent payment by Anthem shall not be deemed a waiver of this provision for
termination of this Agreement in the event of any future failure of the Group to make timely payment
of any amounts due under this Agreement. Delivery of payment to Anthem or Anthem's receipt and
negotiation of a tendered payment through its automatic deposit procedures shall not be deemed
acceptance or a waiver of such termination. Upon termination of the Agreement as provided in this
paragraph, Anthem shall only have liability to make payment for Covered Services through the last
date for which full premium payment has been paid by the Group.
9.0 Notwithstanding any other provision of this Agreement, if the Group, or its designee, if any, engages in
fraudulent conduct, misrepresentation, or non-compliance with contribution or participation
requirements, Anthem shall have the right to rescind, cancel, or terminate this Agreement. The Group
shall be liable to Anthem for any and all payments made and losses or damages sustained by
Anthem arising as a result of such Group or its designee's, if any, conduct. In the event the Group has
failed to comply with Anthem's contribution or participation requirements, Anthem may terminate this
Agreement upon thirty (30) days' advance written notice. In the event the Group, or its designee, if
any, has engaged in fraudulent conduct or misrepresentation, Anthem may terminate this Agreement
immediately, subject to CMS guidelines.
9.D In the event Anthem decides, in its sole discretion to discontinue offering a particular Medicare
Advantage and/or prescription drug product, Anthem has the right to terminate such product as
permitted by applicable law, by giving written notice of termination to Group at least ninety (90) days
before the effective date of termination of the discontinued product
9.E In addition to the provisions of the foregoing paragraphs of this Article 9, upon termination of this
Agreement, Anthem shall cease to have any liability for benefits or claims incurred after the effective
date of termination (except as may be otherwise provided in the Evidence of Coverage) and shall
have no liability to offer continuation or conversion coverage to Members under the terminated
Agreement.
ARTICLE 10 - CLAIMS PAID AFTER EFFECTIVE DATE OF TERMINATION
In the event that (1) the Group terminates this Agreement without giving appropriate notice to Anthem as
provided herein (2) the Agreement is terminated pursuant to Article 9.13 or 9.0 hereof or (3) a Member is no
longer eligible for coverage and has been terminated from the coverage, and, after the effective date of
termination, Anthem (or its subcontracted vendors) makes payment of any claims which would otherwise
have been payable under the terms of this Agreement but for the fact that the claims were incurred after the
effective date of termination, the Group shall be liable to reimburse Anthem for all unrecovered claim
amounts paid.
ARTICLE 11 -TERMINATION OF COVERED PERSONS
Anthem reserves the right to cancel or rescind any health care benefits provided hereunder to any Member
who engages in misrepresentation and/or fraudulent conduct, as determined by Anthem, in relation to any
Anthem 6 June 2019
claims made for coverage or any Application for coverage under this Agreement. In addition, Anthem
reserves the right to cancel or terminate coverage provided hereunder to any Member in accordance with
cancellation and termination provisions in the Evidence of Coverage.
ARTICLE 12 - DATA REPORTS
In the event the Group requests from Anthem information records or data reports (and if Anthem, in its sole
discretion, agrees to provide such reports) which, in Anthem's opinion, differ substantially in substance or
form from information records or data reports prepared by Anthem in the ordinary course of business,
Anthem shall be entitled to fix a reasonable charge for provision of such reports and such charge shall be
payable at a mutually agreeable time.
ARTICLE 13 - LIMITATION ON ACTIONS
No action at law or in equity shall be brought to recover for any claims for any services covered under this
Agreement unless such action is commenced no earlier than sixty (60) days and not later than three (3)
years after the date of the giving of the required notice or furnishing the required proof.
ARTICLE 14 - NO WAIVER
No failure or delay by either Party to exercise any right or to enforce any obligation under this Agreement
in whole or in part, will operate as a waiver to enforce compliance with such right or obligation in the
future. No course of dealing between Group and Anthem will operate as a waiver of any right or obligation
under this Agreement.
ARTICLE 15 - ASSIGNMENT
Neither Party may assign all or part of this Agreement without first obtaining the written consent of the other
Party. However, subject to applicable laws, Anthem may assign all or part of its duties and obligations to: (1)
another qualified insurance carrier under an assumption reinsurance arrangement; (2) any affiliate or
successor in interest of Anthem; or, (3) another qualified insurance carrier surviving a merger, reorganization,
sale, or similar event involving Anthem or Anthem's assets. Any assignee under this Agreement must
continue to fulfill all Agreement obligations of the party assigning this Agreement.
ARTICLE 16 - SERVICE MARKS
This Agreement constitutes a contract solely between Group and Anthem. Anthem is an independent
corporation operating under a license with the Blue Cross and Blue Shield Association ("Association"), an
association of independent Blue Cross and Blue Shield Plans, permitting Anthem to use the Blue Cross
and/or Blue Shield Service Marks in the State of California. Anthem is not contracting as the agent of the
Association. Group has not entered into this Agreement based upon representations by any person other
than Anthem. No person, entity, or organization other than Anthem will be held accountable or liable to Group
for any of Anthem's obligations provided under this Agreement. This paragraph will not create any additional
obligations on the part of Anthem, other than those obligations contained in this Agreement.
ARTICLE 17 — INTERPLAN/MEDICARE ADVANTAGE PROGRAM
17.A Out -of -Area Services — Medicare Advantage. Anthem has relationships with other Blue Cross
and/or Blue Shield Licensees ("Host Blues") referred to generally as the "Inter -Plan Medicare
Advantage Program." This Program operates under rules and procedures issued by the Blue Cross
Blue Shield Association ("Association"). When Members access healthcare services outside the
geographic area MAPD Plan serves, the claim for those services will be processed through the
Inter -Plan Medicare Advantage Program. The Inter -Plan Medicare Advantage Program available to
Members under this Agreement is described generally below.
17.13 Member Liability Calculation. When a Member receives Covered Services outside of the MAPD
Plan service area from a Medicare Advantage PPO network provider, the cost of the service, on
which Member liability (copayment/coinsurance) is based will be either:
• The Medicare allowable amount for covered services; or
Anthem 7 June 2019
The amount either Anthem negotiates with the provider or the Host Blue negotiates with its
provider on behalf of MAPD Plan Members, if applicable. The amount negotiated may be
either higher than, lower than, or equal to the Medicare allowable amount.
17.0 Nonparticipating Healthcare Providers Outside of MAPD Plan Service Area. When Covered
Services are provided outside of the MAPD Plan service area by nonparticipating healthcare
providers, the amount(s) a Member pays for such services will be based on either the payment
arrangements described above, for Medicare Advantage PPO network providers, Medicare's
limiting charge where applicable or the provider's billed charge. Payments for out -of -network
emergency services will be governed by applicable federal and state law.
ARTICLE 18 - AGREEMENT ADMINISTRATION
18.A Anthem has the discretionary authority to construe the Agreement and any disputed or doubtful
terms of the Agreement, and to determine eligibility for benefits under the Agreement. Anthem also
has the discretionary authority to resolve all questions arising under the Evidence of Coverage and
to establish and amend the policies and procedures with regard to the administration of benefits
under the Evidence of Coverage. In addition, Anthem has all powers necessary or appropriate to
carry out its duties in connection with the performance of services under this Agreement. Anthem's
authority to determine eligibility for benefits shall be exercised consistently with the provisions of
the Agreement, the Evidence of Coverage, Provider agreements and applicable law.
18.13 Anthem may waive or modify any referral, authorization, or certification requirements, benefit limits, or
other processes contained in the Evidence of Coverage if such waiver is in the best interest of the
Member or will facilitate effective and efficient claims administration.
18.0 Anthem may institute, from time to time, pilot or test programs regarding disease management,
utilization management, case management and/or wellness initiatives. A pilot or test program may
impact some, but not all Members. Anthem reserves the right to discontinue a pilot or test program at
any time without notice.
18.D Anthem will have sole responsibility for resolving appeals from claim decisions, consistent with
applicable law. If Group receives a question or complaint regarding benefits under this Agreement,
Group will advise the Member to contact Anthem.
18.E All statements made by Group and any Member will be considered representations and not
warranties.
ARTICLE 19 - RELATIONSHIP OF THE PARTIES
Group and Anthem are separate legal entities. Nothing in this Agreement will cause either Party to be
deemed a partner, agent or representatives of the other Party. Neither Party will have the expressed or
implied right or authority to assume or create any obligation on behalf of the other Party.
ARTICLE 20 — HEALTH INSURANCE PORTABILITY AND ACCOUNTABILITY ACT
20.A All capitalized terms used in this Article have the same meaning as defined in the Health Insurance
Portability and Accountability Act of 1996 ("HIPAX).
20.13 Anthem may disclose Summary Health Information to Group for purposes of obtaining premium
bids from other carriers or third party payers, or amending or terminating the Plan.
20.0 Anthem may disclose Protected Health Information ("PHI") to Group for it to carry out Plan
administration functions, but such disclosure may occur only after receipt of written certification
from Group that: (1) Group's Plan documents and operations comply with the privacy requirements
of HIPAA; (2) Group has provided notice to affected individuals as required by HIPAA; and (3) PHI
Anthem 8 June 2019
will not be used for the purpose of employment -related actions or other actions not related to
administration of benefits under the Plan or permitted by law.
20.D Anthem will comply with any additional disclosure restrictions required by state and federal law.
ARTICLE 21 - MISCELLANEOUS
21.A Anthem hereby informs the Group that Anthem or its vendors may have reimbursement contracts
with certain providers for the provision of and payment for health care services and supplies
provided to, among others, Members under this Agreement. Under some of these contracts, there
may be settlements which require Anthem to pay the providers or vendors additional money (which
may or may not be solely funded by Anthem) or which require the providers or vendors to return a
portion of volume discounts, rebates, or excess money paid. Such providers or vendors may
include entities affiliated with Anthem. Under many provider or vendor contracts, the negotiated
reimbursement does not contemplate any type of settlement between Anthem and the provider or
vendor. Group has no responsibility for additional payment to vendors nor any right to discounts,
rebates, or excess money received from vendors.
21.13 All Members enrolled under this Agreement shall have only the rights and benefits, and shall be
subject to the terms and conditions, set forth herein and in the Evidence of Coverage.
21.0 Anthem agrees to treat all proprietary information about Group's operations and its Plan in a
confidential manner. Group agrees to treat all information about Anthem's business operations,
discount information, and other proprietary data or information in a confidential manner. Neither
Party will disclose any such information to any other person without the prior written consent of the
Party to whom the information pertains. However, Anthem may disclose such information to its
regulators, legal advisors, lenders, business advisors, and other third parties for commercial or
research purposes. Anthem may also make such disclosures as required or appropriate under
applicable securities laws. If a Party is required by law to make a disclosure of any proprietary
information, the disclosing Party will immediately provide written notice to the other Party detailing
the circumstances of and extent of the disclosure.
21.D The parties acknowledge that Anthem is not engaged in the practice of medicine; it merely makes
decisions regarding the coverage of services. Providers participating in MAPD Plan's networks are
not restricted from exercising independent medical judgment regarding the treatment of their
patients, regardless of Anthem's coverage determinations.
21.E Neither party shall be deemed to be in violation of this Agreement if such party is prevented from
performing any of its obligations hereunder for any reason beyond its reasonable control, including
without limitation, acts of God, acts of any public enemy, acts of terrorists, acts of war, floods,
statutory or other laws, regulations, rules, or orders of the federal, state, or local government or any
agency thereof.
21.F Group agrees and understands that the Agreement is the controlling document for all legal
purposes. The terms of the Agreement may not be altered or changed without the advance written
agreement of Anthem.
21.G Reference is made to the provisions of 42 C.F.R. §422.402, as supplemented by Chapter 10 of the
Medicare Managed Care Manual, regarding federal preemption of state laws with respect to
Medicare Advantage plans, including Employer Group Waiver Plans, offered by Medicare
Advantage organizations. Such plans are required to abide by all applicable federal laws,
regulations and CMS or other federal agency rules, guidance or other requirements promulgated
with respect to such plans (collectively, "Medicare Laws"). Any obligations of Anthem in any
agreement to which this Medicare Advantage Group Agreement is attached or made a part of to
comply with or based upon the requirements of state or local law, regulations or guidance,
including, without limitation, regulations or guidance issued by state or local governmental
Anthem 9 June 2019
agencies, shall not be binding on the MAPD Plan, which shall comply with applicable Medicare
Laws in all aspects of MAPD Plan governance and operations.
21.1-1 This Agreement supersedes any and all prior agreements between the Parties, whether written or
oral, and other documents, if any, addressing the subject matter of this Agreement.
21.1 If any provision of this Agreement is found to be invalid, illegal or unenforceable under applicable
law, order, judgment or settlement, such provision will be excluded from the Agreement and the
remainder of this Agreement will be enforceable and interpreted as if such provision is excluded.
21.J By the payment of appropriate premiums, Group accepts the terms and conditions of this
Agreement, retroactive to the Effective Date, without necessity of Group's signature.
21.K Any applicable addenda attached to this Agreement are hereby incorporated into this Agreement
by reference.
IN WITNESS WHEREOF, the parties have caused this Agreement to be executed in duplicate by affixing the
signatures of duly authorized officers.
City of Vernon
OF
Title
Date
Blue Cross of California doing business as
Anthem Blue Cross (sponsor of the Senior
Secure HMO Plan) and Anthem Insurance
Companies, Inc. doing business as Anthem BC
Health Insurance Company (sponsor of the
Anthem Medicare Preferred PPO), Medicare
Advantage with Prescription Drug Plan
By
Title
Date
By
Title
Date
Anthem 10 June 2019
FOGS a'iT[11i7G1
Featured Plans and Rates - MAPD Amthem.s&
City of Vernon Eluecmm
Effective: January 01, 2020 through December 31, 2020
Medical Plan LPPO i • High, no deductible •
Pharmacy Plan i i :.sic ECDMLP 5/2i i Basic ECDMLP
Standard Standard
Members Monthly billed PMPM rates Members Monthly billed PMPM rates
• 39 $202.65 39 $75.51
$215.90 $215.90
Total$418.55 $291.41
Total$16,323 $11,365
• . $195,881 $136,380
Plan(s) Selected:
Authorized Signature:
Title:
Date:
T.C. 10/15/2019 1.
