Page 496 - 2022-23 Blue Book Vol 2
P. 496

Special Parking Revenue Fund

                                                                                       2021-22         2022-23
                                                                                       Adopted        Proposed
                                                                                        Budget         Budget

            DEPARTMENTAL APPROPRIATIONS

            Transportation - Overtime funding is provided for maintenance of City-owned   $    394,600   $     1,020,196
            parking facilities and meters. This streamlines the administrative process and the
            need to transfer funds during the year. For 2022-23, funding for salaries and
            overtime for maintenance of parking meters and revenue support is provided.
            Subtotal Departmental Appropriations
                                                                                    $          394,600   $     1,020,196


            SPECIAL PURPOSE FUND APPROPRIATIONS

            Capital Equipment Purchases - Funds are provided for the replacement and     5,800,000       6,890,000
            upgrade of equipment including, but not limited to, meters and pay stations and
            for the retrofit of the Hollywood Highland facility.

            Collection Services - Funds are continued for parking meter collection services.    3,000,000   3,000,000
            A contractor currently services individual meters, multi-space meters, and off-
            street pay stations.

            Contractual Services - Funds are continued for lot operation agreements, asset   23,000,000   23,000,000
            development  and  expansion  studies,  recurring  and  new  meter  technology,
            communication and credit card processing costs, anticipated parking occupancy
            tax  receipts  to  be  remitted  to  the  Office  of  Finance,  and  the  lease  and
            maintenance of single-space parking meters.

            Maintenance, Repair, and Utility Service for Off-Street Parking Lots - Funds    2,500,000     2,500,000
            are  continued  for  recurring  costs  (security,  sweeping,  lighting,  landscape
            maintenance, and debris removal on lots and utilities) and non-recurring costs
            (repair of wheel stops, walls, signs, potholes, gates, fences, slurry seal, and
            resurfacing). Landscaping services encompass all surface lots, and funding is
            provided  to  prevent  service  lapses  and  address  safety  hazards  in  a  timely
            manner.

            Miscellaneous Equipment* - Funds are continued for administrative equipment     60,000          60,000
            and office supplies.
            Parking Facilities Lease Payments - Funds are provided for payments on         360,000         840,000
            leased parking facilities throughout the City.

            Parking Meter and Off-Street Parking Administration - Funds are provided for   6,208,604     6,618,000
            staff performing parking administration services.

            Parking Studies - Funds are continued for various parking studies throughout    500,000        500,000
            the City.









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