Rates and benefits may need to be revised based on legislative, regulatory or other changes including, but not limited to, CMS guidance which becomes effective during the quoted
product years. Plan limits and formularies are approved by CMS on an annual basis and can change in January each year. Also, all Part D plan changes, such as deductibles, copays,
Part D and non -Part D drug coverage, may only be implemented in January of each year.
o This quote assumes co -branding (plan sponsor name and/ or logo is allowed on member materials including Medicare Advantage plan quality and health programs).
o ACA Insurer Fees are included in the quoted premium.
o Participants have Medicare Parts A and B.
o Eligibility for coverage for subscribers or their dependents is based on the subscriber meeting their employer's requirements for coverage of retiree medical benefits.
o Contracted rates are on a Per -Member -Per -Month (PMPM) basis. Each individual will receive the same equal rate; a two member contract would receive twice the rate; a three member contract
would receive triple the rate.
o The employer will contribute 100% towards the premium. If the contribution strategy does change, Anthem must be notified and reserves the right to re-evaluate its underwriting position. If more
than one plan is offered to members, then City of Vernon shall offer Anthem plan coverage to all eligible Members at terms and contribution levels that are no less favorable than those applicable to any
other health coverage available through City of Vernon.
o This plan may be limited in some states to employers that qualify as a large group within that state. The large group definition varies by state.
o The pricing census included a total of 39 retired members, including 1 Medicare eligible, pre-65 retired members. If the enrolled membership differs from the pricing census by more than 10% we
reserve the right to review and change the pricing if necessary.
o Broker Commissions are excluded.
o This quote assumes Anthem will be the exclusive post-65 retiree offering. Furthermore, the quote assumes that Anthem will offer a single plan design. Any additional plan selections will be subject
to underwriting consideration.
o The employer's eligibility policy does not allow for retirees to enroll in an employer sponsored medical plan if the retiree has previously declined coverage.
o A minimum of 90-day implementation is required.
o Anthem may retroactively modify the premium rates if the data provided is inaccurate or new data is submitted that varies from the data previously provided to Anthem by group or its representative.
o This quote is contingent upon the majority of the enrolled membership residing in an adequate network service area. The service area and plan design are subject to CMS approval.
o Medical and prescription drug plans must be sold as a package.
o Pharmacy benefits are based on a two plan benefit structure: an EGWP plan that covers the standard Part D benefit plan as defined by CMS and the Senior Rx Plus plan that provides
the additional drug coverage.
T.C. 10/15/2019 2.
2020 Medicare Marketing
Presentation
October 3, 2019
City of Vernon
Alliant
Pat Moore, Vice President
Kim Hauk, Account Executive
Bridgette Rodriguez, Account Associate
Agenda
■ Medicare Marketing
■ Marketing Results
■ Plan Design Comparison
■ Rate Comparison
■ Exhibits
Disclosure
2020 Medicare Marketing
MEDICARE
■ The Aetna Medicare plan's are averaging a 13.9% increase in rates for
renewal
■ Aetna states renewal is due to Health Insurer Fee which will return in 2020
■ Marketing has been done to secure quotes for similar Medicare plans
3
Marketing List
Carrier
AM Best
Rating
Product(s)
Response
Aetna
A
HMO, PPO
Incumbent
Anthem
A
HMO, PPO
Quoted: Competitive
Blue Shield
A
N/A
Declined to Quote: Not Competitive
Retiree First
Not Rated
N/A
Declined to Quote: Not Competitive
The Hartford
B++
Medicare Supplement
Quoted: Competitive
11
Marketing Results
Line of Coverage Current Renewal % 0 Anthem % 0 Hartford
Option 1 Option 2 % 0
TOTAL ANNUAL PREMIUM
ANNUAL DOLLAR CHANGE
ANNUAL PERCENTAGE CHANGE
$12,883 1 $14,674 1 $13,505 $13,325
$1,792
$622
$442
13.9%
4.8%
3.4%
Medical Plan Benefits
Calendar Year Deductible
Annual Out -of -Pocket Maximum
Physician Office Visit
Specialist Copay
Preventive Care
Lab and X-Ray
CT, MRI, PET scans
Other lab and x-ray tests
Hospitalization
Inpatient
Outpatient
Emergency Room
Urgent Care Services
Durable Medical Equipment
Chiropractic Care
PRESCRIPTION DRUGS
Brand Name Deductible
Part D True Out -of -Pocket Amount
Retail - 30 day supply
Mail Order - up to 90 day supply
Plan Design Review - HMO
Aetna
Current / Renewal
P01 HMO Rx 1211
None
$6,700
$5 Copay
$15 Copay
No Charge
$15 Copay
$15 Copay
No Charge
No Charge
$50 Copay
(copay waived if admitted
$25 Copay
No Charge
$15 Copay
Tier 1 / Tier 2 / Tier 3
None
$6,350
$5 / $30 / $60
$10/$60/$120
..
Option
Option
HMO Plan 5 with Rx 5/20/50
Premium Plus with Rx Plan 2
None
None
$3,000
None
$5 Copay
No Charge
$15 Copay
No Charge
No Charge
No Charge
$50 Copay
No Charge
Lab: No Charge ; X-Ray: $15 Copay
No Charge
No Charge
No Charge
No Charge
No Charge
$50 Copay
No Charge
(copay waived if admitted within 72 hours)
$15 Copay
No Charge
(copay waived if admitted within 72 hours)
No Charge
No Charge
$15 Copay
$25 Copay
Tier 1 / Tier 2 / Tier 3
Tier 1 / Tier 2 / Tier 3 / Tier 4 / Tier 5
None
None
$6,350
$6,350
$5/$20/$50
$5 / $5 / $25 / $60 / 33%
$10/$40/$100
$10/$10/$50/$120/33%
MONTHLY RATES EE I Current I Renewal Option 1 1 Option 2
Medicare HMO PEPM 9 1 Refer to Rates Sheet k Refer to Rates Sheet Refer to Rates Sheet
This summary is for informational purpose only. It does not amend, extend, or alter the current policy in any way. In the event information in this summary differs from the Plan Document, the Plan Document will prevail.
Medical Plan Benefits
Calendar Year Deductible
Annual Out -of -Pocket Maximum
Physician Office Visit
Specialist Copay
Preventive Care
Lab and X-Ray
CT, MRI, PET scans
Other lab and x-ray tests
Hospitalization
Inpatient
Outpatient
Emergency Room
Urgent Care Services
Durable Medical Equipment
Chiropractic Care
PRESCRIPTION DRUGS
Brand Name Deductible
Part D True Out -of -Pocket Amount
Retail - 30 day supply
Mail Order - 90 day supply 1
Plan Design Review - PPO
iffil 'Mill
The Hartford - Classic with Rx Plan 2
Current Renewal
.. .
Option
In -Network Out -of -Network
In -Network I Out -of -Network
In -Network I Out -of -Network
None
None
None
$2,000
$3,400
$500
In -Network
In -Network
No Network
15%
$10 Copay
50%
15%
$20 Copay
50%
No Charge
No Charge
No Charge
15%
$50 Copay
50%
15%
Lab: No Charge; X-Ray: $20 Copay
50%
$500 / Admission
No Charge
No Charge
15%
No Charge
50%
$90 Copay
$75 Copay
50%
(copay waived if admitted)
(copay waived if admitted within 72 hours)
$25 Copay
$35 Copay
(copay waived if admitted within 72 hours)
o
50/o
15%
5%
50%
15%
$20 Copay
$25 Copay
Tier 1 / Tier 2 / Tier 3 / Tier 4 / Tier 5
Tier 1 / Tier 2 / Tier 3 / Tier 4 / Tier 5
Tier 1 / Tier 2 / Tier 3 / Tier 4 / Tier 5
None
None
None
$6,350
$6,350
$6,350
$2 / $10 / $40 / $75 / 33%
$5 / $20 / $50 / $50 / $50
$5 / $5 / $25 / $60 / 33%
$4/$20/$80/$150/33%
$10 / $40 / $100 / $100 / $100
$10/$10/$50/$120/33%
MONTHLY RATES - PPO Premier EE Current I Renewal Option 1 Option 2
Medicare PPO PEPM 4 Refer to Rates Sheet Refer to Rates Sheet Refer to Rates Sheet
Specialty Rx is 30 day supply
This summary is for informational purpose only. It does not amend, extend, or alter the current policy in any way. In the event information in this summary differs from the Plan Document, the Plan Document will prevail.
Medical Plan Benefits
Calendar Year Deductible
Annual Out -of -Pocket Maximum
Physician Office Visit
Specialist Copay
Preventive Care
Lab and X-Ray
CT, MRI, PET scans
Other lab and x-ray tests
Hospitalization
Inpatient
Outpatient
Emergency Room
Urgent Care Services
Durable Medical Equipment
Chiropractic Care
PRESCRIPTION DRUGS
Brand Name Deductible
Part D True Out -of -Pocket Amount
Retail - 30 day supply
Mail Order - 90 day supply
Plan Design Review - PPO
Current I Renewal
.. .
In -Network I Out -of -Network
In -Network Out -of -Network
In -Network I Out -of -Network
None
None
None
$2,000
$3,400
$500
In -Network
In -Network
No Network
10%
$10 Copay
50%
10%
$20 Copay
50%
No Charge
No Charge
No Charge
10%
$50 Copay
50%
10%
Lab: No Charge; X-Ray: $20 Copay
50%
$350 / Admission
No Charge
No Charge
10%
No Charge
50%
$90 Copay
$75 Copay
50%
(copay waived if admitted)
(copay waived if admitted within 72 hours)
$35 Copay
$25 Copay
o
50/o
(copay waived if admitted within 72 hours)
10%
5%
50%
10%
$20 Copay
$25 Copay
Tier 1 / Tier 2 / Tier 3
Tier 1 / Tier 2 / Tier 3
Tier 1 / Tier 2 / Tier 3 / Tier 4 / Tier 5
None
None
None
$6,350
$6,350
$6,350
$5/$30/$60
$5/$20/$50
$5/$5/$25/$60/33%
$10/$60/$120
$10/$40/$100
$10/$10/$50/$120/33%
MONTHLY RATES - PPO Premier EE Current I Renewal I Option 1 I Option 2
Medicare PPO PEPM 26 Refer to Rates Sheet I Refer to Rates Sheet I Refer to Rates Sheet
This summary is for informational purpose only. It does not amend, extend, or alter the current policy in any way. In the event information in this summary differs from the Plan Document, the Plan Document will prevail.
Rate Review
MEDICARE (CO2) ESA PPO
$433.99
$488.91
13%
$54.92
$418.55
-4%
-$15.44
$367.82
-15%
-$66.17
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$433.99
$488.91
13%
$54.92
$418.55
-4%
-$15.44
$367.82
-15%
-$66.17
MEDICARE (CO2) ESA PPO
$433.99
$488.91
13%
$54.92
$418.55
-4%
-$15.44
$367.82
-15%
-$66.17
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$383.14
$435.39
14%
$52.25
$418.55
9%
$35.41
$367.82
-4%
-$15.32
MEDICARE (CO2) ESA PPO
$398.00*
$441.98
11%
$43.98
$418.55
5%
$20.55
$367.82
-8%
-$30.18
MEDICARE (CO2) ESA PPO
$356.29
$451.20
27%
$94.91
$418.55
17%
$62.26
$367.82
3%
$11.53
MEDICARE (CO2) ESA PPO
$433.99
$488.91
13%
$54.92
$418.55
-4%
-$15.44
$367.82
-15%
-$66.17
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$358.24
$409.46
14%
$51.22
$418.55
17%
$60.31
$367.82
3%
$9.58
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$358.24
$409.46
14%
$51.22
$418.55
17%
$60.31
$367.82
3%
$9.58
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (CO2) ESA PPO
$398.04
$451.20
13%
$53.16
$418.55
5%
$20.51
$367.82
-8%
-$30.22
MEDICARE (P01) HMO
$255.99
$299.77
17%
$43.78
$291.41
14%
$35.42
$417.92
63%
$161.93
MEDICARE (P01) HMO
$267.18
$312.17
17%
$44.99
$291.41
9%
$24.23
$417.92
56%
$150.74
MEDICARE (P01) HMO
$267.18
$312.17
17%
$44.99
$291.41
9%
$24.23
$417.92
56%
$150.74
MEDICARE (P01) HMO
$280.25*
$287.58
3%
$7.33
$291.41
4%
$11.16
$417.92
49%
$137.67
MEDICARE (P01) HMO
$280.25*
$322.30
15%
$42.05
$291.41
4%
$11.16
$417.92
49%
$137.67
MEDICARE (P01) HMO
$346.33
$399.86
15%
$53.53
$291.41
-16%
-$54.92
$417.92
21%
$71.59
MEDICARE (P01) HMO
$276.33
$322.30
17%
$45.97
$291.41
5%
$15.08
$417.92
51%
$141.59
MEDICARE (P01) HMO
$276.33
$322.30
17%
$45.97
$291.41
5%
$15.08
$417.92
51%
$141.59
MEDICARE P01 HMO
$276.33
$322.30
17%
$45.97
$291.41
5%
$15.08
$417.92
51%
$141.59
TOTAL ANNUAL PREMIUM
$12,882.72
$14,674.28
$13,504.99
$13,324.60
ANNUAL DOLLAR CHANGE FROM CURRENT $1,791.56
ANNUAL PERCENT CHANGE FROM CURRENT 13.9%
Age as of 1/1/2020
* Indicates that national average was used for current rate.
$622.27
4.8%
$441.88
3.4%
9
Exhibits
■r�
Disclosures
Los Angeles Office
333 South Hope Street, Suite 3750
Los Angeles, CA 90071
This proposal is for information purposes only and does not amend, extend or alter the policy in any way. Please refer to the policy form
for completed coverage and exclusion information.
Alliant embraces a policy of transparency with respect to its compensation from insurance transactions. Details on our compensation
policy, including the types of income that Alliant may earn on a placement, are available on our website at www.alliantinsurance.com.
For a copy of our policy or for any inquiries regarding compensation issues pertaining to your account you may also contact us at: Alliant
Insurance Services, Inc., Attention: General Counsel, 701 B Street, 6th Floor, San Diego, CA 92101.
*Analyzing insurers' over-all performance and financial strength is a task that requires specialized skills and in-depth technical
understanding of all aspects of insurance company finances and operations. Insurance brokerages such as Alliant Insurance typically
rely upon rating agencies for this type of market analysis. Both A.M. Best and Standard and Poor's have been industry leaders in this
area for many decades, utilizing a combination of quantitative and qualitative analysis of the information available in formulating their
ratings.
A.M. Best has an extensive database of nearly 6,000 Life/Health, Property Casualty and International companies. You can visit them at
www.ambest.com. For additional information regarding insurer financial strength ratings visit Standard and Poor's website at
www.standardandr)oors.com.
To learn more about companies doing business in California, visit the California Department of Insurance website at
www.insurance.ca.aov.
NY REGULATION 194 DISCLOSURE
Alliant Insurance Services, Inc. is an insurance producer licensed by the State of New York. Insurance producers are authorized by their
license to confer with insurance purchasers about the benefits, terms and conditions of insurance contracts; to offer advice concerning
the substantive benefits of particular insurance contracts; to sell insurance; and to obtain insurance for purchasers. The role of the
producer in any particular transaction typically involves one or more of these activities
Compensation will be paid to the producer, based on the insurance contract the producer sells. Depending on the insurer(s) and
insurance contract(s) the purchaser selects, compensation will be paid by the insurer(s) selling the insurance contract or by another third
party. Such compensation may vary depending on a number of factors, including the insurance contract(s) and the insurer(s) the
purchaser selects. In some cases, other factors such as the volume of business a producer provides to an insurer or the profitability of
insurance contracts a producer provides to an insurer also may affect compensation.
The insurance purchaser may obtain information about compensation expected to be received by the producer based in whole or in part
on the sale of insurance to the purchaser, and (if applicable) compensation expected to be received based in whole or in part on any
alternative quotes presented to the purchaser by the producer, by requesting such information from the producer.
City Council Agenda Item Report
Agenda Item No. COV-133-2020
Submitted by: Diana Figueroa
Submitting Department: City Administration
Meeting Date: April 7, 2020
SUBJECT
Temporary Emergency Moratorium on Evictions at Commercial Properties
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality Act (CEQA)
review, because it is a continuing administrative activity that will not result in direct or indirect physical
changes in the environment and, therefore, does not constitute a "project" as defined by CEQA
Guidelines section 15378; and
B. Adopt Emergency Ordinance No. 1267 pursuant to Chapter 4.4 of the City Charter, enacting a
Temporary Emergency Moratorium on Evictions for renters and owners of commercial properties in the
City, and late fee assessments and service shut -offs for rent and utility payments.
Background:
On March 14, 2020, the City of Vernon declared a local emergency due to the recent outbreak of the
Novel Coronavirus (COVID-19). The COVID-19 pandemic has had a significant effect on the national,
regional, and local economy impacting all industries and resulting in economic hardship for business
owners due to loss of business income, layoffs, COVID-19 affected quarantined employees, and/or
reduced work hours for a significant percentage of the nation's workforce.
On March 16, 2020, California Governor Gavin Newsom issued Executive Order No. 28-20, which
expanded cities' power to enact local rent control ordinances in response to the financial implications of
the COVID-19 pandemic. Specifically, various sections of the California Civil Code authorize cities to
control certain aspects of the landlord -tenant relationship; but cities are preempted by State law from
prohibiting evictions stemming from failure to pay rent, or those stemming from foreclosures. The
Governor's Executive Order expressly waives these provisions of State law, and expressly allows cities
to enact local moratoriums on residential and commercial evictions caused by COVID-19.
Consistent with the City's Local Emergency Proclamation and the State Executive Order, an Emergency
Ordinance has been prepared which would prevent evictions of commercial and nonprofit tenants
impacted by COVID-19 during the emergency period. The "safe harbor" would apply to evictions of
commercial tenants in the following situations:
• For commercial or nonprofit properties, no landlord shall endeavor to evict a commercial or nonprofit
tenant for non-payment of rent if a commercial or nonprofit tenant is unable to pay rent due to financial
impacts related to COVID-19;
• During this moratorium, a commercial or nonprofit tenant shall also be waived any obligation for
payment on late fee assessments related to electric, water, fiber, and gas utility charges and service shall
not be shut off due to non-payment;
• The moratorium would remain in effect for the period of time set forth in State Executive Order No.
28-20, and may be extended from time to time, unless sooner terminated or repealed by the City Council.
Consistent with the Executive Order, the Emergency Ordinance defines "financial impacts related to
COVID-19" for commercial tenants as including, but not limited to, loss of business income from full or
partial closure of the business (either voluntarily or by mandate) to prevent the spread of COVID-19.
Nothing in the Emergency Ordinance relieves the tenant of liability for the unpaid rent, which the landlord
may seek after expiration of the local emergency and the tenant must pay within six (6) months of the
expiration of the local emergency.
Jurisdictions across the nation are considering or have implemented eviction prevention measures to
provide business stabilization support during this unprecedented public health emergency. As an
advocate for business and industry, Vernon is interested in lending support to its business community in
any way possible during this challenging time. Loss of income as a result of COVID-19 may inhibit City
businesses from fulfilling their financial obligations, including public utility payments such as electric, fiber,
water, and gas charges and penalties. A temporary moratorium on business tenant evictions during the
COVID-19 outbreak will protect the public health, safety, and welfare by providing businesses with stable
locations from which to operate during the public health emergency, with the assuredness that their
facilities will not be at risk. The action is being proposed in an effort to reduce the number of businesses
that file for bankruptcy and terminate operations as a result of the economic downturn caused by the
widespread health crisis. The COVID-19 emergency requires the issuance of a temporary moratorium
on business tenant evictions during the emergency in order to keep businesses from economic collapse
and protect the public's welfare.
The City has already fielded a number of calls from concerned businesses who are struggling to make
timely payments to the City. Further economic impacts are anticipated, leaving commercial tenants
vulnerable to financial adversity, and Vernon -based employees at risk of losing theirjobs. It is the intent
of City leaders to offer a form of relief to businesses who are vulnerable to the sudden and immediate
loss of revenues and, in many cases, the non -essential business closure orders mandated by the State
and County governments on March 19, 2020, and who are navigating a means to survive the fiscal
impacts of business stagnation.
The proposed Emergency Ordinance is part of the City's Business Preservation/COVID-19 Disaster
Relief Initiative and will function to offset some of the financial burden that commercial operations in
Vernon are experiencing due to slowed business/and or mandated non -essential business closures.
Business and industry define Vernon. Each company that calls Vernon home plays a vital role in the
community. The City has an interest in protecting their longevity and the local jobs provided to their
employees, and is prepared to offer assistance during the COVID-19 outbreak.
Fiscal Impact:
Since the issuance of a moratorium on commercial tenant evictions and suspension of utility service
shut -offs in Vernon due to the local COVID-19 emergency is temporary, it is not likely to have significant
overall impacts on the City in the long-term.
Attachments:
1. Emergency Ordinance No. 1267
EMERGENCY ORDINANCE NO. 1267
AN EMERGENCY ORDINANCE OF THE CITY COUNCIL OF THE
CITY OF VERNON, CALIFORNIA ENACTING A TEMPORARY
EMERGENCY MORATORIUM ON EVICTIONS FOR RENTERS AND
OWNERS OF COMMERCIAL PROPERTIES IN THE CITY AND
LATE FEE ASSESSMENTS AND SERVICE SHUT -OFFS FOR RENT
AND UTILITY PAYMENTS
WHEREAS, in late December 2019, several cases of unusual
pneumonia began to emerge in the Hubei province of China, and on
January 7, 2020, a novel coronavirus now known as COVID-19 was
identified as the source of the illness; and
WHEREAS, scientific evidence indicates that COVID-19 is
highly contagious, and since first discovered COVID-19 has spread
globally to over 190 countries, areas, and territories, infecting more
than 330,000 persons and killing more than 14,500 individuals
worldwide; and
WHEREAS, the first case of COVID-19 in the United States was
confirmed in late January, and over the ensuing two (2) months the
pandemic spread throughout the United States creating a significant
health risk to residents, causing the closure of schools across the
country, bringing the national and local economies to a standstill, and
threatening to overwhelm healthcare facilities; and
WHEREAS, on March 4, 2020, California Governor Gavin Newsom
proclaimed a "state of emergency" throughout the State in response to
COVID-19, and in furtherance of this proclamation has issued several
Executive Orders that include extraordinary measures directed at
slowing the spread of COVID-19 and reducing impacts to residents and
businesses; and
WHEREAS, on March 15, 2020, Governor Newsom released
statewide guidance, urging the highest risk of population (individuals
who are 65 years or older, or have compromised immune system) to self -
isolate at home; and
WHEREAS, on March 16, 2020, the President of the United
States issued "The President's Coronavirus Guidelines for America: 15
Days to Slow the Spread" which recommended, and among other things,
social distancing and gathering guidelines intended to slow the spread
of the illness; and
WHEREAS, as of March 24, 2020, California reported a total of
2,186 positive cases of COVID-19, and as of March 19, 2020, Governor
Newsom advised that half of California's population could be infected
over the next eight (8) weeks; and
WHEREAS, the widespread and community transmission of COVID-
19, has created conditions that are likely to be beyond the control of
local resources and require the combined forces of other political
subdivisions to combat; and
WHEREAS, given these conditions, on March 14, 2020, the Mayor
of the City of Vernon, acting as Chief Executive Officer of the Vernon
Disaster Council, proclaimed the existence of a local emergency to allow
prompt response to emergency conditions at the local level, and provide
the City access to federal, state, and local resources during the crisis,
and this local emergency was ratified by City Council on March 17, 2020;
and
WHEREAS, on March 19, 2020, in an unprecedented step to slow
the spread of COVID-19, Governor Newsom issued Executive Order No. 33-
20 ordering all California residents and businesses to stay and work at
home for an indeterminate period of time, at least through April 19,
2020, with the only exceptions from this order being essential services
- 2 -
and industries; and
WHEREAS, the City Council has reconsidered the conditions
giving rise to the "local emergency" proclamation made by the Mayor on
March 14, 2020, and ratified by City Council on March 17, 2020, and has
determined that the conditions giving rise to the local emergency
continue to exist, and in fact have become more dire since the original
proclamation was made; and
WHEREAS, on March 16, 2020, the Governor of the State of
California issued Executive Order No. 28-20, which suspended any
provision of state law that would preempt or otherwise restrict a local
government's exercise of its police power to impose substantive
limitations on residential or commercial evictions; and
WHEREAS, the City Council finds this Ordinance is a temporary
moratorium intended to promote stability and fairness within the
commercial rental market and business community in the City during the
COVID-19 pandemic outbreak; and
WHEREAS, the City Council further finds and declares as a
result of sudden and unexpected income loss as a result of the COVID-19
pandemic, as well as the precautions recommended by public health
officials to avoid or postpone group events, this Ordinance is
necessary to avoid unnecessary displacement of commercial businesses
and nonprofit organizations, the stability of which is conducive to
public health; and
WHEREAS, the COVID-19 crisis has had a significant impact on
the local economy impacting the retail, restaurant and other industries
resulting in economic hardship for business owners due to sudden loss
of business income, layoffs, COVID-19 affected quarantined employees,
and/or reduced work hours for a significant percentage of this
- 3 -
workforce; and
WHEREAS, the City has created the Business
Preservation/COVID-19 Disaster Relief Initiative to be funded through
the Community Development fund to immediately free up a portion of
funds from the fiscal year 2019/2020 budget to help businesses with
experiencing significant need during this unprecedented public health
pandemic; and
WHEREAS, the City Council further finds and declares that it
is necessary and appropriate to adopt this Ordinance as an emergency
measure, pursuant to Chapter 4.4 of the Charter of the City of Vernon,
for the immediate preservation of the public peace, health, or safety,
given that displacement through eviction destabilizes the business
viability of tenants, creates undue hardship for commercial and
nonprofit tenants through additional relocation costs, stress and
anxiety, and the threat of having to reduce staffing or even close
their business permanently; which justify adoption of this Ordinance as
an emergency measure to be effective immediately upon adoption by a
majority vote of the City Council; and
WHEREAS, all legal prerequisites to the adoption of this
Ordinance have occurred, and the City Council has duly considered all
evidence presented in connection with its consideration of this
Ordinance.
THE CITY COUNCIL OF THE CITY OF VERNON HEREBY ORDAINS:
SECTION l: The City Council of the City of Vernon hereby
finds and determines that all of the foregoing recitals are true and
correct
SECTION 2: The City Council of the City of Vernon finds
that this action is exempt under the California Environmental Quality
- 4 -
Act (CEQA), because it is an administrative activity of government that
will not result in direct or indirect physical changes in the
environment, and therefore does not constitute a "project" as defined
by CEQA Guidelines section 15378.
SECTION 3: Authority. The City Council of the City of
Vernon hereby adopts this Ordinance as an emergency measure pursuant to
Chapter 4.4. of the Charter of the City of Vernon for the immediate
preservation of the public peace, health, and safety, and is adopted
and justified based on the findings of the City Council in Recitals of
this Ordinance; which are supported by substantial evidence in the
record associated with the City Council's consideration hereof.
SECTION 4: A Temporary Moratorium on eviction for non-
payment of rent by commercial tenants impacted by the COVID-19
pandemic is imposed as set forth herein.
SECTION 5: During the period of local public health
emergency and/or local emergency declared in response to COVID-19:
A. For commercial or nonprofit properties, no landlord
shall endeavor to evict a commercial tenant for non-payment
of rent if a commercial or nonprofit tenant is unable to pay
rent due to financial impacts related to COVID-19.
B. Nothing in this Ordinance shall relieve the tenant of
liability for the unpaid rent, which the landlord may seek
after expiration of the local emergency and the tenant must
pay within six months of the expiration of the local
emergency.
C. A landlord may not charge or collect a late fee for rent
that is delayed for the reasons stated in this Ordinance; nor
may a landlord seek rent that is delayed for the reasons
- 5 -
stated in this Ordinance through the eviction process.
D. During this moratorium, a commercial or nonprofit tenant
shall also be waived any obligation for payment on late fee
assessments related to electric, water, fiber, and gas
utility charges and service shall not be shut off due to non-
payment.
E. For purposes of this Ordinance, "financial impacts
related to COVID-19" include, but are not limited to: for
commercial tenants, loss of business income from full or
partial closure of the business (either voluntarily or by
mandate) to prevent the spread of COVID-19.
F. For purposes of this Ordinance, "in writing" includes
email or text communications to a landlord or the landlord's
representative with whom the tenant has previously
corresponded by email or text. Any medical or financial
information provided to the landlord shall be held in
confidence, and only used for evaluating the tenant's claim.
G. For purposes of this Ordinance, "no-fault eviction"
refers to any eviction for which the notice to terminate
tenancy is not based on alleged fault by the residential
tenant including, but not limited to, eviction notices served
pursuant to Code of Civil Procedure Sections 1161(1),
1161(5), or 1161c.
SECTION 6: This Ordinance may be asserted as an
affirmative defense in an unlawful detainer action. Any failure to
comply with this Ordinance does not constitute a criminal offense.
This Ordinance shall not be read in any way to prohibit any
terminations of tenancy for just cause, or other terminations of
- 6 -
tenancy where this Ordinance does not apply.
SECTION 7: As applied to notices of termination issued
prior to the effective date of this Ordinance, this Ordinance shall
apply to tenancies where, as of the effective date of this Ordinance,
said tenant remains in possession and/or any unlawful detainer action
has not reached final judgment or issuance of a final order, after all
appeals have been exhausted. This Ordinance shall be deemed to have
taken effect as of March 14, 2020, the date of the City's proclamation
of a "local emergency," and shall remain in full force and effect for
the period of time set forth in Executive Order No. 28-20, as the same
may be extended from time to time, unless sooner terminated or repealed
by the City Council.
SECTION 8: Severability. If any section, subsection,
paragraph, sentence, clause, phrase, or portion thereof, of this
Ordinance is declared by a court of competent jurisdiction to be
unconstitutional or otherwise invalid, such decision shall not affect
the validity of the remaining portions of this Ordinance. The City
Council declares that it would have adopted this Ordinance, and each
section, subsection, paragraph, sentence, clause, phrase, or portion
thereof, irrespective of the fact that any one or more sections,
subsections, paragraphs, sentences, clauses, phrases, or portions
thereof, be declared invalid or unconstitutional. To this end, the
provisions of this Ordinance are declared to be severable.
SECTION 9: The City Council of the City of Vernon hereby
passes this emergency ordinance by a majority vote of the City Council.
Accordingly, this measure shall take effect immediately upon adoption
pursuant to City Charter Section 4.4.
- 7 -
SECTION 10: Book of Ordinances. The City Clerk shall attest
and certify to the adoption of this Ordinance and shall cause this
Ordinance and the City Clerk's certification to be entered in the Book
of Ordinances of the Council of this City. The City Clerk shall cause
this ordinance to be published or posted as required by law.
SECTION 11: This Ordinance shall go into effect and be in
full force and effect immediately upon adoption.
APPROVED and ADOPTED this 7th day of April, 2020.
ATTEST:
Lisa Pope, City Clerk
APPROVED AS TO FORM:
Arnold M. Alvarez-Glasman,
Interim City Attorney
Name: Melissa Ybarra
Title: Mavor
- 8 -
STATE OF CALIFORNIA )
ss
COUNTY OF LOS ANGELES )
I, Lisa Pope, City Clerk of the City of Vernon, do hereby certify
that the foregoing Ordinance, being Ordinance No. 1267, was duly
passed, approved and adopted by the City Council of the City of Vernon
at a regular meeting of the City Council duly held in the City of
Vernon on Tuesday, April 7, 2020, and thereafter adopted at a meeting
of said City Council by the following vote:
AYES: Councilmembers:
NOES: Councilmembers:
ABSENT: Councilmembers:
ABSTAIN: Councilmembers:
And thereafter was duly signed by the Mayor or Mayor Pro-Tem of the
City of Vernon.
Executed this day of April, 2020, at Vernon, California.
(SEAL)
Lisa Pope, City Clerk
- 9 -
City Council Agenda Item Report
Agenda Item No. COV-94-2020
Submitted by: Diana Figueroa
Submitting Department: City Administration
Meeting Date: April 7, 2020
SUBJECT
Fund Allocation, Eligibility, and Criteria for Vernon CommUNITY Fund Grants
Recommendation:
A. Find that the action is exempt under the California Environmental Quality Act (CEQA) review, because
it is a continuing administrative activity that will not result in direct or indirect physical changes in the
environment and, therefore, does not constitute a "project" as defined by CEQA Guidelines section
15378; and
B. Introduce and conduct first reading of Ordinance No. 1265 amending Article XX of Chapter 2,
Sections 2.162 and 2.164 through 2.166, of the Vernon Municipal Code to modify Vernon CommUNITY
Fund grant fund allocation, eligibility, and criteria and direct staff to schedule second reading and
adoption at the April 21, 2020 Council meeting.
Background:
As one of the key elements of the City's good governance reforms, the City Council created the Vernon
CommUNITY Fund (VCF) to provide grants to charitable and governmental entities for projects and
programs that benefit those residing and working in Vernon. Given the exclusively industrial nature of
Vernon, the City Council determined that the VCF was in the best interest of the City and its residents,
businesses, and workers. On February 4, 2014, the City Council adopted Ordinance No. 1218, as
amended by Ordinance Nos. 1238 and 1257, to establish the Vernon CommUNITY Fund Grant
Committee (Grant Committee) and provide the basic guidelines and operational procedures for said
Committee and its officers, including those related to the allocation of funds and the processes for
reviewing and ranking applications and awarding grants.
Through the normal budgetary process, the City Council may appropriate funds to the VCF. The
proposed revisions to Section 2.162 are administrative in nature and have no significant impact on the
VCF grantmaking program. Rather, the changes to the ordinance clarify that VCF Grant Committee
meeting requirements shall only apply when the City Council has allocated funds to the VCF for a given
fiscal year.
With City Council's VCF fund appropriation, the Grant Committee then allocates these funds through
grants intended to promote health, safety, educational and recreational efforts throughout the Vernon
Area. Currently, the types of grants awarded by the Grant Committee fall into two separate categories:
1. Capital Grants; and
2. Direct Service/Scholarship Grants
City Council authorized an amount of $500,000 to the VCF for fiscal year (FY) 2019/2020 (a $500,000
decrease from $1,000,000 in fiscal year 2018/2019). In consideration of its limited amount of funds in
this fiscal year, and in anticipation of a similarly reduced allocation in future years, the VCF Grant
Committee discussed at its November 20, 2019 meeting, the prospect of adjusting the Vernon
CommUNITY Fund grantmaking program to be aligned with the current economic trajectory of the City. A
Temporary Advisory Committee, whose sole purpose was to evaluate the parameters associated to the
existing model alongside VCF consultant, Jemmott Rollins Group ("JRG") and City staff, was formed at
the Grant Committee's Special Meeting on December 3, 2019. Subsequent to its formation, the
Temporary Advisory Committee, JRG, and City staff convened and discussed possible opportunities for
re -structuring the program. At the February 19, 2020 Grant Committee meeting, the Temporary Advisory
Committee proposed to remove the option for capital grant awards from the program; and the Grant
Committee approved this recommendation and authorized staff to propose said changes to the City
Council for review and approval.
The Grant Committee's proposed revisions would amend Article XX of Chapter 2, Sections 2.164
through 2.166, of the Vernon Municipal Code (VMC) to modify Vernon CommUNITY Fund grant
allocation provisions and eliminate the capital grant offering from the program. Existing language in the
VMC regarding Capital Grants requires that no less than 25% of funds available in any fiscal year shall
be awarded to capital projects (after subtracting administrative costs). Therefore, in FY2019/2020, the
Grant Committee is obligated to apportion approximately half of its $500,000 VCF yearly allocation
towards administrative costs and capital grants. The proposal to eliminate capital grants is mainlyto
alleviate the administrative component that accompanies the multifaceted evaluation of applicants,
tracking of their projects, complex on -site inspections, and involved contract management. Currently,
JRG and staff dedicate significant amounts of time to administering VCF capital grants and it is the
consensus of the Grant Committee that the moneys spent in this area could be better served by
re -purposing funds into the Direct Service/Scholarship grant categories of the program. As a result of
the elimination of capital grant administration, costs for management of the grant program are reduced.
A multitude of factors were weighed when evaluating the proposed course for the Vernon CommUNITY
Fund grantmaking program. In a concerted effort to make the most of City allocated funding, how best to
maximize grant dollars for the greatest impact in the Vernon Area has been considered. Based upon the
limited funding available for the Vernon CommUNITY Fund and the need to cover administrative costs as
a portion of its yearly VCF allocation, it was determined that a rebalance was important. The approach
brought forth for City Council deliberation ensures that the grantmaking program requires proportional
administration to the fiscal year allocation, and that the program is closely aligned with grantmaker best
practices to streamline internal operations and administrative costs. City staff finds that this is an
appropriate course of action based upon the City's increased focus upon fiscal responsibility, good
governance, and its need to contend with a variety of budgetary challenges on the horizon.
In summary, the proposed amendments to Sections 2.164 through 2.166 of Article XX of Chapter 2 of the
VMC will accomplish the following objectives:
*Decrease administrative costs required to administer the VCF
*Maximize VCF dollars for grantmaking purposes
*Simplify and streamline the grantmaking process
It is, therefore, recommended that Article XX of Chapter 2 of the Vernon Municipal Code be amended for
the reasons set forth in this staff report.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. Ordinance No. 1265
ORDINANCE NO. 1265
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
VERNON AMENDING SECTION 2.162 AND SECTIONS 2.164
THROUGH 2.166 OF ARTICLE XX OF CHAPTER 2 OF THE
VERNON MUNICIPAL CODE RELATING TO THE VERNON
COMMUNITY FUND
WHEREAS, on February 4, 2014, the City Council of the City
of Vernon adopted Ordinance No. 1218 establishing the Vernon CommUNITY
Fund Grant Committee (the "Grant Committee") ; and
WHEREAS, Section 2.162 of Article XX of Chapter 2 of the
Vernon Municipal Code establishes the scheduling of Grant Committee
meetings; and
WHEREAS, Sections 2.164 through 2.166 of Article XX of Chapter
2 of the Vernon Municipal Code establish the allocation of funds by the
Grant Committee, eligibility criteria for grant recipients, and criteria
for ranking grant proposals; and
WHEREAS, on January 17, 2017, the City Council of the City of
Vernon adopted Ordinance No. 1238 amending Section 2.164 of Article XX
of Chapter 2 of the Vernon Municipal Code to allow for funds
appropriated to the Vernon CommUNITY Fund to cover administrative costs
associated with its management; and
WHEREAS, on October 16, 2018, the City Council of the City of
Vernon adopted Ordinance No. 1257 amending Sections 2.164 through 2.166
of the Vernon Municipal Code to modify Vernon CommUNITY Fund ("VCF")
grant allocation provisions and include the specific eligibility and
selection criteria for scholarship applicants; and
WHEREAS, by memorandum dated April 7, 2020, the City
Administrator has recommended the adoption of an ordinance amending
Section 2.162 regarding the schedule of Grant Committee meetings
depending on allocations of funds to the VCF, and Sections 2.164 through
2.166 of the Vernon Municipal Code to modify VCF grant allocation
provisions and criteria to eliminate the capital grant offering from
the program; and
WHEREAS, the City Council desires to amend Section 2.162
regarding the schedule of Grant Committee meetings depending on
allocation of funds to the VCF, and Sections 2.164 through 2.166 of
Article XX of Chapter 2 of the Vernon Municipal Code to modify Vernon
CommUNITY Fund grant allocation provisions and criteria to eliminate
the capital grant offering from the program.
THE CITY COUNCIL OF THE CITY OF VERNON HEREBY ORDAINS:
SECTION 1: The City Council of the City of Vernon hereby
finds and determines that all of the foregoing recitals are true and
correct.
SECTION 2: Section 2.162 of Article XX of Chapter 2 of the
Vernon Municipal Code is hereby amended to read as follows:
Sec. 2.162. Scheduling Committee Meetings.
If City Council has approved an allocation of funds to the VCF for
the fiscal year, the following shall apply:
(a) Regular Meetings. The Grant Committee shall have regular
meetings at least twice per year, on dates and at times established by
a resolution of the Committee.
(b) Cancelling meetings. Upon request of a majority of the
Grant Committee, the Executive Director shall cancel a properly called
previously scheduled meeting (regular or otherwise) and provide notice
no less than 10 days in advance to the Grant Committee and the public
of the date of the new meeting.
(c) Initial and Special meetings. The date of the first
- 2 -
meeting and any special meeting shall be set by the Executive
Director. Special meetings of the Grant Committee shall require no
less than 10 days prior notice to the Grant Committee and the public.
(d) Meeting location. Meetings shall be held at City Hall,
unless the Executive Director selects a different publicly accessible
location within the City of Vernon.
SECTION 3: Section 2.164 of Article XX of Chapter 2 of the
Vernon Municipal Code is hereby amended to read as follows:
The Grant Committee shall allocate funds appropriated to the
VCF by the City Council according to the following formula:
(a) Administrative Costs shall be determined for the fiscal year
and the amount shall be allocated for payment from funds appropriated
to the VCF.
(7.7) �TLZZTGes""l,�Tless ±chanf7ef fme7TC�5
(be) The remainder of available funds in any fiscal year may be
awarded to proposals to expend funds on direct services and/or
scholarship grants. No single grant of this type shall be in an amount
more than $250,000.
SECTION 4: Section 2.165 of Article XX of Chapter 2 of the
Vernon Municipal Code is hereby amended to read as follows:
In conjunction with the eligibility requirements herein, the
Grant Committee may adopt administrative guidelines consistent with the
provisions of this Article for the purpose of interpreting, clarifying,
and carrying out the program parameters established herein. Said
guidelines may be adopted through the normal activities of
- 3 -
the Grant Committee if deemed appropriate and shall always work in
tandem with the eligibility requirements set forth in this section.
(a) For direct service and/eLn eap tal grants:
i. Only organizations exempt from taxation under Section
501(c)(3) of the Internal Revenue Code or bona fide
American governmental entities shall be eligible to
receive grants.
ii. Eligibility criteria for 501(c)(3) tax-exempt
organizations to receive funds at any time:
(1) Have received a letter from the Internal Revenue
Service recognizing the organization as exempt from taxation under
Section 501(c)(3) of the Internal Revenue Code and classifying the
entity as a public charity, and provide a certification that the
organization's tax-exempt status remains in effect both at the time of
application for a grant and at the time of receipt of the grant.
(2) Be operated and organized in a manner that does
not discriminate in the hiring of staff/contractors or the provision of
services on any basis protected from discrimination under the
California Fair Employment and Housing Act and/or the California Unruh
Act.
(3) Have adopted a conflict of interest policy
consistent with the Internal Revenue Service's recommended conflict of
interest policy published in Appendix A of Form 1023 Instructions
(see http://www.irs.gov/pub/irs-pdf/il023.pdf) or any successor
thereto.
(4) Establish an independent audit committee and/or
retain independent auditors, if required to do so by state or federal
law.
- 4 -
(5) Adhere to generally accepted best practices in the
philanthropic industry in all areas, including but not limited to board
governance, document retention, ethics and whistleblower policies,
executive compensation, investment of funds, fundraising, preparation
of financial statements and/or audits.
(6) Anticipate receiving the majority of its funding
in the year(s) in which it would receive VCF grants from sources other
than the VCF.
(7) Not employ or otherwise provide or promise, at the
time of the application or within the previous 12 months, gifts,
political contributions, income or compensation, directly or
indirectly, to:
1. Any member of the Grant Committee.
2. Any member of the Vernon City Council.
3. Any officer of the City of Vernon.
4. Any employee or consultant of the City of
Vernon who engages in significant work related
to the VCF.
5. An immediate family member of any of the
above.
a. Immediate family members include spouses
and registered domestic partners,
children, children's spouses and/or
registered domestic partners, brothers,
brothers-in-law, sisters, sisters-in-law,
and all other family members who reside
in the person's household or are claimed
as dependents.
- 5 -
A person shall be deemed to be provided indirect income or
compensation by a grant applicant if he or she owns or is otherwise
entitled to profits of 10% or more of a firm or entity that receives
income or compensation from the grant applicant. In addition, the
Executive Director shall have the authority to determine that a person
has been provided indirect income or compensation by a grant applicant.
iii. Eligibility criteria for governmental entities:
(1) Be a bona fide governmental entity, or agency
thereof, located entirely or partially within the State of California.
(2) Have policies and procedures to ensure compliance
with all applicable good governance and ethics requirements.
(3) Agree to provide detailed accountings of the use
of grant funds to the Grant Committee.
(b) For scholarship grants:
i. Scholarship applicants must meet all eligibility
standards that are identified below:
(1) Must be a graduating high school senior.
(2) At the time of VCF Scholarship application
submission, achievement of the established Minimum Weighted Grade Point
Average in high school level coursework for trade school or two-year
College applicants; or the established Minimum Weighted Grade Point
Average of in high school level coursework for four-year
College/University applicants.
(3) Provide evidence of acceptance to an accredited
college, university, or trade school. Proof of registration at an
accredited college, university, or trade school is required before any
funds will be disbursed.
(4) Proof of residency in the Vernon Area, as defined
- 6 -
in Section 2.157(c), for at least 12 months (U.S. Citizenship is not
required); Proof must be under the applicant's name, or parent's name
if the applicant is a dependent student.
(5) Demonstration of strong leadership skills and
responsibility (successfully communicated in scholarship application).
(6) Dedication to extracurricular activities and/or
community involvement.
(7) Not a City of Vernon employee or relative, or
dependent of a City of Vernon employee, Vernon City -appointed official,
or Vernon City -elected official.
(8) Adherence to all standards and requirements set
forth in the scholarship grant administrative guidelines adopted by the
Grant Committee.
SECTION 5: Section 2.166 of Article XX of Chapter 2 of the
Vernon Municipal Code is hereby amended to read as follows:
In conjunction with the criteria herein, the Grant Committee
may adopt administrative guidelines consistent with the provisions of
this Article for the purpose of interpreting, clarifying, and carrying
out the program criteria established herein. Said guidelines may be
adopted through the normal activities of the Grant Committee if deemed
appropriate and shall always work in tandem with the criteria set forth
in this section.
(a) For direct service e-nel,lei= e-alaitalgrants :
i. The Executive Director and the Grant Committee shall
rank all proposals from eligible grant applicants by using the
following factors:
(1) The extent to which the funds will promote the
health, safety, and welfare of persons residing or working within the
- 7 -
Vernon Area.
Area.
(2) The benefit anticipated to accrue to the Vernon
(3) The extent to which the public will appreciate
that the benefits of the proposed actions were a direct result of the
funding provided by the City of Vernon.
(4) Evidence that the funds will be used by an
organization with sufficient capacity to do the work, and will be used
effectively and without inefficiencies, waste or fraud.
�) Fe -in p-in e-p e s-als €e-in c-ap-rt-amp-r=ejT - - - , the ability
Notwithstanding the above, no grant shall be awarded unless
doing so serves a municipal purpose of the City of Vernon.
(b) For scholarship grants:
i. Award Criteria (not in order of priority)
(1) Financial need
(2) Academic achievement
(3) Community/extracurricular involvement
(4) Leadership at school or in the community
(5) Awards and recognition
(6) Personal and/or family attributes, as demonstrated
through scholarship application process.
SECTION 6: Any ordinance, part of an ordinance, or code
section in conflict with this Ordinance is hereby repealed.
SECTION 7: Severability. If any chapter, article, section,
subsection, subdivision, paragraph, sentence, clause, phrase, or word
in this Ordinance or any part thereof is for any reason held to be
- 8 -
unconstitutional or invalid or ineffective by any court of competent
jurisdiction, such decision shall not affect the validity or
effectiveness of the remaining portions of this Ordinance or any part
thereof. The City Council hereby declares that it would have adopted
this Ordinance and each chapter, article, section, subsection,
subdivision, paragraph, sentence, clause or phrase thereof,
irrespective of the fact that any one or more chapters, articles,
sections, subsections, subdivisions, paragraphs, sentences, clauses,
phrases or words be declared unconstitutional, or invalid, or
ineffective.
SECTION 8: Book of Ordinances. The City Clerk shall attest
and certify to the adoption of this Ordinance and shall cause this
Ordinance and the City Clerk's certification to be entered in the Book
of Ordinances of the Council of this City. The City Clerk shall cause
this ordinance to be published or posted within 15 days after its
passage, as required by law.
- 9 -
SECTION 9: Effective Date. This Ordinance shall go into
effect and be in full force and effect at 12:01 a.m. on the thirty-
first (31st) day after its passage.
APPROVED AND ADOPTED this day of , 2020.
ATTEST:
Lisa Pope, City Clerk
APPROVED AS TO FORM:
Zaynah Moussa,
Senior Deputy City Attorney
- 10 -
Name:
Title: Mayor / Mayor Pro-Tem
STATE OF CALIFORNIA )
) ss
COUNTY OF LOS ANGELES )
I, Lisa Pope, City Clerk of the City of Vernon, do hereby certify
that the foregoing Ordinance, being Ordinance No. 1265, was duly and
regularly introduced at a regular meeting of the City Council of the
City of Vernon, held in the City of Vernon on Tuesday, April 7, 2020,
and thereafter adopted at a meeting of said City Council held on
Tuesday,
, by the following vote:
AYES: Councilmembers:
NOES: Councilmembers:
ABSENT: Councilmembers:
And thereafter was duly signed by the Mayor or Mayor Pro-Tem of
the City of Vernon.
Executed this day of
(SEAL)
, 2020, at Vernon, California.
Lisa Pope, City Clerk
City Council Agenda Item Report
Agenda Item No. COV-125-2020
Submitted by: Daniel Wall
Submitting Department: Public Works
Meeting Date: April 7, 2020
SUBJECT
First Responders Housing Priority
Recommendation:
A. Find that approval of the proposed Ordinance is categorically exempt from California Environmental
Quality Act (CEQA) review, because it is a continuing administrative activity that will not result in any
direct or indirect physical change to the environment, and therefor does not constitute a "project" as
defined by CEQA Guidelines section 15378; and
B. Introduce and conduct first reading of Ordinance No. 1266 amending Chapter 2, Section 2.125 (b) of
the Vernon Municipal Code to delete any reference to a "first responders" priority and direct staff to
schedule second reading and adoption at the April 21, 2020 Council meeting.
Background:
The current First Responder Policy has not ever been used by Vernon Business first responders and has
only been used by Vernon Police Department and Fire Department Employees. With the City
transitioning to Los Angeles County Fire, the policy created a potential problem. In addition, Vernon
Police and Fire first responders are well compensated and giving them priority in obtaining City Housing
deprives other people of the opportunity to live in affordable housing. At its March 11, 2020, meeting, the
Vernon Housing Commission (VHC) voted to eliminate its First Responder Policy and recommend that
the City Council delete any reference to a first responder priorityfrom the Vernon Municipal Code.
Staff proposes that Chapter 2, Section 2.125 (b) which currently reads:
"(b) Enforce the Vernon Rental Housing Policy and any amendments thereto recommended by the
Housing Commission and approved by the City Council. Continue to provide "first responders," which
shall be defined by the Housing Commission, but shall at a minimum include City firefighters, police
officers, emergency medical technicians, and similar positions held by employees of businesses located
in Vernon, a first priority in leasing units unless or until (4) of more units are concurrently occupied by first
responders."
be amended to read:
"(b) Enforce the Vernon Rental Housing Policy and any amendments thereto recommended by the
Housing Commission and approved by the City Council."
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments:
1. Eliminated Procedures for Tenants under First Responder Priority ADOPTED 09-09-15 REPEALED
03-11-20
2. Ordinance No. 1266
Vernon Housing Commission
Procedures for Tenants under First Responder Priority
Adopted September 9, 2015
Pursuant to Ordinance 1183, as amended, and the Vernon Rental Housing Policy
("VRHP"), the Vernon Housing Commission ("VHC") hereby adopts the following procedures
to address issues relating to leasees who benefited from a priority on the City housing waiting list
because of their "first responder" status.
Recitals
A. The VHC is committed to managing its housing stock according to "best
practices" for private, residential housing. The VRHP requires that all procedures be "neutral,
fair and reasonable."
B. Under the existing policies and procedures governing the subject housing
stock, certain "first responders" are given a priority on the City's housing waiting list solely
because of their first responder status.
C. Since the initial implementation of the first responder priority procedure,
certain questions and concerns have arisen with respect to this priority status that require
clarification.
D. The VHC desires to adopt additional procedures with respect to leasees
who have benefited from a first responder priority status that are "neutral, fair and reasonable."
The VHC recognizes that there must be a balance between the public policy which supports the
first responder priority status and the VHC's commitment to and obligation to all other leasees
and prospective leasees.
Procedures
Certification and Annual Re -certification of First Responder Status.
a. Initial Certification. Before any prospective leasee is given a first
responder priority status on the City's housing waiting list, the City must verify that the
prospective leasee is indeed a "first responder" as defined by VHC procedures. At least
the following steps shall be undertaken to verify the status of a prospective leasee:
i. Any prospective leasee desiring to benefit from a first
responder priority shall promptly provide the City with all
information reasonably requested by the City to verify his/her
status.
ii. Thereafter, the City shall use all reasonable efforts to verify
such status accurately and promptly. If the City is unable to
verify the status to the City's reasonable satisfaction, the City
shall notify the prospective leasee in writing of this fact, and if
appropriate, request additional information to assist the City in
verifying the status.
iii. If additional information is requested, the prospective leasee
shall provide it promptly and the City shall evaluate it. This
interactive process shall continue until either the City can
verify the first responder status, the prospective leasee fails to
provide additional information, or the City concludes that the
prospective leasee does not qualify for first responder status.
iv. At the end of this process, the City shall notify the prospective
leasee in writing as to its conclusion.
v. The ultimate burden of producing sufficient documentation and
information to support a finding of first responder status shall
remain with the prospective leasee.
vi. Any communication required to be in writing may be
communicated via email to the last known email address of the
prospective leasee.
b. Annual Re -Certification: Because of the public policy behind
providing first responders with a priority in obtaining City -owned housing, if a current
leasee was given a first responder priority at any time and benefited from that priority in
obtaining his/her current housing unit, either directly (initial move -in into the unit) or
indirectly (housing transfer), the leasee must certify on an annual basis that the leasee
remains a qualified first responder who is entitled to a continued priority. At least the
following steps shall be undertaken to verify the status of the leasee:
i. At the time of lease renewal, if the leasee has a 12-month lease,
or at least annually, the leasee shall provide the City with all
information reasonably requested by the City to verify his/her
continued status as a first responder.
ii. Thereafter, the City shall use all reasonable efforts to verify
such status accurately and promptly. If the City is unable to
verify the status to the City's reasonable satisfaction, the City
shall notify the leasee in writing of this fact, and if appropriate,
request additional information to assist the City in verifying the
status.
iii. If additional information is requested, the leasee shall provide
it promptly and the City shall evaluate it. This interactive
process shall continue until either the City can verify the first
responder status, the leasee fails to provide additional
information, or the City concludes that the leasee does not
qualify for first responder status.
iv. At the end of this process, the City shall notify the leasee in
writing as to its conclusion.
v. The ultimate burden of producing sufficient documentation and
information to support a finding of first responder status shall
remain with the leasee.
vi. Any communication required to be in writing may be
communicated via email to the last known email address of the
leasee.
2. Changes in First Responder Status. For any leasee who has benefited
from a first responder priority, if there is a change in that status, the following procedures will
apply depending on the reason for a change in status:
a. Loss of First Responder Status Due to Separation from
Employ. Except as provided in Subsections (b) and (c) below, if a leasee was
employed as a first responder and separates from his/her employment for any reason and,
thereafter, is no longer employed as a qualifying first responder, the leasee may remain in
their housing unit until the end of the lease term, if they have a lease for a fixed period, or
for up to six months following the loss of qualifying first responder status, whichever is
longer. The leasee shall notify the City promptly following the loss of qualifying first
responder status. The leasee will not be entitled to renew his/her lease for an additional
12-month period. At the end of this grace period, the leasee and all authorized occupants
must vacate the housing unit unless either there are no prospective leasees on the then
current housing waiting list, or any prospective leasees on the housing waiting list or any
leasees on the transfer list do not want the unit that would be otherwise vacant.
b. Death or Permanent Disability of First Responder. In the event a
first responder leasee who qualified for a priority dies or becomes permanently disabled
in the line of duty, no one then residing in the housing unit shall be required to vacate the
housing unit solely because of the death or permanent disability of the first responder.
C. Temporary Loss of First Responder Status. If an otherwise
qualified first responder temporarily loses his/her qualifying first responder status, he/she
shall not be required to vacate a housing unit so long as the qualifying first responder
status is regained as specified herein. A "temporary" loss shall be for a period not to
exceed three months and shall be as the result of a change in employment. If at the time
of an annual recertification, the leasee has temporarily lost his/her first responder status,
the annual recertification shall be deferred to afford the leasee an opportunity to regain
qualifying first responder status. The length of the deferment shall be no longer than 90
days following the loss of qualifying first responder status.
3. A Qualifying First Responder's Use of the Housing Unit. If a leasee
obtains a housing unit via a first responder priority, it is the expectation that the first responder
will, in fact, reside in the housing unit for a meaningful amount of time. It shall not be
permissible for a leasee to obtain a housing unit via a first responder priority and then not use the
housing unit personally (only authorized occupants actually residing in the housing unit). No
fixed standard shall be established by which to measure "meaningful." "Meaningful" may vary
depending on a first responder's particular work schedule. If a question arises as to whether a
leasee is meeting this requirement, the City shall give written notice to the leasee, who then shall
provide reasonable documentation and information to the City to demonstrate compliance with
this requirement. If a leasee fails to demonstrate that he/she is complying with this requirement,
the City may terminate the leasee's lease, and the leasee and all authorized occupants will be
required to vacate the subject housing unit.
ORDINANCE NO. 1266
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
VERNON AMENDING SECTION 2.125(b) OF ARTICLE XVII
OF THE VERNON MUNICIPAL CODE RELATING TO THE
VERNON HOUSING COMMISSION
WHEREAS, on June 7, 2011, the City Council of the City of
Vernon adopted Ordinance No. 1183 establishing a Housing Commission
pursuant to the provisions of the City Charter of the City of Vernon and
specifying the membership and duties of the Vernon Housing Commission (the
"Commission"); and
WHEREAS, Section 2.125 of Article XVII of Chapter 2 of the
Vernon Municipal Code provides provisions regarding the duties of
Commission members; and
WHEREAS, at its March 11, 2020, meeting, the Commission voted to
eliminate its First Responder Policy for housing preference, and recommended
that the City Council delete any reference to a first responder housing
priority in the Vernon Municipal Code; and
WHEREAS, by memorandum dated April 7, 2020, the Director of
Public Works has recommended to City Council the adoption of an
ordinance amending Section 2.125(b) to eliminate its First Responder
Policy and remove any reference to a first responder housing priority
from the Vernon Municipal Code; and
WHEREAS, the City Council desires to amend Section 2.125(b) to
eliminate its First Responder Policy and remove any reference to a first
responder priority from the Vernon Municipal Code; and
THE CITY COUNCIL OF THE CITY OF VERNON HEREBY ORDAINS:
SECTION 1: The City Council of the City of Vernon hereby
finds and determines that all of the foregoing recitals are true and
correct.
SECTION 2: Section 2.125(b) of Article XVII of Chapter 2 of the
Vernon City Code is hereby amended to read as follows:
(b) Enforce the Vernon Rental Housing Policy and any amendments
thereto recommended by the Housing Commission and approved by the City Council
Gltrniae —tereid`�c
"first re-spen
de s, " .,hieh
shall be defined by the
Heusi
biat
ldCeTl�_1
sien,
shall
at a Fftinimuffti111..
-_--J_____._,
'" ie'---r»-r
he!
�
cffteL=g
_ _ _ e l�i--rrrt--e
aiY'l�`.3ifftil __ —pesit-lens
by f b,ids
l-ee-,}ee
in V
f; rs}�LieLai ;n leas"".
eff�pleyees
,dnmil
Tess
l t-h
e,.,,-......,
a y
m l
by
e
n4.}
) eLa ffto-La_ ____s'Cs
aLae _ ____ d-- _'_ y eeeidpie-elel
__ p^r�rle__.
^
SECTION 3: Any ordinance, part of an ordinance, or code
section in conflict with this Ordinance is hereby repealed.
SECTION 4: Severability. If any chapter, article, section,
subsection, subdivision, paragraph, sentence, clause, phrase, or word
in this Ordinance or any part thereof is for any reason held to be
unconstitutional or invalid or ineffective by any court of competent
jurisdiction, such decision shall not affect the validity or
effectiveness of the remaining portions of this Ordinance or any part
thereof. The City Council hereby declares that it would have adopted
this Ordinance and each chapter, article, section, subsection,
subdivision, paragraph, sentence, clause or phrase thereof,
irrespective of the fact that any one or more chapters, articles,
sections, subsections, subdivisions, paragraphs, sentences, clauses,
phrases or words be declared unconstitutional, or invalid, or
ineffective.
- 2 -
SECTION 5: Book of Ordinances. The City Clerk shall attest and
certify to the adoption of this Ordinance and shall cause this Ordinance and
the City Clerk's certification to be entered in the Book of Ordinances of the
Council of this City. The City Clerk shall cause this ordinance to be
published or posted within 15 days after its passage, as required by law.
SECTION 6: Effective Date. This Ordinance shall go into
effect and be in full force and effect at 12:01 a.m. on the thirty-
first (31st) day after its passage.
APPROVED AND ADOPTED this day of 2020.
ATTEST:
Lisa Pope, City Clerk
APPROVED AS TO FORM:
Arnold Alvarez-Glasman,
Interim City Attorney
Name:
Title: Mayor / Mayor Pro-Tem
- 3 -
STATE OF CALIFORNIA )
) ss
COUNTY OF LOS ANGELES )
I, Lisa Pope, City Clerk of the City of Vernon, do hereby certify
that the foregoing Ordinance, being Ordinance No. 1266, was duly and
regularly introduced at a regular meeting of the City Council of the
City of Vernon, held in the City of Vernon on Tuesday, April 7, 2020,
and thereafter adopted at a meeting of said City Council held on
Tuesday, , by the following vote:
AYES: Councilmembers:
NOES:
ABSENT:
Councilmembers:
Councilmembers:
And thereafter was duly signed by the Mayor or Mayor Pro-Tem of
the City of Vernon.
Executed this day of , 2020, at Vernon, California.
(SEAL)
Lisa Pope, City Clerk
- 4 -
City Council Agenda Item Report
Agenda Item No. COV-136-2020
Submitted by: Diana Figueroa
Submitting Department: City Administration
Meeting Date: April 7, 2020
SUBJECT
COVID-19 Emergency Microloan Program
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality Act (CEQA)
review, because it is an administrative activity that will not result in direct or indirect physical changes in
the environment and, therefore, does not constitute a "project" as defined by CEQA Guidelines section
15378; and
B. Approve the implementation of the City's COVID-19 Emergency Microloan Program that will offer
support to Vernon restaurants with an objective to prevent staff reductions, offset losses related to
COVID-19, and sustain operations through the COVID-19 crisis.
Background:
On March 14, 2020, the City of Vernon declared a local emergency due to the recent outbreak of the
Novel Coronavirus (COVID-19). The COVID-19 pandemic has impacted the economy in a dramatic
manner. Regional, state, and federal officials are taking action to prevent, as much as possible, lasting
effects on economic stability. As an advocate for business and industry, Vernon is interested in lending
support to its local, community restaurants during this challenging time. Vernon's restaurants
(approximately 26 in total) are especially impacted by the pandemic because they primarily serve the
local business community and employees in and around Vernon, many of whom are no longer coming to
work and/or under local shelter in place restrictions. Switching to full reliance on delivery and to -go
service options, as restaurants in other cities are doing, would likely not provide the same opportunities
for continued revenue in Vernon, a primarily industrial city.
As such, the City is acting swiftly to offer a form of monetary sustenance to this select and vulnerable
group. The newly proposed Vernon Emergency Microloan Program is part of the City's Business
Preservation/Disaster Relief Initiative and will offer a means to offset some of the financial burden that
these restaurants are now experiencing due to slowed business and the inability to serve dine -in
customers. These businesses play a vital role in the Vernon community and the City has an interest in
protecting their longevity and the local jobs provided to their employees, and is prepared to offer
assistance during the COVID-19 outbreak.
Outreach to restaurants in the City provided insight on the month -to -month operational costs for the
businesses. The City has determined that microloans ranging between $5,000 - $50,000 would be
significant in establishing some stabilityfor the restaurants over a 60-day period. It is, therefore,
recommended that an Emergency Microloan Program be established to render much needed relief.
Vernon's proposed microloan program seeks to augment programs created to alleviate some of the
hardships of small business like the federal government's Disaster Loan program, which is a $50 billion
allocation to the Small Business Association ("SBA") to provide disaster assistance loans of up to
$2,000,000 for companies that have been affected by COVID-19. Other state and federal initiatives
have been devised to mitigate impacts on businesses and workers. It is the goal of the City to
participate in these efforts to offer Vernon's community restaurants a fighting chance for survival during
this unprecedented time. In addition to offering its own microlending program, the Citywill educate its
business community on alternative programs, to ensure access to all available resources.
Funding
The City's Community Development Fund has sufficient unspent dollars in Fiscal Year 2020-20 that may
be reallocated to the Business Preservation/COVID-19 Disaster Relief Initiative. It is the City's intention
to utilize these funds to offer immediate and critical support for Vernon's small restaurant population.
With each day that passes during the COVID-19 crisis, these businesses are at risk for reducing or
eliminating staff, and/or permanent closure, likely with no opportunity to reestablish in the future.
As City leaders continue to monitor new developments related to COVID-19 in the coming weeks and
months, the City may consider additional measures to support the local community and small businesses
during this emergency. If necessary, the City may allocate funds for Fiscal Year 2020-21 in order to
direct funding toward elevating the local and regional economy, and aid in the recovery of Vernon
businesses who may sustain significant financial impacts as a result of the pandemic.
Vernon Emergency Microloan Program
The proposed microloan program will be a streamlined, simple process for applicants and City
Administration. Applicants would be evaluated thoroughly on a case -by -case basis through a highly
selective lens. This program is intended to applyto restaurants with a brick -and -mortar presence within
City of Vernon limits, and a summaryof the key elements of the program are as follows:
• An emergency loan fund to mitigate impacts of COVID-19
• Zero -interest loans for 6-12-month term; and 3-5% interest loans for 3-5 year term
• Available to restaurants located in the City of Vernon
• Must be used for reasonable working capital and operational expenses such as: preventing staff
reductions, offsetting losses related to COVID-19, and helping businesses sponsor sick payfor workers
• Must comply with City's non-discrimination policy
• No application fees
• Loan limits of $5,000-$50,000
• Funding available through September 30, 2020 or until the program is terminated bythe City.
Vernon's Emergency Loan Program is designed to meet the following objectives for restaurants in
Vernon: prevent staff reductions; offset losses related to COVID-19; and sustain operations through the
COVID-19 crisis.
Specific loan parameters and application materials are attached to this report and will be made available
on the City's website and disseminated to eligible businesses in Vernon.
Fiscal Impact:
Although not a planned expense, there are funds available in the FY2019/2020 Community Development
Fund that may support the City's Business Preservation/COVID-19 Disaster Relief Initiative, including the
Emergency Microloan Program.
Attachments:
1. Vernon COVID-19 Emergency Microloan Fact Sheet
2. Vernon COVID-19 Emergency Microloan Application
3. Vernon COVID-19 Emergency Microloan Agreement
CITY OF VERNON
BUSINESS PRESERVATION/COVID-19 DISASTER RELIEF INITIATIVE
FACT SHEET - EMERGENCY MICROLOAN PROGRAM
Incident: CORONAVIRUS (COVID-19)
Effective: March 25, 2020
Application Filing Deadline: September 30, 2020
VERNON DISASTER LOAN ASSISTANCE AVAILABLE
Emergency Microloans - Working capital loans to help restaurant businesses with a physical structure located in the City
of Vernon meet their ordinary and necessary financial obligations that cannot be met as a direct result of the COVID-19
disaster. These loans are intended to assist through the disaster recovery period. Availability of loans will be subject to City
Council approval of appropriated funds and/or depletion of funds based on program participation.
GENERAL ELIGIBILITY
• Credit History - Applicants must have an acceptable credit history. Principal business owner(s) must have
reasonable and responsible personal credit history and an acceptable explanation for any derogatory marks.
Bankruptcies and debt write-offs must be at least 12 months old.
• Repayment - Applicants must show the ability to repay the loan and submit a plan for repayment.
• Cash Flow - Businesses must show that historical profits were sufficient to service the requested debt and have
been impacted by the COVID-19 outbreak.
• Location - Primary business operation must be located within Vernon boundaries.
• Microloon Use of Funds - Must be for reasonable and eligible working capital or operational expenses (including
supplies, salaries, etc.).
• Sick Leave - Have written sick leave policies to assist workers impacted by the COVID-19 pandemic.
• Policy - Comply with the City's non-discrimination policy.
• Collateral - Collateral requirements will be evaluated on a case -by -case basis, but collateral may be required
for any loan over $25,000. A promissory note is required for all loans.
• Required Guarantors - All business owners who hold 20% or more ownership must guarantee the loan.
• Co -Signer - A co-signer with reasonable credit and sufficient income to re -pay the loan can be included as a
guarantor to mitigate weaknesses in the loan request.
MICROLOAN TERMS
Fees:
No application or loan fees.
Interest Rates:
The interest rate is fixed for the life of the loan. The maximum interest rate for this program is 5 percent.
• 0% for a term of 6 months to 1 year
• 2% to 5% for a term of 2 years to 5 years (1 % added per year)
Loan Terms:
The maximum loan term offered for the program is 5 years. The percentage of interest increases with each additional year
added to the loan term. Terms can range from 6 months to 5 years.
Loan Amount Limits:
$5,000 - $50,000 based upon need and evaluated on a case -by -case basis.
Eligible Uses:
Working capital or operational expenses only.
Insurance Requirements:
To protect the borrower and the City, borrowers may be required to obtain and maintain appropriate insurance.
IMPORTANT DOCUMENTATION
• Completed Loan Application
• Business Tax Returns (1 year, if available)
• Interim Business Financial Statement
• Personal Tax Returns (1 year)
• Bank Statements (3 months)
• Sources and Uses of Funds
Applicants may submit applications via email to dfigueroa@ci.vernon.ca.us.
Page 1 of 1
[Type here
CF rER
^' CITY OF VERNON
Business Preservation/COVID-19 Disaster Relief Initiative
VERNON EMERGENCY MICROLOAN PROGRAM
INSTRUCTIONS: Please complete the microloan application thoroughly and truthfully and submit to
dfiaueroa@ci.vernon.ca.us along with all applicable documentation. The City of Vernon may inquire about the application
and/or request that supplementary items be forwarded during the application review process.
IMPORTANT NOTICE
Within 10 calendars days of the date that the City of Vernon receives your
application, you will receive email notification that acknowledges its receipt
and whether your application is complete (or if additional information is
needed). If you do not receive this notification within 10 days of the submission
of your application, please contact dfiaueroa@ci.vernon.ca.us.
The loan application must be submitted in the name of the OWNER/OPERATOR of the restaurant business. This information is
entered by all applicants in "Part A - Applicant".
APPLICANTS:
• "Part B -Applicant Information" must be completed by all applicants.
ENTITY INFORMATION:
• "Part C - Entity Information" is information about a legal entity. Two or more persons operating together and
not a legal entity will identify themselves as a "Joint Operation" in Part C, Item 1, "Entity Type".
• NOTE - Entity Applicants may be required to provide supporting documentation such as, and not necessarily
limited to, Articles of Incorporation; Articles of Organization; Certificate of Limited Partnership; Formal Partnership
Agreement; By -Laws and Operational Authorities of all shareholders, members and owners to verify the legal
status of the entity, the authority of the shareholders, members or owners, and the composition of the entity
structure(s). Two or more persons operating together without formally written organizational documents will
designate themselves as a joint operation and indicate such in Part C.
IMPORTANT DOCUMENTATION TO INCLUDE WITH APPLICATION
• Business Tax Returns (1 year, if available)
• Interim Business Financial Statement
• Personal Tax Returns (1 year)
• Bank Statements (3 months)
• Sources and Uses of Funds
[Type here]
CITY OF VERNON
Business Preservation/COVI D- 19 Disaster Relief Initiative
REQUEST FOR MICROLOAN ASSISTANCE
Instructions: All applicants must complete the application in its entirety. Failure to
provide this information ma y result in not receiving
targeted funds for which the applicant may be eligible.
PART A - APPLICANT
1. Exact Full Legal Name 2. Address
3. Contact Information:
A. Home Telephone No. (Include Area Code)
B. Cell Telephone No. (Include Area Code)
C. E-Mail Address
PART B - APPLICANT INFORMATION
1. Social Security Number (9 Digit No.) 2. Birth Date (MM-DD-yyyy)
3. City of Operation Headquarters
PART C - ENTITY INFORMATION
NOTE: Individual liabilitywill be required regardless of the entity type. Informal entities
may leave Items 2 through 4 blank, if not applicable.
By signing initialing on each page of the application,you certify that you have read
and understand the statements and questions in the
loan application.
Entity Type ❑
S Corp ❑ Formal Partnership ❑ Other (specify)
Limited Liability Company ❑ Joint Operation
Individual C Corp
2. State of Registration
3. Registration Number
4. Tax Identification Number (9 Digit No.)
5. Exact Full Legal Name of Primary Entity Contact
6. Percentage of Ownership of Applicant
7. Number of Entity Members
Initials Date:
PROJECTED MONTHLY INCOME AND EXPENSES
1. INCOME:
A. DESCRIPTION
A. $ Amount
2. Total Monthly Income:
3. EXPENSES:
A. DESCRIPTION:
B. $ Amount
4. Total Monthly Expenses:
5. Net Income (Subtract Item 4 from Item 2):
6. Total Monthly Income:
ASSETS AND DEBTS as of:
7. ASSETS:
8. DEBTS:
A. DESCRIPTION
B. $ VALUE
A. CREDITOR
B. $ PAYMENT
C. $ BALANCE
9. TOTAL ASSETS:
10. TOTAL DEBTS:
11. Total Assets from Item 9:
12. Total Debts from Item 10:
13. Net Worth (Subtract Item 10 from Item 9):
Initials: Date:
INFORMATION
1. Purpose of Loan 2. Amount Requested
3. Describe your existing or planned operation, including a description of your existing hardship related to COVID-19.
4. Describe fully your experience with running the restaurant operation and your future plans for the operation.
NOTIFICATIONS,•ACKNOWLEDGMENT
YES
NO
1. Are you currently or have you ever, and in the case of an entity any member of the entity, conducted business
under any other name? If "YES ," list names in Item 8.
2. Have you ever, or in the case of an entity any member of the entity, obtained a direct or guaranteed loan from
another agency or financial institution?
3. If Item 2 is "YES," did you receive any debt forgiveness through write -down, write-off, compromise, adjustment,
reduction, charge -off, paying a loss on a guarantee, or bankruptcy? If "YES," provide details in Item 8.
4. Are you, or in the case of an entity any member of the entity, delinquent on any Federal debt or have any
❑
❑
outstanding Federal judgments? If "YES," provide details in Item 8.
5. Are you, or in the case of an entity any member of the entity, involved in any pending litigation? If "YES," provide
❑
❑
details in Item 8.
6. Have you, or in the case of an entity any member of the entity, ever been in receivership, discharged in bankruptcy,
or filed a petition for reorganization in bankruptcy? If "YES," provide details in Item 8.
7. Are you, or in the case of an entity any member of the entity, a City of Vernon employee or related to or closely
associated with an City of Vernon employee? If "YES," provide details in Item 8.
8. Additional answers. Write the Item number to which each answer applies. If you need additional space, use sheets of paper
the some size as this page and write the applicant's name on each additional sheet.
Initials: Date:
SPECIAL PROGRAM INFORMATION:
The Vernon Emergency Microloan Program is designed to reach targeted restaurant applicants who
operate in the City of Vernon.
RIGHTS AND POLICIES:
A. THE FAIR CREDIT REPORTING ACT (FCRA): The Fair Credit Reporting Act (FCRA) is a federal law that
regulates credit reporting agencies and compels them to insure the information they gather and
distribute is a fair and accurate summary of a consumer's credit history. Under the Fair Credit
Reporting Act, you have a right to: access to your credit report; protected access; accurate
reporting; have outdated information removed; maintain medical information privacy; limit
unsolicited credit offers; protect your personal account numbers; receive notification of possible
negative information; seek damages; know when your credit report is used against you; and know
your credit scores.
The City of Vernon may seek to order a credit report and verify the applicant's credit information.
B. NON-DISCRIMINATION PROVISION: Borrower certifies and represents that, during the duration of this
Agreement, it shall adhere to equal employment opportunity practices to assure that applicants,
employees and recipients of service are treated equally and are not discriminated against because of
their race, religion, color, national origin, ancestry, disability, sex, age, medical condition, sexual
orientation, gender identity or gender expression, or marital status. Borrower further certifies that it will
not maintain any segregated facilities.
C. COLLECTION POLICIES: Delinquencies, defaults, and abuses of loans can be costly and detrimental
to your credit, now and in the future. The lender (the City of Vernon) in this transaction, its agents
and assigns are authorized to take any and all of the following actions in the event loan payments
become delinquent on the loan described in the attached application: (1) Report your name and
account information to a credit bureau; (2) Assess additional interest and penalty charges for the
period of time that payment is not made; (3) Assess charges to cover additional administrative
costs incurred to service your account because of delinquency; and (4) Refer your account to a
private attorney or collection agency to collect the amount due, and/or seek judgment against
you for any deficiency.
When in its best interests, these actions may be taken by the City of Vernon to recover debts owed
by the applicant.
PERMISSION TO ORDER A CREDIT REPORT, AND VERIFY CREDIT INFORMATION:
BY SIGNING BELOW, I GIVE THE CITY OF VERNON PERMISSION TO ORDER A CREDIT REPORT AND VERIFY
ANY OTHER CREDIT INFORMATION.
CERTIFICATION:
1 certify that the information provided is true, complete, and correct to the best of my knowledge and
is provided in good faith to obtain a loan.
Signature of Individual Applicant or Entity Member
Capacity/Title
Date Signed (MM-DD-YYYY)
Signature of Individual Applicant or Entity Member
Capacity/Title
Date Signed (MM-DD-YYYY)
PART G - CITY OF • ONLY
1. Date Application Received
2. Date Application Deemed Complete
3. Credit Report? Fee?
4. Date Loan Funded
5. Name of City of Vernon Representative
CITY OF VERNON
BUSINESS PRESERVATION/COVID-19 DISASTER RELIEF INITIATIVE
EMERGENCY MICROLOAN AGREEMENT
THIS LOAN AGREEMENT (the "Agreement") is effective this day of
, 2020 (the "Effective Date") by and between the CITY OF VERNON (the
"Lender") and of (the "Borrower"), a
restaurant operating in the City of Vernon.
IN CONSIDERATION OF the Lender loaning certain monies (the "Loan") to the Borrower, and
the Borrower repaying the Loan to the Lender, both parities agree to keep, perform and fulfill
the promises and conditions set out in this Agreement:
LOAN AMOUNT AND INTEREST. The Lender promises to loan $ USD to the
Borrower and the Borrower promises to repay the principal amount to the Lender. A
Promissory Note has been attached for reference as Exhibit "A".
PAYMENT. This Loan will be repaid in consecutive monthly installments of principal and interest
on the first day of each month commencing the month following the beginning of the loan
under this Agreement and continuing until with the balance then owing
under this Agreement being paid at that time. A payment schedule has been attached for
reference as Exhibit "B".
DEFAULT. Notwithstanding anything to the contrary in this Agreement, if the Borrower defaults
in the performance of any obligation under this Agreement, then the Lender may declare the
principal amount owing and interest due under this Agreement at that time to be immediately
due and payable.
If the Borrower defaults in payment as required under this Agreement or after demand for ten
(10) days, the Security will be immediately provided to the Lender and the Lender is granted
all rights of repossession as a secured party.
GOVERNING LAW. This Agreement will be construed in accordance with and governed by
the laws of the State of California.
COSTS. There shall be no administrative fees or costs associated to the Agreement. All costs,
expenses and expenditures including, without limitation, the complete legal costs incurred by
enforcing this Agreement as a result of any default by the Borrower, will be added to the
principal then outstanding and will immediately be paid by the Borrower.
NON-DISCRIMINATION AND EQUAL EMPLOYMENT OPPORTUNITY PRACTICES. Borrower certifies
and represents that, during the duration of this Agreement, it shall adhere to equal
employment opportunity practices to assure that applicants, employees and recipients of
service are treated equally and are not discriminated against because of their race, religion,
color, national origin, ancestry, disability, sex, age, medical condition, sexual orientation,
gender identity or gender expression, or marital status. Borrower further certifies that it will not
maintain any segregated facilities. Borrower further agrees to comply with The Equal
Employment Opportunity Practices provisions as set forth in Exhibit "C".
BINDING EFFECT. This Agreement will pass to the benefit of and be binding upon the
Page 1 of 6
respective heirs, executors, administrators, successors and permitted assigns of the Borrower
and Lender. The Borrower waives presentment for payment, notice of non-payment, protest,
and notice of protest.
AMENDMENTS. This Agreement may only be amended or modified by a written statement
executed by both the Borrower and the Lender.
SEVERABILITY. The clauses and paragraphs contained in this Agreement are intended to be
read and construed independently of each other. If any term, covenant, condition or
provision of this Agreement is held by a court of competent jurisdiction to be invalid, void or
unenforceable, it is the parties' intent that such provision be reduced in scope by the court
only to the extent deemed necessary by that court to render the provision reasonable and
enforceable and the remainder of the provisions of this Agreement will in no way be affected,
impaired or invalidated as a result.
GENERAL PROVISIONS. Headings are inserted for the convenience of the parties only and are
not to be considered when interpreting this Agreement.
ENTIRE AGREEMENT. This Agreement constitutes the entire agreement between the parties
and there are no further items or provisions, either oral or otherwise.
(SIGNATURES BEGIN ON NEXT PAGE).
Page 2 of 6
IN WITNESS WHEREOF, the Parties have signed this Agreement as of the Effective Date stated in
Agreement.
City of Vernon, a California charter
City and California municipal
corporation
z
[OWNER/OPERATOR NAME] of [RESTAURANT NAME]
Name:
Carlos R. Fandino, Jr. Title:
City Administrator
ATTEST:
Lisa Pope,
City Clerk
APPROVED AS TO FORM:
Arnold Alva rez-Glasman,
Interim City Attorney
Name:
Title:
Page 3 of 6
EXHIBIT A
PROMISSORY NOTE
For value received,
(Borrower's Name) of
(Company Name) at
(Borrower's Address), ("Borrower"), promises to pay to the City of Vernon ("Lender"),
(Amount in Words) ( ) (Amount
in Numbers) ("Borrowed Money") is principal, plus interest at a rate of % ("Interest")
annually on the unpaid balance as set forth herein.
l . PAYMENT TERMS:
Borrower shall make equal payments of
( ) each, every
and ending on
2. TERM:
The term of this Loan begins from
3. SECURITY: (Pick Only One)
❑ This Note is Unsecured.
❑ This Note is Secured by
(Date) starting on
and ends at
hereinafter known as the "Security". If Borrower breaches provision in the Emergency
Microloan Agreement, Lender may declare all sums due under this Note immediately due and
payable, unless prohibited by applicable law. The Lender shall have the sole option to
accept the Security as full payment for the Borrowed Money without further liabilities or
obligations. If the market value of the Security does not exceed the Borrowed Money, the
Borrower shall remain liable for the balance due while accruing interest.
IN WITNESS WHEREOF, I set my hand under seal this (the day) of
(month), 2020 and I acknowledge receipt of a completed copy of this instrument.
Signed (Signature of Borrower)
Witness
Notary Public -SEAL
My Commission Expires / /.
Page 4 of 6
i*a:nl
PAYMENT SCHEDULE
Page 5 of 6
EXHIBIT C
EQUAL EMPLOYMENT OPPORTUNITY
PRACTICES PROVISIONS
A. Borrower certifies and represents that, during the performance of this
Agreement, the Borrower shall adhere to equal opportunity employment practices to assure
that applicants and employees are treated equally and are not discriminated against
because of their race, religious creed, color, national origin, ancestry, handicap, sex, or age.
Borrower further certifies that it will not maintain any segregated facilities.
B. Borrower agrees that it shall, in all solicitations or advertisements for applicants
for employment placed by or on behalf of Borrower, state that it is an "Equal Opportunity
Employer" or that all qualified applicants will receive consideration for employment without
regard to their race, religious creed, color, national origin, ancestry, handicap, sex or age.
C. Borrower agrees that it shall, if requested to do so by the City, certify that it has
not, in the performance of this Agreement, discriminated against applicants or employees
because of their membership in a protected class.
D. Borrower agrees to provide the City with access to, and, if requested to do so by
City, through its awarding authority, provide copies of all of its records pertaining or relating to
its employment practices, except to the extent such records or portions of such records are
confidential or privileged under state or federal law.
E. Nothing contained in this Agreement shall be construed in any manner as to
require or permit any act which is prohibited by law.
Page 6 of 6
City Council Agenda Item Report
Agenda Item No. COV-139-2020
Submitted by: Lilia Hernandez
Submitting Department: City Administration
Meeting Date: April 7, 2020
SUBJECT
Grant Agreement with AltaMed Health Services Corporation for COVID-19 Screening/Testing
Recommendation:
A. Find that the proposed action is exempt under the California Environmental Quality Act (CEQA)
review, because it is an administrative activity that will not result in direct or indirect physical changes in
the environment, and therefore does not constitute a "project" as defined by CEQA Guidelines section
15378; and
B. Approve and authorize the City Administrator to execute a Grant Agreement between the City of
Vernon and AltaMed Health Services Corporation (AltaMed) in substantially the same form as submitted,
for a total amount of $75,000 to support AltaMed's COVID-19 screening/testing services in the Southeast
Los Angeles Area.
Background:
On March 14, 2020 the City declared a local state of emergency due to the current COVID-19 outbreak
affecting the country. This action followed declarations by the Los Angeles County Department of Public
Health, the State of California and President Trump. The purpose of the proclamation of a local
emergency was to assist in a coordinated public health response to reduce transmission and illness
severity, provide assistance to public safety and health providers, and mitigate the effects of this
pandemic on the citizens, businesses, and employees of the City.
On March 25, 2020, the City was approached by AltaMed Health Services Corporation, a 501(c)(3)
Nonprofit organization (AltaMed), with a request to help fund COVID-19 screening/testing operations.
AltaMed is a medical provider with a significant presence in the Southeast Los Angeles Area (SELA)
region that provides medical care and services through clinics in the community. During this
unprecedented community health crisis, AltaMed has quickly responded to the need for locally
accessible COVID-19 screening and testing.
AltaMed has already launched five outdoor assessment centers where the community, both patients and
non -patients, can be evaluated rapidly without risking exposure in waiting rooms. AltaMed's focus on
community testing to identify the sick as well as to provide targeted care to the most vulnerable
populations (homeless, seniors, those with compromised immune systems) will help "flatten the curve" of
unnecessary visits to the hospital. To sustain this rapid response, AltaMed needs resources from
partners like the City of Vernon.
As confirmed cases of the Novel Coronavirus (COVID-19) continue to increase in Los Angeles County, it
is critically important that the City do its part to help identify potential individuals who may have contracted
the illness and work with healthcare professionals such as AltaMed to prevent spreading the virus to
other individuals. It is critical for AltaMed to continue to provide these necessary screening/testing
services to Vernon residents and the surrounding SELA community.
The City's emergency proclamation authorized the City Administrator to enter into any necessary
agreements to obtain any emergency assistance to implement necessary intervention activities to
prevent a threatened epidemic of disease in the community, and to take necessary measures to protect
and preserve the public health and safety from said public health hazard. As many of the people that
work in the City live in neighboring cities in the surrounding SELA region, supporting AltaMed's
COVID-19 screening efforts is critical to protecting the health and safety of the local community.
Although AltaMed requested a total of $125,000, the cost of operating an outdoor evaluation center for
one week, on March 28, 2020, the City Administrator agreed to provide an initial contribution of $50,000
in order to provide immediate support for the organization's COVID-19 screening/testing services in the
SELA region. AltaMed has requested the assistance of other SELA cities with the goal that all contribute
to fight and keep COVID-19 from spreading in our community. In addition to Vernon, the City of Pico
Rivera has also pledged to provide financial support for this purpose.
Staff is now requesting that the City Council grant AltaMed additional funds up to the requested amount.
The proposed grant agreement with AltaMed in the amount of $75,000 is specifically to support
operations for AltaMed's COVID-19 outdoor evaluation centers. The screening/testing services are
available to all in the SELA region including those who live and work in Vernon.
The proposed grant agreement has been reviewed and approved as to form bythe Interim City Attorney.
Fiscal Impact:
The fiscal impact of awarding and entering into a grant agreement with AltaMed is $75,000. This amount
is in addition to the City's initial contribution of $50,000. Sufficient funds to support AltaMed's COVID-19
evaluation centers are available in the Community Development Fund budget for FY 2019/2020.
Attachments:
1. COV-AltaMed Grant Agreement
City of Vernon — AltaMed Grant Agreement
On April 7, 2020 the City of Vernon (Grantor) awarded a grant to AltaMed Health Services Corporation
("AltaMed" or "Grantee") in the amount of $75,000 to support the following purposes: The operation of
AltaMed's outdoor assessment centers for COVID-19 screening/testing in the Southeast Los Angeles Area.
Grantor and Grantee agree to the following terms and conditions of the grant:
1. Scope of Work:
Grantee shall use the grant funds solely for the purposes stated below, and Grantee shall repay to Grantor
any portion of the amount granted which is not used for those purposes. Any changes in the purposes for
which grant funds are spent must be approved in writing by Grantor before implementation.
AltaMed is a medical provider with a significant presence in the Southeast Los Angeles Area that provides
medical care and services through clinics in the community. Funds will be utilized for the operation of
various outdoor assessment centers focused on COVID-19 screening/testing services. AltaMed's focus on
testing is to identify the sick as well as to provide targeted care to the most vulnerable populations
(homeless, seniors, those with compromised immune systems) and "flatten the curve" by providing
necessary medical care that is accessible to the local community. Screening/testing services will be
available to all those who live and work in Vernon and the surrounding Southeast Los Angeles Area cities.
2. Amount of Grant:
$75,000, payable upon the City's receipt of this executed Grant Agreement.
3. Conditions of Agreement:
Grantee agrees to the following conditions:
A. Reports. Grantee shall submit a written report to City Administration as follows:
• A narrative report describing in detail the use of the granted funds, compliance with the terms of
the grant and the progress made toward achieving the purposes of the grant. A financial report
of expenditures resulting from the grant.
• A copy of materials (if applicable) produced as part of the grant.
The schedule for such reports is:
Final report: May 30, 2020
Please submit your report via email directly to cfandino@ci.vernon.ca.us. If you have any questions about
the grant report, please reach out to the City by phone at 323.583.8811 Ext. 228 or by email at
cfandino@ci.vernon.ca.us.
B. Expenditure of Grant Funds. Any funds not expended in accordance with the terms of this agreement
must be returned to Grantor. Grantee shall not use any portion of the funds granted herein to engage in
any grassroots or direct lobbying, to intervene in any political campaign on behalf of or in opposition to
any candidate for public office, to fund union activity, to induce or encourage violations of law or public
City of Vernon - AltaMed Grant Agreement 12
policy, to cause any improper private benefit to occur, nor to take any other action inconsistent with
Section 501(c)(3) of the Internal Revenue Code.
C. PATRIOT Act. Grantee agrees that it will use the grant funds in compliance with all applicable anti-
terrorist financing and asset control laws, regulations, rules and executive orders, including but not limited
to the USA Patriot Act of 2001.
D. Return of Funds. If Grantor, in its sole discretion, determines that Grantee violates or fails to carry out
any provision of this Agreement, Grantor may, in addition to any other legal remedies it may have, refuse
to make any further payments to Grantee, and Grantor may demand the return of all or part of the
unexpended grant funds, which the Grantee shall immediately repay to Grantor.
E. Records and Audits. Grantee must maintain these grant funds in a separate fund dedicated to charitable
purposes. A systematic accounting record shall be kept by Grantee of the receipt and expense of such
funds. Grantee shall retain original substantiating documents related to specific expenditures and make
these records available for Grantor's review upon request. Grantee shall be responsible for maintaining
adequate financial records of this grant.
F. No Further Obligations by Grantor. This grant is made with the understanding that Grantor has no
obligation to provide other or additional support or grants to Grantee.
G. Subgrantees. With regard to the selection of any subgrantees to carry out the purposes of this grant,
Grantee retains full discretion and control over the selection process, acting completely independently of
Grantor. There is no agreement, written or oral, by which Grantor may cause Grantee to choose any
particular subgrantee.
H. Licensing and Credentials. Grantee hereby agrees to maintain, in full force and effect, all required
governmental or professional licenses and credentials for itself, its facilities and for its employees and all
other persons engaged in work in conjunction with this agreement.
I. Organizational and Staff Changes. Grantee agrees to provide immediate written notice to Grantor if
significant changes or events occur during the term of this Agreement which could potentially impact the
progress or outcome of the grant, including, without limitation, changes in: a) the Grantee's executive
staff or key staff responsible for achieving the grant purposes, or b) losses in funding. In the event that
Grantee ceases its operations, Grantee shall transfer any property purchased with the grant funds to
Grantor.
J. Liability, Disclaimers and Insurance Requirements. Grantee hereby irrevocably and unconditionally
agrees, to the fullest extent permitted by law, to defend, indemnify and hold harmless Grantor, its officers,
directors, trustees, employees and agents, from and against any and all claims, liabilities, losses and
expenses (including reasonable attorneys' fees) directly, indirectly, wholly or partially arising from or in
connection with any act or omission of Grantee, its employees or agents, in applying for or accepting the
grant, in expending or applying the funds furnished pursuant to the grant or in carrying out the program
or project to be funded or financed by the grant, except to the extent that such claims, liabilities, losses
or expenses arise from or in connection with any act or omission of Grantor, its officers, directors,
trustees, employees or agents. Grantees receiving grants in the amount of $75,000 or more shall obtain
from their insurance carriers certificates of insurance naming the City of Vernon as additional insured.
City of Vernon - AltaMed Grant Agreement 13
K. Promotion and Publicity. Recognition of the grant brings valuable attention to the mission and activities
of both Grantee and Grantor. Grantee agrees that Grantor may include information regarding Grantee
and/or this grant, including the amount and purpose of the grant, any photographs or materials Grantee
has provided for promotional purposes, Grantee's logo or trademark, and/or other information or
materials about Grantee's organization and activities, in Grantor's periodic public reports, newsletters,
events, and media releases. Grantee may, subject to Grantor's right of approval in its reasonable
discretion, promote Grantor and/or this grant by:
1. Reporting on the partnership with Grantor in Grantee's communication materials,
including but not limited to, newsletters, events, media interviews, website posts, and
promotional e-mails;
2. Assisting Grantor on cross -promotional events and endeavors.
Grantor must review and approve all materials (including website postings) that use its name or logo, prior
to production or publication. Such approval will not be unreasonably withheld.
L. Entire Agreement. Grantor reserves the right to withhold or suspend payments of grant funds if Grantee
fails to comply strictly with any of the terms and conditions of the Agreement. This Agreement shall
supersede any prior oral or written understandings or communications between the parties and
constitutes the entire agreement of the parties with respect to the subject matter hereof. This Agreement
may not be amended or modified, except in a written document signed by both Grantor and Grantee.
[Signatures begin on next page]
City of Vernon - AltaMed Grant Agreement 14
IN WITNESS WHEREOF, the parties have executed this Grant Agreement effective on the day of
, 20_
AltaMed Health Services Corporation, Grantee
Authorized Signature
Printed Name
Title
Date
CITY OF VERNON, Grantor
By:
Name: Carlos R. Fandino, Jr.
Title: City Administrator
Date:
ATTEST:
Lisa Pope, City Clerk
City Council Agenda Item Report
Agenda Item No. COV-135-2020
Submitted by: Diana Figueroa
Submitting Department: City Administration
Meeting Date: April 7, 2020
SUBJECT
Jaw Bone Canyon Property in Kern County
Recommendation:
Hold a discussion and provide direction to staff.
Background:
The City -owned property in the Jaw Bone Canyon area of Kern County covers approximately 18,000
acres of land, just east of Bakersfield. The land was originally purchased as a possible location for the
development of renewable energy generation, with the intent to install technology that would harness solar
and wind energy. Although there is not an active project at this time, interest in potential land usage has
motivated recent conversation about the viability and affordability of its development for the City.
This presentation is designed to provide an overview of the City's property, share history about the land
since its purchase, information about the various research/studies performed, and the challenges faced
in the City's pursuit of feasible renewable energy projects in Jaw Bone Canyon.
Fiscal Impact:
There is no fiscal impact associated with this report.
Attachments: