06/19/2008
City Council Agenda
Location: Council Chambers - City Hall
Date: 6/19/2008- 6 :00 PM
Welcome. We are glad to have you join us. If you wish to speak, please wait to be recognized, then state your
name and address. Persons speaking before the City Council shall be limited to three (3) minutes unless
otherwise noted under Public Hearings. For other than Citizens to be heard regarding items not on the Agenda, a
spokesperson for a group may speak for three (3) minutes plus an additional minute for each person in the
audience that waives their right to speak, up to a maximum of ten (10) minutes. Prior to the item being
presented, please obtain the needed form to designate a spokesperson from the City Clerk (right-hand side of
dais). Up to thirty minutes of public comment will be allowed for an agenda item. No person shall speak more
than once on the same subject unless granted permission by the City Council. The City of Clearwater strongly
supports and fully complies with the Americans with Disabilities Act (ADA). Please advise us at least 48 hours
prior to the meeting if you require special accommodations at 727-562-4090. Assisted Listening Devices are
available. Kindly refrain from using beepers, cellular telephones and other distracting devices during the
meeting.
1. Call to Order
2. Invocation
3. Pledge of Allegiance
4. Presentations
4.1 Presentation of Awards from Neighborhoods USA
~ Attachments
4.2 Top Scholastic Clearwater High School 2008 Graduates
~ Attachments
5. Approval of Minutes
5.1 Approve the minutes of the June 5, 2008 City Council Meeting and the June 5, 2008 Attorney-Client
Session as submitted in written summation by the City Clerk.
~ Attachments
6. Citizens to be Heard re Items Not on the Agenda
Public Hearings - Not before 6:00 PM
7.Administrative Public Hearings
- Presentation of issues by City staff
- Statement of case by applicant or representative (5 min.)
- Council questions
- Comments in support or opposition (3 min. per speaker or 10 min
maximum as spokesperson for others that have waived their time)
- Council questions
- Final rebuttal by applicant or representative (5 min.)
- Council disposition
7.1 Approve amendments to Beach by Design: A Preliminary Design for Clearwater Beach and Design
Guidelines that allow for increased height for overnight accommodation uses being allocated additional
density via the Hotel Density Reserve in limited locations, and modify the Design Guideline governing
the theoretical maximum building envelope as it pertains to overnight accommodation uses being
allocated additional density via the Hotel Density Reserve, and Pass Ordinance 7967 -08 on first reading.
@ Attachments
8. Second Readings - Public Hearing
8.1 Adopt Ordinance No. 7913-08 on second reading, amending Appendix A, Article XXV Public Works-
Fees, Rates and Charges; Section (3)(a) Water Rates, Section (3)(b) Wastewater Collection Utility Rates,
and Section (3)(f) Reclaimed water rates.
~ Attachments
8.2 Adopt Ordinance No. 7914-08 on second reading, amending Appendix A, Article XXV Public Works-
Fees, Rates and Charges, Section (3)(e) Stormwater Management Utility Rates.
~ Attachments
8.3 Adopt Ordinance No. 7957-08 on second reading, amending Chapter 54.22, Code of Ordinances, to
exempt properties in the Community Redevelopment Area from Recreation Land Impact Fees and
Recreation Facilities Impact Fees, and amending Chapter 54.52, Code of Ordinances, to exempt properties
in the Community Redevelopment Area from Open Space Impact Fees.
~ Attachments
8.4 Adopt Ordinance No. 7966-08 on second reading, amending Appendix A, Article XXVIII, Schedule of
Fees, to provide for a 5% increase in Business Tax Receipt Fees.
@ Attachments
City Manager Reports
9. Consent Agenda
9.1 Award a contract (Purchase Order) for $307,560.00 to Ten-8 Fire Equipment, Inc., 2904 59th Avenue
Drive East, Bradenton, FL for two (2) Medtec Transport Ambulances in accordance with Sec. 2.564(1)(d),
Code of Ordinances - Other governmental bid, authorize lease purchase under the City's Master Lease
Purchase Agreement and authorize appropriate officials to execute same. (consent)
~ Attachments
9.2 Declare the list of vehicles and equipment surplus to the needs of the City and authorize disposal through
sale to the highest bidder at the Tampa Machinery Auction, Tampa, Florida, and authorize the appropriate
officials to execute same. (consent)
~ Attachments
9.3 Approve the lease of the cafe space in the Clearwater Main Library to Mr. Bernard F. Dillman for a term
of five years, with a five-year renewal unless either party provides written notification of termination and
authorize the appropriate officials to execute same. (consent)
~ Attachments
9.4 Approve an agreement between the City of Clearwater and the School Board of Pinellas County, Florida,
providing for the continuation of the School Resource Officer program at Clearwater High School,
Countryside High School, Kennedy Middle School and Oak Grove Middle School for a one-year period
commencing July 12008 through June 30, 2009. (consent)
~ Attachments
9.5 Approve discontinuing the Police Park Patrol Program as of June 19,2008. (consent)
@ Attachments
9.6 Award a Contract (Purchase Order) for $ 135,800.00 to Anderson and Shah Roofing of Largo, FL as the
lowest bidder to the City of Clearwater Bid 25-08 for the restoration of General Services Building Roof,
replace all skylights and install ridge ventilators and authorize the approiate officials to execute same.
(consent)
@ Attachments
9.7 Approve a contract for the Clearwater Bayfront Promenade (05-0008-MA)to Misener Marine
Constrnction of Tampa, Fl, in the amount of $1,480,139.28 and authorize the appropriate officials to
execute same, and authorize staff to initiate financing of the project. (consent)
@ Attachments
9.8 Issue a purchase order to Harcros Chemicals, Tampa, FL, in the amount of $630,000, per Bid 23-08, for
Liquid Bisulfite, a chemical for dechlorination of wastewater, over a 1 year period, with 2 additional,
annual extensions, in order to meet the requirements of the Florida Department of Environmental
Protection and authorize the appropriate officials to execute same. (consent)
@ Attachments
9.9 Approve amendments to the Capital Improvement Program (CIP) to restructure current Stormwater
Project funding by reducing budgets for projects funded by FY09 Stormwater Bond Proceeds while
increasing Stormwater Utility Revenue for project funding by $2,589,507 and restructure the CIP due to
reprioritization of project importance. (consent)
@ Attachments
9.10 A ward a contract to Angle and Schmid, Inc. of St. Petersburg, Florida for the construction of Station
Square Park Project, in the amount of $1,266,030.85, which is the lowest responsive bid received in
accordance with the plans and specifications. (consent)
@ Attachments
10. Other items on City Manager Reports
10.1 Tourist Development Tax - Lee Daniels
~ Attachments
10.2 No item
@ Attachments
10.3 Amend the City's fiscal year 2007/08 Operating and Capital Improvement Budgets at Mid Year and pass
Ordinances 7979-08 and 7980-08 on first reading.
~ Attachments
10.4 Approve amending Purchase Order (ST104168) to Wannemacher Russell Architects, Inc. of St.
Petersburg, Florida in the amount of $175,185, for a total of $275,185, to complete the design and
permitting of the Carpenter Complex Clubhouse Renovations and approve establishing a new CIP (315-
93606) in the amount of $3 million to be funded from General Fund retained earnings.
~ Attachments
10.5 Approve the term sheet establishing the basis for negotiations for possible City acqusition of 5.7 acres
owned by Clearwater Country Club Management, Inc. and amendment of the current Lease Agreement
between the City and CCc.
~ Attachments
10.6 Appoint the Neighborhood and Affordable Housing Board as the Affordable Housing Advisory
Committee and provide for member terms for the State Housing Initiatives Partnership (SHIP) program,
adopt Resolution 08-15 and pass Ordinance 7981-08 on first reading.
~ Attachments
Miscellaneous Reports and Items
11. City Manager Verbal Reports
11.1 City Manager Verbal Reports
~ Attachments
12. Council Discussion Items
12.1 Provide Direction re nominations for the Florida League of Cities Excellence A wards
~ Attachments
13. Other Council Action
13.1 Other Council Action
@ Attachments
14. Adjourn
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Presentation of Awards from Neighborhoods USA
SUMMARY:
. NUS A - Neighborhoods USA awards Development and Neighborhood Services' CAN Program 2nd Place for Program of
the Year - in the Social Revitalization Category
. NUS A awards Bayview Heights 2nd Place for Neighborhood of the Year in the Physical Revitalization Category
. NUS A awards Edgewater Drive Homeowners Association as a Finalist in the Social Revitalization Category
Review Approval: 1) Clerk
Cover Memo
Item # 1
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Top Scholastic Clearwater High School 2008 Graduates
SUMMARY:
Meeting Date:6/19/2008
Review Approval: 1) Clerk
Cover Memo
Item # 2
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve the minutes of the June 5, 2008 City Council Meeting and the June 5, 2008 Attorney-Client Session as submitted in
written summation by the City Clerk.
SUMMARY:
Review Approval: 1) Clerk
Cover Memo
Item # 3
Attachment number 1
Page 1 of 1
CITY COUNCIL SPECIAL MEETING
CITY OF CLEARWATER
Closed Attorney/Client Session
June 5, 2008
The City Council of the City of Clearwater met in closed session
June 5, 2008, at 5:05 p.m., with the following members present:
Frank V. Hibbard
George N. Cretekos
Carlen Petersen
John Doran
Paul Gibson
William B. Horne II
Pamela K. Akin
Paul Richard Hull
Jeffrey L. Hinds, Esq.
The Mayor called the meeting to order and
for the purpose of discussing Christina McNeil
Corporation, v. City of Clearwater, a Munici
No. 07-6034-CI-015, pending in the Circuit
County, Florida. This meeting is exempt fro
The entire session was rec
made part of the public record up
The closed session a
Frank V. Hibbard
Mayor
Attorney-Client 2008-06-05
1
Item # 3
Attachment number 2
Page 1 of 14
CITY COUNCIL MEETING MINUTES
CITY OF CLEARWATER
June 5, 2008
UNAPPROVED
Present:
Frank Hibbard
George N. Cretekos
John Doran
Carlen Petersen
Paul Gibson
Mayor
Vice-Mayor
Councilme
Council
Council
Also present:
Jill S. Silverboard
Rod Irwin
Pamela K. Akin
Mary K. Diana
Brenda Moses
The Mayor called the meeting to order at 6:00
offered by Pastor Bob Brubaker from Christ Com
the Pledge of Allegiance.
To provide continuity for research, i
necessarily discussed in that order.
4. Presentations
4.1 Pinellas Count
City Action Accord
ie Duncan said the County is requesting
Housing Ordinance, which addresses affordable
proposed countywide ordinance allows for
ns, and provides that new housing
rcentage of affordable housing. In return
provided. objective is to create a balance between
ng costs on to other homeowners. The County will
I comments and determine the best way to proceed.
is a way municipalities can support green practices.
4.2
John
commended Par
others.
erations Officer of the National Alliance for Youth Sports
creation staff and the youth in Clearwater for serving as a model to
The Mayor presented the awards.
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Attachment number 2
Page 2 of 14
4.3 USF Public Administration Proqram - Dr. Daly
Dr. John L. Daley, USF Public Administration Program, thanked the City for its
continuing support of the public administration program. He recognized Development &
Neighborhood Services Director Jeff Kronschnabl for serving in the publi administration
program for more than 10 years and presented him with an award in rec ' ion of his service.
4.4 Proclamation: Clearwater Celebrates Younq Artists - J
4.5 Proclamation: National Homeowners Month - June 2
5. Approval of Minutes
Councilmember Petersen moved to approve the m'
Council Meeting as submitted in written summation b
seconded and carried unanimously.
Councilmember Doran moved to appr
February 16, 2005, as submitted in written su
seconded and carried unanimously.
6. Citizens to be Heard re It
7.
ented for s a reading and read by title only.
ass and adopt Ordinance 7940-08 on second and final
ed and upon roll call, the vote was:
n, Cretekos, Gibson, and Hibbard.
Ordinance 7951-08 was presented for second reading and read by title only.
Councilmember Doran moved to pass and adopt Ordinance 7951-08 on second and final
reading. The motion was duly seconded and upon roll call, the vote was:
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Attachment number 2
Page 3 of 14
"Ayes": Doran, Petersen, Cretekos, Gibson, and Hibbard.
"Nays": None.
Ordinance 7952-08 was presented for second readin
Councilmember Cretekos moved to pass and adopt Ordinanc
reading. The motion was duly seconded and upon roll call, the
"Ayes": Doran, Petersen, Cretekos, Gibson, and
"Nays": None.
7.4
Ordinance 7953-08 was prese
Councilmember Gibson moved to
reading. The motion was duly sec
nted for se nd reading and read by title only.
ss and adopt Ordinance 7954-08 on second and final
ed and upon roll call, the vote was:
n, Cretekos, Gibson, and Hibbard.
Ordinance 7955-08 was presented for second reading and read by title only.
Councilmember Doran moved to pass and adopt Ordinance 7955-08 on second and final
reading. The motion was duly seconded and upon roll call, the vote was:
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Attachment number 2
Page 4 of 14
"Ayes": Doran, Petersen, Cretekos, Gibson, and Hibbard.
"Nays": None.
7.7
Ordinance 7956-08 was presented for second readin
Councilmember Cretekos moved to pass and adopt Ordinan
reading. The motion was duly seconded and upon roll call, th
"Ayes": Doran, Petersen, Cretekos, Gibson, and
"Nays": None.
8. Consent Agenda - Approved as submitte
ased fundin for CI P 315-93265 Clearwater Beach
transfer funds from CIP 315-93210 Memorial Causewa
ro'ect that has been com leted. (consent)
8.7 Award a co ct Purchase Order for 191 850.54 to Rush Truck Center of Tam a FL
for one Peterbilt Model 320 Chassis with an EZ Pack Hercules 40 yard front loader body in
accordance with Sec. 2.564(1 )(d), Code of Ordinances - Other qovernmental bid, authorize
lease purchase under the City's Master Lease Purchase Aqreement and authorize appropriate
officials to execute same. (consent)
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Attachment number 2
Page 5 of 14
8.8 Ratify and confirm Chanqe Order 1 and Final to TLC Diversified, Inc. of Palmetto, Florida
for the "Marshall St. / Northeast WPC Facilities Odor Control Improvements Proiect" 05-0062-
UT decreasinq the contract amount by ($8,944.50) for a new contract total of $219,085.00 and
a rove a time extension of 150 da s and that the a ro riate officials b authorized to
execute same. (consent)
urt decision in School Board of Pinellas Count
nsent)
8.15 IS..
Clearwater
lowest bid fro
counties and mu
Councilmember Gibson moved to approve the Consent Agenda as submitted and the
appropriate officials be authorized to execute same. The motion was duly seconded and carried
unanimously.
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!Item # 3
Attachment number 2
Page 6 of 14
9. Other items on City Manager Reports
9.1 Adopt Resolution 08-08, to file a lien for a total cost of $4,158.85 on the property located
at 816 S. Martin Luther Kinq Jr. Avenue, Clearwater, Florida; Leqal description: Greenwood Hills
Lot 4: Owner of record Reinaldo DeCarvalho 10708 53rd Avenue St. Pe rsbur Florida
33708.
On June 2, 2006, the City Building Official determined t
located at 816 S. Martin Luther King Jr. Avenue was unsafe,
habitation, was dangerous and detrimental to the health, saf
community, and therefore, did not comply with the requirem
Ordinances and the Standard Building Code. The property 0
owner did not abate the unsafe conditions within a specified tim
required legal steps, the City hired a contractor and the structur
14,2007.
Staff recommends approval of Resolution 08-08, w
property in the amount of $4,158.85 for all cost incurr
abate a dangerous structure at 816 S Martin Luthe
Councilmember Gibson moved to appr
property located at 816 S. Martin Luther King
Greenwood Hills Lot 4: Owner of record Rein
Petersburg, Florida 33708. The moti as d
Resolution 08-08 was pres
to pass and adopt Resolution 0
execute same. The motion
ber Petersen moved
riate officials to
Building Official determined that the residential structure
safe, unsanitary, unfit for human habitation, was
Ith, safety and general welfare of the community, and
uirements of the Clearwater Code of Ordinances and the
erty owner was notified, however the owner did not abate the
led time period. After taking the required legal steps, the City
cture was demolished on December 14, 2007.
s approval of Resolution 08-09, which allows a lien to be placed on the
property in the amo of $3,212.30 for all cost incurred by the City after ordering the owner to
abate a dangerous structure at 1150 LaSalle Street.
Councilmember Doran moved to approve filing a lien for a total cost of $3,212.30 on the
property located at 1150 LaSalle Street, Clearwater, Florida; Legal description: Greenwood Park
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Attachment number 2
Page 7 of 14
No.2, Blk E, Lot 58: Owner of record Joseph F. Zani, 736 Island Way, Unit 1102, Clearwater,
Florida 33767. The motion was duly seconded and carried unanimously.
Resolution 08-09 was presented and read by title only. Council member Gibson moved
to pass and adopt Resolution 08-09 as amended and authorize the appro riate officials to
execute same. The motion was duly seconded and upon roll call was:
"Ayes": Doran, Petersen, Cretekos, Gibson, an
"Nays": None.
Staff recommends approval of
property in the amount of $12,283.
abate a dangerous structure at 11
ost of $12,283.70 on
description: Greenwood
d Flaresco Inc., n St, Greenville, South
ded and carried unanimously.
by title only. Council member Petersen moved
authorize the appropriate officials to
pon roll call was:
located
Lot 11
, the City Building Official determined that the residential structure
located at 1304 N. (lison Avenue was unsafe, unsanitary, unfit for human habitation,
dangerous and detrimental to the health, safety and general welfare of the community, and
therefore, did not comply with the requirements of the Clearwater Code of Ordinances and the
Standard Building Code. The property owner was notified, however the owner did not abate the
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Attachment number 2
Page 8 of 14
unsafe conditions within a specified time period. After taking the required legal steps, the City
hired a contractor and the structure was demolished on January 7, 2008.
Staff recommends approval of Resolution 08-11, which allows a lien to be placed on the
property in the amount of $6,603.15 for all cost incurred by the City after dering the owner to
abate a dangerous structure at 1304 N. Madison Avenue, Clearwater, FI
Councilmember Doran moved to approve filing a lien fo
property located at 1304 N. Madison Avenue, Clearwater, FI
Sub Blk G, Lot 11 & N 19.2 ft of Lot 12: Owner of record Go
Keith A Ringelpaugh, 3347 49th St N., St. Petersburg, Florid
seconded and carried unanimously.
Resolution 08-11 was presented and read by title only.
to pass and adopt Resolution 08-11 as amended and authorize
execute same. The motion was duly seconded and upon roll call
"Ayes":
"Nays": None.
In 1995, the City Council a
Business Tax Receipt fee sch I
guideline set forth by Florida
d revised the City's
nce with the
ws municipalities ease Business Tax Receipt
This requires a majority plus one vote of the
in 1997, 2000, 2002, and 2005.
me effective immediately upon adoption is
Development & Neighborhood Services Department
revenues (revenue code 010-321101). The current 5%
103,799.15 of additional revenues.
ur until 2010, translating to 5% over 5 years.
oved to approve an amendment to the Code of Ordinances,
siness Tax Receipt Fees, for a 5% increase in fees. The motion
ried unanimously.
Ordinance 6-08 was presented for first reading and read by title only.
Councilmember Petersen moved to pass Ordinance 7966-08 on first reading. The motion was
duly seconded and upon roll call, the vote was:
"Ayes": Doran, Petersen, Cretekos, Gibson, and Hibbard.
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Attachment number 2
Page 9 of 14
"Nays": None.
The BCRLF was structured to provide low-interest
redevelopment of environmentally impaired propertie
entities to loan to other government agencies, but
states that the City may discount up to 30% of t
the total amount of the principal forgiven shall
for the cleanup
Community
eloper or other
I n October 1999, the City Council authorized the City
Agreement and Work Plan for the $500,000 award received
Environmental Protection Agency (EPA) for the Clearwater
Loan Fund (BCRLF). EPA awarded the City supplemental fu
September 28, 2006 increasing the original $500,000 award to
approved a time extension of the budget and project period date
current balance of $702,482.85 is available from this award wit
The City determined that the best use
of the Clearwater Automotive Salvag d si
Redevelopment Agency (CRA) is i r po Ion to
private entity if it provides for the ental clean
, the City Coun tion 05-19 authorizing
funds provided e EPA as part of the
cleanup of the C r Automotive Salvage Yard
e $350,000. Resolution 08-12 requests the City
a loan in the amount up to $350,000 to the CRA
o site and to address off-site environmental
bilitation Co letion Order (SRCO) from FDEP for the
ted to address off-site contamination related to the
f foundry sands/slag material at depths of between two (2)
s documented in soil borings at the Ron's AAMCO site.
er Auto activities to the adjacent Ron's Aamco property.
ore be delineated and evaluated for potential remediation
assessment. The delineation has been complete and
, 2006 interlocal agreement outlines the City and CRA
ng the site for redevelopment. It also notes that the cleanup of the
Clearwater Auto pr ct may exceed the $350,000 adopted by Resolution 05-19. The
agreement allows the City, through its Brownfields program or other sources, or the CRA to
cover the additional costs of remediation and preparing the site for redevelopment.
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Attachment number 2
Page 10 of 14
According to the agreement, the CRA agrees that it will require the developer, person or
entity to whom the Site is conveyed following the environmental cleanup to pay the City the
necessary amount so appropriated from the BCRLF as part of the sale agreement. The loan
amount to the CRA will have a zero interest rate and shall be repaid from: a) amounts repaid to
the CRA from the private developer or another party to whom the CRA ul' ately conveys the
Site following the environmental cleanup; b) TIF funds; c) the General F f the City through
budget appropriations in subsequent years so that such BCRLF be va' by the
City for the environmental cleanup of the other sites if the prop na after a
reasonable time (within five years of the completion of the en ental c1e vided for
herein); d) other means legally sufficient and approved by E ny paym City of
Clearwater General Fund is subject to the annual appropriati ces
As stated earlier, a portion of the loan may be discounte
the BCRLF.
Resolution 08-12 was presented and r
to pass and adopt Resolution 08-12 and auth
The motion was duly seconded and u roll
"Ayes":
"Nays":
r collection and reclaimed
2008 October 1 2009 and October 1 2010 with
er 1 2011 and October 1 2012 and ass
mber 16, 2004 and provided for a 7%
'th subsequ 6% increases to be effective October 1,
2008. In addition, the rate ordinance established
'th rates subject to the same increases as for water, lawn
rate s
through
effective 0
and October ,
2012. The incre
usage.
pleted a new water, wastewater, and reclaimed water utility
of operations. The current study covers the period FY 2009
as increasing the previously approved 6% increase to be
Yo with subsequent 7% increases to be effective October 1, 2009
th 6% increases to be effective October 1, 2011 and October 1,
applicable to water, lawn water, wastewater and reclaimed water
This utility rate increase is needed to provide funding to maintain compliance with debt
service coverage requirements supporting the continuation of capital improvement projects
needed to sustain the City's utility infrastructure. Infrastructure improvements are needed to
Council 2008-06-05
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Attachment number 2
Page 11 of 14
maintain compliance with federal, state and district regulations concerning water supply and
treatment and the wastewater collection system, maintain reliability of the water pollution control
facilities due to age of the infrastructure, and to expand the reclaimed water system. Master
Plans have been completed for all of the systems in Public Utilities and the capital
improvements program has been revised to meet future infrastructure ne ds.
A primary driver for requesting the additional rate increase
revenue bonds in FY2009. Bond insurers and rating agencies
approved rates providing the revenues to meet the utility's 0
as debt service requirements.
Public Utilities Director Tracy Mercer provided a Powe
most of the City's costs are fixed due to government regulations.
said the City charges the City of Safety Harbor for capacity and
capital costs for treatment of sewage. Finance Director Margie
for costs charged to Safety Harbor. Staff performs an analysis based 0
proportionate share and any enhancements to the system
Discussion ensued and concern was expr
over a five-year period. Ms. Simmons said the
there have been times when the projected rat
In response to a question, Ms
of wells to reduce its dependence
requires more treatment.
Concern was expres
things now ma result in highe
proacti
and not doing some
learwater has been
ve increasing domestic water, lawn water,
ates by 7% effective October 1, 2008, October
reases to be effective October 1, 2011 and
carried unanimously.
nted for first reading and read by title only.
ss Ordinance 7913-08 on first reading. The motion was
ote was:
en, Cretekos, Gibson, and Hibbard.
The City's utility rate consultant, Burton and Associates, has completed a revenue
sufficiency and financial forecast analysis following the completion of a second year of
operations under the rates approved in 2006. At that time, due to significant increases in
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Attachment number 2
Page 12 of 14
construction, pension, insurance costs, in addition to increased maintenance costs associated
with our National Pollutant Discharge Elimination System permit, the analysis showed that rate
adjustments were necessary through the year 2011. On July 20, 2006, Council approved a
series of 6% rate increases to be effective October 1, 2006 ($9.91), October 1, 2007 ($10.50),
October 1,2008 ($11.13), October 1, 2009 ($11.80) and October 1, 2010 $12.51).
Burton and Associates' 2008 revenue sufficiency and financial forecast a sis shows that
additional increases of 4.25% are needed for each of fiscal years 12 ( a 13
($13.59) with no changes necessary for the already approved r: rea , Y10
and FY11.
A primary driver for requesting the additional rate inc
revenue bonds in FY2009. Bond insurers and rating agencie
approved rates providing the revenues to meet the utility's oper
as debt service requirements.
It was remarked that this item requires
Simmons said some municipalities use gener
their stormwater needs. A comment was ma
overlooked in the 1950s, homes have n ta
actions will help the City's insuranc
Councilmember Doran
Stormwater Utility rate to $1
2011 and to $13.59 per ERU b
carried
I and commercial
eginning October 1,
as duly seconded and
'rst reading and read by title only.
ce 7914-08 on first reading. The motion was
ibson, and Hibbard.
en S ace Land Dedication Ordinance
Space Land Dedication Ordinance was first adopted in 1983
ectives outlined in the City of Clearwater Comprehensive Plan
recreation needs in the City.
This Ordina has been amended several times to provide incentives for annexations,
waiver of fees for Agreements to Annex entered into between July 1983 and February 1994,
and corrections needed due to the adoption of the new community development code in 1999.
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Attachment number 2
Page 13 of 14
The basic structure and rationale for the Ordinance was based largely upon a
Recreation and Open Space Study prepared in June 1983. However, conditions have changed
since 1983, including the adoption of Resolution 02-41, which expanded the City of Clearwater
Community Redevelopment Area to include the Gateway areas.
Chapter 54 of the Code of Ordinances provides for an exemption
developed in the Downtown Redevelopment Plan as approved by: e Ci
17,1995.
On September 18, 2003, the Council adopted Ordina
Community Redevelopment Plan for the Community Redeve
Gateway area. This Ordinance affirmed that such modificatio
create the need for additional parks and recreational facilities an
parks and recreational facilities existed then or were anticipated
Councilmember Gibson moved to ame
Space Land Dedication Ordinance. The moti
Ordinance 7957-08 was prese
Councilmember Peterson moved t
duly seconded and upon roll call, t
e motion was
sing Director Geri Lopez reviewed the proposal for the
8. The celebration will include a dedication/ribbon cutting
ks at a cost not to exceed $8,000. Sponsors have helped
ntinue to look for private donations.
Di
Beachwalk t
patience during
thanked for reducl
It was felt that it is important to celebrate the completion of
who contributed to the project, to thank the businesses for their
on, and to let the public know the area is now open. Staff was
celebration's budget from $22,000 to $8,000, and for finding sponsors.
Consensus was for staff to schedule the event at a cost not to exceed $8,000 and to
continue to find more sponsors for the event.
Council 2008-06-05
13tem # 3
Attachment number 2
Page 14 of 14
The City Manager referred to eight Clearwater projects listed in Goinq Green and kids'
activities inspiring to him.
Other City Attorney Items
City Attorney Pam Akin requested an Attorney-Client Session be
on June 19, 2008 regarding Wendy Cason v. City of Clearwater. nse
It was clarified Mark Searcy is the agent selected to p
development of a parking garage on Clearwater Beach.
Councilmember Petersen requested Council's position
regarding a new stadium for the Tampa Bay Rays. Consensus
indicating additional data is needed. The proposed location was
11. Other Council Action
Councilmembers reported on events in which
upcoming events; expressed condolences to Harri
there are a lot of good, talented young people in
Councilmember Doran said the art tha
areas include art, and the City is encouraging
Councilmember Gibson sai
ch will affect some
lotte, Dallas, and
ooking to create a safer
ed Clearwater Downtown
Mayor
City of Clearwater
City Clerk
Council 2008-06-05
14tem # 3
<c\}p<b
~"
olY\ ~
11 D'
Clearwater Beach Association
POBox 3295
Clearwater. Florida 33767
Clearwater Development and Neighborhood Services
City Municipal Services Building
100 S. Myrtle Avenue
Attention: Mr. Jeff Kronschnabl, Director
Clearwater, FL 33758
March 28, 2008
Dear Mr. Kronschnabl,
The Clearwater Beach Association has been less vocal than normal these past
months, but we have been very active in identifying code violators of the
Overnight Accommodation code in our Low/Medium Density Residential area.
We have NOT chosen the Spring Break period to again call to your attention the
adverse effects of illegal activities, but it does offer an opportunity to more easily
identify blatant code violations of the short term rental limitations. A casual drive
through our North Beach neighborhood these days will reveal heavy tourist
activity where there should be ONLY those 31 properties given special status by
court order. We have identified nearly 100 suspected and KNOWN properties
engaged in varying degrees of Overnight Accommodations Code violations (Not
counting the aforementioned 31 "Protected Properties). Approximately half the
properties we classify as "Active" violators of the City's Short Term Rental code.
Since these are all clandestine operations without sanction, take a guess at how
much tourist tax revenue is lost to Pinellas County and City of Clearwater
annually.
To begin with, we are identifying only SEVEN addresses, which for various
reasons are especially blatant in their advertising and openness of operations.
These addresses are:
960 Mandalay Avenue
976 Mandalay Avenue
808 Eldorado Avenue
1010 Eldorado Avenue
881 Bruce Avenue
779 Eldorado Avenue
1044 Bay Esplanade
We are delivering copies of their Internet advertising which meet the definition of
"Prima Facie Evidence" of Code Violation. You will note that owners and agents
Clearwater Beach Association
POBox 3295
Clearwater. Florida 33767
employ numerous subterfuges to make it appear that they ONLY RENT for 31 or
more days, but they have not been able to completely obfuscate their true
intentions to rent these properties as overnight accommodations. One has to
only read the entire website have the true purpose revealed.
We are asking you to give full investigative attention to these properties including
determining whether or not these property owners are in violation of length of
stay, have valid "Tax Receipts" (Formerly called OCCUPATIONAL LICENSES),
whether they have collected and paid appropriate Tourist Taxes and whether they
are in compliance with State of Florida Statutes regarding hotel-like businesses.
We are also providing portions of applicable codes/statutes which specify the
documents and records which must be maintained by properties being rented out
as overnight accommodations.
It is our intention to submit complaints for the most onerous violations and to
follow up on the cases as you report the results of your investigations. Our
Coalition Representative has informed us of your intentions to "Tighten up" on
code violators. Since we first asked The City to "Halt the proliferation of Short
Term Rental Violations" in this LMDR Neighborhood back in early 2002, the
instances of violations have significantly increased and Quality of Life has
deteriorated. Makes any reasonable person wonder, "WHO HAS THE CITY'S
Ear?"
Sincerely,
Jerry Murphy. President, 2008
443-2168
incls, as
c\-/ i
,'--CT _ nO
~v fA..'\ y
0\' 1~
Clearwater Beach Association
POBox 3295
Clearwater. Florida 33767
Clearwater Development and Neighborhood Services
City Municipal Services Building
100 S. Myrtle Avenue
Attention: Mr. Jeff Kronschnabl, Director
Clearwater, FL 33758
June 11, 2008
Dear Mr. Kronschnabl,
Two months have elapsed since our last meeting, and we are compelled to revisit
those seven properties provided to you at that time. According to information
provided by The Community Response Team on May 5, six of the seven
properties, "Voluntarily", complied after receiving notices to cease and desist.
We are providing to you further Prima Facie evidence that four of the properties
continue to troll the internet for customers and, in veiled wording, allude to the
possibility of renting for lesser periods than 30/31 days or one month. These four
properties are:
1 044 Bay Esplanade
779 Eldorado Avenue
1010 Eldorado Avenue
. 900 Mafldalay Avenue M;;t;;L
r
Since according to your information, one of those four violators is the lone non-
complier, 779 Eldorado Avenue, it begs the question. What action, if any, has
been taken to sanction such blatant disregard for City authority?
We are aware that pursuant to our complaints, representatives of the following
four properties have appeared before the Code Enforcement Board and been
found guilty. What have been the judgements against them, and have they been
collected?
875 Bruce Avenue
43 Kipling Plaza
857 Lantana Avenue
936 Bruce Avenue
Clearwater Beach Association
POBox 3295
Clearwater. Florida 33767
Additional non-compliant properties fall under our gaze continually, and we are
reporting three new properties with this letter:
172 Devon Drive
948 Eldorado Avenue
200 Palm Island Southwest
As a general comment, we wish to emphasize that a property is in violation of the
City Code if it is, in fact, rented for periods of less than 30/31 days or one month.
Merely forcing owners or agents to eliminate reference to short term rental on
their web sites does NOT reflect compliance. When we observe short term rental
activity, we search the internet to find Prima Facie evidence of violations as
provided for in City Codes.
Further, we still believe that Code enforcement should be more proactive and not
rely solely on complaints of citizens. To emphasize this, the undersigned
received a, "Warning Letter", from a local law firm representing the owner of one
of .the seven properties we submitted last March. The sender refers to CBA's
complaint as, "Falsely accusing", his client. It was sent to me, by name. The
letter's salutation is, "GOVERN YOURSELF ACCORDINGLY".
Is it too much to ask our city to enforce its own codes? The small municipality of
Belleair Shore appears to moving in the right direction as reported in the Beach
Bee of June 5, 2008.
Sincerely,
Jerry Murphy, President, 2008
Tel: 443-2168
incls, as
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve amendments to Beach by Design: A Preliminary Design for Clearwater Beach and Design Guidelines that allow for
increased height for overnight accommodation uses being allocated additional density via the Hotel Density Reserve in limited
locations, and modify the Design Guideline governing the theoretical maximum building envelope as it pertains to overnight
accommodation uses being allocated additional density via the Hotel Density Reserve, and Pass Ordinance 7967-08 on first
reading.
SUMMARY:
At its meeting of March 31, 2008, the City Council approved on first reading amendments to Beach by Design that established the
Hotel Density Reserve and its allocation criteria. In its discussion on the amendments, the City Council recognized that additional
height might be necessary in certain circumstances in order to accommodate the additional density that may be allocated. In
addition, the City Council noted an existing design guideline that could prevent hotels from being able to accommodate in its
design all of the hotel rooms that it may otherwise be able to have allocated from the Reserve.
Based upon the above, the Planning Department is recommending the following amendments to Beach by Design:
Section VII. Design Guidelines; Subsection B. Height:
Allows for the maximum height to be increased to 150 feet if additional density is allocated to the development via the Reserve,
but only for those properties located between South Gulfview Boulevard and the Gulf of Mexico or located on the west side of
Coronado Drive.
Section VII. Design Guidelines; Subsection C. Design, Scale and Mass of Buildings:
Allows for 75% of the theoretical maximum building envelope to be occupied by a building for those hotels on less then 2.0 acres
that have been allocated additional density via the Reserve.
The staff report and Ordinance 7967-08 contain further analysis and information on the proposed amendment.
The Community Development Board (CDB) will review the proposed text amendments at its pubic hearing of June 17, 2008. The
recommendation of the CDB as well as any comments of the Board will be presented to the Council at the meeting.
Review Approval: 1) Clerk
Cover Memo
Item # 4
Attachment number 1
Page 1 of 2
ORDI NANCE NO. 7967-08
AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA MAKING
AMENDMENTS TO BEACH BY DESIGN: A PRELIMINARY DESIGN
FOR CLEARWATER BEACH AND DESIGN GUIDELINES; BY
AMENDING SECTION VII. DESIGN GUIDELINES; SUBSECTION B.
HEIGHT, ALLOWING FOR INCREASED HEIGHT FOR OVERNIGHT
ACCOMMODATION USES BEING ALLOCATED ADDITIONAL DENSITY
VIA THE HOTEL DENSITY RESERVE IN LIMITED LOCATIONS;
AMENDING SECTION VII. DESIGN GUIDELINES; SUBSECTION C.
DESIGN, SCALE AND MASS OF BUILDINGS, MODIFYING THE
DESIGN GUIDELINE GOVERNING THE THEORETICAL MAXIMUM
BUILDING ENVELOPE AS IT PERTAINS TO OVERNIGHT
ACCOMMODATION USES BEING ALLOCATED ADDITIONAL DENSITY
VIA THE HOTEL DENSITY RESERVE; AND MAKING MINOR
EDITORIAL CHANGES; PROVIDING THAT SAID PROVISIONS
SUPPLEMENT THE CLEARWATER COMMUNITY DEVELOPMENT
CODE; PROVIDING FOR SEVERABILITY; AND PROVIDING AN
EFFECTIVE DATE.
WHEREAS, the economic vitality of Clearwater Beach is a major contributor to
the economic health of the City overall and the City desires to support the tourism
industry; and
WHEREAS, the City of Clearwater desires to restore those mid-priced overnight
accommodation units that were lost to redevelopment on Clearwater Beach and
foresees that increases in height may be necessary to accommodate those additional
overnight accommodation units; and
WHEREAS, the City of Clearwater recognizes that existing regulations within
Beach by Design are potentially restrictive as they pertain to the actual design and
construction of a project that accommodates additional overnight accommodation units;
and
WHEREAS, the proposed amendments to Beach by Design have been
submitted to the Community Development Board acting as the Local Planning Authority
(LPA) for the City of Clearwater; and
WHEREAS, the Local Planning Agency (LPA) for the City of Clearwater held a
duly noticed public hearing and found that amendments to Beach by Design are
consistent with the Clearwater Comprehensive Plan; and
WHEREAS, Beach by Design was originally adopted on February 15, 2001, and
subsequently amended, now therefore,
Ordinance No. 7967-08
Item # 4
Attachment number 1
Page 2 of 2
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF CLEARWATER,
FLORIDA:
Section 1. Amendments 1 - 2 to Beach by Design: A Preliminary Design for
Clearwater Beach and Design Guidelines attached hereto as Exhibit "A" are hereby
adopted.
Section 2. This ordinance shall become effective when the Department of
Community Affairs (DCA) issues a final order determining the adopted amendment to
be in compliance, or the Administration Commission issues a final order determining the
adopted amendments to be in compliance, in accordance with Section 163.3184,
163.3187, or 163.3189, F.S., as amended.
Section 3. The City Manager or designee shall forward said plan to any
agency required by law or rule to review or approve same; and
Section 4. It is the intention of the City Council that this ordinance and plan
and every provision thereof, shall be considered severable; and the invalidity of any
section or provision of this ordinance shall not affect the validity of any other provision of
this ordinance and plan; and
Section 5. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
PASSED ON SECOND AND FINAL
READING AND ADOPTED
Frank Hibbard
Mayor-Councilmember
Approved as to form:
Attest:
Leslie Dougall-Sides
Assistant City Attorney
Cynthia E. Goudeau
City Clerk
2
Ordinance No. 7967-08
Item # 4
Attachment number 2
Page 1 of 2
EXHIBIT A
ATTACHMENT TO ORDINANCE 7967-08
AMENDMENT 1 - BEACH BY DESIGN: A PRELIMINARY DESIGN FOR
CLEARWATER BEACH AND DESIGN GUIDELINES, SECTION VII. DESIGN
GUIDELINES
Amend Subsection B. Height on page 65 as follows:
* * * * *
* * * * *
Ordinance 7967-08, Eltaml'tAA
Attachment number 2
Page 2 of 2
AMENDMENT 2 - BEACH BY DESIGN: A PRELIMINARY DESIGN FOR
CLEARWATER BEACH AND DESIGN GUIDELINES, SECTION VII. DESIGN
GUIDELINES
Amend Subsection C Design, Scale and Mass of Buildings starting from page 68 as follows:
* * * * *
4. No more than sixty percent (60%) of the theoretical maximum building envelope located
above will be occupied by a building.
For the purpose of this standard, theoretical maximum building envelope is the maximum
permitted building volume that could be theoretically occupied by a building and
occupied by a building includes any portion of the maximum possible building envelope
that is not visible from a public street
. ~:.:..: '~~u..~.~t,:..:j.~": r"*.~~/I";;:. :}.~~~.;~ . -::.~.:.( ''-~.(i~ ..r}.(~.;f~.". it" :;:(~ f::-.::-~.~
* * * * *
- 2 -
Ordinance 7925-08, Eltaml'tAA
Attachment number 3
Page 1 of 2
CDB Meeting Date:
Case Number:
Ordinance No.:
Agenda Item:
June 17,2008
Amendments to Beach by Design
7967-08
E.7.
CITY OF CLEARWATER
PLANNING DEPARTMENT
STAFF REPORT
REQUEST:
Amendments to Beach by Design: A Preliminary Design for Clearwater Beach
and Design Guidelines
INITIA TED BY:
City of Clearwater Planning Department
BACKGROUND:
At its meeting of March 31, 2008, the City Council approved on first reading amendments to Beach by
Design: A Preliminary Design for Clearwater Beach and Design Guidelines (Ordinance No. 7925-08)
that, among other things, established the Hotel Density Reserve (Reserve). The Reserve consists of 1,385
hotel rooms that are intended to assist developers in overcoming the constraints upon hotel development
on Clearwater Beach due to the recognized economic disparity with condominium development as well as
to facilitate the restoration oflost mid-size, mid-priced hotels.
As a part of its discussions on the amendments, the City Council recognized that additional height might,
in fact, be needed in certain circumstances in order to accommodate the additional density that may be
allocated from the Reserve to a project. As such, the City Council provided direction to further amend
Beach by Design to allow for increased height for hotels being allocated additional density from the
Reserve, but only in limited locations.
In addition to the above, the City Council made note of an existing design guideline within Beach by
Design that could prevent hotels from being able to accommodate in its design all of the hotel rooms that
it may otherwise be able to have allocated from the Reserve. Following further review of this provision,
revisions are proposed that would alleviate the negative potential of this provision.
ANAL YSIS:
The proposal amends Beach by Design Section VII, Design Guidelines; Subsection B. Height, to allow
for the maximum height to be increased to 150 feet if
Subsection C. Design,
Scale and Mass of Buildings, to allow for 75% of the theoretical maximum building envelope to be
occupied by a building for those hotels on less then 2.0 acres that have been allocated additional density
via the Reserve.
Attached with this staff report is the proposed Ordinance No. 7967-08, which amends Beach by Design as
per the above. Within the ordinance document, text that is underlined indicates proposed language and
text containing strikcthroughs indicate deletions.
CRITERIA FOR TEXT AMENDMENTS:
Community Development Code (CDe) Section 4-601 sets forth the procedures and criteria for reviewing
text amendments. All text amendments must comply with the following:
Community Development Board - June 17,2008
Amendments to Beach by Design - Page 1
Item # 4
Attachment number 3
Page 2 of 2
1. The proposed amendment is consistent with and furthers the goals, policies and objectives of the
Comprehensive Plan.
Below is a selected list of goals, objectives and policies from the Clearwater Comprehensive Plan that
are furthered by the proposed amendments to Beach by Design:
Goal 2
The City of Clearwater shall utilize innovative and flexible planning and
engineering practices, and urban design standards in order to protect historic
resources, ensure neighborhood preservation, redevelop blighted areas, and
encourage infill development.
Objective 2.1
The redevelopment of blighted, substandard, inefficient and/or obsolete areas shall
be a high priority and promoted through the implementation of redevelopment and
special area plans, the construction of catalytic private projects, city investment,
and continued emphasis on property maintenance standards.
Policy 2.1.1
Redevelopment shall be encouraged, where appropriate, by providing development
incentives such as density bonuses for significant lot consolidation and/or catalytic
projects, as well as the use of transfer of developments rights pursuant to approved
special area plans and redevelopment plans.
2. The proposed amendment furthers the purposes of the Community Development Code and other City
ordinances and actions designed to implement the Plan.
The proposed amendment to Beach by Design will further the purposes of the Community
Development Code in that it will be consistent with the following purposes set forth in CDC Section
1-103 :
o Allowing property owners to enhance the value of their property through innovative and creative
redevelopment (CDC Section 1-103.B.1).
o Strengthening the City's economy and increasing its tax base as a whole (CDC Section 1-
103.B.3).
SUMMARY AND RECOMMENDATION:
The proposed amendment to Beach by Design: A Preliminary Design for Clearwater Beach and Design
Guidelines are consistent with and furthers the goals of the Clearwater Comprehensive Plan and the
purposes of the Community Development Code. Further, the proposed amendment will assist in
overcoming the constraints upon hotel development on Clearwater Beach by helping to facilitate the
restoration of lost mid-size, mid-priced hotels. The Planning Department recommends APPROVAL of
Ordinance No. 7967-08 that amends Beach by Design: A Preliminary Design for Clearwater Beach and
Design Guidelines.
Prepared by Planning Department Staff:
Robert G. Tefft, Planner III
ATTACHMENT:
o Ordinance No. 7967-08
S:\Planning DepartmentlBEACH BY DESIGMAMENDMENTS TO BEACH BY DESIGNI2008 Increased Height jor Hotel Reserve
AmendmentlOrdinance No 7967-08 2008 06-17 CDB Staff Report. doc
Community Development Board - June 17,2008
Amendments to Beach by Design - Page 2
Item # 4
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Adopt Ordinance No. 7913-08 on second reading, amending Appendix A, Article XXV Public Works - Fees, Rates and Charges;
Section (3)(a) Water Rates, Section (3)(b) Wastewater Collection Utility Rates, and Section (3)(f) Reclaimed water rates.
SUMMARY:
Review Approval: 1) Clerk
Cover Memo
Item # 5
Attachment number 1
Page 1 of 12
ORDI NANCE NO. 7913-08
AN ORDINANCE OF THE CITY OF CLEARWATER,
FLORIDA, RELATING TO THE SCHEDULE FOR
DOMESTIC WATER, LAWN WATER, RECLAIMED
WATER AND WASTEWATER COLLECTION UTILITY
RATES; AMENDING APPENDIX A, ARTICLE XXV PUBLIC
WORKS - FEES, RATES AND CHARGES; SECTION (3)(a)
WATER RATES, SECTION (3)(b) WASTEWATER
COLLECTION UTILITY RATES AND (3)(f) RECLAIMED
WATER RATES CLEARWATER CODE OF ORDINANCES,
AS AMENDED BY CITY OF CLEARWATER, FLORIDA
ORDINANCES NO. 6695-01 AND 7321-04; PROVIDING AN
EFFECTIVE DATE.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY
OF CLEARWATER, FLORIDA:
Section 1. Appendix A, Article XXV, PUBLIC WORKS--FEES, RATES AND
CHARGES, Section (3)(a) Water Rates, Clearwater Code of Ordinances, as amended
by City of Clearwater, Florida Ordinance No. 6695-01, is amended as follows:
(3) Rates:
(a) Water rates. Water rates for all water furnished by the city shall be
as follows:
1. Domestic water rates shall be the following based on
monthly consumption and will take effect for bills issued on
or after the dates as shown in the following table, and shall
remain in effect thereafter unless amended:
Meter Size October October October October October
1, 1, 1, 1, 1,
20048 200~9 200010 20G+- 11 200012
- - -
Under 1-inch:
Minimum $ $ $ $ $
charge 10.59 11. 31 12.03 12.75 13.53
with usage 13.65 14.58 15.60 16.56 17.55
up to 3,000
gallons
OrdinanUem 3#Jf>
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
3,001 to 5.52 5.91 6.32 6.70 7.10
9,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
9,001 6.96 7.45 7.97 8.45 8.96
gallons up,
per 1,000
gallons
1-inch:
Minimum 21.71 26.16 28.07 29.75 31.57
charge 31.85 34.02 36.40 38.64 40.95
with usage
up to 7,000
gallons
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
7,001 to 5.52 5.91 6.32 6.70 7.10
40,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
40,001 6.96 7.45 7.97 8.45 8.96
gallons up,
per 1,000
gallons
1 1/2-inch:
Minimum 353.00 378.00 101.00 125.00 151.00
charge 455.00 486.00 520.00 552.00 585.00
with usage
up to
100,000
gallons
Attachment number 1
Page 2 of 12
2
Ordinancltem3#J16
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
100,001 to 5.52 5.91 6.32 6.70 7.10
140,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
140,001 6.96 7.45 7.97 8.45 8.96
gallons,
per 1,000
gallons
2-inch:
Minimum 822.19 880.71 931.33 990.25 1,050.
charge 1, 060. 1, 132 . 1,211. 1,286. -8-3
with usage l.2. .2J2. .2..Q l.2. 1, 363.
Q.2.
up to
233,000
gallons
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
233,001 to 5.52 5.91 6.32 6.70 7.10
343,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
343,001 6.96 7.45 7.97 8.45 8.96
gallons,
per 1,000
gallons
3-inch or 2-inch in
manifold:
Minimum 1,267. 1,357. 1,139. 1,525. 1,619.
charge :&+ w -S-9 H -G--9
1, 633. 1,744. 1, 866. 1,981. 2,100.
with usage .!2. 74 1ill .2J2. l.2.
up to
359,000
gallons
Attachment number 1
Page 3 of 12
3
Ordinancltem3#J16
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
359,001 to 5.52 5.91 6.32 6.70 7.10
474,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
474,001 6.96 7.45 7.97 8.45 8.96
gallons,
per 1,000
gallons
4-inch:
Minimum 2,139. 2,611. 2,770. 2,936. 3,116.
charge ~ -9-8- -9-l- ~ +l:-
3,144. 3,358. 3,593. 3,814. 4,042.
with usage Q.2. .f..2. ~ n 35
up to
691,000
gallons
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
691,001 to 5.52 5.91 6.32 6.70 7.10
979,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
979,001 6.96 7.45 7.97 8.45 8.96
gallons,
per 1,000
gallons
6-inch:
Minimum 6,265. 6,709. 7,117. 7,513. 8,005.
charge ~ -S-G- ~ ~ -2-S
8,076. 8,626. 9,230. 9,798. 10,383
with usage 25 2Q QQ QQ .75
up to
1,775,000
gallons
Attachment number 1
Page 4 of 12
4
Ordinancltem3#J16
Attachment number 1
Page 5 of 12
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
1,775,001 5.52 5.91 6.32 6.70 7.10
to
2,025,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
2,025,001 6.96 7.45 7.97 8.45 8.96
gallons,
per 1,000
gallons
8-inch:
Minimum 10,590 11, 310 12,030 12,750 13,530
charge -,---G-G- -,---G-G- -,---G-G- -,---G-G- -,---G-G-
13,650 14,580 15,600 16,560 17,550
with usage ~ ~ ~ ~ ~
up to
3,000,000
gallons
Plus, from -4--;---2-9- ~ -4--;--8--=t- ~ ~
3,000,001 5.52 5.91 6.32 6.70 7.10
to
3,413,000
gallons,
per 1,000
gallons
Plus, from -S--.--G-9- -S--.--4-S -S--.--+-& -€--.--S-G- ~
3,413,001 6.96 7.45 7.97 8.45 8.96
gallons,
per 1,000
gallons
2. Lawn water meters. Lawn water rates shall be as follows and
will take effect for bills issued on or after the dates specified:
Lawn meter size.
Under 1-inch: October October October October October
1, 1, 1, 1, 1,
20048 200~9 200910 200+.11 200g12
- - -
5
Ordinancltem3#J16
Base charge, with no ~ 4-G4 ~ 4M ~
water allowance.... 4.86 5.20 5.56 5.89 6.24
Plus, up to 2,000 4-00 ~ ~ ~ ~
gallons, per 1,000 5.92 6.33 6.77 7.18 7.61
- - - - -
gallons ....
Plus, from 2,001 ~ &:++ +:+g +-,@4- g,.w
gallons, per 1,000 8.14 8.71 9.32 9.88 10.47
- - - - -
gallons... .
1-inch:
Base charge, with no ~ ~ ~ ~ ~
water allowance.... 14.58 15.60 16.69 17.69 18.93
Plus, up to 7,000 4-00 ~ ~ ~ ~
gallons, per 1,000 5.92 6.33 6.77 7.18 7.61
- - - - -
gallons... .
Plus, from 7,001 ~ &:++ +:+g +-,@4- g,.w
gallons, per 1,000 8.14 8.71 9.32 9.88 10.47
- - - - -
gallons... .
1 1/2-inch
Base charge, with no ~ OO@+ ~ ~ ~
water allowance.... 72.94 78.05 83.51 88.52 93.83
Plus, up to 9,000 4-00 ~ ~ ~ ~
gallons, per 1,000 5.92 6.33 6.77 7.18 7.61
- - - - -
gallons... .
Plus, from 9,001 ~ &:++ +:+g +-,@4- g,.w
gallons, per 1,000 8.14 8.71 9.32 9.88 10.47
- - - - -
gallons... .
2-inch:
Base charge, with no 158. 76 169.87 180.06 1 90. 86 202.31
water allowance.... 204.22 218.52 233.82 247.85 262.72
Attachment number 1
Page 6 of 12
6
Ordinancltem3#J16
Plus, up to 40,000 400 5.92 ~ ~ ~ ~
-
gallons, per 1,000 6.33 6.77 7.18 7.61
gallons... .
Plus, from 40,001 ~ 9-:++ +-:-w +-,G4- g,.w
gallons, per 1,000 8.14 8.71 9.32 9.88 10.47
gallons... .
3-inch or two 2-inch
in manifold:
Base charge, with no 313.71 335.70 355.81 377.19 399.82
water allowance.... 403.59 431 .84 462.07 489.79 519.18
Plus, up to 100,000 400 ~ ~ ~ ~
gallons, per 1,000 5.92 6.33 6.77 7.18 7.61
gallons... .
Plus, from 100,001 ~ 9-:++ +-:-w +-,G4- g,.w
gallons, per 1,000 8.14 8.71 9.32 9.88 10.47
gallons... .
4-inch:
Base charge, with no 601. 80 617. 11 685.97 727. 13 770.76
water allowance.... 778.03 832.49 890.76 944.21 1 ,000.8
6
Plus, up to 233,000 400 ~ ~ ~ ~
gallons, per 1,000 5.92 6.33 6.77 7.18 7.61
gallons... .
Plus, from 233,001 ~ 9-:++ +-:-w +-,G4- g,.w
gallons, per 1,000 8.14 8.71 9.32 9.88 10.47
gallons... .
6-inch:
Base charge, with no 1,825.7 1,953.5 2,070.7 2, 195.0 2,326.7
water allowance.... 4 4 ~ Q Q
2,348.6 2,513.0 2,688.9 2,850.3 3,021.3
5 6 7 1 3
Attachment number 1
Page 7 of 12
7
Ordinancltem3#J16
Attachment number 1
Page 8 of 12
Plus, Up to 359,000 4-00 ~ ~ ~ ~
gallons, per 1,000 5.92 6.33 6.77 7.18 7.61
gallons... .
Plus, from 359,001 ~ 9-:++ +-:-w +-,G4- g,.w
gallons, per 1,000 8.14 8.71 9.32 9.88 10.47
gallons... .
*********
Section 2. Appendix A, Article XXV, PUBLIC WORKS--FEES, RATES AND
CHARGES, Section (3)(b) Wastewater Collection Utility Rates, Clearwater Code of
Ordinances, as amended by City of Clearwater, Florida Ordinance No. 6695-01, is
amended as follows:
(b) Wastewater collection utility rates.
1. There is hereby established a uniform schedule of rates and
charges for the use or availability of use of the wastewater
collection system. The wastewater collection utility rate shall
be a monthly fee consisting of a minimum charge for an
assigned volume of domestic water associated with each
water meter size, shown as the basic allowance in the
following table, plus a charge per 1,000 gallons for water
consumed above the assigned volume. Such rates shall
take effect for bills issued on or after the dates as shown in
the following table, and shall remain in effect thereafter
unless amended:
Base Monthly Charge With or Without Consumption
Size of October October October October October Basic
Meter 1, 1, 1, 1, 1, Allowance
20048 200a9 200910 200+11 200g12 (gallons)
Under 1- 44W 4-&-00 ~ ~ ~ 3,000 or less
inch 18.75 20.07 21 .48 22.77 24.12
1-inch d4@ ~ ~ 4Q,.gg ~ 7,000 or less
43.75 46.83 50.12 53.13 56.28
1 %-inch 187.00 520.00 551.00 581.00 619. 00 100,000 or
625.00 669.00 716.00 759.00 804.00 less
2-inch 1, 132.3 1,211.6 1,283.8 1,360.7 1,112.2 233,000 or
g G J ~ + less
1 ,456.2 1 ,558.7 1 ,668.2 1 ,768.4 1 ,873.3
8
Ordinancltem3#J16
Attachment number 1
Page 9 of 12
5 7 8 7 2
3-inch or 2 1,711.7 1,866.8 1,978.0 2,096.5 2,222.2 359,000 or
2-inch 4 G 9 a 4- less
manifold 2,243.7 2,401.7 2,570.4 2,724.8 2,886.3
5 1 4 1 6
4-inch 3,358.2 3,593.2 3,807.1 1,035.1 1,277.2 691,000 or
a G 4- 4 9 less
4,318.7 4,622.7 4,947.5 5,244.6 5,555.6
5 9 6 9 4
6-inch 8,626.5 9,230.0 9, 780.2 10,366. 10,987. 1,775,000 or
G G ~ 00 ~ less
11 ,093. 11 ,874. 12,709. 13,472. 14,271.
75 75 00 25 00
8-inch 11,580. 15,600 16,530. 17,520. 18,570. 3,000,000 or
00 Q,.OO 00 00 00 less
18,750. 20,070. 21,480. 22,770. 24,120.
00 00 00 00 00
Charge per 4-00 ~ ~ ~ 94-9
1,000 6.25 6.69 7.16 7.59 8.04
- - - - -
gallons of
water used
over the
basic
allowance
2. Service outside of the municipal limits. Accounts outside the
corporate limits of the city shall be subject to a surcharge
equal to 25 percent of the monthly wastewater collection
utility charges.
3. The wastewater collection utility rate schedule shall be
reviewed by the city commission council as a part of the
annual fiscal budget preparation to ensure that adequate
revenues are generated to pay the costs of operation,
maintenance and outstanding bond service requirements.
**********
Section 3. Appendix A, Article XXV, PUBLIC WORKS--FEES, RATES AND
CHARGES, Section (3)(f) Reclaimed water rates, Clearwater Code of Ordinances, as
amended by City of Clearwater, Florida Ordinance No. 6695-01, is amended as follows:
(f) Reclaimed Water Rates. There is hereby established a
uniform schedule of rates and charges for the use or availability of
use of the reclaimed water system. The reclaimed water rate shall
be a monthly fee consisting of an availability charge as the basic
9
Ordinancltem3#J16
Attachment number 1
Page 10 of 12
allowance in the following table, plus a charge per 1 ,000 gallons of
reclaimed water consumed. Such rates shall take effect for bills
issued on or after the dates as shown in the following table, and
shall remain in effect thereafter unless amended:
October October October October October
1, 2004~ 1, 1, 1, 1,
200a9 200010 20G+11 200012
Single family,
duplex or triplex
(per domestic
water
accountl~J.
commercial/ind
ustrial or multi-
family dwellinq
and open
space however,
if a duplex or
triplex has
separate
domestic water
accounts for
each dwelling
unit, then the
appropriate
charge shall be
divided equally
among each
account)
aM
commercial
/industrial with
less than or
equal to 2
acres of
pervIous area
Availability 9:00 ~ 4-&00 ~ 4-9:-94
charge 17.10 18.30 19.58 20.75 22.00
- - - - -
Usage flat e,..oo +-++ NJA NJA NJA
charge
Usaqe - 0.54 0.58 0.62 0.66 0.70
metered per
1 ,000 qallons
10
Ordinancltem3#J16
Attachment number 1
Page 11 of 12
used
-
Commercial
/industrial with
more than 2
acres of
pervIous area
or non irrigation
uses metered
or multi family
dwelling
Availability g,..oo ~ $00 ~ ~
charge 4-9:-94
Usage ~ ~ GA+ G:W ~
metered per ~
-
1, 000 gallons
tISeG
Open space
Availability NJA NJA $00 ~ ~
charge 4-9:-94
Per acre of ~ ~ NJA NJA NJA
pervIous area,
as defined in
Section 32.352
Usage N/A 0.53 NJA GA+ G:W ~
-
metered per
1, 000 gallons
tISeG
One availability fee shall be charged to a property and not to each of the
multiple individual potable water accounts.
An example of this situation is when a commercial property has multiple
stores, etc., as multiple individual accounts, and the property is mostly
parking lot and commercial space. The property owner irrigates or uses
reclaimed water in some manner, but at only one location at the property.
The location utilizing the reclaimed water will be billed for availability and
consumption. If another location on that property needs a reclaimed
water service connection, that account will be billed according to the
schedule above.
11
Ordinancltem3#J16
Section 4. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
PASSED ON SECOND AND FINAL
READING AND ADOPTED
Approved as to form:
Leslie K. Dougall-Sides
Assistant City Attorney
Attachment number 1
Page 12 of 12
Frank V. Hibbard
Mayor
Attest:
Cynthia E. Goudeau
City Clerk
12
Ordinancltem3#J16
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Adopt Ordinance No. 7914-08 on second reading, amending Appendix A, Article XXV Public Works - Fees, Rates and Charges,
Section (3)(e) Stormwater Management Utility Rates.
SUMMARY:
Review Approval: 1) Clerk
Cover Memo
Item # 6
Attachment number 1
Page 1 of 2
ORDI NANCE NO. 7914-08
AN ORDINANCE OF THE CITY OF CLEARWATER,
FLORIDA, RELATING TO THE SCHEDULE FOR
STORMWATER UTILITY RATES; AMENDING APPENDIX
A, ARTICLE XXV PUBLIC WORKS--FEES, RATES AND
CHARGES; SECTION (3)(e) STORMWATER
MANAGEMENT UTILITY RATES, CLEARWATER CODE
OF ORDINANCES; PROVIDING AN EFFECTIVE DATE.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY
OF CLEARWATER, FLORIDA:
Section 1. Appendix A, Article XXV, PUBLIC WORKS--FEES, RATES AND
CHARGES, Section (3)(e) Stormwater Management Utility Rates, Clearwater Code of
Ordinances, is amended as follows:
(3) Rates:
(e) Stormwater management utility rates. The stormwater management utility rates
shall be based upon the revenue requirements for the construction,
administration, management, engineering, operation and maintenance of the
stormwater management system, and the adopted capital improvement program
funding needs of the system. For the purposes of these rates, the terms shall
have the meanings set forth in section 32.242 or, if not defined in section 32.242,
in sections 32.002 or 1.02.
1. Basic rate. The rate per month for one equivalent residential unit or ERU
shall be established as specified below and shall be effective for bills issued on
or after the dates indicated:
Effective 10/1/00 08 10/1 /G+- 09 10/1/00 10 10/1/00 11 10/1 lW 12
PerERU $~11.13$~11.80$~12.51 $~13.04$~13.59
**********
Section 2. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
OrdinancUm4#ll6
PASSED ON SECOND AND FINAL
READING AND ADOPTED
Approved as to form:
Leslie K. Dougall-Sides
Assistant City Attorney
Attachment number 1
Page 2 of 2
Frank V. Hibbard,
Mayor
Attest:
Cynthia E. Goudeau
City Clerk
2
OrdinancUm4#ll6
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Adopt Ordinance No. 7957-08 on second reading, amending Chapter 54.22, Code of Ordinances, to exempt properties in the
Community Redevelopment Area from Recreation Land Impact Fees and Recreation Facilities Impact Fees, and amending Chapter
54.52, Code of Ordinances, to exempt properties in the Community Redevelopment Area from Open Space Impact Fees.
SUMMARY:
Review Approval: 1) Clerk
Cover Memo
Item # 7
Attachment number 1
Page 1 of 4
ORDINANCE NO. 7957-08
AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA,
RELATING TO THE PROVISION OF RECREATION LAND,
RECREATION FACILITIES AND OPEN SPACE; AMENDING
THE CODE OF ORDINANCES, CHAPTER 54.22 TO EXEMPT
PROPERTIES IN THE COMMUNITY REDEVELOPMENT AREA
FROM RECREATION LAND IMPACT FEES AND RECREATION
FACILITIES IMPACT FEES; AMENDING CHAPTER 54.52 TO
EXEMPT PROPERTIES IN THE COMMUNITY
REDEVELOPMENT AREA FROM OPEN SPACE IMPACT FEES;
PROVIDING AN EFFECTIVE DATE.
WHEREAS, Recreation Land, Recreation Facilities and Open Space Impact Fees
are assessed under Chapter 54 of the Code of Ordinances, with exemptions provided
therein for the downtown redevelopment area as it was designated in the Downtown
Redevelopment Plan approved by the City Council on August 17, 1995; and
WHEREAS, Resolution 02-41 was adopted on August 8, 2002 which declared an
area generally east of the then-existing downtown redevelopment area, also known as the
"Gateway" CRA Expansion Area or the "East Gateway", as containing slum and blight
conditions and detrimental to the sound growth of the area, necessitating the expansion of
the City of Clearwater Community Redevelopment Area to include the Gateway area as a
community redevelopment area as defined in section 163.340(10), Florida Statutes; and
WHEREAS, the expanded Community Redevelopment Area is depicted in Exhibit
"A", attached hereto; and
WHEREAS, Resolution 03-22 was adopted on May 1, 2003, which authorized the
existing Community Redevelopment Agency to administer the expanded Community
Redevelopment Area; and
WHEREAS, Ordinance No. 7153-03 was adopted on September 18, 2003,
modifying the Community Redevelopment Plan for the Community Redevelopment Area,
as expanded, setting out that such modification does not create the need for additional
parks and recreational facilities and that no inadequacies for such parks and recreational
facilities existed then or were anticipated to exist in the future; and
WHEREAS, in order to promote rehabilitation, conservation and redevelopment
within the expanded Community Redevelopment Area, the City of Clearwater does hereby
find it necessary in the interest of the public health, safety and welfare of the citizens of
Clearwater to exempt said areas from certain impact fees; now, therefore,
Ordinance No.l~#l&"
Attachment number 1
Page 2 of 4
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF
CLEARWATER, FLORIDA:
Section 1. Part II, Sec. 54.22, Code of Ordinances, is amended as follows:
ARTICLE II. RECREATION LAND AND FACILITIES
*
*
*
*
*
Sec. 54.22. Applicability of article; exemptions from article.
*
*
*
*
*
(3) Exceptions to subsections (1) and (2) of this section are hereby granted
pursuant to the following conditions:
*
*
*
*
*
(d) Development. redevelopment or expansion of developed properties
located within the downtown redevelopment area.!. designated---i-A as the
Community Redevelopment Area in Resolution 02-41, Clear\IVater
Downtown Redevelopment Plan approved by the city commission on
Auqust 8, 2002^ugust 17, 1995, shall be exempt from the provisions of
this article.
Section 2. Part II, Sec. 54.52, Code of Ordinances, is amended as follows:
ARTICLE III. OPEN SPACE LAND
*
*
*
*
*
Sec. 54.52. Applicability of article; exemptions from article.
*
*
*
*
*
(2) Exceptions to subsection (1) of this section are hereby granted under the
following conditions:
*
*
*
*
*
(d) Development, redevelopment or expansion of developed properties
located within the downtown redevelopment area.!. designated---i-A as the
Community Redevelopment Area in Resolution 02-41, Clearvvater
2
Ordinance No. ~-#ff"
Attachment number 1
Page 3 of 4
Downtown Redevelopment Plan approved by the city commission on
Auqust 8, 2002^ugust 17, 1995, shall be exempt from the provisions of
this article.
Section 3. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
PASSED ON SECOND AND FINAL
READING AND ADOPTED
Frank V. Hibbard
Mayor
Approved as to form:
Attest:
Laura Lipowski
Assistant City Attorney
Cynthia E. Goudeau
City Clerk
3
Ordinance No. ~-#ff"
Attachment number 1
Page 4 of 4
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4
Ordinance No. ~-#ff"
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Adopt Ordinance No. 7966-08 on second reading, amending Appendix A, Article XXVIII, Schedule of Fees, to provide for a 5%
increase in Business Tax Receipt Fees.
SUMMARY:
Review Approval: 1) Clerk
Cover Memo
Item # 8
Attachment number 1
Page 1 of 34
ORDINANCE NO. 7966-08
AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA,
RELATING TO BUSINESS TAX RECEIPT FEES; AMENDING
APPENDIX A, ARTICLE XXVIII, SCHEDULE OF FEES, CODE OF
ORDINANCES, RELATING TO RATES AND CHARGES BY FIVE
PERCENT (5%) INCREASE IN FEES; PROVIDING AN EFFECTIVE
DATE.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF
CLEARWATER, FLORIDA:
Section 1. Appendix A, Article XXVIII, Business Tax Receipt Fees, Code of
Ordinances, is amended to read:
APPENDIX A-SCHEDULE OF FEES, RATES AND CHARGES
* * * * * *
XXVIII. BUSINESS TAX:
Sub
Category Category
No. No. Category
Fee
001.000
ABSTRACT OR TITLE COMPANIES..........
$2'13.00 $255.10
002.000
ADMINISTRATIVE OFFiCE..........
~ $95.20
003.000
ADVERTISING OR MARKETING
003.010Agency, general..........
~ $69.80
003.020 Coupon book publisher or distributor (See note B)..........
~ $127.30
003.030 Directory or guidebook publisher..........
~ $127.30
003.040 Handbill or sample distributor..........
~ $69.80
I
Ordinance No. 79~ # 8
004.000
005.000
Attachment number 1
Page 2 of 34
003.050 Soliciting for publication not listed in city..........
$56.90
~
003.070 Reserved
003.080 Welcome or greeting service..........
~ $63.50
003.090 Trade inducement business, NOC..........
~ $140.10
ADULT ENTERTAINMENT ESTABLISHMENT (See note B; and
C)..........
1215.25 $1,276.00
AGENT OR AGENCY (See also brokers):
005.010 Book or magazine..........
~ $56.90
005.020 Claim or collection (see note B)..........
~ $140.10
005.030 Credit reporting and mercantile..........
~ $82.60
005.040 Employment, General Agency..........
~ $82.60
005.041 Employment, Day Labor (See notes B and C) .........
~ $82.60
005.042 Employment, Staff Leasing / Temporary Service ..........
~ $82.60
005.050 Manufacturers/sales representative, NOC..........
~ $56.90
2
Ordinance No. 796fteffi # 8
006.000
007.000
008.000
005.060 Private detective or company (See note 0)..........
005.070 Property management or leasing..........
005.080 Talent (see note 0)..........
005.090 Travel (see note 0)..........
AIRCRAFT (See note B; requires Marine and Aviation Oept.
approval):
006.010 Charter or rental (See note B; requires Marine and Aviation Oept.
approval)........ ..
006.020 Flying instruction (See note B, requires Marine and Aviation Oept.
approval)........ ..
006.030 Passenger service (See note B, requires Marine and Aviation Oept.
approval)........ ..
006.040 Sales, new or used (See note B, requires Marine and Aviation Oept.
approval)........ ..
006.050 Servicing (See note B, requires Marine and Aviation Oept.
approval)........ ..
006.060 Storage, field or hangar (See note B, requires Marine and Aviation
Oept. approval)..........
AIRPORT (See note B, Requires Marine and Aviation Oept.
approval)........ ..
ALARM SYSTEM MONITORING; Fire, Burglary, Medical (See note
B)..........
Attachment number 1
Page 3 of 34
~ $140.10
00cW $69.80
~ $82.60
~ $95.20
~ $140.10
~ $140.10
~ $140.10
~ $140.10
~ $140.10
~ $140.10
~ $286.90
00cW $69.80
3
Ordinance No. 796fteffi # 8
009.000
010.000
011.000
012.000
013.000
014.000
015.000
016.000
AMBULANCE SERVICE (See article III of chapter 25)..........
Plus each vehicle..........
ANIMALS
010.010 Kennel/Boarding, Breeding (See not C)..........
010.030 Groomer..........
APPRAISER (See note 0 for real estate)..........
ARMORED CAR SERVICE (See note B)..........
Plus each vehicle..........
ARTIST,( includes graphic design)..........
AUCTIONEER (See notes B and D)..........
014.010Auction gallery (See notes B and D)..........
AUDITOR..........
AUTOMOTIVE:
016.010 Dealership - Sale of new and used vehicles ..........
4
00cW
~
00cW
~
~
00cW
~
Attachment number 1
Page 4 of 34
$69.80
$25.20
$69.80
$56.90
$82.60
$69.80
$25.20
~ $95.20
~ $280.30
~ $861.00
~
$88.90
~ $510.30
Ordinance No. 796fteffi # 8
016.020 Dealer - Sale of only used motor vehicles (See Note D)..........
016.030 Garage - General repairs or replacements (See note D), for 10 bays
or less..........
Plus, each additional bay..........
016.040 Rental- Autos, trucks, recreational vehicles..........
016.050 Parking lot, permanent or temporary (See note C)
016.0511--10 spaces..........
016.05211--50 spaces..........
016.053 Over 50 spaces..........
016.060 Storage
016.0611--50 spaces..........
016.062 Over 50 spaces..........
016.070Washing and polishing..........
016.080 Wrecker or towing service..........
Attachment number 1
Page 5 of 34
~ $382.70
~ $95.20
~ $12.60
~ $191.10
~
$31.50
~
$44.30
~
$95.20
~ $69.80
~ $140.10
~ $31.50
~ $56.90
5
Ordinance No. 796fteffi # 8
017.000
018.000
019.000
020.000
022.000
02'1.000
023.000
016.090 Service station, per fuel pump..........
BAIT DEALER..........
BAKERY, retail..........
BANKS (including savings and loan associations) for each bank
location main or branch..........
019.01 0 Automatic teller machine, each machine ..........
BARTENDER, free lance..........
BEAUTY SALON/BARBER SHOP, NAIL SALON, TANNING SALON,
(See Note D)........
Plus, each chair or booth..........
BOATS AND BOAT TRAILERS (includes jet skis and wave runners)
023.010 Dealers..........
023.020 Repairs and service..........
023.030 Rental (needs Marine and Aviation Dept approval) (includes jet skis
and wave runners)..........
023.040 Storage..........
Attachment number 1
Page 6 of 34
~
$31.50
~ $44.30
~ $69.80
~ $318.60
~ $127.50
~
$63.50
~
$50.60
~
$12.60
~ $127.50
~ $76.10
~ $44.30
~ $95.20
6
Ordinance No. 796fteffi # 8
024.000
025.000
026.000
027.000
023.041 Washing and polishing..........
BOAT, PASSENGER, each boat (needs Marine and Aviation Dept
approval) (includes charter, parasail and shuttle service) :
024.0101--15 passengers..........
024.02016--25 passengers..........
024.03026--50 passengers..........
024.04051--100 passengers..........
024.050101--300 passengers..........
024.060 Over 300 passengers..........
BOOKKEEPING SERViCE..........
BROADCASTING, RADIO AND TELEVISION STATION OR
STUDIO......
BROKER, each
027.010 Broker, mortgage (see note D)..........
027.020 Broker, merchandise..........
7
Attachment number 1
Page 7 of 34
~
$31.50
~ $50.60
~ $69.80
~ $82.60
~ $95.20
~ $127.50
~ $255.10
~ $69.80
~ $140.10
~
$69.80
~
$69.80
Ordinance No. 796fteffi # 8
028.000
029.000
030.000
031.000
032.000
033.000
Attachment number 1
Page 8 of 34
027.030 Broker, stocks, bonds, etc., dealer..........
~ $210.20
027.040 Broker, stocks, bonds, etc., individual not employed by a dealer
holding a business tax receipt from the City of Clearwater..........
~ $140.10
027.050 Broker, real estate (see note D)..........
00cW $69.80
Plus each sales associate..........
~ $31.50
BUSINESS ADVISORY SERVICES, NOC..........
~ $140.10
(Reserved)
BUYERS CLUB..........
~ $127.50
CATERER ..........
00cW $69.80
CEMETERY / CREMATORiUM..........
~ $255.10
CLEANING, PRESSING AND DYEING
033.010 Plant..........
~ $222.80
033.020 Branch/collection, each..........
00cW $69.80
033.030 Self service coin operated or hand laundry..........
~ $82.60
Plus, each machine..........
4o-W $1.10
8
Ordinance No. 796fteffi # 8
034.000
035.000
Attachment number 1
Page 9 of 34
033.040 Carpet cleaning..........
$69.80
~
COIN AND/OR STAMP DEALER (see note B)..........
~ $69.80
COMMERCIAL RECREATION / ENTERTAINMENT, NOC..........
~ $510.30
035.010 Dealer or lessor of amusement machines..........
~ $140.10
035.020 Miniature goIL.......
~ $69.80
035.030Amusement game/ machine/ or ride, each..........
~ $42.20
035.040 Entertainer (each) (see note B)..........
~ $69.80
035.050 Skating rink, shuffleboard, archery range or golf course..........
~ $140.10
035.060 Billiard parlor, first table..........
~ $88.90
Plus, each additional table..........
~ $12.60
035.070 (Reserved)
035.080 Theaters, 1 to 150 seats..........
~ $318.60
035.081 Theaters, 151 or more seats..........
~ $701.90
9
Ordinance No. 796fteffi # 8
036.000
037.000
038.000
CONSULTANT, NOC..........
CONT ACTORS, general construction:
037.010 Class "A" general (see note 0)..........
037.020 Class "B" building (see note 0)..........
037.030 Class "c" residential (see note 0)..........
CONTRACTORS OR SUBCONTRACTORS (not general)
038.010 Acoustics..........
038.020Air conditioning, Class A (See note 0)..........
038.021 Air conditioning, Class B (See note 0)..........
038.022Air conditioning, Class C (See note 0)..........
038.030Alarm Contractor (See note 0)..........
038.040Aluminum Specialty Structure (See note 0)..........
038.045 Asbestos, (See Note 0)
038.050Awning, shades and blinds..........
10
Attachment number 1
Page 10 of 34
~
$95.20
~ $318.60
~ $222.80
~ $127.50
~ $69.80
~ $191.10
~ $127.50
~ $88.90
~ $69.80
~ $69.80
66.50 $69.80
MOO $56.70
Ordinance No. 796fteffi # 8
038.060 Boiler..........
038.070 Carpentry Specialty(See note D)..........
038.080 Cabinet (See note D)..........
038.090 Communication systems specialty (See note D) ..........
038.100 Demolition, building (See note D)..........
038.110 Dredging..........
038.120 Drywall (see note D)..........
038.130 Electrical (see note D)..........
038.140 Excavating, including filling, grading, and land clearing..........
038.150 Elevator (See note D)..........
038.160 Exterminator (See note D)..........
038.170 Fence erection (See note D)..........
038.175 Finish Carpentry (See Note D) .........
11
Attachment number 1
Page 11 of 34
~ $69.80
~ $69.80
~ $69.80
~ $69.80
~ $69.80
~ $69.80
~ $69.80
~ $191.10
~ $69.80
~ $69.80
~ $69.80
~ $69.80
66.50 $69.80
Ordinance No. 796fteffi # 8
038.180 Fire sprinkler system, building (See note 0)..........
038.181 Fire suppression (See Note 0) .........
038.190 Flat work masonry specialty (See note 0)..........
038.200 Floor covering, laying carpet / vinyl..........
038.210 Gas, natural (See note 0)..........
038.220 Gas, liquid petroleum (See note 0)..........
66.50
66.50
00cW
00cW
00cW
00cW
038.230 Garage door and operator installation (See: Shutter and opening
protectives )..........
038.240 Glass and glazing (See note 0)..........
038.250 Gunite and sandblasting..........
038.260 Hauling, trucking or moving..........
038.270 House moving (FOOT)..........
038.280 Installation, NOC..........
038.290 Insulation..........
12
00cW
00cW
00cW
00cW
00cW
00cW
00cW
Attachment number 1
Page 12 of 34
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
Ordinance No. 796fteffi # 8
038.300 Irrigation systems specialty (See note D)..........
038.310 Janitorial service..........
038.320 Landscaping/tree surgery..........
038.330 Lawn, yard and garden care..........
038.335 Lighting (See Note D)
038.338 Limited energy system (See Note D)
038.340 Low voltage systems specialty (See note D)..........
038.350 Maintenance work (NOe)..........
038.360 Marble setting includes tile (See note D)..........
038.370 Marine specialty (See note D)..........
038.380 Mechanical contractor (See note D)..........
038.390 Mobile home installer (See note 0, Oept of Highway Safety & Motor
Vehicles)......... .
038.400 Ornamental iron work..........
038.410 Painting - including paperhanging (See note D)..........
Attachment number 1
Page 13 of 34
00cW $69.80
00cW $69.80
00cW $69.80
~ $44.30
66.50 $69.80
66.50 $69.80
00cW $69.80
00cW $69.80
00cW $69.80
00cW $69.80
~ $191.10
00cW $69.80
00cW $69.80
00cW $69.80
13
Ordinance No. 796fteffi # 8
Attachment number 1
Page 14 of 34
038.420 Paperhanging (only)..........
~ $69.80
038.430 Partitions, movable..........
~ $69.80
038.440 Paving (See note 0)..........
~ $69.80
038.450 Pile driving (See note 0)..........
~ $69.80
038.460 Pipeline..........
~ $69.80
038.470 Plaster and stucco specialty (see note 0)..........
~ $69.80
038.480 Plumbing (See note 0)..........
~ $191.10
038.490 Pollutant storage systems; gasoline, oil, etc (See note 0)..........
~ $69.80
038.500 Pressure cleaning..........
~ $69.80
038.510 Prestressed precast concrete specialty (See note 0)..........
~ $69.80
038.520 Refrigeration, commercial and industrial (See note 0)..........
~ $69.80
038.530 Reinforcing steel specialty (See note 0)..........
~ $69.80
038.540 Roofing (See note 0)..........
~ $69.80
14
Ordinance No. 796fteffi # 8
038.550 Septic tank/sewer cleaning..........
038.560 Sheet metal (See note 0)..........
038.570 Shutter and opening protectives (See note 0)..........
038.580 Signs - electrical (See note 0)..........
038.590 Signs - nonelectrical (See note 0)..........
038.600 Solar (See note 0)..........
038.610 Steel reinforcing (See note 0)..........
038.620 Structural masonry specialty (See note 0)..........
038.630 Structural steel (See note 0)..........
038.640 Swimming pool, residential (See note 0)..........
038.641 Swimming pool, commercial (See note 0)..........
038.642 Swimming pool servicing (See note 0)..........
038.643 Swimming pool, cleaning
038.650 Tile and marble specialty (See note 0)..........
15
~
~
~
~
~
~
~
~
~
~
~
~
~
~
Attachment number 1
Page 15 of 34
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
$69.80
Ordinance No. 796fteffi # 8
039.000
040.000
041.000
042.000
038.660 Underground utility (See note D)..........
038.670 Veneer specialty (See note D)..........
038.680 Water softener installation and service..........
038.690 Welding..........
038.700 Well drilling (requires certification from SWFWMD)..........
038.710 Window cleaning..........
038.720 Wrecking and dismantling (other than building)..........
COSTUME OR CLOTHING RENTAL.........
DATA PROCESSING
040.010 Consultant/programmer Software, Consultant. Proqrammer..........
040.020 Web Designer
DATING / ROOMMATE / ESCORT SERVICE (See note B)..........
DECORATOR,INTERIOR..........
00cW
00cW
00cW
00cW
00cW
~
00cW
~
~
66.50
Attachment number 1
Page 16 of 34
$69.80
$69.80
$69.80
$69.80
$69.80
$44.30
$69.80
$56.90
$95.20
$69.80
~ $140.10
00cW $69.80
16
Ordinance No. 796fteffi # 8
043.000
044.000
045.000
046.000
047.000
048.000
049.000
050.000
DELIVERY / MESSENGER SERVICE (includes first vehicle)..........
Plus, each additional vehicle..........
DESIGNER, INDUSTRIAL (See note D)..........
DISC JOCKEY, FREE LANCE..........
DIVER..........
DRAFTSMAN..........
ELECTRIC POWER COMPANy.........
EQUIPMENT RENTAL.........
049.010 Large, heavy duty equipment..........
049.020 Small tools / equipment, appliances, etc
049.030 Mail Boxes
FLORIST.........
050.100 FORTUNE TELLER, each ( includes astrologer, clairvoyant, palmist,
psychic, tarot card reader) (See notes B and D) .......
Attachment number 1
Page 17 of 34
00cW
$69.80
~
$25.20
00cW $69.80
00cW $69.80
~ $63.50
~ $95.20
~ $191.10
00cW $69.80
~ $140.10
00cW $69.80
00cW $69.80
00cW
$69.80
133.50 $140.10
17
Ordinance No. 796fteffi # 8
051.000
052.000
053.000
054.000
055.000
056.000
FREE SERVICE BUREAU..........
FURNITURE, REFINISH, REUPHOLSTER, CLEAN AND REPAIR
GROUP CARE / COMMUNITY RESIDENTIAL HOME
053.010 Congregate care (21 or more clients) (See Note D)..........
053.020 Convalescent/nursing home (See Note D)..........
053.030 Community Residential Home (1--6 clients) (See Note D)..........
053.040 Community Residential Home (7--14 clients) (See Note D)..........
053.050 Assisted Living Facility (15--20 clients) (See Note D)..........
053.060 HalfWay House (1--20 - special treatment) (See Note D)..........
053.070 Home care / companion, non healthcare (See Note B) ...........
GUNS DEALER, includes repair (See note Band C, No home
occupation; requires federal firearms license)..........
HEARING AID, AGENT OR DEALER..........
HOSPiTAL..........
Attachment number 1
Page 18 of 34
~
$88.90
~
$69.80
~ $191.10
~ $191.10
~ $44.30
~ $56.90
~ $88.90
~ $107.80
~ $140.10
~ $140.10
~ $81.30
~ $280.30
18
Ordinance No. 796fteffi # 8
057.000
058.000
058.040
059.000
059.010
060.000
INCOME TAX PREPARER..........
INSURANCE
058.010 Company, per each class, and type of insurance (accident, auto, fire,
health, home, life, etc)..........
058.020 Adjuster..........
058.030Agency (includes 1 principal, owner, manager or agent)..........
Plus, each additional agent, customer service..........
(Reserved)
058.050 Agent, independent..........
ITINERANT OR PERMANENT, KNIFE / TOOL SHARPENER ..........
ITINERANT, AGRICULTURE PEDDLER ..........
KINDERGARTEN, NURSERY OR DAY CARE CENTER, commercial
site (See notes B and D)..........
060.010 Day Care Home, residential site, (See notes B and D)
060.020 Nanny, Professional Babysitter, (See notes B and D)
~
~
~
~
~
~
~
~
~
5'1.25
5'1.25
Attachment number 1
Page 19 of 34
$69.80
$95.20
$82.60
$69.80
$31.50
$95.20
$31.50
$44.30
$56.90
$56.90
$56.90
19
Ordinance No. 796fteffi # 8
061.000
062.000
063.000
064.000
065.000
066.000
067.000
LABORATORY (includes dental, medical, ambulatory center,
research, analytical, photo, chemical testing, etc.)..........
Plus, each employee..........
061.010 Blood Plasma Center (See note C)
Plus, each employee .............
LAND DEVELOPERS..........
LECTURER.........
LOAN, FINANCE, CONSUMER DISCOUNT, OR MORTGAGE
LENDING COMPANY (See note D)..........
064.010 Check Cashing, (See note B & C) .............
064.020 Money Exchange, (See Note B & C) ..........
LOCKSMITH (See note B)..........
MAIL ORDER ESTABLISHMENT ..........
066.010 Internet Sales Business (See 070.040 Merchant for new merchandise
inventory value over $3,000)..........
MAILING, PACKAGING, ADDRESSING, FAXING..........
Attachment number 1
Page 20 of 34
~ $101.50
~ $25.20
96.75 $101.50
2'1.00 $25.20
~ $140.10
~ $88.90
~ $318.60
133.50 $140.10
133.50 $140.10
~
$56.90
00cW
$69.80
00cW
$69.80
00cW
$69.80
20
Ordinance No. 796fteffi # 8
068.000
069.000
070.000
MANUFACTURING, fabricating, processing, compounding
068.0101 employee (including owner)..........
068.0202--4 employees (including owner)..........
068.0305--10 employees (including owner)..........
068.04011--25 employees (including owner)..........
068.05026--50 employees (including owner)..........
068.06051--100 employees (including owner)..........
068.070101--500 employees (including owner)..........
068.080 Over 500 employees (including owner)..........
MASSAGE ESTABLISHMENT (See note D and Chapter 9)..........
069.010 Massage therapist, each (See note D and Chapter 9)..........
MERCHANT OR MERCHANDISING: Inventory cost values excludes
tobacco and alcoholic beverages (See note B for sale of used
merchandise, and alcoholic beverages)
070.010 Inventory cost value $1,000 or less..........
Attachment number 1
Page 21 of 34
~ $56.90
~ $82.60
~ $114.10
~ $140.10
~ $210.20
~ $280.30
~ $318.60
4W,OO $522.90
.n.w
$76.10
~
$44.30
~
$44.30
21
Ordinance No. 796fteffi # 8
071.000
070.020 Inventory cost value $1,001 to $1,999..........
070.030 Inventory cost value $2,000 to $2,999..........
070.040 Inventory cost value $3,000 and over..........
Plus, each $1,000 or any fraction thereof over $3,000..........
070.050 Mobile tool sales..........
070.060Antiques, used merchandise (See note B)..........
070.070 Merchant, temporary permanent/location (Christmas tree and
pumpkin sales)..........
070.080 Merchant, itinerant, permanent/location..........
070.090 Merchant, show or flea market, per exhibitor, includes food vendors,
per event/show..........
070.100 Downtown convention/exhibition center..........
Hardware store or lumber yard with an inventory value less than
070.110$100,000.00 Reserved
070.120 Merchant, ice cream truck, each driver (See notes B and D)..........
MOBILE HOMES
Attachment number 1
Page 22 of 34
~ $56.90
~ $69.80
~ $69.80
~ $5.30
~ $140.10
~ $69.80
00c00 $63.00
~ $191.10
g,.w $10.10
36'16.00 $3,828.30
~
~
$57.70
22
Ordinance No. 796fteffi # 8
072.000
073.000
074.000
075.000
071.010 Dealer (new or used) sales and service..........
071.020 Park, rental 1 to 25 spaces..........
Plus, each additional space..........
071.030 Transport service (if independent of dealer or manufacturer holding a
City of Clearwater business tax receipt)..........
MOTORCYCLE dealer..........
072.010 Motorcycle, scooter or bicycle rental..........
MOVING, TRANSFER COMPANY (See note B and D)..........
MUSIC MACHINES / JUKE BOX, coin operated: (not amusement or
vending machines)
074.010 Dealer or lessor..........
074.020 Operator or lessee, each machine..........
NEWSPAPER, PERIODICAL OR NEWSLETTER
075.010 Less than 6 issues per week..........
075.0206 or more issues per week..........
Attachment number 1
Page 23 of 34
~ $140.10
~ $88.90
~ $4.00
~ $82.60
~ $101.50
oo,.w
$69.80
~ $114.10
~ $140.10
~ $44.30
~ $95.20
~ $280.30
23
Ordinance No. 796fteffi # 8
076.000
077.000
078.000
079.000
080.000
081.000
082.000
075.030Agency or bureau..........
075.040 NOTARY PUBLIC, independent............
NURSERY, PLANTS (See note D)..........
PATROL, NIGHT PATROLMAN, OR PRIVATE WATCHMAN,
SECURITY GUARD:
077.010 Firm (See note B)..........
077.020 Individual (See note B)..........
PAWN BROKER (See note B and D)..........
PETROLEUM PRODUCTS, wholesale..........
079.010 Petroleum products, deliver / sale, includes LP..........
PHOTOGRAPHY, Photographer or Video Taping (See note B)..........
080.010 Video Taping, Videographer (See note B)
PIANO TUNER..........
PLATING OR ANODIZING, METAL..........
24
Attachment number 1
Page 24 of 34
~ $140.10
66.50 $69.80
00cW
~
~
$69.80
$95.20
$44.30
~ $420.70
~ $280.30
~ $140.10
00cW
66.50
~
00cW
$69.80
$69.80
$31.50
$69.80
Ordinance No. 796fteffi # 8
083.000
084.000
Attachment number 1
Page 25 of 34
PRINTING, PUBLISHING, engraving, lithographing and binding
(includes blueprinting services)..........
.n..w
$76.10
083.010 Publishing, Desk Top
$76.10
.n..w
PROFESSIONAL (per licensee and per location)
084.01 0 Accountant (See note 0 if CPA)..........
~ $127.50
084.020 Architect (See note D)..........
~ $127.50
084.030 Attorney (See note D)..........
~ $127.50
084.040 Chiropractor (See note D)..........
~ $127.50
084.041 Counselor/social worker (See note D)..........
~ $95.20
084.050 Court reporter..........
~ $95.20
084.060 Dental hygienist (See note D)..........
~ $95.20
084.070 Dentist (See note D)..........
~ $127.50
084.090 Designer, interior (See note D)..........
~ $127.50
084.100 Embalmer/funeral director/undertaker (See note D)..........
~ $127.50
25
Ordinance No. 796fteffi # 8
Attachment number 1
Page 26 of 34
084.110 Engineer (See note 0)..........
~ $127.50
084.120 Homeopathic physician..........
~ $127.50
084.121 Mental Health Counselor (See note 0) .......
121.50 $127.50
084.130 Occupational therapist (See note 0)..........
~ $127.50
084.140 (Reserved)
084.150 Optician, including sale of lenses and frames (See note 0)..........
~ $127.50
084.160 Optometrist (See note 0)..........
~ $127.50
084.170 (Reserved)
084.180 Physician (See note 0)..........
~ $127.50
084.190 Physiotherapist (See note 0)..........
~ $127.50
084.200 Profession, NOC (See note 0)..........
~ $127.50
084.210 Psychologist (See note 0)..........
~ $127.50
084.211 Process Server (See note 0).........
90.75 $95.20
084.220 Surveyor (See note 0)..........
~ $127.50
26
Ordinance No. 796fteffi # 8
085.000
086.000
087.000
088.000
089.000
090.000
091.000
084.230 Veterinarian, also see animals (See notes C and D)..........
PROMOTER / PROMOTIONS, exhibits, shows, sports
events/tournaments, or similar type events (See note B) (if
temporary, per event)..........
RAILROAD...........
RECORDING STUDIO..........
REFUSE COLLECTION AND DISPOSAL SERVICE, (May Require
Solid Waste Dept approval, See Chapter 32)
REFUSE MACHINE, COMPACTING AND / OR BINDING:
089.010 Owner or lessor..........
089.020 Operator or lessee, per machine..........
RENTAL PROPERTy.........
090.010 Hall, Banquet Facility..........
SINGLE FAMILY / DUPLEX: Rental Period, 30 days or more,
1 - 5 units on the same or contiguous parcels..........
Plus, each additional unit..........
091.010 SINGLE FAMILY / DUPLEX: Rental Period, less than 30 days, (See
Notes C and D)
Attachment number 1
Page 27 of 34
~ $127.50
~ $255.10
~ $286.90
~ $69.80
~ $286.90
~ $280.30
~ $127.50
~
~ $127.50
~
$31.50
4-,.W
$1.70
30.00
$31.50
27
Ordinance No. 796fteffi # 8
092.000
Attachment number 1
Page 28 of 34
1 - 5 units on the same or contiguous parcels
Plus, each additional unit
$1.70
1.70
091.020 APARTMENT: Rental Period, 30 days or more, 3 - 5 units
$31.50
30.00
Plus, each additional unit
1.70 $1.70
~ $31.50
4-,.W $1.70
~ $31.50
091.030 APARTMENT: Rental Period, less than 30 days, 3 - 5 units (See
Notes C and D)
Plus, each additional unit
091.040 CONDO/TOWNHOUSE: Rental Period, 30 days or more,
1-5 units within the same complex
Plus, each additional unit
$1.70
4-,.W
091.050 CONDO/TOWNHOUSE: Rental Period, less than 30 days, (See
Notes C and D)
~
$31.50
1 - 5 units within the same complex
Plus, each additional unit
4-,.W $1.70
~ $31.50
4-,.W $1.70
~ $31.50
4-,.W $1.70
~ $31.50
4-,.W $1.70
~ $31.50
4-,.W $1.70
091.060 HOTEL, MOTEL: (See Notes C and D) 1 - 5 units
Plus, each additional unit
091.070 BED AND BREAKFAST: (See notes C and D) 1 - 5 rooms
Plus, each additional room
091.080 COMMERCIAL: 1 - 5 units
Plus, each additional unit
091.090 Rental Property, NOC: 1 - 5 units
Plus, each additional unit
REPAIR AND SERVICE, NOC, owner..........
$56.90
~
Plus, each employee..........
$12.60
~
28
Ordinance No. 796fteffi # 8
093.000
RESTAURANT (See note D; and note B for alcoholic beverage sales)
093.0101--10 seats..........
093.02011--25 seats..........
093.03026--50 seats..........
093.04051--100 seats..........
093.050101 or more seats..........
099;2.060 Snack bar, soda fountain..........
093.070 Concession stand/vendor, per location or unit..........
093.080 Canteen wagon or truck, per mobile unit..........
093.090 Drive-in or drive-through/take out or delivery..........
093.100 Nightclub/bar/tavern/cabaret/lounge (See note B; see adult use
entertainment; see commercial recreation/entertainment,
entertainers)......... .
093.110 Dancing area..........
093.120 Nightclub Entertainment (live music, comedy act, karaoke)
Attachment number 1
Page 29 of 34
~ $44.30
~ $69.80
~ $139.60
~ $210.20
~ $280.30
~ $56.90
~ $56.90
oo.w $63.50
~ $95.20
~ $280.30
~ $56.90
66.50 $69.80
29
Ordinance No. 796fteffi # 8
094.000
095.000
096.000
097.000
098.000
098.500
099.000
100.000
101.000
SCHOOLS / TRADE, STUDIO AND INSTRUCTION (See note 0; also
see note B for dancing or charm schools)..........
094.010 Health Club (See note D)
094.020 Personal Trainer
SECRETARIAL SERVICES (includes stenogr3phers)..........
SEWING (dressmaker, seamstress, tailor, etc.)..........
SHOE REPAIR OR SHOE POLISHING STAND.........
SITTING / HOUSE, PLANT, PET (See note B)..........
SPECIAL EVENTS - CITY SPONSORED, per day, per exhibit .......
STORAGE / WAREHOUSING
099.010 Indoor, per 1,000 square feet (minimum $50.00 fee)..........
099.020 Outdoor, per 1,000 square feet (minimum $50.00 fee)..........
TATTOO PARLORS (See note C and 0, and Florida State Statute
877.04, letter from doctor required)..........
TAXICAB first vehicle (See note B and Chapter 25, proof of insurance
with City listed as additional insured party)..........
00cW
66.50
66.50
00cW
~
~
~
~
~
24.-00
Attachment number 1
Page 30 of 34
$69.80
$69.80
$69.80
$69.80
$56.90
$56.90
$63.50
$1.20
$12.60
$25.20
~ $127.50
00cW $69.80
30
Ordinance No. 796fteffi # 8
102.000
103.000
104.000
105.000
106.000
Plus each additional vehicle..........
TAXIDERMIST..........
TELEPHONE AND TELEGRAPH
103.010 Telephone, company..........
103.020 Each branch office..........
103.030 Telephone, business, private (includes 900 service; see note B; call
center)......... .
103.040 Telephone, solicitation (See notes B and D)..........
103.050 Telephone, answering service..........
TOilETS, PORTABLE SERViCE..........
TRAilER, CARGO (for boat trailers, see boats)
105.010 Trailer, cargo, sales and service..........
105.020 Trailer, cargo, rental..........
TRANSIT OR READY-MIX CEMENT AND CONCRETE ..........
Attachment number 1
Page 31 of 34
~
$25.20
~
$56.90
~ $286.90
~ $37.80
~ $69.80
~ $69.80
~ $69.80
~ $127.50
~
$69.80
~
$56.90
~ $280.30
31
Ordinance No. 796fteffi # 8
Attachment number 1
Page 32 of 34
(This business tax receipt required of any distributor making
deliveries and/or sales within city limits, regardless of location of
plant.)
107.000
TRANSPORTATION SERVICES (bus station - interstate, chartered,
limousine, sightseeing) (See chapter 25, proof of insurance with City
listed as additional insured party; see note B)........
~ $267.70
108.000
VACUUM CLEANER SALES AND SERViCE..........
00cW $69.80
109.000
VALET PARKING, each location..........
~ $63.50
110.000
VENDING MACHINES (excluding amusement, music, cigarette or
stamp machines) (See 035.030 for amusement machine) (See
074.020 for music machine)
110.010 Dealer or lessor..........
00cW $69.80
110.020 Operator or lessee, per machine..........
~ $12.60
111.000
VIDEO OR FILM RENTALS..........
00cW $69.80
112.000
WRECKING yARD..........
~ $280.30
113.000
UNCLASSIFIED, any business, occupation, profession or exhibition
not specifically designated. (may require Note B)
~ $140.10
OTHER RELATED FEES 1 CHARGES SHALL BE AS FOLLOWS:
ADMINISTRATIVE FEE shall be 2 times the annual business tax fee with a
maximum of $250.00, in addition to the 25 percent delinquent fee, on business
tax receipt not renewed by January 31 sl.
DELINQUENT FEE shall be 10 percent for the month of October, plus an
additional 5 percent for each subsequent month of delinquency, not to exceed 25
32
Ordinance No. 796fteffi # 8
Attachment number 1
Page 33 of 34
percent of the business tax, on business tax receipt not renewed by September
30th.
DUPLICATE BUSINESS TAX RECEIPT FEE shall be $16.50
MINIMUM BUSINESS TAX RECEIPT FEE shall be $25.00 (State Statute)
PENALTY FEE shall be 25 percent of the business tax due, for operating a
business prior to obtaining a business tax receipt.
REGISTRATION FEE shall be $27.50 $28.00
TRANSFER FEE shall be 10 percent of the annual business tax but not less than
$3.00 or more than $25.00; when there is a bona fide sale of the business and
presentation of the original business tax receipt and proof of sale, or when a
business has moved from one location to another within the city limits and
presentation of the original business tax receipt.
Notes:
A. Requires approval by the city council.
B. Requires city police department recommendation. The
applicant shall complete a background information report, executed
under oath, and shall submit to a background investigation,
photograph, and fingerprints. The recommendation shall be based
upon the criteria set forth in section 29.41 and shall include a
statement of the facts upon which the recommendation is based.
C. Requires approval by the Planning Department.
D. Requires inspection, approval or license of state or county
authority.
NOC - Not otherwise classified.
Section 2. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
33
Ordinance No. 796fteffi # 8
PASSED ON SECOND AND
FINAL READING AND ADOPTED
Approved as to form:
Camilo A. Soto
Assistant City Attorney
34
Attachment number 1
Page 34 of 34
Frank V. Hibbard
Mayor
Attest:
Cynthia E. Goudeau
City Clerk
Ordinance No. 796fteffi # 8
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT 1 RECOMMENDATION:
Award a contract (Purchase Order) for $307,560.00 to Ten-8 Fire Equipment, Inc., 2904 59th Avenue Drive East, Bradenton, FL
for two (2) Medtec Transport Ambulances in accordance with Sec. 2.564(1)(d), Code of Ordinances - Other governmental bid,
authorize lease purchase under the City's Master Lease Purchase Agreement and authorize appropriate officials to execute same.
(consent)
SUMMARY:
These ambulances will be purchased through the Florida Sheriff's Association & Florida Association of Counties Contract 07 -07-
0828 in quote dated June 4, 2008.
Lease purchase funding in the amount of $250,000 for the purchase of two vehicles is budgeted in capital improvement project
316-91236, Rescue Vehicles. A third quarter-year budget amendment will reflect an increase of $57,560 in lease purchase
financing to this project to provide for the balance of this contract. Debt costs on the additional funds will come from operating
savings within the department.
The current funding in project 316-91236 was made available for the purchase of two rescue vehicles. The budget amendment will
reflect a change in scope to allow the purchase of transport capable rescue vehicles due to a change in department strategic goals.
These vehicles will replace two existing rescue vehicles, which the department will request to be declared surplus.
Estimated annual operating costs budgeted in the department's operating budget include debt costs of $68,020 and garage charges
for operating and maintaining the vehicles. Garage charges on the new vehicles are expected to be less than the vehicles being
retired.
Type:
Current Year Budget?:
Lease Option
Yes
Budget Adjustment:
Yes
Budget Adjustment Comments:
Current Year Cost:
Not to Exceed:
For Fiscal Year:
68,020.00
Annual Operating Cost:
Total Cost:
93,020.00
307,560.00
10/01/07 to 9/31/08
Appropriation Code
316-91236
Amount
307,560.00
Appropriation Comment
Bid Required?:
Other Bid 1 Contract:
Yes
Bid Number:
Bid Exceptions:
None
07 -07 -0828
Cover Memo
Review Approval: 1) Clerk
Item # 9
Attachment number 1
Page 1 of 19
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FRONT SWITCH PANEL
Switch Description
1 . Master Emergency
2. Pri /Sec
3. Front Lightbar
4. Spare Switch
5. Blank
6. Blank
7. Blank
8. Back-Up Alarm
9. Siren/Horn
10. Left Flood
11 . Rear Flood
12. Right Flood
13. Spare Switch
14. Blank
15. Low PSI
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MX 7000 MOD
DRAWING SHEET QUA
WaF
0 Standard 50W rotator [Wlli] SALE
0 LED Single Stack, Steady Burn
Fast 50W rotator ~ DATI
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Standard 55W, H1 rotator
(;D ILEDF I Single Stack, Flashing CUS
Fast 55W, H1 rotator ~
l@ Dual Stack, Flashing PICK
24 V rotator ~
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D-Tech Std 50W rotator ~
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Stingray (]]])]Jl
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Night Probe - NP130W - wireless -
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Diamond mirror
'-' Cylindrical Filter, half
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Attachment number 2
Wednesday, June 4, 2008
Steve Strong, Division Chief Support Services
Clearwater Fire Department
610 Franklin Street
Clearwater, FL 33756
The undersigned is prepared to manufacture for you, upon an order placed by you, for final
acceptance by Medtec Ambulance, at its home office in Goshen, Indiana, the apparatus and
equipment herein named and for the following prices:
Description
Unit Price Total Price
Two (2) Medtec Ambulance Model AD-170 on a 2008
Ford 650, Stock Units 7716 and 7717
Per Florida Sheriffs Bid #07-07-0828
Includes: Shoreline 20 amp Auto Eject, Cargo Net
Opticom 3M-792, Stainless Steel Counter Tops
Paint - Lower Half Red, Upper Half White
Lettering Not Included
$153,780.00 $307,560.00
Total Price
$307,560.00
Said apparatus is to be shipped in accordance with the specifications hereto attached, delays due to strikes,
war or international conflict, failures to obtain chassis, materials, or other causes beyond our control not preventing,
within about 60 days after receipt of signed written order at our office at Goshen, Indiana, and receipt of chassis, to
be delivered to you at Clearwater, Florida.
The specifications herein contained shall form a part of the final contract, and are subject to changes desired
by the purchaser, provided such alterations are interlined prior to the acceptance by the company of the order to
purchase, and provided such alterations do not materially affect the cost of the construction of the apparatus.
The proposal for emergency medical apparatus conforms to all Federal Department of Transportation (DOT)
rules and regulations in effect at the time of bid, and all (KKK-A-1822F) Federal Specification for Star of Life
Ambulance and (AMD) Ambulance Manufactures Division Guidelines for Automotive Emergency Medical Apparatus as
published at the time of bid, except as modified by customer specifications. Any increased cost incurred by first party
because of future changes in or said DOT, KKK or AMD standards will be passed along to the customer as an addition to
the price set forth above.
Unless accepted within 45 days from date, the right is reserved to withdraw this proposal.
Medtec Amb~lance Corporation
By
Attachment number 3
Page 1 of 14
QUOTATION
Ten-8 Fire Equipment, Inc.
Medtec Stock 2008
Quote For:
Medtec Stock 2008
7716,7717,7718
Exp. Date:
07/15/2008
06/04/2008
Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 1
PART NO S DESCRIPTION QTY
01-00-0000
01-02-0800
01-02-1000
10-02 -0800
11-06-1300
12-00-2700
12 -02 -0200
12 -04-0010
12-08-2000
12-13-1800
14-02 -0000
14-08-0600
14-18-1600
14-24-0400
== AD-170F 170" x 96",Type 1- 507.400 04/11/07 ==
S VIN # SEE BELOW
7717-3FRNF66DX8V656973
Deposit
Pre-payment
2007 Base Conversion, AD-170, Type I AD
72" Headroom (AD-170F)
EXTERIOR "A" COMPARTMENTS - RIGHT SIDE (72" HR) AD-170F
LOCATION: Exterior compartments, passenger side.
Type I, Class I, MD, Two-Door Cab/Chassis Tech Requirements
* * * CHASSIS MAKE & MODEL * * *
No Export Chassis Requirements
Ford F 650 Cab/Chassis, 4 x 2, 2008, AD 170
182 inch Wheelbase.
108"CA.
20,000# GVWR
Front GAWR- 8500#
Rear GAWR-12,000#
Exhaust, Frame Mounted, Right Side Back of Cab
Front License Plate Bracket
Alternator, 270 Amp Leese-Neville
Batteries, (3) Motorcraft, 900CCA
S Rear Air Ride System With Lowering Kit, Kelderman
FOR THE F-650 CHASSIS
- Low PSI light in front switch panel.
- Dump automatically activated by the streetside rear entry door.
- Dump cancel switch beside curbside rear entry door
* * * CHASSIS COMPONENTS * * *
Fuel System Capacity, 45 Gallon, FMVSS 301
No Sway Bars Required (AD-166/170)
Ford Electric Throttle, OEM Preset RPM
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Page 2 of 14
Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 2
PART NO S DESCRIPTION QTY
16-02 -0000
16-02-0800
16-02-2000
16-12-0400
16-14-0400
16-16-0600
16-21-0000
16-24-0200
18-06-0400
18-12-0200
20-02-0700
20-06-0200
20-08-0600
21-02 -0000
22-02-0600
22 -04-1000
24-02-2100
24-12-0400
26-10-0400
* * * CHASSIS INTERIOR COMPONENTS * * *
Driver's Compartment Appointments, Ford F
OEM AM-FM Radio & CD - Standard location
Bulkhead Cab Wall, OEM Wall To Match Dash
Cab Sign, "No Smoking, Oxygen Equipped" & "Fasten Seatbelts"
INSTRUCTION; (1) on top of floor console, at rearward edge, toward walkthru.
Cab Flooring, Ford, OEM Rubber
INSTRUCTION: Install rubber flooring in chassis cab.
Battery Switch - TST Commander 350 With 5 Minute Timer
Summer Switch for Block Heater, Behind Driver's Seat
* * * CHASSIS EXTERIOR ACCESSORIES * * *
Wheel Simulators, Dicor - Stainless Steel
Tire Fill Extensions (4) Dicor, For Rear Inside/Outside Tire
* * * 12 VOLT ELECTRICAL SYSTEMS AND COMPONENTS * * *
Standard Electrical System, F
Wiring Module, Angled Electrical Cabinet
Install and Label Breakers Behind the Driver's Seat
Portable Equipment Charging Circuits
INSTRUCTION:
(1) 20 amp circuit breaker.
Run power wires from drivers seatbase to:
(1) Circuit (power & ground) to front console -
labeled on both ends: "Portable Equipment Charging Circuit".
(1) Circuit (power & ground) to behind rear switch panel -
labeled on both ends: "Portable Equipment Charging Circuit".
(Requires optional inverter or battery charger for full function.)
Sequencer / Load Manager, Main Master Emergency Functions
INSTRUCTION:
Medtec sequencer and load manager.
Standard shedding sequence.
Front Console, Center Cab Mount
INSTRUCTION:
Install standard floor-mounted console.
Install Rocker style switch panel in dash.
(3) Batteries, 2700 CCA
INSTRUCTION:
All (3) OEM batteries in the driver's side cab step.
Outlets, (2) - 12 Volt, Cigarette Style, ALS & 1st AA
INSTRUCTION:
(1) in ALS cabinet
(1) on 1 st action area wall
SEE PRI NTS
Shoreline, 20 Amp, Twist-Lock, On Driver's Side
Item # 9
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Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 3
PART NO S DESCRIPTION QTY
26-16-2600
26-22-0500
28-02-0200
28-06-1600
28-14-0200
30-03-1000
30-09-0200
30-12 -0000
30-16-4200
30-18-0000
30-18-2000
30-30-0000
30-30-0200
INSTRUCTION:
(1) 115 volt 20 amp. (60Hz) twistlock power inlet.
Water-tight cover.
Ship loose mating plug.
Outlets, (3) Interior, 115 Volt AC
LOCATION:
(1) in ALS cabinet
(1) in 1 st action area
(1) in 2nd action area
SEE PRINTS
Spotlight, (1) Optronics "BlueEye 4000",Hand-Held, Hard Wire
LOCATION:
Wired to passenger side of dash.
SHIP LOOSE HANGING HARDWARE.
* * * AUDIO WARNING DEVICES * * *
Siren, SVP #SS730
Speakers, Bumper Mounted, SA4305-97F-1
Backup Alarm, Preco #230 With Auto Reset Switch
INSTRUCTION:
(1) Automatic reset cancel switch, mounted in front switch panel.
* * * VISUAL WARNING DEVICES * * *
Clearance Lights, LED, (11) With Chrome Bezel
INSTRUCTION:
(4) lights - two on each side, of upper body corner extrusions.
(5) on the rear and (2) on the front, upper body extrusions.
Lights, Whelen 600 LED, Stop/Tail/Turn With Arrow
LOCATION:
With Flanges.
Backup lights - halogen.
Lights on rear of module box and kickplate standard location.
SEE PRI NT
CHASSIS GRILLE LIGHTS
S Grille Lights, (2) Whelen 400 LED, Red and Clear Lenses
INSTRUCTION:
With Flanges.
INTERSECTION LIGHTS
Intersection Lights, (2) Whelen 400 Super LED Linear 12, Red
INSTRUCTION:
With Flanges.
L1GHTBARS - FRONT OF VEHICLE
Front Lightbar, 58" Code 3 MX-758A2 - Wedge Bracket Mount
INSTRUCTION:
Mounted on front of module box with aluminum wedge brackets.
Lens Colors: R/C/C/R
(1) switch in front switch panel.
Item # 9
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Quote No: 10140-0001 / Job/Order No: 7716-7718
Attachment number 3
Page 4 of 14
32 -02 -0000
32-02-3800
PART NO S DESCRIPTION QTY
Page 4
32-12-0000
32-16-1200
32-18-0100
32-22-0000
32-22-0700
32-24-0200
34-02 -0000
34-06-1800
34-08-0500
34-38-0200
36-14-0400
FRONT OF BODY LIGHTS
Frt Bdy Lgts,(3)Whelen 900 (2)Super LED (1)Hlgn,R/C/R W/Flng
INSTRUCTION:
With Flanges
(2) LED - Red lenses on upper front corners.
(1) Halogen - Clear lens on upper front center.
SIDE OF BODY WARNING LIGHTS
Side Body Lights, (4) Whelen 900 Super LED, Red With Flange
LOCATION:
With Flanges
(2) Streetside
(2) Curbside
Side Turn Lights, Whelen 700 Incandescent - With Flange
INSTRUCTION:
With Flanges.
Red Lenses.
(1) Each side of body at rear.
Steady burn with DOT lights.
Flash with turn signals.
SIDE SCENE LIGHTS
Scene Lights, (4) Whelen 900 Opti-Scene 8-32 degree (Flange)
INSTRUCTION:
With Flanges.
(2) Streetside
(2) Curbside
(1) switch in front switch panel, for each side.
Scene Light Activation - Standard
INSTRUCTION:
Curbside scene lights to activate with side entry door.
Rearmost scene lights to activate in reverse.
REAR BODY LIGHTS
Rr Bdy Lgts, (3) Upper, Whelen 900 Super LED, R/A/R W/Flange
LOCATION:
With Flanges
(2) Super Red LEDs/Lenses on rear upper corners, of module box.
(1) Super Amber LED/Lens on rear upper center, of module box.
Load Lights, (2) Upper, Whelen 900 Opti-Scene With Flanges
INSTRUCTION:
With Flanges
Above rear entry doors.
Activate with rear entry doors and reverse.
(1) On/ off switch in the front switch panel.
Warning Light Flash Requirements, "E-Spec" Flash Pattern
C-Channel Rubrail Lights, (6) Whelen Strip-Lite LED Red Lens
INSTRUCTION:
(3) Whelen LED Strip-Lites shall be mounted in the rub rails, on each side of the unit.
* * * BODY DESIGN AND CONSTRUCTION COMPONENTS * * *
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Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 5
PART NO S DESCRIPTION QTY
40-02-1400
40-07 -0200
40-08-1000
40-10-0200
40-12-0300
40-12-1200
40-14-0200
40-18-0600
40-20-6200
40-26-0800
40-32-0200
42-04-3000
42-08-0200
42-10-2600
42-12-0200
42-16-4100
42-18-0200
44-04-7100
44-06-1000
44-12-3600
44-14-3000
44-15-0000
44-16-1200
Body Design & Construction, Alum, 170" Lx 93.5" H x 96''W
Compartment & Entry Doors With Recessed Door Liner
Exterior Compartment Depth, 20.75"
Insulation, Dolphin Protective Coating, Reflectix Dual Bubble
INSTRUCTION:
3/8" Reflectix dual air bubble core insulation on walls and ceiling.
Vapor Barrier, .090 aluminum
LOCATION:
Between the floor and the 2" x 2" floor tube structure
Fender Insulator, Flash Patch Liner, Over Rear Wheelwells
Cab Connection, Neoprene Gasket w/Grade 8 Bolts
INSTRUCTION:
(25) 1/4" Grade 8 bolts & lock washers
Body Mounting, Isomount Technique, 3/4" x 6" Alum, 16-Bolt
INSTRUCTION:
3/4" x 6" alum plates, sixteen (16) bolts.
Bolts and paired rubber isolators with steel cap and collared
mounting nut for each chassis mounting point.
EXTERIOR "B" COMPARTMENTS - LEFT SIDE (72" Headroom)170F
LOCATION:
Exterior compartments, driver side.
01, Exterior Compartment, 23" W x 84" H
01, Door, Solid, Vertically Hinged
02, Exterior Compartment, 49" W x 33" H
02, Doors, Double, Solid, Vertically Hinged
03, Exterior Compartment, 41 3/8" W x 9" H, Wheelwell (AD)
03, Door, Solid, Mounted to Tray, "For Drawer"
04, Exterior Compartment, 37" W x 65" H (Inside/Outside)
INSTRUCTION:
A notch in the upper left corner, to accommodate 2nd action area.
Notch to be approximatly 7" from the left side and 24" from the top of the compartment. This
compartment to have inside/outside access.
04, Doors, Double Solid, Vertically Hinged
P1, Exterior Compartment, 21" W x 66" H, ALS
P1, Door, Solid, Vertically Hinged
Side Entry Door, 32" W x 74" H With Fire Grade ADP Step
NOTE: FIRE GRADE ADP DUAL SIDE ENTRY DOOR STEP on the F-450, F-650, C4500, IntI. 4300LP, and FL
M2
Door Panel, Side Entry, Three-Piece, Formica
INSTRUCTION:
Upper - Formica
Center - Stainless
Lower - Formica
Formica color to match interior.
Stepwell Light, Whelen 4" Round LED with Chrome Flange
Assist Handle,Brey Krause, Side Entry, 1.25" 0.0. x 45 Deg
Item # 9
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Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 6
PART NO S DESCRIPTION QTY
LOCATION:
Interior of side entry door.
44-28-1900
44-32-2800
44-34-0200
48-12 -0000
48-12-1000
48-14-3000
48-16-0800
49-00-0000
49-02 -0200
49-04-0200
50-00-0500
50-02-0200
50-02-0600
50-03-0000
P4, Exterior Compartment, Not Required At This Time
P5, Exterior Compartment, 21" W x 84" H
INSTRUCTION:
Compartment walls lined with smooth aluminum and rubbermatted.
P5, Door, Solid, Vertically Hinged
* * REAR BODY PATIENT ENTRY DOORS * *
Rear Entry Doors, 50" W x 63" H, Dual Tri-Mark Handles
INSTRUCTION:
Driver side - non-locking.
Passenger side - locking.
Door Panel, Rear Entry Doors, Three-Piece, Formica
INSTRUCTION:
Upper - Formica
Center - Stainless
Lower - Formica
Formica color to match interior.
Assist Handle,Brey Krause, Rear Entry, 1.25" x 45 Degree
LOCATION:
Interior of rear entry door.
* * WINDOWS * *
Sliding Window, Side Entry Door, OEM Tinted Glass
INSTRUCTION:
(1) 20" W x 19" H
Fixed Windows, Rear Entry Doors, OEM Tinted Glass
INSTRUCTION:
(2) 20" W x 19" H
* * * EXTERIOR COMPARTMENT COMPONENTS * * *
Exterior Compartments, ADP With "Sweep Out" Design
ADP construction with sweepout on floor except rubberlined backboard compartment will have
smooth aluminum.
Exterior Compartments, Gas Charged Door Hold Opens
LOCATION:
On exterior compartment doors.
Spring cam hold open on side entry door.
Open greater than 90 degrees were applicable.
Exterior Compartment Doors, Tri-Mark Handles
INSTRUCTION:
Tri-Mark paddle latches keyed alike.
Exterior 02 Vent - On 02 Compartment Door
INSTRUCTION:
(1) #1031 0/2 vent - exterior compt. door - of 0/2 compt.
(1) small black plastic vent - interior of compt. door on door liner.
Item # 9
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Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 7
50-04-0400
50-06-0000
PART NO S DESCRIPTION QTY
50-06-0400
50-08-0200
50-10-0200
50-14-0200
50-16-1700
50-18-2400
50-24-0600
50-27 -0400
50-32-0800
50-34-0600
50-36-0800
50-38-0600
50-40-2400
50-42-2800
50-44-0200
50-46-0800
50-48-0200
50-50-0200
52-03-0100
52-05-0200
52-06-0200
52-11-0600
Exterior Compartments, Black Dri-Deck On Floor & Shelves
Rear Door Grabbers, Cast Products "Grabber"
INSTRUCTION:
Bottom of rear entry doors.
Door Seals, Automotive Closed Cell Gasket
LOCATION:
Exterior compartments & entry doors
Exterior Compartment Lights, Litco
INSTRUCTION:
Activated by compartment doors.
01, (1) 02 Tank Mount, Stainless Steel Rings - "M" Cylinder
INSTRUCTION:
Adjustable
02, (1) Adjustable Shelf
04, (1) Adjustable Shelf
P5, (2) Vertical Backboard Dividers, Line-X Coated
LOCATION:
Left side & right side of P-5 compartment.
Grab Rail, 16" - To The Left Of Side Entry Door
Weld & Finish Side Seams
Bumper, Rear With 7" Diamond Back Flip Step
Bumper Pods, Cast Aluminum With Logo
Rear Kick Plate, Stainless Steel Above Rear Bumper Step
Kickplate runs hinge to hinge width below rear entry doors.
Body Protection, Rear Mudflaps & "(" Channel Rubrails
"Pierce" style "(" channel rubrails.
Standard Driver and Passenger Step Under Cab Door - F650
Stoneguards, Stainless Steel, 21" Front - 16.5" Rear
Fenderettes, Rear, Stainless Steel
License Plate Holder #LP0002-1, Recessed On Driver's Side
LOCATION:
With (2) top lights.
Rear drivers side, below turn signal.
Mudflaps On Rear, With Manufacturer's Logo
Ziebart Undercoating, Chassis & Body (Standard)
* * * INTERIOR PATIENT COMPARTMENT COMPONENTS * * *
No Combination/Push Button Lock Required
Cabinet Glass - Smoked Acrylic 1/4" Plexiglas
Stainless Steel Round Locking SouthCo Latches, Standard
INSTRUCTION:
All interior cabinet doors to have, stainless steel round locking SouthCo latches.
Cabinetry, Patient Compt, Wood With Formica (Radius)
INSTRUCTION:
-- 5" RADIUS CORNERS --
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Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 8
PART NO S DESCRIPTION QTY
52-28-0600
52-32-0200
52-36-0600
52-54-2200
52-60-0400
53-02-1200
53-03-0200
53-06-0200
53-33-0200
54-02-3800
54-04-0200
54-12 -0200
Corner on ALS cabinet.
Corners of upper streetside cabinets.
Corner on squad overhead cabinet.
Dome Lights, (6) + (2) 39" Fluorescents
INSTRUCTION:
(2) - 3 position switches in the rear switch panel (1) for each bank of dome lights.
A three-minute time delay system activated by the patient entry doors.
(2) Thinlite brand 39" fluorescent lights to be installed.
(1) On/off switch in the rear switch panel, for both fluorescent lights.
Ceiling In Patient Compt, Pads Over Center Access
INSTRUCTION:
The ceiling to have access to antennae bases/leads.
Covered by center ceiling pads.
Thinlite Light, 18" - Surface Mount In 1 st Action Area
Flooring, With 5" Roll-up
Rear Threshold, 6" Wide Stainless Steel With 2" Skid tape
INSTRUCTION:
6" wide stainless steel threshold with 2" wide
skid tape covering the threshold screw heads.
* * *INTERIOR COLOR SECTION * * *
Formica Color, Fog (#961) (Grey)
Matte Formica Finish
Flooring Color, Mica #421, LonPlate II (Silver)
Upholstery Color, Ash #MV101 (Grey)
* * * STREETSIDE CABINETS - PATIENT COMPARTMENT * * *
Sect 1 - 1st Action Area With 3/4" Lip
Sect 1, Action Area Control Panel, 30 Degree Angled Cabinet
INSTRUCTION:
Rocker style switch panel.
Angled switch panel @ 30 degree angle in upper part of 1st action area.
Sect 1, Trintec Clock, 3.5" Battery Operated, 1 st AA Angled
INSTRUCTION:
Install 3.5" battery operated Trintec clock mounted in the angled area, forward of the 1st action area
switch panel.
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Quote No: 10140-0001 / Job/Order No: 7716-7718
Page 9
54-16-2000
PART NO S DESCRIPTION QTY
54-18-0200
54-20-0200
54-26-4500
54-36-1600
54-38-0200
54-40-0200
56-02-0400
56-04-0200
56-06-0200
56-08-0200
56-26-0400
58-02-0800
58-04-0200
58-06-0200
58-08-1000
58-30-0200
Sect 1, 1 st Action Area Overhead Cabinet
INSTRUCTION:
Fixed center divider and (1) adjustable shelf on each side.
Sect 1, Sliding Plexiglas Doors On Overhead Cabinet
LOCATION:
On the cabinet above 1st action area.
Sect 1, Handles, Full Length Aluminum
LOCATION:
On the cabinet above 1st action area.
Sect 1, Writing Drawer, Standard
INSTRUCTION: Fab Part #1005643
Writing drawer below 1st action area.
Chrome "(" handle with SouthCo grabber catch to keep closed.
Sect 1, Cabinet Below 1 st AA
INSTRUCTION:
(1) cabinet below the 1st action area, in the forward position.
Sect 1, Sliding Plexiglas Doors On Cabinet Below 1 st AA
Sect 1, Handles, Full Length Aluminum
LOCATION:
On the cabinet below 1st action area.
Sect 2, Sharps & Waste Compartment - Tilt Out
INSTRUCTION:
Rearward of the CPR seat with Round locking SS South co latch & holdopen.
Sect 2, Double Cabinet Above CPR Seat
Sect 2, Flip-up Plexiglass Doors On Cabinet Above CPR
Sect 2, Handles, Chrome "(" With Mini-strut Holdopens
LOCATION:
On cabinet above CPR seat.
Sect 2, 2nd Action Area With 3/4" Lip
Sect 3, Rearward Overhead Cabinet
INSTRUCTION:
Fixed center divider and (1) adjustable shelf on each side.
Sect 3, Sliding Plexiglas Doors, Rear Overhead Cabinet
Sect 3, Handles, Full Length Aluminum
LOCATION:
On the upper rear streetside overhead cabinet.
Sect 3, Lower Rear Streetside Cabinet, (Inside/Outside)
INSTRUCTION:
Inside/outside access into 0-4 compartment.
Off set in 0-4 for 2nd action area.
Sect 3, Plexiglas Doors, Double Sliding
LOCATION:
Lower rear streetside main cabinet.
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Quote No: 10140-0001 I JoblOrder No: 7716-7718
Attachment number 3
Page 10 of 14
Page 10
58-32-0200
58-46-0400
60-02 -0200
60-02 -0800
60-04-0200
60-08-0200
60-11-0200
60-12-0600
60-14-0800
63-44-0200
Sect 3, Handles, Full Length Aluminum
LOCATION:
Lower rear streetside main cabinet.
Sect 3, LIS Exhaust Fan, 6" W x 8" H, 240 cfm Air Flow
INSTRUCTIONS:
Install (1) standard exhaust fan - streetside rear.
Install a fan speed switch in rear switch panel.
* * * BULKHEAD COMPONENTS * * *
B1, LIS, Oxygen Compt, Interior Access With 0/2 View Window
INSTRUCTIONS:
Hinged plexiglas door for 0/2 view into D-1 compartment.
B1, LIS, Electrical Cabinet, Angled
INSTRUCTION:
An angled cabinet shall house the electrical components.
B1, Electrical Cabinet Door w/Round Locking SS South co Latch
INSTRUCTION:
Door vented at the top and the bottom.
B1, Thermostat, Digital, Pro Air, PD&AD
LOCATION:
On 1st action area wall. Forward upper corner.
B1/2, Cab/Body Pass-Through
LOCATION:
Pass-thru between cab and module.
INSTRUCTION:
There shall be a pass-through access window approx. 16"H x 17.5'W with a sliding plexiglass window, in
formica covered wood frame.
B1/2, Heat/Cool Unit, Patient Compt, Pro-Air #935
INSTRUCTION:
Mounted over pass thru
Controls to be located in the rear switch panel.
Double vent on bottom of HVAC cabinet.
B1 12, AIC Condenser, Bottom Mounted
INSTRUCTIONS:
Install an auxilary AIC condenser under body.
Connect to the standard interior Heater Air Conditioner combination unit.
USE Hoseline BMC 1006 with Dryer with HOSELlNE SYSTEM or ProAir B106 with PROAIR SYSTEM
B2, STANDARD - ALS Cabinet, 3-Section
INSTRUCTION:
Top:
Formica covered wood
Top hinged door
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Page 11
PART NO S DESCRIPTION QTY
Locking round South Co latch.
64-01-1200
64-02 -0200
64-06-1600
64-10-3600
64-14-0200
64-16-0400
64-18-0400
68-10-3200
68-12-1200
68-14-1000
Center:
Dual solid formica covered wood doors
Round Locking South Co latches
[1] adjustable shelf.
Bottom:
Dual solid formica covered wood doors
Locking SouthCo round latches.
Rubbermat on the bottom of each cabinet section and shelf.
* * * PATIENT COMPARTMENT SEATING * * *
Vacuumed Formed Upholstery PD & AD models
INSTRUCTION:
EVS Vacuum formed seats & backrests only.
Armrests and all trim panels to be machine stitched using EVS Companion II material.
Clips placed at top of backrest and Velcro to bottom
Sect 1, Att. Seat, High Back, On 185S Swivel Base, EVS (VF)
INSTRUCTION:
EVS vacuum formed high-back attendant seat.
LH Arm rest.
EVS 185S swivel base -- 1700 series seat.
Sect 2, CPR Seat, 26" Wide With Fold Down Backrest
Sect 2/3, Squad Bench, 22" D x 82" W x 16" H
INSTRUCTION:
(2) lids with storage under forward section.
Gas strut hold opens and paddle latch.
Sect 2/3, Back Rests, (2) Above Squad Bench
Sect 2, Posts and Cups, Ferno Washington, (1) Set
INSTRUCTION:
(1) Complete Set Ferno Washington Posts & Cups
Set-up for a FW #11 stretcher.
Sect 2, Armrest, Polished S/S, Removable, Squad Bench
INSTRUCTION:
Removeable style armrest -- top of armrest to be padded upholstery.
* * * CURBSIDE CABINETS - PATIENT COMPARTMENT * * *
Sect 2/3, Squad Bench Cabinet, Two-Section
INSTRUCTION:
Cabinet to be divided into (2) sections by a fixed center divider.
Sect 2/3, Double Sliding Plexiglas Doors
LOCATION:
On squad overhead cabinet.
Sect 2/3, Handles, Full Length Aluminum
LOCATION:
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Page 12
PART NO S DESCRIPTION QTY
On the squad overhead cabinet doors.
70-02-1000
70-10-0200
70-14-0600
70-17 -0200
72-02-1200
72-10-0200
74-02-0200
74-02-0500
74-04-0400
74-04-0800
74-06-0600
74-10-0600
74-20-0800
* * * PATIENT COMPARTMENT EQUIPMENT /COMPONENTS * * *
IV Holders, (4) Cast Products #2008-1, Ceiling Mounted
LOCATION:
(2) over cot
(2) over squad bench
Cot Mount, Stryker #6377 Dual Position, Floor Mount
INSTRUCTION:
For Cot Model:
(for positioning of cot mounts only)
Cot Mount Location, Side & Center
No Cot Stop Required at This Time
Assist Rails, (1) 90" x 1.25", (1) 60" x 1.25" 0.0, Brey Kr
INSTRUCTION:
(1) 90"x 1.25" - over cot.
(1) 60" x 1.25 " - over squad bench.
Signs, "No Smoking Oxygen Equipped" & "Fasten Seatbelts"
LOCATION:
(1) on 1 st action area wall.
* * * MEDICAL OXYGEN & ENVIRONMENTAL SYSTEMS * * *
Oxygen, 3000 Liters Minimum
Oxygen, (2) Outlets - 1st Action Area
INSTRUCTION:
(2) on the 1 st action area wall
SEE PRI NTS
Oxygen Outlet, (1) Additional, Specify Location
INSTRUCTION:
(1) additional outlet ceiling
SEE PRINT
Oxygen Outlets, Ohio Brand
Flowmeter, (1) Oxygen, Gravity Type
LOCATION:
SHIPPED LOOSE
Regulator, Oxygen
LOCATION:
On 0/2 hose in 0-1 compartment.
Suction & Aspiration Systems, SSCOR/Thomas, 02
INSTRUCTION:
(1) SSCOR 20001/02 disposable canister, inection molded plastic bracket and wall-mount vacuum
gauge and outlet on 1 st action area wall.
Install the Thomas brand vacuum pump in the upper left corner of the 0-2 compartment, in a metal
cage.
(1) "on/off' switch in the rear switch panel, for Suction pump.
SEE PRINTS
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06/04/2008
Quote No: 10140-0001 / Job/Order No: 7716-7718
Attachment number 3
Page 13 of 14
Page 13
PART NO S DESCRIPTION QTY
74-22-0200
76-02-0600
76-06-0200
78-02-0600
80-04-0200
80-04-0400
80-04-0800
84-05-0200
84-07 -0000
84-22-0000
88-04-0200
90-02 -0300
90-06-0600
Canister Bracket P / N 1031799
Sharps & Bio-Hazard Containers, Racksack With Bags
LOCATION:
SHIPPED LOOSE
* * * COMMUNICATION & LOOSE EQUIPMENT * * *
Patient Code Signal System, With (3) Switches & Buzzer
LOCATION:
Cab console and rear switch panel.
Radio Antenna Pre-Wire, (2) Base, Power, Ground & Coax
INSTRUCTION:
Antenna/Radio (2) bases and coax.
Power and ground wires.
Run from: (1) Center front of module roof.
(1) Center center of module roof.
Run to: Both to behind passenger seat in cab.
(2) Fire Extinguishers, ABC 5 lb With Mounting Brackets
LOCATION:
SHIPPED LOOSE
* * * PAINTING, LETTERING & STRIPING * * *
Body Surface Preparation with Corrosion Inhibitor
Paint Preparation & Processes
Body Paint Color, Sikkens, Single, White
No Vehicle Paint Stripe Design Required At This Time
Non Metallic or Pearl Paint Color
Pinstripe, 3/4" W -"(" Style Rubrail, Reflective
INSTRUCTION:
Install 3/4" wide white reflective stripe through the center of the "(" style rubrail.
Decals, "Ambulance" & "Star of Life" Packages, Installed
INSTRUCTION & COLOR:
Light Blue reflective #280-76 with White reflective #280-10 outline.
(3) 6" "AMBULANCE"
(1) 4" reverse "AMBULANCE".
(2) 18" SOL
(2) 14" SOL
(2) 6" SOL
(1) 32" Vinyl SOL
* * * MISCELLANEOUS * * *
Vehicle Operator's Manual, Hard Cover Binder - AD
Operating Instructions, Video Tape
Item # 9
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06/04/2008
Quote No: 10140-0001 / Job/Order No: 7716-7718
Attachment number 3
Page 14 of 14
Page 14
PART NO S DESCRIPTION QTY
90-06-0800
90-07 -0200
92 -02 -0200
92-06-0400
Electrical Schematics CD
Fuel Fill
Medtec Standard Warranty
No Extended Conversion Warranty Required
Item # 9
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Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Declare the list of vehicles and equipment surplus to the needs of the City and authorize disposal through sale to the highest bidder
at the Tampa Machinery Auction, Tampa, Florida, and authorize the appropriate officials to execute same. (consent)
SUMMARY:
Vehicles and equipment listed have been replaced as necessary and are no longer required.
Tampa Machinery Auction is the Pinellas County Purchasing Cooperative Auctioneer of Record.
Appropriation Code
0566-00000- 364413 -000-000-0000
Amount
proceeds
Appropriation Comment
Revenue
Review Approval: 1) Clerk
Cover Memo
Item # 10
Attachment number 1
Page 1 of 1
Fleet Surplus for June 19, 2008
REASON FOR
ITEM# Asset# YEAR DESCRIPTION SERIAL NUMBER MILEAGE SURPLUS I DISPOSAL
1 G0197 1994 Ford Ranger Ext Cab Pickup 1 FTCR14U6RT A63721 83886 Age/Condition
2 G1370 1994 GMC 1500 Pickup Truck 1 GTDC14Z4RZ568039 59950 Age/Condition
3 G1750 1997 Chevrolet S10 Pickup Truck 1 GCCS14X7V8169526 73848 Age/Condition
4 G1884 1997 Dodge Ram 2500 Van 2B4HB25Y2VK596853 64912 Age/Condition
5 G1945 1998 Ford Ranger Pickup Truck 1 FTYR1 OU3WUB61557 76021 Age/Condition
6 G1946 1998 Ford Ranger Pickup Truck 1 FTYR1 OU6WUB81964 75132 Age/Condition
7 G2038 1999 Dodge Ram 1500 4x4 Pickup 3B7KF26Z9XM524456 54859 Badly Rusted
8 G2074 1999 Ford Crown Victoria Police Car 2FAFP71 W1 XX172556 82364 Age/Condition
9 G2093 1999 Ford Taurus 4 dr. sedan 1FAFP52U2XA220849 87936 Age/Condition
10 G2227 2000 Ford Crown Victoria Police Car 2FAFP71WXYX164330 97006 Accident Damage
11 G2272 2000 GMC 3500HD w/ Utility Body 1 GDKC34J5YF509722 100147 Age/Condition
12 G2346 2001 Kawasaki 2520 Utility Vehicle JK1AFCB11YB503623 N/A Age/Condition
13 G2355 2001 Ford Crown Victoria Police Car 2FAFP71 W81 X146687 97880 Age/Condition
14 G2392 2001 Ford Crown Victoria Police Car 2FAFP71W01X143590 100508 Age/Condition
15 G2436 2001 Chevrolet Tahoe 1 GNEC13V01 R180319 95364 Age/Condition
16 G2472 2002 GMC Sierra 1500 Pick Up Truck 1 GTEC14V32Z284697 92084 Age/Condition
17 G2524 2002 Ford Crown Victoria Police Car 2FAFP71W12X134575 94781 Age/Condition
18 G2525 2002 Ford Crown Victoria Police Car 2FAFP71 W02X134583 100203 Bad Transmission
19 G2528 2002 Ford Crown Victoria Police Car 2FAFP71 W92X134582 90934 Bad Transmission
Item # 10
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve the lease of the cafe space in the Clearwater Main Library to Mr. Bernard F. Dillman for a term of five years, with a five-
year renewal unless either party provides written notification of termination and authorize the appropriate officials to execute
same. (consent)
SUMMARY:
After a review of the responses to the RFP, a committee of library and city staff and community residents selected Mr. Dillman to
operate a cafe in the Atrium space in the Clearwater Main Library. The contract covers a term of five years and a five-year
renewal, at a base rent of $500 a month plus 5% of sales above $2000 a month. The lease can not be assigned.
The lessee will be resonsible for obtaining permits for and constructing build out of the facility. He is also responsible for
providing all the necessary equipment.
Tthe City is responsible for utility cost.
The menu will provide soup, salads and sandwiches. Mr. Dillman expects to be a hands on owner/manager who will closely
oversee the operation.
Type:
Current Year Budget?:
Other
Yes
Budget Adjustment:
Yes
Budget Adjustment Comments:
Anticipated revenue is down $841 because the cafe has been closed. In future years, anticipated revenue will be up $1,200 because basic
rent is higher than under previous contract.
Current Year Cost:
Not to Exceed:
For Fiscal Year:
Annual Operating Cost:
Total Cost:
to
Appropriation Code
362332
Amount
$4,800.00
Appropriation Comment
Revenue
Bid Required?:
Other Bid / Contract:
Yes
Bid Number:
Bid Exceptions:
22-08
None
Review Approval: 1) Clerk
Cover Memo
Item # 11
Attachment number 1
Page 1 of 25
OPERA TOR AGREEMENT
THIS OPERATOR AGREEMENT, made and entered into this 20th day of June, 2008,
("Effective Date") by and between the CITY OF CLEARWATER, FLORIDA, a municipal
corporation, (the "City") and Bernard F. Dillman, (the "Operator"):
WIT N ESSE T H :
WHEREAS, City owns and operates the new Main Library facility located at 100 North
Osceola Avenue, Clearwater, Florida, 33755, more specifically described in attached Exhibit "A"
(the "Library"); and
WHEREAS, the Library houses a cafe area ("Premises" or "Cafe") designed to provide
food and beverage service to Library patrons and visitors; and,
WHEREAS, the City has determined that it is in the best interest of the City to allow an
experienced entity to oversee the day to day operations of the Cafe; and,
WHEREAS, the Operator specializes in the operation of food and beverage businesses,
and Operator desires to provide such services in accordance with this Agreement.
NOW, THEREFORE, IT IS MUTUALLY AGREED AS FOLLOWS:
1. Premises. In consideration of the fees hereinafter agreed to be paid by the
Operator to the City, and in consideration of the covenants of the respective parties hereto, each
to the other to be performed by them at a time and in the manner hereinafter provided, the City
hereby permits Operator to occupy and operate a food and beverage concession operation within
and upon the Premises:
The northwest comer of the first floor of the new Main Library, containing 2,147
square feet of interior floor space, which includes 432 square feet constituting the
food preparation area ("Back of the House") and a 1,715 square foot cafe seating
area, along with an exteri or area containing a 3, 143 square foot terrace seating
area. See Exhibit "A" for a diagram and description of the Premises.
Item # 11
Attachment number 1
Page 2 of 25
Operator acknowledges and agrees that all areas other than the Back of the House area are
open at all times to the public.
2. Term. The term of this agreement is for five (5) years, beginning on the Effective
Date, and ending on the 19 day of June, 2013. As referred to in this agreement, an "Agreement
Year" commences on the date this Agreement is executed and on the annual anniversary date of
such execution each year thereafter.
This Agreement shall automatically renew for an additional five (5) year period
under the same terms and conditions unless either party hereto provides written notice to the
other party to terminate same, not less than ninety (90) days prior to the end of the term hereof.
3. Performance Failure/Municipal Need. Failure of Operator to meet any of the
terms and conditions of this Agreement shall constitute a breach hereunder. The City may cancel
this agreement at any time by giving thirty (30) days prior written notice to the Operator, as
notice is required to be given herein, when, in the opinion of the City, inferior service is being
offered, the terms of the minimum financial commitments are not being met, Operator is in
breach of any other terms of this agreement, or for any other good and valid reason that in the
opinion of the City, might detract from Clearwater and is not in the best interest of the people of
Clearwater; however, City shall not terminate this Agreement in order to replace Operator with
an operator offering similar services, without such termination being based on a good and valid
reason as provided herein.
City retains the right to terminate this agreement for any municipal need as determined by
the City in its sole discretion. This right of termination is to be considered in addition to the right
of termination set out in this agreement.
2
Item # 11
Attachment number 1
Page 3 of 25
Should City desire to terminate this Agreement as provided for above, City shall first give
Operator written notice of any applicable default with allowance thereafter of thirty (30) days
time for operator to correct such default before terminating the Agreement. Such written notice
shall state in particular the basis for termination. After having provided notice to cure as
described in this paragraph, or in accordance with the provision for termination for municipal
need, City shall give Operator ten (10) days written notice to vacate, and this Agreement shall
terminate at the end of such period.
Operator acknowledges that the provision of equipment and merchandise necessary for
the operation of the Cafe is the sole responsibility of the Operator. Therefore, if, at any time, the
City terminates this Agreement for any valid reason mentioned above, the City shall not have any
responsibility or liability related to reimbursing Operator for its equipment of inventory.
4. Operations.
(a) Menu. The Operator shall have the right to sell food, beverage and other
merchandise at the Cafe, including but not limited to; coffee, cold drinks, bottled drinks,
baked goods, bulk coffee, smoothies, and ice cream, as further described in Exhibit "B"
attached hereto and made a part hereof. Operator may modify its menu, subject to the
written approval of the City, whose approval shall not be unreasonably withheld or
delayed. Operator shall not sell or serve alcoholic beverages on the Premises.
(b) Entertainment. No music, live entertainment, media or speakers of any
kind are permitted on the Premises without prior written approval of the City, such
approval to be given in the City's sole discretion.
( c) Hours of Operation. Hours of operation for the Cafe shall be 9:00 a.m.
through 5:00 p.m., Monday through Saturday. The Cafe shall have the option, at the
3
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Attachment number 1
Page 4 of 25
Library's sole discretion, to stay open for additional periods to accommodate special
events being held within the Facility. Cafe staff shall have the right to enter the Facility
for business purposes at any time, except for Sundays or any other time when the facility
is closed. Special Events within the Library facility may be offered to Successor Operator
at City's discretion.
(d) Exclusivitv. Operator acknowledges and agrees that its operation is not
exclusive in terms of food and beverage being sold or possessed within the Premises or
Library. The Cafe's operation is intended for the convenience of library patrons,
however, patrons so choosing may consume or possess food and beverage from other
sources, as otherwise permitted by the Library Code of Conduct (Exhibit "C", attached
hereto and made a part hereof). In the event the City chooses to host a special event on
the Library property, the City reserves the right to utilize outside caterers or other parties,
in its sole discretion, to provide food and beverage of any kind.
5. Operators Fee. As consideration for the right to operate Cafe, Operator hereby
covenants and agrees to pay to City an "Operator's Fee" consisting of a "Base Fee" together with
a "Percentage of Sales Fee", further described as follows:
a. "Base Fee": A flat-rate fee of Five Hundred dollars ($500.00) per month
for each month of the Term shall represent the Base Fee. The Base Fee is to be paid on the first
of each month, in advance of occupation for that month. Any month in which Operator operates
the Cafe for less than the full month, the Base Fee shall be prorated at a daily rate and paid in
advance for that month. A One and One Half Percent (11lz%) late fee, or the maximum
permitted by law, shall accrue and become additional fees payable, when any payment exceeds
thirty (30) days past due.
4
Item # 11
Attachment number 1
Page 5 of 25
b. As additional consideration beyond the base fee, Operator shall remit to
the City at the end of each month of this Agreement Term, a "Percentage of Sales Fee" in the
amount of Five Percent (5%) of gross revenues of Two Thousand Dollars ($2,000.00) and
greater.
c. Operator shall pay all amounts due monthly as stated above, within Five
(5) days of the end of the preceding month. Operator further agrees to provide City within fifteen
(15) days of the end of each monthly period during the term of this agreement, the statement
showing the amount of gross sales during the preceding month. The statement used by the
Operator to report such sales will be in a form as to be satisfactory to the City and must be
certified as correct by the Operator's chief financial officer, or his designee, showing the amount
of gross sales at and/or from the Premises during the monthly periods reported by the statement
in the amount of year- to-date gross sales for the Agreement Year. Fees shall be calculated from
the first day Operator opens to the public.
e. Upon opening to the public, Operator agrees to pay a prorated portion of
any incomplete month at the beginning of this term and begin full monthly payments on the first
day of each month thereafter until termination of this agreement.
f. Gross Revenue, for purposes of this Agreement, means gross receipts,
including the entire amount of the actual sales price, whether for cash or otherwise, of all sales of
food, services, beverages, clothing, or other receipts whatsoever of all business conducted in, on
or from the Premises, or resulting from this Agreement, including mail or telephone orders
received or filled at the Premises. No deduction shall be allowed for uncollected or uncollectible
credit accounts. Such term shall not include, however, any sums collected and paid out for any
5
Item # 11
Attachment number 1
Page 6 of 25
sales or excess tax imposed by any duly constituted governmental authority wherein Operator is
regarded as the collecting agent.
g. The Operator further agrees to submit an audited certification of annual
gross sales as certified to by a Certified Public Accountant within Thirty (30) days of the end of
each agreement year. The scope of the audit must include the Operator's compliance with the
terms of the agreement to disclose the gross sales at or from the Premises. The statement shall be
prepared according to generally accepted accounting principles and practices, showing in all
reasonable detail the amount of gross sales during the prior agreement year. The Operator also
agrees to provide at the same time as the statement regarding annual gross sales pertinent
depreciation and amortization schedules filed with the Internal Revenue Service for the prior
year.
h. Any amount due from Operator to City under this agreement which is not
paid when due shall bear interest at the maximum rate allowed by law, to be applied from the
date due until the date paid, together with a late charge of 5% of any amount due, to cover City's
extra expenses involved in collecting such delinquency; however, such interest and late charges
shall be automatically reduced by the amount necessary to cause such charges to be in
compliance with usury laws. The late charge must be paid within 30 days of the day the
delinquent payment was due.
6. Use of Premises. The Operator hereby covenants and agrees to make no unlawful,
improper, or offensive use of the Premises. Operator shall not permit any business to be operated
in or from the Premises by any concessionaire of Operator without the written consent of City.
Operator further covenants and agrees not to assign, delegate, pledge, hypothecate, or sublet this
agreement in whole or in part. This paragraph shall be construed to prohibit any assignment,
6
Item # 11
Attachment number 1
Page 7 of 25
delegating or subletting of this Agreement by operation of law. If this agreement is assigned, or
if the Premises or any part thereof are sublet or occupied by anybody other than Operator, then
Operator shall be in default as defined by this Agreement Moreover, if at any time during the
term of this Agreement, any or all of Operator's interests are transferred by sale, assignment,
bequest, inheritance, operation of law or disposition, then the Operator will be deemed in default
as defined by this Agreement. No such action shall waive Operator's responsibility to remit its
base fee to the City for the remainder of this Agreement, unless the City, in its sole discretion,
agrees to waive such responsibility or applies any of the remedies available to it by law or via
this Agreement.
7. Taxes. Operator further agrees that it will pay any state sales tax, and all other
taxes due, which may be levied upon the Premises or Operator due to the existence of this
Agreement, including but not limited to, business tax receipt (f/k/a occupational license) and
permits relating to the operation of the business conducted on the Premises.
8. Utilities. Operator acknowledges that Premises have not been designed to
accommodate separate utilities or the metering thereof, and that City is not obligated to provide
for same. Therefore, City shall provide electricity, gas, sewer, garbage disposal, air conditioning,
heat and water services ("Utilities") as more particularly described herein, for use by Operator in
the Cafe area. In addition to the above, the City shall provide, as a part of Utilities described
above: three electrical outlets in the food preparation area and three electrical outlets in the Cafe
seating area; overhead lighting in the food preparation and seating areas; plumbing "stubbed out"
in the food preparation area including % inch water lines (hot and cold), a three (3) inch sanitary
waste water line (no floor drain) and a two (2) inch vent; basic sewer service (grease trap not
included); and nearby public restroom facilities (for the non-exclusive use of Cafe patrons).
7
Item # 11
Attachment number 1
Page 8 of 25
Operator acknowledges that payment for utilities has been incorporated into the Base Fee
as described herein. However, City reserves the right to re-evaluate Utility costs based on actual
costs over the first year of this Agreement and amend the Base Fee after one year of the term. If
the parties cannot mutually agree to an adjustment to the Base Fee or Utility costs made in
accordance with the re-evaluation of Utility costs as described above, either party reserves the
right to terminate this Agreement. Operator is required to develop an effective and continuous
Energy Management and Conservation Program for its operation throughout the term of this
Agreement.
9. Operator is not authorized to make any structural improvements or changes to the
Cafe area unless expressly agreed to in writing by City. If build-out of the Premises is necessary,
Operator must obtain the City's written consent and all permits necessary for the approval of
such a proj ect.
10. Operator shall use biodegradable materials whenever feasible.
11. Operator shall provide all equipment and merchandise necessary for the operation
of the Cafe, including the installation of a convection oven. Operator shall be responsible for the
installation of such equipment and guarantee that such equipment complies applicable code
requirements and other applicable law. In addition, the Operator shall pay for all normal day-to-
day repair, maintenance, and replacement costs on its equipment.
12. Operator shall be responsible for picking up and disposing of all trash, garbage,
and other debris, within the Cafe area. Operator is authorized to place trash cans in the
immediate area of the Premises, said trash cans to be maintained by the Operator.
13. Operator agrees to indemnify and hold City and its employees harmless from and
against any and all claims, demands, causes of action or lawsuits of whatever kind or character
8
Item # 11
Attachment number 1
Page 9 of 25
arising directly or indirectly out of this agreement and/or performance hereof. This indemnity
clause includes, but is not limited to, claims, demands, causes of action or lawsuits for damages
or injuries to goods, wares, merchandise and property and/or for any bodily or personal injury or
loss of life in, upon or about the Premises or the surrounding premises the Operator is required to
maintain or which the Operator uses in connection with the business operated at, on or from the
Premises. All personal property, including trade fixtures in the Premises, shall be at the risk of
Operator, and City shall not be liable for any damage to such property arising from any cause
including, but not limited to, bursting, leaking or accidental operation of water or sewer pipes;
roofleaks or flooding or natural disasters. Operator agrees to investigate, handle, provide
defense for and defend any such claims, demands, causes of action or lawsuits at its sole expense
and agrees to bear all other costs and expenses related thereto, even if the claim, demand, cause
of action or lawsuit is groundless, false or fraudulent.
14. Insurance. Operator shall furnish at its own expense and maintain during the term
of this agreement, the insurance coverages set out below:
(1) Comprehensive General Liabilitv - Coverage must be afforded on a form
no more restrictive than the latest edition of the Comprehensive General Liability Policy
filed by the Insurance Services Offices and must include:
(a) Minimum limits of Five-Hundred Thousand dollars ($500,000)
per occurrence combined single limits for Bodily Injury Liability, Personal Injury,
and Property Damage Liability.
(b) Premises and/or operations.
( c) Independent contractors.
(d) Products and/or completed operations.
9
Item # 11
Attachment number 1
Page 10 of 25
(e) Personal injury coverage with employee and contractual exclusions
removed, including coverage for liability resulting from the dispensing of
alcoholic beverages, if Operator at any time during the term of this agreement
obtains a license to serve any type of alcoholic beverages.
(f) The City of Clearwater, as City, shall be named as an additional
insured.
(2) Business Auto Policy - Operator hereby represents that Operator does not
have a vehicle in its company name and does not use a vehicle for business purposes,
including deliveries. Based on these representations, Operator is not required to carry a
Business Auto Policy.
(3) Workers' Compensation - Coverage to apply for all employees for
statutory limits in compliance with the applicable State and Federal laws. In addition, the policy
must include Employers' Liability with a limit of Five-Hundred Thousand dollars ($500,000).
In addition, Operator shall provide to City the following:
(1) Additional Insured. City shall be named as additional insured on all
liability coverage.
(2) Notice of Cancellation or Restriction. All policies must be endorsed to
provide the City with not less than thirty (30) days notice of cancellation or restrictive
modifications of any insurance policy providing the coverage required by this agreement.
(3) Certificates of Insurance/Certified Copies of Policies. The Operator shall
provide the City with a certificate or certificates of insurance showing the existence of the
coverages required by this Agreement. The Operator shall maintain the coverage
throughout the term of this Agreement or any modification thereof. When specifically
10
Item # 11
Attachment number 1
Page 11 of 25
requested by the City in writing, the Operator shall provide City with certified copies of
all policies of insurance as required herein. New certificates and new certified copies of
policies, if certified copies have been requested, shall be provided to City whenever any
policy is renewed, revised, or obtained from other insurers.
(4) The address where such certificates and certified policies shall be sent or
delivered is as follows: City of Clearwater, Attention: City Clerk, P.O. Box 4748,
Clearwater, Florida 33758-4748.
15. Destruction of Premises. If at any time during the term of this agreement, the
Premises or any part, system, or component thereof, (hereinafter, the "Demised Premises") shall
be damaged or destroyed, said Demised Premises and any additions or improvements thereto,
shall be promptly repaired or rebuilt or restored by the Operator to the condition as good as the
same was immediately prior to such damage or destruction at the Operator's risk and expense,
and in accordance with plans and specifications mutually agreed upon at the time; or if none can
be agreed upon, then in accordance with the original plans and specifications for the Premises
and any subsequent plans and specifications for any additions or improvements constructed prior
to the damage. The work of restoration or rebuilding shall be in full compliance with all laws
and regulations and government ordinances applicable thereto. The insurance proceeds shall be
paid to the City, and such proceeds will be used for the repair or restoration. Any cost of repairs
or restoration in excess of the insurance proceeds shall be borne by the Operator. Any insurance
proceeds in excess of the cost of repairs or restoration shall belong to the Operator.
During the period of such damage or destruction, whether in whole or in part, the
monthly guaranteed Base Fee shall abate for no more than 120 days or until commencement of
11
Item # 11
Attachment number 1
Page 12 of 25
business, or after receipt of all building permits, whichever is sooner. City shall not
unreasonably withhold building permits necessary to repair such damage or destruction.
If the Demised Premises are totally destroyed or damaged to the extent as to
render it the Premises uninhabitable or useless for the purpose intended, during the term of this
agreement, then and in that event, the Operator may terminate this agreement as of the date of
such damage with (30) days written notice to the City. In the event of such termination the
insurance proceeds provided for under this agreement shall be paid to the City. In the event of
such destruction and except as otherwise specifically provided under this agreement, both parties
waive any and all rights of recovery against each other for any direct or indirect loss occurring to
the Demised Premises.
16. Default. City, at its option, may exercise anyone of the remedies provided in
subsection (h) of this paragraph, except as otherwise provided herein, upon the happening of any
one or more of the following events (Events of Default):
a. Operator's default in the payment of any fee or other sums due for a period of30
(30) days after the due date;
b. Operator's continued default with respect to any other covenant of this agreement
for a period of thirty (30) days after receipt of written notice of such default by Operator from
City, provided that if such default reasonably required more than thirty (30) days to cure, there
shall be no Event of Default if Operator has commenced correcting action within the thirty (30)
day period and is diligently prosecuting such action;
c. There shall be filed by or against Operator in any event pursuant to any statute
either of the United States or of any state, a petition in bankruptcy or insolvency or for
reorganization or arrangement, or for the appointment of a receiver or trustee of all or a portion
12
Item # 11
Attachment number 1
Page 13 of 25
of Operator's property, or if the Operator makes an assignment by operations of law, or if
Operator makes application to Operator's creditors to settle or compound or extend the time for
payment of Operator's obligations, or if execution, seizure, or attachment for a period of 120
days. Failure to remove the levy, seizure or attachment within the 120 day period shall actuate
the default provided by this paragraph and the bond posted shall be forfeited.
d. Operator's vacating or abandoning the Premises;
e. Operator's understating gross sales by more than three (3) percent in sales reports
given to City.
f. If Operator is in default of any other agreement with the City, then such default
shall be deemed a default of this Agreement and the City may pursue all available
remedies provided for herein.
g. Operator's assigning, delegating or subletting of the Premises or any portion
thereof of this Agreement.
h. City, at its option, may exercise anyone or more of the following remedies which
shall be cumulative.
(1) Terminate Operator's right to possession under this agreement and reenter
and take possession of the Premises. Operator shall remain liable for all fees and
additional fees due under this agreement and for all damages suffered by City because of
Operator's breach of any of the covenants of this agreement. Said damages shall include,
but not be limited to, charges for removal and storage of Operator's property, remodeling
and repairs, and legal fees. In addition to its remedies hereunder, City may accelerate all
fixed fees due under this agreement, in which event the Operator shall be liable for all
past due fees, accelerated fees and damages as described above; however with respect to
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Item # 11
Attachment number 1
Page 14 of 25
the accelerated fees, City shall receive only the present value of such accelerated fees. At
any time during repossession pursuant to this subsection, City may, by delivering written
notice to Operator, elect to exercise its option under the following subsection to accept a
surrender of the Premises, terminate and cancel this Agreement, and retake possession
and occupancy of the Premises on behalf of City.
(2) Declare this agreement to be terminated, whereupon the term hereby
granted and all right, title and interest of Operator in the Premises shall end and City may
re-enter upon and take possession of the Premises. Such termination shall be without
prejudice to City's right to collect from Operator any fees or additional fees which have
accrued prior to such termination together with all damages, including, but not limited to
the loss of prospective percentage fees suffered by City because of Operator's breach of
any covenant under this agreement.
(3) Exercise any and all rights and privileges that City may have under the
laws of the State of Florida and/or the United States of America.
17. Modifications/Improvements. Operator shall secure prior written approval from
City for modifications or remodeling of existing facilities or for the construction of any new
facilities, such approval not to be unreasonably withheld or delayed. It is agreed that the existing
improvements, together with any improvements constructed by Operator during the term of this
agreement on the demised premises, shall become the property of the City upon the expiration of
termination of this agreement; provided, however, that said reference to improvements herein
contemplates improvements to the real estate which become a part of the land as distinguished
from personal property utilized by the Operator.
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18. Maintenance of Premises and Improvements. As provided for in the previous
section, Operator shall not make any improvements to the Premises without the prior written
consent of the City. Operator shall, at its expense, at all times during the terms of this Agreement
keep the Premises and any improvements permitted hereunder, and facilities thereon in good
order, condition, and repair. It is specifically understood by Operator that the City has the right
to inspect the Premises and improvements at any time to ensure that the Premises and
improvements are indeed in good order, condition, and repair. Upon the termination or
expiration of this agreement, Operator shall have the privilege at his own expense of removing its
equipment, signs, insignia, and other indicia of its occupancy or use; however, Operator shall
repair any and all damages to the Premises caused by the removal by Operator of such property,
and restore the Premises to a condition at least equal to or better than the condition of the
Premises upon delivery to the Operator at the inception of this Agreement.
19. Mechanics Lien. Operator agrees to indemnify and save harmless the City by
reason of any mechanic's lien which may be asserted as a claim against the property, and to
furnish City a good and sufficient bond signed by a reputable bonding company doing business in
Florida, which bond shall be in an amount equal to 100 percent (100%) of the cost of
construction of the contemplated improvements to the Premises.
20. Health/Sanitary Compliance. The Operator hereby covenants and agrees to
promptly and continuously comply with all regulations and orders of the Health Department and
health officers of the local, state, and national governments; and Operator hereby covenants and
agrees to keep, operate, and maintain the Cafe in such a manner as to preclude any warnings,
violations or notices to show cause being issued by any regulatory agency authorized to inspect
the Premises under section 509, Florida Statutes, as it presently exists or as it may be amended.
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In addition, Operator agrees to forward to City a copy of each inspection report issued in
accordance with section 509, Florida Statutes, as it presently exists or as it may be amended
within fifteen (15) days of receiving any such reports.
21. Quiet Enjoyment. City covenants and agrees that upon payment by Operator of
the fees herein provided, and upon observance and performance by Operator of all the covenants,
terms, and conditions required of the Operator by the agreement, Operator shall peaceably and
quietly hold and enjoy the Premises for the term of the agreement without hindrance or
interruption by City.
22. Notices hereunder shall be given only by registered letter and shall, unless
otherwise expressly provided, be deemed given when the letter if deposited in the mail, postage
prepaid, addressed to the party for whom intended at such party's address first herein specified or
to such other address as may be substituted therefore by proper notice hereunder. Notice to be
provided to City and Operator as stated below:
As to City:
Library Director
City of Clearwater
100 North Osceola Avenue
Clearwater, Florida 33755
With copy to:
City Attorney's Office
City of Clearwater
Post Office Box 4748
Clearwater, Florida 34618-4748
As to Operator:
Bernard F. Dillman
378 Westford Circle
Palm Harbor, Florida 34683
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23. Financial Reporting/Audit. If the Certified Public Accountant providing the
annual audit required in this agreement is not an independent Certified Public Accountant,
Operator at the City's option, agrees to make all records of gross sales pertaining to this
agreement available to an independent Certified Public Accountant chosen by the City, for the
purpose of confirming the fair representation of the previously submitted audits. Any such audit
provided for in this paragraph may not go back for more than three (3) years. If an independent
Certified Public Accountant, chosen by the City, audits the business operated hereunder, and
finds that a fair representation of the gross revenues understates revenue and fees due to the City
by more than three percent (3%), the cost of the independent audit shall be borne by the
Operator; if the independent audit confirms the fair representation of the Operator or overstates
lease revenue due to the City, the City shall pay for the audit. All sales shall be recorded on a
tape cash register and the tapes shall be maintained and available for review by an auditor as
permitted for hereunder. City shall provide reasonable notice of audit. The Operator shall
maintain an adequate set of books and records of the sale of food, beverages and other
merchandise, and his books and records must be provided to the City upon request.
24. Signage. The Cafe may at its option post, erect or hang signage inside and/or
outside of the atrium area of the Facility so that it may be seen by patrons inside the Facility as
well as traffic driving by the Facility, and the Cafe may, at its option, post, erect, or hang signage
in the hallway leading to the Cafe as well as in each of the elevators subject to City approval. The
design of any signage shall be presented to the City prior to its installation, and the City agrees to
review such signage. Approval of signage is subject to City policy and applicable law, including,
but not limited to, the City of Clearwater Code of Ordinances and Community Development
Code. The Operator shall also provide memo-type board or boards inside the Cafe area so that
17
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they will be plainly visible to the public and list the food and drink items for sale with their
corresponding prices. Operator shall also place a sign inside the Cafe area so it will be plainly
visible to the public, which states that Operator operates the Cafe independently from City.
25. Applicable Law. Operator, at Operator's own expense, must comply promptly
with all statutes, rules, regulations, ordinances, orders, and requirements of all local, state and
federal governments and their respective agencies applicable to the use and occupancy of the
Cafe by Operator. This includes mandatory compliance with minimum building, health, and
safety standards regarding the Cafe. In addition, Operator agrees to notify immediately the City's
Police Department or other appropriate authorities, at any time the Operator becomes aware of
any activity that is a violation of a law in the Cafe area.
26. Advertising. Operator shall not advertise any business not operated at, on, or
from the Premises without the prior written consent of the City.
27. Public Area. Operator agrees that the Premises shall be utilized as a public
activity area. The City may restrict any activity, including but not limited to entertainment,
promotions, items for sale or fees by Operator on the premises that are not acceptable as
determined by the City in its sole discretion. Failure of the Operator to make any changes
required by the City will result in default and City shall be entitled to all the remedies provided
for in this Agreement.
28. Legal Fees. In the event the City retains an attorney to enforce any of the
provisions of this agreement or renewals of or addenda to this agreement, or to effect the
enforcement of any legal right of the City against the Operator, the Operator agrees to pay the
City all costs of said enforcement reasonably incurred, including court costs and reasonable
attorney's fees.
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29. Miscellaneous.
a. Waiver. One or more waivers of any covenant or condition by the City shall
not be construed as a waiver of a subsequent breach of the same covenant or
condition and the consent or approval by the City to or of any act by the
Operator requiring City's consent or approval shall not be construed as
consent or approval to or of any subsequent similar act by the Operator.
b. Observance of Laws. Operator agrees to observe, comply with and execute
promptly at its expense during the term hereof, all laws, rules, requirements,
orders, directives, codes, ordinances, and regulations of any and all
governmental authorities or agencies, of all municipal departments, bureaus,
boards and officials, of all County, State, Federal boards or agencies, and all
insurance carriers, due to the use or occupancy of the Demised Premises. All
additions, alterations, installations, partitions, or changes shall be in full
compliance with the aforementioned authorities.
c. Access to Premises. City shall the right to enter upon the Premises at all
reasonable hours for the purpose of inspecting or conducting tests upon the
same, or for making repairs to the demised Premises or to any property owned
or controlled by the City therein. Such repairs shall not unduly interfere with
Operator's business, except as is naturally necessitated by the nature of the
repairs being affected.
d. Relationship of Parties. Construction of Agreement. Nothing contained
herein shall be deemed or construed by the parties hereto, nor by any third
party, as creating the relationship of principal and agent or of partnership or of
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joint venture between the parties hereto, it being understood and agreed that
neither the method of computation or rent, nor any relationship between the
parties hereto other than the relationship of City and Operator. Whenever
herein the singular number is used, the same shall include the plural, and the
masculine gender shall include the feminine and neuter genders, as
appropriate.
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The laws of the State of Florida shall govern this Agreement. Any changes in
the applicable laws that govern this Agreement will necessitate a change in
terms and conditions, which may be, affected thereby, at the time such
changes may arise.
e. Surrender at End of Term: Upon expiration of the term hereof or sooner
termination of the Agreement, Operator agrees to surrender and yield
possession of the demised Premises to the City, peacefully and without notice,
and in good order and condition, broom clean condition, but subject to
ordinary wear and reasonable use thereof.
f. Successors and Assigns: The covenants, provisions and agreements herein
contained shall in every case be binding upon and inure to the benefit of the
parties hereto respectively and their respective heirs executors, administrators,
successors and assigns, as applicable.
g. Sovereign Immunitv: Nothing herein shall constitute a waiver of the City of its
sovereign immunity under Section 768.28, Florida Statutes, nor does it extend
the City's liability beyond the limits established in Section 768, Florida
Statutes.
h. Hazardous Substances: Operator shall not cause the introduction of any
Hazardous Substances on or in the Premises. Operator shall not do, nor allow
anyone else to do, anything affecting the Premises that is in violation of any
Environmental Law.
Operator shall promptly give City written notice of any investigation,
claim, demand, lawsuit or other action by any governmental or regulatory
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agency or private party involving the Premises and any Hazardous
Substance or Environmental Law of which Operator has actual
knowledge. If Operator learns or is notified by any governmental or
regulatory authority, that any removal or other remediation of any
Hazardous Substance affecting the Premises is necessary, Operator shall
promptly take all necessary remedial actions in accordance with
Environmental Law.
As used in this Paragraph 29,"Hazardous Substances" are those
substances defined as toxic or hazardous substances by Environmental
Law and the following substances: gasoline, kerosene, other flammable
or toxic petroleum products, toxic pesticides and herbicides, volatile
solvents, materials containing asbestos or formaldehyde, and radioactive
materials. As used in this Paragraph 29, "Environmental Law" means
Federal laws and laws of the jurisdiction where the Premises is located
that relate to health, safety or environmental protection.
1. Entire Agreement: The Agreement as hereinabove set forth, including all
exhibits and riders, if any, incorporates all covenants, promises, agreements,
conditions and understandings between the parties, and no covenant, promises,
agreement, condition or understanding, either written or oral, not specifically
set forth herein shall be effective to alter the performance or the rights of the
parties as hereinbefore stated.
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IN WITNESS WHEREOF, this agreement is executed as of the date first above written.
Countersigned:
Frank V. Hibbard, Mayor
Approved as to form:
Camilo A. Soto, Assistant City Attorney
Signed, sealed and delivered in
the presence of:
CITY OF CLEARWATER, FLORIDA
By
William B. Home, II, City Manager
Attest:
Cynthia E. Goudeau, City Clerk
Operator
By
Bernard F. Dillman
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EXHIBIT A
25
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Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT 1 RECOMMENDATION:
Approve an agreement between the City of Clearwater and the School Board of Pinellas County, Florida, providing for the
continuation of the School Resource Officer program at Clearwater High School, Countryside High School, Kennedy Middle
School and Oak Grove Middle School for a one-year period commencing July 1 2008 through June 30, 2009. (consent)
SUMMARY:
Under the terms of the one-year agreement between the School Board of Pinellas County and the City of Clearwater, the
City will provide law enforcement and related services to Clearwater High School, Countryside High School, Kennedy Middle
School and Oak Grove Middle School during the regular school year. The assigned officers (1 per school) will provide instruction
in law education, will serve as resource persons, conduct investigations, provide security and maintain the peace, make arrests and
provide support services as necessary.
The annual cost of salaries and benefits of four (4) officers over the one-year period will be $323,749, and will be funded
from the Police Department's operating budget. Total annual reimbursement from the School Board will remain at $196,046,
reflecting no increase to the City for SRO services during the 2008/2009-contract period. The cost incurred by the Police
Department is offset by the benefit of the program to the community and the Police Department. All procedural components of the
contract remain the same as those outlined in the 2007/2008 contract.
The continuation of the School Resource Officer Program beyond FY 2008/2009 is dependent upon SRO program funding
being included in future budgets.
The Police Department has maintained a good working relationship with the School Board. School Resource Officers have
been assigned to Clearwater High School since January 1, 1985 and Countryside High School since January 1, 1986. This is the
second year School Resource Officers will be assigned to Kennedy Middle School and Oak Grove Middle School.
Type:
Current Year Budget?:
Budget Adjustment Comments:
Current Year Cost:
Not to Exceed:
For Fiscal Year:
Operating Expenditure
No
Budget Adjustment:
None
$127,703
Annual Operating Cost:
Total Cost:
$323,749
$127,703
2008 to 2009
Appropriation Code
0010-01138-510100-521-000-
0000
Review Approval: 1) Clerk
Amount
$127,703
Appropriation Comment
Cover Memo
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SCHOOL RESOURCE OFFICER AGREEMENT
THIS AGREEMENT, made and entered into this _ day of , 2008,
between the SCHOOL BOARD OF PINELLAS COUNTY, FLORIDA (referred to herein
as the "Board"), and THE CITY OF CLEARWATER, (referred to herein as "Clearwater
P.O."), is for the services to be provided by the Clearwater P.O. for the School
Resource Officer Program ("SAO Program").
WIT N E SSE T H:
WHEREAS, the parties hereto value the collaboration and cooperation fostered by
the SRG Program and believe that all of society benefits when the safety of children is
improved, where the threat of crime and disorder is reduced1 the learning environment is
improved, and the true misslon of teachers becomes more achievable; and
WHEREAS, the SRO Program provides an opportunity for students and law
enforcement officers to have positive interaction with one another which enhances law
enforcement officers' service to the community, and
WHEREAS, the Board and The City of Clearwater intend to provide law
enforcement and related seNices to the public schools of Pinellas County as hereafter
described, and
WHEREAS, the Board and Clearwater P.O. will mutually benefit from the SRO
Program .;
NOW, THEREFORE, for good and valuable consideration, the receipt and
sufficiency of which are hereby acknowledged, the parties agree as follows:
ARTICLE I. The Obligations of Clearwater P.O. and the SROs are as follows:
A. Provision of School Resource Officers. The Ctearwater P.O. shall assign one
regularly employed officer at each of the following schools: Clearwater High School,
Countryside High School, Kennedy Middle School and Oak Grove Middle School.
B. DesiQnation and Selection of School Resource Officers. SAOs have a dual
role at the schools which they serve. They shall serve as "law enforcement unitSn within the
meaning of 34 CFR ~ 99.8 (a)(1 )(i)-(iii). and as "school officials" having a legitimate
educational interest in informatioo contained in student records, within the meaning of 20 .
U.S.C. ~1232g and F.S. ~ 1002.22 (3)(d)(2).
The Chief of Clearwater P.O., or his designee, in consultation with the Principal of
the school to which the SRC will be assigned shall select the SRO on the basis of the
following criteria.
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1. The SAO must have the ability to deal effectively with students. The ages,.
socioeconomic, and cultural composition of the students of the particular school should be
considered in making this evaluation.
2. The SRO must have the ability to present a positive image and symbol of
the entire police agency. A goal of the SAO Program is to foster a positive image of police
officers among young people. Therefore, the personality, grooming, and communication
skills of the SRC should be of such nature so that a positive image of the police agency is
reflected. The SAO should sincerely want to work with the staff and students at the
particular school to which he or she is assigned.
3. The SRO must have the ability to provide good quality educational
services in the area of law enforcement. The education, background, experience, interest
level and communication skills of the SAD must be of high caliber so that the SRD can
effectively and accurately provide resource teaching services. The SAO will spend as much
time as practical In classroom instruction, dependent upon time constraints and workload.
The SRC and the Principal will formulate an acceptable plan consistent with the
circumstances and the needs of the school.
4. The SRO must have the desire and ability to work cooperatively with the
Principal and his administrative staff.
5. The SRC must be a state certified Law Enforcement Officer.
C. Recular Duty Hours/Absences of the School Resource Officers.
1. The SAD will be assigned to hislher school on a full-time basis of eight (8)
hours on those days and during those hours that school is in session. The SRC's specific
duty hours shall be determined by the SAO supervisor in consultation with the principal, to
reflect the needs of the Individual school. In each case the agency shall ensure that SROs
are present during regular school hours, and those routine duties that require an absence
from campus should be accomplished either prior to or after regular school hours. The
SRD may be temporarily reassigned only during the period of a law enforcement
emergency as such may be determined to exist, by the Chief.
2. If it is necessary for the assigned SRC to be absent from school fOr less
than a full day, the SRC will notify the Principal and provide instructions on how emergency
police service may be obtained in his/her absence. If it is necessary for the assigned SRC
to be absent from school for a full day or more, the Clearwater P.O. shall supply a substitute
SAO.
D. Duties of School Resource Officers. While on duty, the SRO shall perform
the following duties:
1. Speak to classes on the law, including search and seizure, criminal law,
motor vehicle law, and other topics when assigned to speak by the Principal.
2. Act as a resource person in the area of law enforcement education at the
request of the Principal.
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3. Conduct criminal investigations of violations of law on School Board
property which is initiated by the SRC or reported by school personnel per interagency
agreement. When dealing with reported minor incidents, nothing shall preclude the SRO
from diverting the offender to appropriate school-based discipline, where appropriate and
authorized by department policy and applicable law.
4. Provide school-baSed security and maintain the peace on School Board
property, to include in assisting with the development, implementation and evaluation of
security programs/crisis plans in their assigned school when requested.
5. Make arrests and referrals of criminal law violators.
6. Appear at State Attorney investigations, depositions, trials and sentencing.
7. Provide transportation to the Pinellas County Juvenile Assessment Center
(PJAC), Juvenile Addiction Receiving Facility (JARF), and County Jail.
8. Coordinate Emergency Medical Service (EMS) at the request of the
Principal, or his/her designee.
9. Receive and dispatch complaints via telephone, walk-in and radios.
1 Q. Develop, implement, and evaluate security programs in the school
assigned.
11. Coordinate with school administrators, faculty and staff, law enforcement
agencies, and courts to provide school-based security to maintain the peace and promote
order on the school campuses. .
12. Create and maintain all records, including security and surveillance
camera recordings made at the school site, whether recorded by video tape, digital or other
medium, (but excluding school bus recordings), witness or suspect statements, interviews
or other documents made in connection with the law enforcement duties set forth in this
Agreement. Such records shall constitute "law enforcement records" within the meaning of
34 CFR ~ 99.B(b) (I)(i)-(iii), while in the hands of the SRD or other law enforcement officer.
When such records are made available to school administration for disciplinary or other
legitimate educational purposes they shall also constitute confidential student records
subject to the Family Educational Rights and Privacy Act, 20 U .S.C. ~ 1232g; 34 CFR Part
99, and ~1002.22, F.S. The SRO shall comply with all laws and policies applicable to such
records in both their law enforcement and student record capacities. With respect to school
bus recordings, which are under the control of the Pinellas County Schools Police, the SRD
shall contact Pinellas County Schools Police to coordinate all issues necessary to access.
view, take possession of or otherwise use the school bus recording.
13. Maintain a file on property reported lost and/or stolen at the SRD's
school.
14. Provide counseling or referrals to students as needed.
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15. Secure, handle and preserve evidence.
16. Recover Sctlool Board property through working with other police
agencies.
17. Make referrals to social agencies.
18. Relay messages in emergency situations (such as, tornadoes,
hurricanes, etc.)
19. Provide special truancy investigations and prepare for prosecution.
20. Coordinate investigation of bus stop incidents.
21. Wear the official police uniform which shaU be provided at the expense of
the law enforcement agency; however, civilian attire may be worn on such occasions as
may be mutually agreed upon by the Principal and the SRC supervisor.
22. Perform such other duties as mutually agreed upon by the Principal and
the SRO. so long as the perfonnance of such duties are legitimately and reasonably related
to the SRO Program as described in this Agreement, and so long as the duties are
consistent with State and Federal law and the policies and procedures of the Clearwater
P.O.
23. Follow and conform to the School Board Policy Manual, which is
available at each school site and F.S. ~1006.12rthat does not conflict with the policies and
procedures of the Clearwater P.O. The parties to this agreement shall abide by all Federal
and State Civil Rights legislation including the Civil Rights Act of 1964 and its' subsequent
amendments.
24. Provide a Monthly Activities Report or such other report regarding hislher
activities, as may be required by the Superintendent or designee. A copy of the report shall
be provided to the principal on a monthly basis.
25. SROs are recognized as an active part of the school's administrative
team. Their duties as a team member reflect their agency's directions and lend their
expertise to the review of activities. duty assignments, scheduling and identification of
potential problems.
26. The Clearwater Police Department will provide an opportunity for
Principals to provide input on theSRO's performance.
E. Suooort Services to be Provided bv Clearwater P.O. The Clearwater P.O.
shall supply the following support services for SROs:
1. Maintain and file Uniform Crime Reporting (UCR) records according to
law.
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2. Maintain a dispatch log, consistent with accepted law enforcement
management practices.
3. Provide copies of all reports taken by the School Resource Officer to the
Pinellas County Schools Police, upon request, as the law allows.
4. Provide each SRO with a patrot automobile and all other necessary or
appropriate police equipment. The cost of purchasing, maintaining, and repairing police
equipment provided under this agreement shall be borne by the Clearwater P.O.
5. Maintain copies of reports generated by officers in compliance with State
and Federal laws.
6. Maintain fingerprints and photographs of arrestees in compliance with
State and Federal laws.
ARTICLE II. Relationshio of SROs to Board and Clearwater P.O.
The SRO shall be an employee of the Clearwater P.O. and not an employee of the
Board- The Clearwater P.O. shall be responsible for the hiring, training, discipline, and
dismissal of its personnel. Board employees shall report allegationS of improper conduct to
the SRO's immediate supervisor or to the departmenfs intemal affairs section. Board
employees shall not conduct an internal investigation of alleged improper conduct on the
part of the SRO.
ARTICLE III. Charaes for SRC Services.
In consideration of the services provided herein, the Board shall pay to the City of
Clearwater the sum of $49,011.50 (Forty Nine Thousand Eleven Dollars and Fifty Cents) for
each SRO for the 2008-2009 contractual tenn.
To the extent that security services are provided by Clearwater P.O. at school
functions occurring after regular school hours, Clearwater P.O. shall be paid in
accordance with the Clearwater P.O. salary policy and procedures. The school at which
such services are provided, shall be billed for such services within thirty (30) days from
the date of service, and any services provided during May shall be submitted no later
than the 15th of June.
ARTICLE IV. Problem Resolution.
The parties, their agents and employees will cooperate in good faith in fulfilling the
tenns of this Agreement. Unforeseen difficulties or questions will be resolved by negotiation
between the Superintendent, the Board and the Chief, or their designees.
ARTICLE V. Amendments.
Changes in the terms of this Agreement may be accomplished only by formal
amendment in writing approved by the Clearwater P.O. and the Board.
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ARTICLE VI. Transfer of SROs.
Both the School Board and Clearwater P.O. desire to avoid the transfer of an SAO at
the request of a principal. Therefore, except in egregious circumstances when the SRO's
behavior warrants immediate removal, the following procedures must be followed:
A. Principals should engage in good personnel management practices to include
discussing any issues or concerns with t"e SRD first, followed by consultation with the
SRD's supervisor if necessary.
B. If, after sufficient time has been given for the SRO to modify hisl"er .
performance, and concerns still exist, then the Principal will recommend to the Area
Superintendent that the SRO be transferred from the school, stating the reasons for the
recommendation in writing.
C. Within a reasonable period of time after receiving the recommendation to
remove an SRO, the Area Superintendent, or designee, will confer with the Chief, or
designee, to attempt to resolve any problem that may exist between the SRC and the staff
at his/her assigned school.
1. With the agreement of the Superintendent and the Chief, or their
designees. the SRO, or specified members of the staff from the school, may be required to
be present at that meeting.
2. If, within a reasonable amount of time, the problem cannot be resolved in
the opinion of both the Superintendent and Chief, or their designees, thenJhe SAD will be
transferred from the school and a replacement will be selected, as provided elsewhere in
this Agreement.
This Article does not provide the SAD any rights separate and apart from those
found in Clearwater P.D.'s collective bargaining agreement with its union. Only the
Clearwater P.O., and not individual SROs, can seek enforcement of the provisions of this
Agreement. Nothing herein shall preclude the ClealWater P.o. from unilaterally transferring
the SRC at its sole discretion.
ARTICLE VII. Term of Aareement.
The term of this Agreement shall be for 1 year beginning on July 1, 2008 through
June 30, 2009.
ARTICLE VIII. Materials and Facilities Suoolied by Board.
The Board shall provide the SRO, in each school to which an SAO is assigned, the
following materials and facilities necessary to the performance of duties by the SRC:
A. Access to a private office which is air conditioned and properly lighted, with a
telephone, to be used for general business purposes. Whenever practicable, the SAD will
be provided with a private office. Upon request, SAOs will be provided free access to the
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Board's computer network to the extent that it is economically practicable. Clearwater P.O.
will provide the computer hardware to be utilized by the SRD, although each individual
school may provide such hardware in its sole discretIon. If access is provided, existing
school security procedures must be followed, to include secure network access for both the
computer and user. Network use must conform to school board policy 7.33, Electronic
Resource Usage.
B. A location for files and records which can be properly locked and secured.
C. A desk with drawers, a chair, work table, filing cabinet, and office supplies
(e.g. paper, pencil, pens, etc.).
D. Access to a typewriter and/or secretarial assistance.
E. The SRO will be issued keys for complete access on the campus to which
he/she is assigned in accordance with the school safety plan. In the event these keys are
lost misplaced, or stolen through negligence, the cost of any rBwkeying of the facility shall be
borne equally by the law enforcement agency and the Board.
ARTICLE IX. Termination.
This Agreement may be terminated by either party for cause upon seven (7) days
written notice that the other party failed substantially to perform in accordance with the
terms and conditions of this Agreement through no fault of the party initiating termination.
This Agreement may be terminated without cause by either party upon thirty (30) days
written notice.
ARTICLE X. Defense of Leasl Actions.
A. Subject to the limitations contained in F.S.~111.07, the Clearwater P.O. shall
defend any lawsuit filed against the Clearwater P.O. or the SRC which arises out of services
performed by the Clearwater P.O. Clearwater P.O. procedures shall be followed in handling
such suits. The Clearwater P.O. shall pay any judgment rendered against it according to
law. Nothing contained herein shall be construed to waive the provisions of F.S.~. 768.28
as the same applies to both the Clearwater P.O. and the Board.
B. The Board shall defend any lawsuit filed against the Board which arises out of
services performed by the Board. Board procedures shall be followed in handling such
suits. The Board shall pay any judgment rendered against It according to law. Nothing
contained herein shall be construed to waive the provisions of F.S.i 768.28 as the same
applies to both the Board and the Clearwater P.O.
ARTICLE XI. Miscellaneous.
A. Assignment. This Agreement may not be assigned without the written
consent of the Clearwater P.O. and the Board.
B. Severabilitv. Should any section or part of any section of this Agreement be
rendered void, invalid, or unenforceable by any court of law, for any reason, such a
7
Item # 12
Attachment number 1
Page 8 of 9
determination shall not render void, invalid, or unenforceable any other section or any part
of any section of this contract.
C. Notification. All notices, requests, demands, or other communications
hereunder shall be in writing and shall be deemed to have been served as of the delivery
date appearing upon theretum receipt it sent by certified mail, postage prepaid with return
receipt requested, at the address listed below, or upon the actual date of delivery, if hand
delivered to the address below. Either party may change the below-listed address at which
it receives written notices by so notifying the other
party hereto in writing.
Clearwater P.O. to:
Chief of Police, Clearwater P.O.
645 Pierce St.
Clearwater, FL 33756
Copy to:
City Attorney, City of Clearwater
112 S. Osceola Ave.
Clearwater, FL 33756
Board to:
Chief of Police
Pinellas County Schools Police
11111 S. Belcher Rd.
Largo, FL 33773
Copy to:
School Board Attorney
Pine lias County School Board
301 4th St. SW
Largo, FL 33770
D. Waiver. No act or omission or commission of either party, including without
limitation, any failure to exercise any right, remedy, or recourse, shall be deemed to be a
waiver. release, or modification of the same. Such a waiver, release, or modification is to be
effected only through a written modification to this Agreement.
E.Governina Law and Venue. This Agreement is to be construed in accordance
with the laws of the State of Florida. Venue tor any cause of action or claim asserted by
eittler party hereto brought in state courts shall be in Pinellas County, Florida. Venue for any
action brought in Federal court shall be in the Middle District of Florida. Tampa Division,
unless a division shall be created in Clearwater or Pinellas County, in which case action
shall be brought in that division.
F. Headinas. The paragraph headings are inserted herein for convenience and
reference only, and in no way define, limit, or otherwise describe the scope or intent of any
provisions hereof. .
G. Due Authoritv. Each party to this Amendment represents and warrants to the
other party that (I) they are duly organized, qualified and existing entities under the laws of
the State of Florida, and (ii) all appropriate authority exists so as to duly authorize the
persons executing this Amendment to so execute the same and fully bind the parties on
whose behalf they are executing.
IN WITNESS WHEREOF the parties hereto have caused this Agreement to be
executed by their duly authorized representatives on the date first above written.
8
Item # 12
Attachment number 1
Page 9 of 9
THE SCHOOL BOARD OF PINELLAS COUNTY, FLORIDA
By:
Attest:
Print:
Print:
Chairman
Ex-Officio Secretary
Approved as to form:
Sign:
Prin t:
School Board Attorney
CITY OF CLEARWATER, FLORIDA
Countersigned
CITY OF CLEARWATER, FLORIDA
By:
Frank V. Hibbard
Mayor-Commissioner
William B. Horne II
City Manager
Approved as to form:
Attest:
. Surette
t City Attorney
Cynthia E. Goudeau
City Clerk
9
Item # 12
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve discontinuing the Police Park Patrol Program as of June 19,2008. (consent)
SUMMARY:
In response to complaints of nuisance and criminal activity in city parks and subsequent to public discussions with the City
Council, the police department implemented a 6-month pilot Park Patrol Program on December 1, 2007.
Prior to the implementation of the program, letters were sent to those neighborhood associations adjacent to city parks
informing them of the program and providing instructions on how to notify police of ongoing nuisance or criminal activity in their
park utilizing the C-TRACS system. Additionally, the program was publicized via the Blueline CPD television program on C-
View TV and received media coverage from local television stations and the St. Petersburg Times. Despite this publicity, almost
all police activity in the Park Patrol Program has been self-initiated by the assigned officers.
For the five (5) month period ending April 30, 2008, Park Patrol Officers worked a total of 152 four (4) hour shifts, made 32
arrests on various charges, enforced 28 traffic infractions, wrote 125 offense/incident reports and made direct contact with over
300 individuals. Park Patrol Officers focused on 23 specific parks and public spaces. Of the 32 arrests, only 2 were for felonies
and the majority (21) were for city ordinance violations such as open alcohol violations. The majority of the offense reports written
were Field Interview Reports - a non-criminal report documenting the officer's contact with a citizen.
The cost of the program is averaging $1,436 per week, or $24,415 to extend through the end of September 2008. Annual
cost for 200812009 is estimated at $74,672.
Although citizens who have made contact with the police department or the officers on Park Patrol have been supportive and
appreciative, due to budget constraints, it is no longer prudent for the Police Department to allocate funding for the program in the
current year budget or in the 2008/2009 operating budget. The police department proposes that we return to having on-duty patrol
officers and community policing officers patrol the parks as time and resources allow, supplemented by AmeriCorps members and
volunteers.
We will continue the pilot Park Patrol Program through the City Council meeting of June 19,2008 pending direction from
the Council on this item.
Appropriation Code
None
Amount
Appropriation Comment
Review Approval: 1) Clerk
Cover Memo
Item # 13
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
A ward a Contract (Purchase Order) for $ 135,800.00 to Anderson and Shah Roofing of Largo, FL as the lowest bidder to the City
of Clearwater Bid 25-08 for the restoration of General Services Building Roof, replace all skylights and install ridge ventilators
and authorize the approiate officials to execute same. (consent)
SUMMARY:
The General Services roof has been patched several times over the last 3 years to eliminate water leaks. This restoration project
includes the application of a heavy duty coating that is white in color that will reduce heat in the Fleet area. This product has a 10
year warranty against defects.
The Company will replace all the skylights since most of them leak and block light entry due to discoloration. The ridge
ventilators will assist with the removal of hot air in the ceiling of the Fleet area and assist with reducing the heat inside the
building. Currently, the building does not have any vents.
Funding for this contract is available in capital improvement project 315-94514, Roof Replacements.
Type:
Current Year Budget?:
Budget Adjustment Comments:
Current Year Cost:
Not to Exceed:
For Fiscal Year:
Purchase
Yes
Budget Adjustment:
None
$135,800.00
Annual Operating Cost:
Total Cost:
$135,800.00
2007 to 2008
Appropriation Code
315 -94514-530300-519-000
Bid Required?:
Other Bid / Contract:
Review Approval: 1) Clerk
Amount
$135,800.00
Appropriation Comment
Roof Replacement CIP
Yes
25-08
Bid Number:
Bid Exceptions:
None
Cover Memo
Item # 14
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve a contract for the Clearwater Bayfront Promenade (05-0008-MA)to Misener Marine Construction of Tampa, Fl, in the
amount of $1,480,139.28 and authorize the appropriate officials to execute same, and authorize staff to initiate financing of the
project. (consent)
SUMMARY:
The Clearwater Bayfront Promenade (05-0008-MA) will be built on the existing pilings from the old Memorial Causeway Bridge.
The pilings were left behind during the bridge demolition to support this future project. The structure will consist of a 200 ft. by 32
ft. concrete deck for pedestrian use over Clearwater Harbor. This project will also bring utilities (water/sewer & electric) to the sea
wall, in advance of the Downtown Boat Slip project. Construction of the Promenade is tentatively scheduled to begin in July, 2008
with a 180 day construction period. Construction of the Downtown Boat Slips project is expected to begin in January 2009,
following completion of the Promenade.
A third quarter amendment will transfer $330,220.90 of General Fund Revenue from retained earnings to Capital Improvement
Program (CIP) project 0315-93402, Bayfront Promenade. Additional funding in the amount of $800,045.10 is available in 0315-
93402, Bayfront Promenade and $349,873.28 is available in CIP 0315-93405, Downtown Boat Slips to fund the contract.
Type:
Current Year Budget?:
Budget Adjustment Comments:
See Summary
Current Year Cost:
Not to Exceed:
For Fiscal Year:
Appropriation Code
0315-93402-563800-575-
000-0000
0315-93405-563800-575-
000-0000
Capital expenditure
No
Budget Adjustment:
Yes
$1,480,139.28
$1,480,139.28
2007 to 2008
Annual Operating Cost:
Total Cost:
$1,480,139.28
Amount
$1,130,266.00
Appropriation Comment
$349,873.28
Bid Required?:
Other Bid / Contract:
Review Approval: 1) Clerk
Yes
Bid Number:
Bid Exceptions:
None
Cover Memo
Item # 15
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Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Issue a purchase order to Harcros Chemicals, Tampa, FL, in the amount of $630,000, per Bid 23-08, for Liquid Bisulfite, a
chemical for dechlorination of wastewater, over a 1 year period, with 2 additional, annual extensions, in order to meet the
requirements of the Florida Department of Environmental Protection and authorize the appropriate officials to execute same.
(consent)
SUMMARY:
Liquid Bisulfite is used at the City's Advanced Pollution Control Facilities primarily to dechlorinate treated effluent prior to
discharge from the treatment plants.
Four responses were received April 29, 2008 in response to the request for proposal 23-08 with Harcros representing the lowest
responsive bidder.
Sufficient budget is available in the Water & Sewer Utility Fund operating cost center 0421-01351, WPC Operations, to fund
$70,767.00 of the current year cost of this contract and is planned in the budget requests to be brought forward for FY08/09 in the
amount of $209,425.00, FY901l0 in the amount of $209,425.00 and $140,384.00 for FYlOlll.
Type:
Current Year Budget?:
Budget Adjustment Comments:
Current Year Cost:
Not to Exceed:
For Fiscal Year:
Operating Expenditure
Yes Budget Adjustment:
None
70,767.00
630,000.00
2007 to 2008
Annual Operating Cost:
Total Cost:
630,000.00
Appropriation Code
0421-01351-551000-535-000-
0000
Amount
630,000.00
Appropriation Comment
Bid Required?:
Other Bid / Contract:
Review Approval: 1) Clerk
Yes
23-08
Bid Number:
Bid Exceptions:
None
Cover Memo
Item # 16
CITY OF CLEARWATER
BID TABULATION
BID TAB 23-08 - BISULFITE SOLUTION
BID OPENED: APRIL 29, 2008 - 11 :00 AM
HARCROS CHEMICALS INC ALLIED UNIVERSAL CORP KEY CHEMICAL, I
TAMPA. FLORIDA MIAMI. FLORIDA WAXHAW. NC
ITEM DESCRIPTION PRICE PRICE PRIC
BISULFITE SOLUTION
PRICE PER GALLON
TOTES NO BID NO BID NO BID
SMALL BULK NO BID $ 1.9400 $ 1
LARGE BULK NO BID $ 1.7800 $ 1
PRICE PER POUND
TOTES $ 0.2000 NO BID NOBID
SMALL BULK $ 0.1400 NO BID $ 0
LARGE BULK $ 0.1400 NO BID $ 0
POUNDS PER GALLON
TOTES 11.2 POUNDS NO BID
SMALL BULK 11.2 POUNDS 11.2 PO
LARGE BULK 11.2 POUNDS
DELIVERY TIME:
3 DAYS
3 DAYS
2-3 Dj
PAYMENT TERMS:
NET 30
NET 30
NET
SUMMARY OF BID 23-08:
BIDS SOLICITED 9
BIDS RECEIVED 4
"NO BID" RESPONSE 3
NO BIDS 2
BID ADVERTISED: ST PETERSBURG TIMES
APRIL 14, 2008
myclearwateLcom
4/9/08 - 4/29/08
Item # 16
Attachment number 2
Page 1 of 2
o
I nteroffice Correspondence Sheet
BID 23-08 - Bisulfite Solution for Conversion Project Bid Request
SPECIFICATIONS AND BID RESPONSE FORM
Please bid Bisulfite Solution for the Water Pollution Control Division of the Public Utilities
Department. The period shall be for one year from the date of execution, and may be
extended for 2 additional one-year periods if mutually agreed upon. Currently, 2 of the
City's wastewater plants are being converted to permanent bisulfite dechlorination. During
this contract period 3 modes of delivery will be required.
Small bulk deliveries for the East and Marshall Street Plants for the period of the
conversion, projected to conclude between 10/1/08 and 12/31/08. The following conditions
shall apply:
3000-gallon bulk tank loads to 2 sites per delivery.
Frequent pre-scheduled intervals.
Occasional next day deliveries may be needed.
Estimated usage is 270 gallons per day. This is only an estimate.
The delivery addresses are:
Marshall Street Plant, 1605 Harbor Dr, Clearwater, FL 33755
East Plant, 3141 Gulf To Bay Blvd, Clearwater, FL 33759.
Full tanker load bulk deliveries to the East and Marshall Street Plants for the balance of the
period, after the completion of the conversion. The following conditions shall apply:
48,000-gallon (approximate) bulk tank loads.
2-3 day lead time, unless pre-scheduled intervals can be established.
Estimated usage is the same, 270 gallons per day. This is only an estimate.
The delivery addresses are the same:
Marshall Street Plant, 1605 Harbor Dr, Clearwater, FL 33755
East Plant, 3141 Gulf To Bay Blvd, Clearwater, FL 33759.
Tote deliveries:
300-gallon totes (approximate).
2-3 business day lead-time, unless pre-scheduled intervals can be established.
Estimated usage is 65 gallons per day. This is only an estimate.
The delivery address is NE Plant, 3290 State Rd 580, Safety Harbor, FL 34695.
Item # 16
Attachment number 2
Page 2 of 2
Further specifications:
Bisulfite 38-40% Solution, aka: Sodium Hydrogen Sulfite, Sodium Bisulfite
FOB: CLW, vendor pays freight
Net 30 payment terms
Vendor's bid response shall provide for each mode of delivery:
Price per pound or price per gallon
Pounds per gallon
Totes Small Bulk Large Bulk
Price per Gallon or
Price per Pound
Pounds per Gallon
Contracts may be awarded to a single vendor or to multiple vendors by mode of
delivery. The City reserves the right to cancel the contract if product or service does not
meet requirements.
Vendor may contact John Milligan, WPC Superintendent, at 727 -562-4960x7248 or
Alison Johnson, WPC Storeskeeper, 727 -462-6783x232, if more information is needed.
COMPANY NAME:
Item # 16
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w Z u U LL LL LL LL LL Item # 16
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve amendments to the Capital Improvement Program (CIP) to restructure current Stormwater Project funding by reducing
budgets for projects funded by FY09 Stormwater Bond Proceeds while increasing Stormwater Utility Revenue for project funding
by $2,589,507 and restructure the CIP due to reprioritization of project importance. (consent)
SUMMARY:
. On July 20, 2006 the Council passed Ordinance 7649-06, amending the Stormwater Utility rates. The amended rates are to
provide funding for debt service, utility operations and capital projects as identified in the 2006 rate study.
. Resolution 07-29 was passed on November 1,2007 establishing the City's intent to reimburse certain Stormwater project
costs incurred with future tax -exempt financing. The projects identified with 2009 revenue bonds as a funding source were
included in the project list associated with Resolution 07-29.
. Previously approved CIP budgets included Stormwater projects to be funded with 09 Bond Proceeds totaling $15,030,010.
The 2008 rate study identifies the need for FY08 projects to be funded with $12,440,503 of 09 Revenue Bond Proceeds
which requires a reduction of $2,589,507 in bond proceeds with a like increase of funding with Stormwater Utility
Revenue.
. To bring the FY08 approved project budgets in line with the 2008 Rate Study third quarter amendments are required to
decrease funding by $2,589,507 of 09 Bond Proceeds and increase funding by Stormwater Utility Revenue in the amount of
$2,589,507 for a net budget change of zero. The schedule lists Stormwater projects approved in the CIP budget and required
amendments necessary to match project budgets with funding needs determined by the 2008 Rate Study.
. Additional amendments are included to restructure project funds according to the reprioritization of project importance -
funding projects in the order in which projects will be constructed.
Type:
Current Year Budget?:
Capital expenditure
No Budget Adjustment:
Yes
Budget Adjustment Comments:
See attached schedule
Current Year Cost:
Not to Exceed:
For Fiscal Year:
Annual Operating Cost:
Total Cost:
to
Review Approval: 1) Clerk
Cover Memo
Item # 17
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Item # 17
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
A ward a contract to Angle and Schmid, Inc. of S1. Petersburg, Florida for the construction of Station Square Park Project, in the
amount of $1,266,030.85, which is the lowest responsive bid received in accordance with the plans and specifications. (consent)
SUMMARY:
Nine (9) general contractors and subcontractors purchased plans and specifications for the project, of which four
(4) general contractors were pre-qualified to bid "Urban Streetscape "projects, and of these three (3) submitted
bids. Angle & Schmid, Inc. of St. Petersburg, Florida was the lowest competitive bidder, with a low bid of
$1,266,030.85.
This project was initially part of the Cleveland Street Streetscape project, but was removed from that project due
to budget constraints and increased construction costs at the time. The proposed cost of construction of Station
Square park at that time was $1,631,337.00.
The Station Square Park site has been used as a staging area for the Station Square Condominium project located
on the adjacent property to the east. The Station Square Condominiums no longer need the park site for
construction staging, and has cleared the site of all of their equipment and materials.
Construction of the park will start following award of contract, shop drawing review, mobilization and will be
complete within 180 days.
Upon completion, the Parks and Recreation Department will take over the operation and maintenance of the park
within its existing resources.
Third quarter amendments will transfer $490,143.47 of Pennys for Pinellas (381626) revenue from Capital
Improvement Program (CIP) project 0315-92269, Downtown Streetscape and $29,476.44 of Stormwater Utility
(388419) revenue from CIP 0315-96124, Storm Pipe System Improvement to CIP 0315-94848, Station Square
Park. Additional funding is available in CIP 388-94848, Station Square Park to fund the remaining balance of the
contract.
Type:
Current Year Budget?:
Budget Adjustment Comments:
See Summary
Current Year Cost:
Not to Exceed:
For Fiscal Year:
Capital expenditure
No
Budget Adjustment:
Yes
$1,266,030.85
$1,266,030.85
2007 to 2008
0.00
$1,266,030.85
Annual Operating Cost:
Total Cost:
Cover Memo
Item # 18
Appropriation Code
0388-94848- 563500- 57 5-
000-0000
0315-94848- 563500- 57 5-
000-0000
Amount
$800,000.00
$466,030.85
Appropriation Comment
Bid Required?:
Other Bid / Contract:
Review Approval: 1) Clerk
Yes
Bid Number:
Bid Exceptions:
08-0007-EN
None
Cover Memo
Item # 18
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Attachment number 1
Page 3 of 6
Item # 18
Attachment number 1
Page 4 of 6
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Page 5 of 6
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Attachment number 1
Page 6 of 6
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Item # 18
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Tourist Development Tax - Lee Daniels
SUMMARY:
Meeting Date:6/19/2008
Review Approval: 1) Clerk
Cover Memo
Item # 19
SUBJECT / RECOMMENDATION:
No item
SUMMARY:
City Council Agenda
Council Chambers - City Hall
Meeting Date:6/19/2008
Review Approval: 1) Clerk
Cover Memo
Item # 20
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Amend the City's fiscal year 2007/08 Operating and Capital Improvement Budgets at Mid Year and pass Ordinances 7979-08 and
7980-08 on first reading.
SUMMARY:
The fiscal year 2007/08 Operating and Capital Improvement Budgets were adopted in September 2007 by Ordinances 7866-07
and 7867-07. Section 2.521 of the City's Code of Ordinances requires the City Manager to prepare a mid year report detailing
income, expenditure estimates, collection, the explanation of significant variances, as well as the financial status of all capital
improvement projects. The mid-year amendment memorandum and accompanying reports provide this information and outlines
the issues at mid year that require amendment.
Review Approval: 1) Clerk
Cover Memo
Item # 21
Attachment number 1
Page 1 of 1
CITY OF CLEARWATER
MID YEAR SUMMARY
2007108
FY 07/08 First
Adopted Quarter Mid Year Mid Year Mid Year Amended
Descri ption Budget Amended Projected Actual Variance % Adjustment Budget
General Fund:
Revenues 123,177,630 124,610,522 74,144,433 74,739,834 595,401 1% 246,010 124,856,532
Expenditures 123,177,630 124,610,522 68,428,106 65,645,931 2,782,175 4% 246,010 124,856,532
Utilitv Funds:
Water & Sewer Fund
Revenues 59,930,170 59,930,170 28,664,436 26,015,617 (2,648,819) -9% (3,200,000) 56,730,170
Expenditures 59,930,170 59,930,170 32,058,372 28,885,427 3,172,945 10% (3,200,000) 56,730,170
Stormwater Fund
Revenues 14,436,690 14,499,680 6,594,450 6,485,161 (109,289) -2% 33,308 14,532,988
Expenditures 14,436,690 14,499,680 8,700,910 7,796,817 904,093 10% 33,308 14,532,988
Gas Fund
Revenues 50,656,650 53,123,570 27,209,284 25,815,028 (1,394,256) -5% (979,410) 52,144,160
Expenditures 45,896,470 47,777,980 28,053,822 27,274,775 779,047 3% (995,430) 46,782,550
Solid Waste Fund
Revenues 18,153,900 18,153,900 9,076,940 9,307,463 230,523 3% (93,300) 18,060,600
Expenditures 18,068,320 18,068,320 9,284,307 8,671,912 612,395 7% (93,320) 17,975,000
Recvclinq Fund
Revenues 2,834,930 3,044,260 1,627,070 1,950,658 323,588 20% 290,000 3,334,260
Expenditures 2,834,930 3,017,740 1,645,427 1,654,444 (9,017) -1% 2,879,700 5,897,440
Enterprise Funds:
Marine & Aviation Fund
Revenues 4,823,730 4,702,910 2,105,334 2,025,055 (80,279) -4% 0 4,702,910
Expenditures 4,774,180 4,522,040 2,313,071 2,166,874 146,197 6% 0 4,522,040
Airpark Fund
Revenues 0 233,000 116,502 113,428 (3,074) -3% 2,070 235,070
Expenditures 0 232,540 113,227 123,906 (10,679) -9% 2,530 235,070
Parkinq Fund
Revenues 4,102,130 4,342,130 1,968,216 2,096,406 128,190 7% 105,700 4,447,830
Expenditures 3,804,260 3,952,580 2,232,390 1,819,334 413,056 19% 56,400 4,008,980
Harborview Center
Revenues 704,360 704,360 500,802 575,494 74,692 15% 0 704,360
Expenditures 704,360 704,360 411 ,638 585,432 (173,794) -42% 0 704,360
Internal Service Funds:
General Services Fund
Revenues 5,236,710 5,236,710 2,618,420 2,626,576 8,156 0% 0 5,236,710
Expenditures 5,235,590 5,235,590 2,736,305 2,552,749 183,556 7% 0 5,235,590
Administrative Services
Revenues 10,200,730 10,200,730 4,950,362 4,946,394 (3,968) 0% 0 10,200,730
Expenditures 10,197,640 10,197,640 5,581,022 4,795,500 785,522 14% 0 10,197,640
Garaqe Fund
Revenues 13,293,770 13,293,770 6,546,350 6,420,066 (126,284) -2% 0 13,293,770
Expenditures 13,293,770 13,293,770 6,872,387 6,352,486 519,901 8% 0 13,293,770
Central Insurance Fund
Revenues 21,306,060 21,690,338 10,729,666 10,662,911 (66,755) -1% 2,736,097 24,426,435
Expenditures 19,986,040 20,370,318 10,402,176 7,786,052 2,616,124 25% 2,736,097 23,106,415
Item # 21
Property Taxes
Franchise Fees
Utilitv Taxes
Licenses & Permits
Interqovernmental
Sales Tax
Charqes for Service
Fines & Forfeitures
Interest Income
Miscellaneous
Increase/(Decrease)
69,850
300,000
Attachment number 2
Page 1 of 2
City of Clearwater
General Fund Revenues
Mid Year Amendments
FY 2007/08
Description
Property taxes are approximately as budgeted at mid year.
As of the end of April, 96% of budgeted revenues had been
collected. At the end of April 2007, 92% of the year's total
revenues had been collected. No amendment is proposed at
this time.
Franchise fees slower than projected at mid year, but no
amendments are proposed until further review at third
quarter.
Utility tax revenues are approximately as budgeted at mid
year. No amendment is proposed until additional months of
activity are available for review
Building permit revenue is approximately 20% less for the
first seven months of the fiscal year, than the same period of
time in fiscal year 2006/07. No amendments are proposed
until further review at third quarter.
State sales tax receipts are still coming in approximately
5% less than last year's receipts. The positive variance is
only a timing variance in budget vs. receipts. Sales tax
revenues were amended at first quarter, and at this time no
further amendments are proposed.
The budget amendments reflect the following amendments:
1) an increase of $12,850 from event fees for Brighthouse
stadium; 2) an increase of $17,000 in revenue from the
Morningside Recreation Center summer camp, and 3) an
increase of $40,000 in concession sales revenue at Pier 60.
All revenue increases offset expenditure increases in the
Parks and Recreation and Marine operations of the General
Fund.
The 19% negative variance in fines & forfeiture revenues is
entirely due to a timing variance in the receipt of funds from
the School Board for the crossing guard program. No
amendments are proposed at this time.
Interest income is reflects a positive variance at mid year,
due to better than anticipated interest rates. No amendments
are proposed at this time, until further analysis at year-end.
Budgeted revenues reflect the receipt of $300,000 from the
Stormwater Fund as a reimbursement for park land used to
construct Lake Bellevue Stormwater Pond as approved by
the City Council on April 3, 2008.
3
Item # 21
Increase/(Decrease)
Transfer (to) from Surplus
Net Transfer (to) from
Retained Earninqs
(123,840)
Net General Fund Revenue
Amendment
246,010
Attachment number 2
Page 2 of 2
City of Clearwater
General Fund Revenues
Mid Year Amendments
FY 2007/08
Description
1) Funds of $ 370,515.24 are returned to the General Fund
to General Fund reserves from project 315-93523, New Main
Library, as a result of finalizing the main library funding as
(370,515) approved by the City Council on May 15, 2008.
2) The budget amendment reflects the appropriation of
$48,160 of General Fund reserves to fund the retirement
payout of two long-term employees of the Parks and
48,160 Recreation Department
3) The appropriation of $28,000 of General Fund reserves
28,000 to partially fund John Brown legal settlement
4) The additional revenue recognized at mid year can be
transferred to General Fund retained earnings, offsetting the
allocations noted above, and resulting in a net transfer of
170,515 $123,840 to General Fund retained earnings.
4
Item # 21
Water & Sewer Fund
Revenues:
Expenditures:
Increase/
(Decrease)
(3,200,000)
(3,200,000)
Attachment number 3
Page 1 of 2
City of Clearwater
Utility Funds
Mid Year Amendments
FY 2007/08
Description
At mid year, anticipated revenues of the Water & Sewer Fund
equal anticipated expenditures for FY 2007/08.
Mid year revenue amendments reflect reductions in reclaimed
revenue of $800,000, sewer revenue of $950,000, interest
earnings of $225,000, and a decrease of $1 ,225,000 in the use of
reserves due to the delay of debt issuance in fiscal year '08.
Budgeted expenditures at mid year reflect a $3.2 million
reduction in debt service costs in the Non-Departmental program
as a result of the delay in the issuance of revenue bonds from
fiscal year '08 to fiscal year '09. This savings will offset the
reduction in revenues outlined above as well as reduce the funds
reliance on reserves for fiscal year '08 by $1 ,225,000.
Stormwater Fund
Revenues:
Expenditures:
33,308
33,308
At mid year, anticipated revenues of the Stormwater Fund equal
anticipated expenditures for FY 2007/08.
Mid year amendments include the appropriation of retained
earnings to capital project 315-96152, Lake Bellevue Stormwater
Improvements, which is excess cash in the debt service funds
representing interest earnings in the bond construction funds in
the fourth quarter of '07 and the first quarter of '08. The negative
variance in Other Operating revenues is primarily a result of a
timing difference in the posting of interest earnings for the
Stormwater Fund at mid year. No amendment is proposed at this
time.
Stormwater funds are allocated to capital project 315-96152,
Lake Bellevue Stormwater Improvements in the amount of
$33,308.15 as noted above.
Gas Fund
Revenues:
Expenditures:
(979,410)
(995,430)
At mid year, anticipated revenues of the Gas Fund exceed
anticipated expenditures by $5,361,610 for FY 2007/08.
Mid year revenue amendments primarily reflect decreases due
to a warm winter. Annual gas revenues are down $790,910 and
slowing construction result in a drop in capitalized labor of
$115,000. Other gas revenues decreases include service
charges $18,500, franchise revenue $36,000, and service calls on
appliances of $19,000.
Expenditure amendments at mid year reflect a net decrease of
$995,430. The two primary reasons for the decrease are a
reduction of fuel purchases in the amount of $850,000 due to the
warm winter and the balance of the decrease is basically due to a
reduction in a number of line items due to slowing construction.
7
Item # 21
Solid Waste Fund
Revenues:
Expenditures:
Increase/
(Decrease)
(93,300)
(93,320)
Attachment number 3
Page 2 of 2
City of Clearwater
Utility Funds
Mid Year Amendments
FY 2007/08
Description
At mid year, anticipated revenues of the Solid Waste Fund exceed
anticipated expenditures by $ 85,600 for FY 2007/08.
Mid year amendments reflect a small decrease in anticipated
revenue in anticipated collection charges due to the slowdown in
construction and renovations. The positive variance in Other
Operating revenues is primarily a result of positive interest
earnings for the Solid Waste Fund at mid year. No amendment to
interest earnings will be proposed until third quarter data is
available.
The primary amendment at mid year in Solid Waste is a
$100,000 reduction in anticipated dump fee charges. Other small
amendments result in the total net decrease of $93,320 for
budgeted expenditures.
Recvclinq Fund
Revenues:
Expenditures
290,000
289,700
At mid year, anticipated revenues of the Recyclinq Fund exceed
anticipated expenditures by $26,820 for FY 2007/08.
Mid year revenue amendments reflect an increase of $290,000,
which is the direct result of an increase in the sale of recyclables
due to favorable market conditions.
Mid year expenditure amendments in Recycling reflect a net
increase of $289,700, of which $280,000 is directly attributable to
inventory purchases. All amendments are offset by increased
revenues in the sale of recyclables.
8
Item # 21
Increase/
(Decrease)
General Services
Revenues: 0
Expenditures: 0
Attachment number 4
Page 1 of 1
City of Clearwater
Internal Service Funds
Mid Year Amendments
FY 2007/08
Description
At mid year, anticipated revenues of the General Services Fund
exceed anticipated expenditures by $1,120 for FY 2007/08.
No amendments are proposed at mid year.
Expenditure amendments reflect the transfer of $52,000 of program
savings from the Building and Maintenance program primarily as a
result of position vacancies to the Administration program to offset
the payment of vacation and sick leave for the retirement of the
Department Director in January 2008. The net amendment to
General Service Fund expenditures is $0.
Administrative Services
Revenues: 0
Expenditures: 0
At mid year, anticipated revenues of the Administrative Services
Fund exceed anticipated expenditures by $3,090 for FY 2007/08.
No amendments are proposed at mid year.
No amendments are proposed at mid year.
GaraQe Fund
Revenues: 0
Expenditures: 0
At mid year, anticipated revenues of the GaraQe Fund equal
anticipated expenditures for FY 2007/08.
No amendments are proposed at mid year.
Expenditure amendments reflect the transfer of $4,220 from the
Fleet Maintenance program to the Radio Communications program
to offset some unanticipated line item increases. The net
amendment to Garage Fund expenditures is $0.
Central Insurance
Revenues: 2,736,097
Expenditures:
2,736,097
At mid year, anticipated revenues of the Central Insurance Fund
exceed anticipated expenditures by $1 ,320,020 for FY 2007/08.
Mid year revenue amendments reflect the transfer of $2,736,097
of Central Insurance Fund retained earnings to the capital
improvement project 315-93405, Downtown Boat Slips, representing
a transfer to the CRA for $1.5 million to be paid by the CRA over
three years, and $1,236,097 as funding anticipated for a grant once
the permitting process is complete.
Mid year amendments reflect the following two amendments: 1)
the transfer of $11,000 of insurance savings from the Non-
Departmental cost center to Risk Management to provide a total of
$35,000 of funding for the construction of private offices for the
individuals that work claims in Risk Management. At first quarter,
$24,000 was approved, but a sprinkler system and additional air
conditioning improvements were not realized in the original estimate.
The net impact to the Central Insurance Fund is zero. 2) The
second amendment reflects the transfer of $2,736,097 of Central
Insurance Fund retained earnings to the capital improvement project
315-93405, Downtown Boat Slips, representing anticipated funding
from the CRA for $1.5 million to be paid by the CRA over three
years, and $1,236,097 for a grant once the permitting process is
complete. This was approved by the Council on April 17, 2008.
14
Item # 21
Attachment number 5
Page 1 of 2
INTERNAL SERVICE FUNDS
MID YEAR REVIEW
For The Six Month Period of October 1, 2007 - March 31, 2008
2007/08 2007108
1 Qtr Amended Mid-Year Mid-Year Budget Proposed MY Amended
Budget Projection Actual Variance % Amendment Budget
GENERAL SERVICES FUND
General Services Fund Revenues
Billings to Departments 5,201,710 2,600,920 2,602,583 1,663 0% 0 5,201,710
Non-Operating Revenue 35,000 17,500 23,993 6,493 37% 0 35,000
Transfers In 0
Fund Reserves 0
Total Revenues 5,236,710 2,618,420 2,626,576 8,156 0% 0 5,236,710
General Services Fund Expenditures
Administration 332,410 169,484 216,382 (46,898) -28% 52,000 384,410
Building & Maintenance 4,903,180 2,566,821 2,336,366 230,455 9% (52,000) 4,851,180
Total Expenditures 5,235,590 2,736,305 2,552,749 183,556 7% 0 5,235,590
ADMINISTRA TIVE SERVICES FUND
Administrative Services Revenues
Operating Revenue 9,723,730 4,861,860 4,776,377 (85,483) -2% 0 9,723,730
Non-Operating Revenue 177,000 88,502 170,017 81,515 92% 0 177,000
Transfers In 0
Fund Reserves 300,000 0 300,000
Total Revenues 10,200,730 4,950,362 4,946,394 (3,968) 0% 0 10,200,730
Administrative Services Expenditures
Information Technology/Admin 393,070 210,014 181,266 28,748 14% 0 393,070
Information Tech/Network Svcs 2,643,100 1 ,506,623 1,257,061 249,562 17% 0 2,643,100
Info Tech/Software Applications 2,034,880 1,130,450 891,383 239,067 21% 0 2,034,880
Info Tech/Telecommunications 1,141,640 574,351 443,360 130,991 23% 0 1,141,640
Pub CommlCourier 182,050 92,488 66,535 25,953 28% 0 182,050
Pub CommlGraphics 408,330 214,389 242,201 (27,812) -13% 0 408,330
Clearwater Customer Service 3,394,570 1,852,707 1,713,693 139,014 8% 0 3,394,570
Total Expenditures 10,197,640 5,581,022 4,795,500 785,523 14% 0 10,197,640
GARAGE FUND
Garage Fund Revenues
Billings to Departments 12,704,000 6,352,020 6,095,638 (256,382) -4% 0 12,704,000
Non-Operating Revenue 589,770 194,330 324,428 130,098 67% 0 589,770
Transfers In 0
Fund Reserves 0
Total Revenues 13,293,770 6,546,350 6,420,066 (126,284) -2% 0 13,293,770
Garage Fund Expenditures
Fleet Maintenance 12,656,050 6,548,617 6,123,140 425,477 6% (4,220) 12,651,830
Radio Communications 637,720 323,770 229,346 94,424 29% 4,220 641,940
Total Expenditures 13,293,770 6,872,387 6,352,486 519,901 8% 0 13,293,770
15
Item # 21
Attachment number 5
Page 2 of 2
INTERNAL SERVICE FUNDS
MID YEAR REVIEW
For The Six Month Period of October 1, 2007 - March 31, 2008
2007/08 2007108
1 Qtr Amended Mid-Year Mid-Year Budget Proposed MY Amended
Budget Projection Actual Variance % Amendment Budget
CENTRAL INSURANCE FUND
Central Insurance Fund Revenues
Billings to Departments 19,728,790 9,864,396 9,571,673 (292,723) -3% 0 19,728,790
Non-Operating Revenue 1 ,400,000 700,000 938,500 238,500 34% 0 1 ,400,000
Transfers In 177,270 165,270 152,738 (12,532) -8% 0 177,270
Fund Reserves 384,278 2,736,097 3,120,375
Total Revenues 21,690,338 10,729,666 10,662,911 (66,755) -1% 2,736,097 24,426,435
Central Insurance Fund Expenditures
Finance/Risk Management 434,420 245,904 196,756 49,148 20% 11,000 445,420
Hum Resources/Employee Benefits 322,180 169,282 133,169 36,113 21% 0 322,180
Non-Departmental 19,613,718 9,986,990 7,456,127 2,530,863 25% 2,725,097 22,338,815
Total Expenditures 20,370,318 10,402,176 7,786,052 2,616,124 25% 2,736,097 23,106,415
16
Item # 21
Attachment number 6
Page 1 of 1
Clearwater, Florida
CAPITAL IMPROVEMENT FUND
Mid Year Summary
FY 2007/08
The amended 2007/08 Capital Improvement Program budget report is submitted for the City Council's mid year review.
The net proposed amendment is a budget increase of$3,914,347. This review provides the opportunity to examine the
status of all active projects and present formal amendments to the project budgets. Fiscally significant budget increases
encompassed within this review are as follows:
The City Council did not previously approve the following Capital Improvement Budget increases:
>- Parks & Recreation Customer Management & Facilities Scheduling System - To record an increase of
$60,000 in General Fund revenue, which will be transferred from savings within the operating budget of the Parks
& Recreation Department. This project will replace the customer management and facilities scheduling system with
the replacement of all software as well as necessary professional selVices for the installation and data conversion.
>- Lake Bellevue Stormwater Improvements - To record a budget increase of $33,308.15 in Stormwater Utility
revenue, which will be transferred from the unappropriated retained eamings of the Stormwater Fund. This
represents interest earned in the bond construction funds.
All significant budget increases that haYe been previously approved by the Council are listed below:
Downtown Streetscape
Beach Connector Trail
Downtown Boat Slips
Ross Norton Park Improvements
Project
Blld~t Increase
49,400
1,268,581
2,586,097
200,000
Council
Approval
4/6/08
5/15/08
4/17/08
4/3/08
17
Item # 21
Attachment number 7
Page 1 of 5
CAPITAL IMPROVEMENT FUND
Mid Year Amendments
FY 2007/08
Amd mt
#
Project
Number
Increase/
(decrease)
Amount
Transfer
Amount
Description
Net Budget
Amendment
Beach Walk
To record budget transfers of $188,778, in Water & Sewer
Bond proceeds from the following:
376-92267 100,333 $100,333 from 376-96742, Line Relocation - Capitalized
376-92267 88,445 $88,445 from 376-96634, Sanitary Utility Relocation
378-92267 5,821 $5,821 from 378-96739, Reclaimed Water Distribution System
These transfers were approved by the City Council on April 6,
2008 for Change Order #1 to David Nelson Construction. 194,599
2 Downtown Streetscape - BUDGET AMENDMENT ONLY
315-92269 49,400 * To record a budget increase of $49,400 in Other Contribution
revenue. This represents a contribution from the Downtown
Development Board to fund the cost of directory signs. This
was approved by the City Council on April 6, 2008 as part of
Change Order #5 to Gibbs & Register. 49,400
3 Streets & Sidewalks
315-92273 (149,820) To record a budget transfer of $149,820 in Road Millage to
315-92274, Bridge Maintenance & Improvements. This was
approved by the City Council on June 5, 2008 as part of the
construction contract for the refurbishment of the pedestrian
bridge under the FOOT bridge. (149,820)
4 Bridge Maintenance & Improvements
315-92274 149,820 To record a budget transfer of $149,820 in Road Millage from
315-92273, Streets & Sidewalks. This was approved by the
City Council on June 5, 2008 as part of the construction
contract for the refurbishment of the pedestrian bridge under
the FOOT bridge. 149,820
5 Beach Connector Trail - Budget Amendment Only
315-92342 1,268,581 * To record a budget increase of $1 ,268,581 in Florida Department
of Transportation grant revenue. This was approved by the City
Council on May 15, 2008 with the approval of the two LAP
agreements. 1,268,581
6 Memorial Causeway Landscape Beautification
315-93210 (40,000) To record a budget transfer of $40,000 in Special Development
Fund revenue to project 315-93265, Beach Library/Recreation
Center Renovations. This was approved by the City Council on
June 5, 2008 to provide additional funding for unexpected
change orders.
315-93210 (20,000) To record a budget transfer of $20,000 in Special Development
Fund revenue to project 315-93248, National Guard Armory
Renovations. This was approved by the City Council on June 5,
2008 as part of Change Order #1 to Oakhurst Construction.
315-93210 (37,819) To record a budge transfer of $37,818.63 in Special Development
Fund revenue to project 315-93264, Enterprise Road Dog Park.
This will provide that project with funding to cover unanticipated
environmental issues. (97,819)
Item # 21
18
* indicates budget amendment only
Attachment number 7
Page 2 of 5
CAPITAL IMPROVEMENT FUND
Mid Year Amendments
FY 2007/08
Increase/
Amd mt Project (decrease) Transfer Net Budget
# Number Amount Amount Description Amendment
7 Crest Lake Park Improvements - CLOSE PROJECT
315-93241 (11,061) To record a budget transfer of $11 ,060.99 in General Fund to
project 315-93264, Enterprise Road Dog Park. This will provide
that project with funding to cover unanticipated environmental
issues. (11,061)
8 National Guard Armory Renovations
315-93248 20,000 To record a budget transfer of $20,000 in Special Development
Fund revenue from project 315-93210, Memorial Causeway
Landscape Beautification. This was approved by the City
Council on June 5, 2008 as part of Change Order #1 to Oakhurst
Construction. 20,000
9 Jack Russell Stadium Infrastructure Repairs - BUDGET
AMENDMENT ONLY AND CLOSE PROJECT
315-93254 975 * To record a budget increase of $975 in sale of scrap revenue,
which will bring the actual revenue received in line with the
budget.
315-93254 (8,579) To record a budget transfer of $8,579.02 in General Fund
revenue to project 315-93264, Enterprise Road Dog Park. This
will provide that project with funding to cover unanticipated
environmental issues. (7,604)
10 Enterprise Road Dog Park
To record the following budget transfers totaling $57,458.64:
315-93264 11,061 $11,060.99 in General Fund from project 315-93241, Crest
Lake Park Improvements
315-93264 8,579 $8,579.02 in General Fund from project 315-93254, Jack Russell
Stadium Infrastructure Repairs
315-93264 37,819 $37,818.63 in Special Development Fund from project 315-93210,
Memorial Causeway Landscape Beautification.
This will provide the project with funding to cover unanticipated
environmental issues. 57,459
11 Beach Library/Recreation Center Renovations
315-93265 40,000 To record a budget transfer of $40,000 in Special Development
Fund revenue from project 315-93210, Memorial Causeway
Landscape Beautification. This was approved by the City
Council on June 5, 2008 to provide additional funding for
unexpected changed orders. 40,000
12 Downtown Boat Slips
315-93405 (50,000) To record a budget decrease of $50,000 in Contribution From
Other Governmental Units, representing a contribution from the
Downtown Development Board.
325-93405 50,000 To record a budget increase of $50,000 in Contribution From
Other Governmental Units, representing a contribution from the
Downtown Development Board.
Both amendments will reflect the movement of revenue to be
put aside for Public Art.
Item # 21
19
* indicates budget amendment only
Attachment number 7
Page 3 of 5
CAPITAL IMPROVEMENT FUND
Mid Year Amendments
FY 2007/08
Increase/
Amd mt Project (decrease) Transfer Net Budget
# Number Amount Amount Description Amendment
Downtown Boat Slips (continued)
362-93505 (2,150,000) * To record a budget decrease of $2,150,000 in Bond proceeds,
315-93405 2,000,000 which will partially be offset by a budget increase of $2,000,000
in Special Development Fund revenue.
315-93405 2,657,658 * To also reflect a budget increase of $2,736,097 in Central
325-93405 78,439 * Insurance Fund revenue of which $78,439 will be set aside for
the required public art funding. This revenue from the Central
Insurance Fund represents an advance of $1 ,500,000 to be paid
by the CRA over three years and $1,236,097 of anticipated grant
funding. These were approved by the City Council on April 17,
2008 for the design build contract to Misener Marine
Construction. 2,586,097
13 New Main Library - CLOSE PROJECT
315-93523 75,000 * To record a budget increase of $75,000 in Donation Revenue
from the Library Foundation, which reflects actual donations
received.
315-93523 (37,500) To also record a budget decrease of $37,500 in General Fund
revenue, which represents 1/2 of the actual donation that was
received. As approved by the City Council on February 20,
2003, 1/2 of all Library Foundation donations will be used to
reduce the General Fund dollars that were fronted.
315-93523 (370,515) To record a budget decrease of $370,515.24 in General Fund
revenue, which will be returned to the unappropriated retained
earnings of the General Fund as approved by the City Council
on May 15, 2008. This will close the project. (333,015)
14 Ross Norton Park Improvements
To establish the project and record a budget increase of
315-93605 100,000 * $100,000 in Land and Water Conservation Fund Program grant
315-93605 100,000 revenue. To also record a budget increase of $100,000 in
General Fund revenue reflecting a portion of the proceeds from
the sale of property to the Stormwater Fund. This was approved
by the City Council on April 3, 2008 for the Lake Belleview
improvements at Ross Norton Park. 200,000
15 Parks & Rec Customer Management & Facilities Scheduling
System - NEW PROJECT
315-93607 60,000 To establish the project and record a budget increase of $60,000
in General Fund revenue, which will be transferred from savings
within the operating budget of the Parks & Recreation
Department. This project will replace the customer management
and facilities scheduling system with the replacement of all
software as well as necessary professional services for the
installation and data conversion. 60,000
16 Painting of Facilities
315-94517 (9,245) To record a budget transfer of $9,245 in Sewer revenue to project
315-96665, Sanitary Collection & Transmission R&R.
315-94517 (88,300) To record a budget transfer of $88,300 in Water Revenue to
project 315-96721, System R&R. The Water & Sewer funding
is not needed in the painting project. (97,545)
Item # 21
20 * indicates budget amendment only
Attachment number 7
Page 4 of 5
CAPITAL IMPROVEMENT FUND
Mid Year Amendments
FY 2007/08
Increase/
Amd mt Project (decrease) Transfer Net Budget
# Number Amount Amount Description Amendment
17 Lake Bellevue Stormwater Improvements
315-96152 33,308 To record a budget increase of $33,308.15 in Stormwater Utility
revenue, which will be transferred from the unappropriated
retained earnings of the Stormwater Fund. This represents
interest earned in the bond construction funds. 33,308
18 NE Filter-Marshall Street Blower/MCC Rehab - CLOSE PROJECT
378-96613 (25,630) To record a budget transfer of $25,630.48 in Water & Sewer
Bond proceeds to project 378-96620, WWTP Headworks. The
NE Filter-Marshall Street project is complete and can be closed.
327 -96613 (12,491) To record a budget transfer of $12,491.33 in Utility R&R revenue
to project 327-96620, WWTP Headworks. The NE Filter-
Marshall Street project is complete and can be closed. (38,122)
19 WWTP Headworks
378-96620 25,630 To record a budget transfer of $25,630.48 in Water & Sewer
Bond proceeds from project 378-96613, NE Filter-Marshall
Street Blower/MCC Rehab. The NE Filter-Marshall Street
project is complete and can be closed.
327 -96620 12,491 To record a budget transfer of $12,491.33 in Utility R&R revenue
from project 327-96613, NE Filter-Marshall Street Blower/MCC
Rehab. The NE Filter-Marshall Street project is complete and
can be closed. 38,122
20 Sanitary Utility Relocation
376-96634 (88,445) To record a budget transfer of $88,445 in Water & Sewer Bond
proceeds to 376-92267, Beach Walk. This was approved by the
City Council on April 3, 2008 for Change Order #1 to David
Nelson Construction. (88,445)
21 Sanitary Collection & Transmission R&R
315-96665 9,245 To record a budget transfer of $9,245 in Sewer revenue from
project 315-94517, Painting of Facilities. The funding is not
needed in the painting project. 9,245
22 System R&R
To record a budget transfer of $88,300 in Water revenue from
315-96721 88,300 project 315-94517, Painting of Facilities. The funding is not
needed in the painting project. 88,300
23 Reclaimed Water Distribution System
378-96739 (5,821) To record a budget transfer of $5,821 in Water & Sewer Bond
proceeds to 378-92267, Beach Walk. This was approved by the
City Council on April 3, 2008 for Change Order #1 to David
Nelson Construction.
315-96739 49,001 * To record a budget increase of $49,001.48 in Other Governmental
revenue, representing reimbursements received from SWFWMD.
This will bring the budget in line with the actual cash received. 43,180
Item # 21
21
* indicates budget amendment only
Amd mt
#
Project
Number
Increase/
(decrease)
Amount
Transfer
Amount
CAPITAL IMPROVEMENT FUND
Mid Year Amendments
FY 2007/08
Description
Attachment number 7
Page 5 of 5
Net Budget
Amendment
24
376-96742
TOTALS 3,914,347
Line Relocation - Capitalized
(100,333) To record a budget transfer of $100,333 in Water & Sewer Bond
proceeds to 376-92267, Beach Walk. This was approved by the
City Council on April 3, 2008 for Change Order #1 to David
Nelson Construction.
o
22
(100,333)
3,914,347
* indicates budget amendment only
Item # 21
Attachment number 8
Page 1 of 6
CAPITAL IMPROVEMENT PROGRAM
PROGRAM & STATUS SUMMARY
MID YEAR: October 1, 2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/1/07 Prev Qtr Amdmts Budget To Date Encumbr Balance Status Ref
PUBLIC SAFETY
Police Protection
91147 Police Computer Network - II 1 ,201 ,330 396,028 396,028 146,028 129,000 121,000
Sub-Total 1 ,201 ,330 396,028 0 396,028 146,028 129,000 121,000
Fire Protection
91221 EMS Capital Equipment 1,037,316 1,037,316 1,037,316 973,608 63,708
91226 Vehicular Support 498,509 505,509 505,509 365,087 86,000 54,422
91229 Replace & Upgrade Airpacks 677,000 677,000 677,000 418,467 14,451 244,082
91236 Rescue Vehicle 250,000 250,000 250,000 250,000
91240 Fire GIS 74,000 74,000 74,000 16,595 8,203 49,202
91242 Fire Training Facility 4,915,000 4,915,000 4,915,000 2,161,831 2,582,997 170,172
91245 Fire Garage Door Replcmt 94,000 94,000 94,000 94,000 0 C
91247 Traffic Pre-Emption 180,000 180,000 180,000 29,548 150,452
91252 Station 48 Renovation/Expansion 651,500 651,500 651,500 79,423 54,727 517,350
91253 Main Station (Fire) 3,000,000 3,000,000 3,000,000 50,944 2,949,056
91255 Exhaust Systems 155,480 155,480 155,480 155,480
91256 Security Access Systems 90,380 90,380 90,380 37,647 52,733
91257 AED Program 60,500 60,500 60,500 35,585 3,004 21,911
91258 Ladder Truck Equipment 150,000 150,000 150,000 76,156 73,844
91259 Radio Replacements 100,000 100,000 100,000 58,722 41,278
91260 Thermal Imaging Cameras 20,000 20,000 20,000 9,486 10,514
91261 Personal Protection Equipment 323,000 323,000 323,000 195,765 127,235
#REF! #REF! 73,900 73,900 73,900 73,900
#REF! #REF! 56,000 56,000 56,000 51,471 4,529
Sub-Total 12,406,585 12,413,585 0 12,413,585 4,654,335 2,749,382 5,009,868
TRANSPORTATION
New Street Construction
92146 Druid Rd Improvements 3,112,191 3,112,191 3,112,191 1,453,205 140,905 1,518,081
Sub-Total 3,112,191 3,112,191 0 3,112,191 1,453,205 140,905 1,518,081
Major Street Maintenance
92259 Traffic Calming 11,687,941 11,687,941 11,687,941 3,298,066 1,659,631 6,730,244
92266 Streets, Sidewalks & Bridges 14,498,751 10,534,043 10,534,043 10,534,043 0 C
92267 Beach Walk 31,326,849 31,338,849 194,599 31,533,448 26,430,360 4,685,078 418,010
92268 Bluff to Beach Guideway 140,000 140,000 140,000 90,000 50,000
92269 Downtown Streetscape 11,523,314 11,654,660 49,400 11,704,060 9,477,423 1,044,030 1,182,608 2
92270 Gulf to Bay / Highland Imprv 1,500,000 1,500,000 1,500,000 1,500,000
92271 Courtney Campbell Landscape 150,000 122,115 122,115 122,115 0 C
92273 Streets & Sidewalks 2,775,720 6,579,413 (149,820) 6,429,593 777,353 274,853 5,377,388 3
92274 Bridge Maint Improvements 200,000 200,000 149,820 349,820 6,401 32,563 310,857 4
Sub-Total 73,802,575 73,757,021 243,999 74,001,020 50,735,761 7,696,153 15,569,106
Sidewalks and Bike Trail
92339 New Sidewalks 389,833 550,848 550,848 385,231 161,015 4,601
92340 Clw Bch West Bridge Co 4,967,166 4,967,166 4,967,166 3,312,341 1,147,170 507,654
92342 Beach Connector Trail 287,809 287,809 1,268,581 1,556,390 186,358 45,792 1,324,240 5
Sub-Total 5,644,808 5,805,823 1,268,581 7,074,404 3,883,930 1,353,978 1 ,836,496
Intersections
92551 City-Wide Intersection Imprv 915,778 915,778 915,778 441,009 474,769
92552 Signal Renovation 1,065,698 1,065,698 1,065,698 856,295 658 208,745
92553 New Signal Installation 841,789 841,789 841,789 602,991 67,844 170,953
92558 Intersection Improvements-II 1,834,918 1,785,742 1,785,742 518,083 253,341 1,014,318
Sub-Total 4,658,183 4,609,007 0 4,609,007 2,418,378 321 ,843 1 ,868,786
Item # 21
23
Attachment number 8
Page 2 of 6
CAPITAL IMPROVEMENT PROGRAM
PROGRAM & STATUS SUMMARY
MID YEAR: October 1, 2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/1/07 Prev Qtr Amdmts Budget To Date Encumbr Balance Status Ref
Parking
92630 Parking Lot Resurfacing 1,529,023 1,511,603 1,511,603 593,285 918,318
92632 Pkng Garage Structure Rpr 1,293,432 1,293,432 1,293,432 688,954 604,477
92636 Parking Lot Improvement 1,212,977 1,197,627 1,197,627 613,639 236,213 347,775
92641 Seashell Parking Lot 6,000,000 6,000,000 6,000,000 6,000,000
92646 Station Square Parking 1,300,000 1,300,000 1,300,000 1,300,000
Sub-Total 11 ,335,431 11,302,661 0 11,302,661 1,895,879 236,213 9,170,569
Miscellaneous Engineering
92820 Memorial Causeway Br Repl 37,258,665 37,258,665 37,258,665 36,916,696 80,155 261,813
92822 Miscellaneous Engineering 434,025 434,025 434,025 270,365 52,420 111,240
92837 Beach Area Traffic Study 38,250 38,250 38,250 0
Sub-Total 37,692,690 37,730,940 0 37,730,940 37,225,311 132,575 373,054
LEISURE
Land Acquisition
93129 Bayview Park 650,000 649,241 649,241 649,241 0 C
Sub-Total 650,000 649,241 0 649,241 649,241 0 0
Park Development
93203 Carpenter Fld-Infras Rep/lmp 150,000 150,000 150,000 75,044 74,956
93204 Concrete Sidewalk & Pad 422,913 422,913 422,913 390,973 31,939
93205 Com Sprts Cmp Infr Rep/lmp 275,822 275,822 275,822 217,997 57,825
93210 Mem Cswy Lndscp/Beaut 1,260,135 1,260,135 (97,819) 1,162,316 1,162,316 0 C 6
93213 Prk Amenity Purch & Rplcmnt 734,942 734,942 734,942 669,224 65,717
93214 Long Center Playground 555,000 554,051 554,051 554,051 0 C
93229 Tennis Court Resurfacing 569,082 569,082 569,082 496,367 72,716
93230 Playground & Fitness Equip Purch & F 1,305,210 1,305,210 1,305,210 1,210,159 57,210 37,841
93241 Crest Lake Pk Improvemts 200,000 200,000 (11,061) 188,939 188,939 0 C 7
93244 P&B Trucks 34,500 29,587 29,587 29,587 0 C
93246 Long Center Pool Project 925,000 925,000 925,000 894,707 8,577 21,716
93247 Fitness Equipment Replacement 75,000 75,000 75,000 29,454 45,546
93248 National Guard Armory Renovation 220,000 830,140 20,000 850,140 170,498 634,320 45,322 8
93251 Morningside Rec Ctr Replacement 3,135,000 3,135,000 3,135,000 40,458 2,070 3,092,472
93252 EC Moore East Bat Tunnel 225,456 215,315 215,315 215,315 0 C
93254 JRS Infrast Rep & Demo 224,918 229,386 (7,604) 221,782 221,782 0 C 9
93255 P&B Maint Bldg 100,000 100,000 100,000 61,970 33,494 4,536
93256 CIS Comm Pk Bldg 425,000 425,000 425,000 349,095 71,740 4,165
93257 Joe D Sports Complex Demo 296,000 296,000 296,000 136,087 158,284 1,629
93262 Fencing Replacemt Program 992,555 992,555 992,555 848,959 43,230 100,366
93263 Public Art Maintenance 1,373 1,498 1,498 1,498
93264 Enterprise Rd Dog Park 400,000 400,000 57,459 457,459 24,912 432,547 10
93265 Beach Lib/Rec Ctr Renovations 490,000 770,873 40,000 810,873 40,235 684,074 86,565 11
93269 Light Replacement 1,501,676 1,501,676 1,501,676 1,410,314 91,363
93271 Swimming Pool R&R 354,400 354,400 354,400 233,553 499 120,348
93272 Bike Paths/Bridges 1,730,000 1,730,000 1,730,000 986,077 23,770 720,153
93273 Restrooms on Clwr Beach 600,000 588,000 588,000 0 588,000
93277 Harborview Infra Rep/lmpr 535,451 535,451 535,451 311,006 8,600 215,846
93278 Long Center Infra Repairs 317,000 318,708 318,708 249,686 69,022
93283 CIS Rec Ctr BB Crt Refurbishmt 70,000 70,000 70,000 53,792 16,208
93286 Pking Lot/Bike Pth Rsr/lmprv 386,943 386,943 386,943 256,173 130,771
93601 Lake Chat Equest & Nat Preser 6,000,000 6,000,000 6,000,000 4,392 5,995,608
93602 Sp Events Equip Rep & Replcmt 30,000 30,000 30,000 4,866 2,383 22,751
93603 Forklift 34,000 34,000 34,000 34,000
93604 Brdwlks & Docks Rep & Replcmt 50,000 50,000 50,000 382 49,618
93605 Ross Norton Park Improvemts 0 0 200,000 200,000 200,000 14
93607 P&R Cust Mgmt & Fac Sch Sys 0 0 60,000 60,000 60,000 15
Sub-Total 24,627,375 25,496,687 260,975 25,757,662 11,538,369 1,728,250 12,491,043
Item # 21
24
Attachment number 8
Page 3 of 6
CAPITAL IMPROVEMENT PROGRAM
PROGRAM & STATUS SUMMARY
MID YEAR: October 1, 2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/1/07 Prev Qtr Amdmts Budget To Date Encumbr Balance Status Ref
Marine Facilities
93402 Bayfront Promenade 1,047,007 1,047,007 1,047,007 246,760 800,246
93403 Beach Guard Facility Maint 30,000 30,000 30,000 13,373 16,627
93404 High & Dry Marina Feasibility Study 54,000 54,000 54,000 54,000 0 C
93405 Downtown Boat Slips 486,796 10,936,796 2,586,097 13,522,893 474,298 76,245 12,972,350 12
93407 Sailing Center Expansion 400,000 400,000 400,000 52,873 308,544 38,583
93408 Bch Rec Ctr Boat Ramp Rplcmnt 0 700,000 700,000 6,999 140,000 553,001
93413 Utilities/Svcs Replace 383,966 383,966 383,966 372,543 11,423
93429 Dock Replacement & Repair 324,040 324,040 324,040 299,922 24,117
93490 Fuel System R&R 134,792 134,792 134,792 51,502 256 83,035
93495 Dock Construction 39,750 39,750 39,750 16,408 23,342
93496 Marine Fac Dredg/Maint 541,781 541,781 541,781 511,037 236 30,508
93497 Docks & Seawalls 486,085 486,085 486,085 121,185 2,952 361,948
93499 Pier 60/Sailing Ctr Maint 135,313 135,313 135,313 122,155 13,158
Subtotal 4,063,530 15,213,530 2,586,097 17,799,627 2,343,054 528,233 14,928,341
Airpark
94817 Airpark Maint & Repair 70,000 70,000 70,000 61,497 2,037 6,466
94846 FBO Bldg Improvements 250,000 250,000 250,000 137,196 6,141 106,663
Sub Total 320,000 320,000 0 320,000 198,693 8,178 113,129
Libraries
93523 New Main Library 19,230,130 19,230,130 (333,015) 18,897,115 18,897,115 0 C 13
93527 Books & Other Lib Mat - II 3,369,191 3,369,191 3,369,191 2,755,124 (653) 614,720
Sub Total 22,599,321 22,599,321 (333,015) 22,266,306 21,652,239 (653) 614,720
Garage
94230 Fleet Asset Mgmt Sys 250,702 250,702 250,702 237,552 12,609 540
94232 Radio User Equip Replcmt 900,000 900,000 900,000 704,938 195,062
94233 Motorized Equip-Cash II 538,179 538,179 538,179 478,458 21,703 38,018
94234 Motorized Equip - LP II 16,307,641 16,307,641 16,307,641 13,251,333 1,622,786 1,433,523
94236 Radio Simulcast Upgrade 462,258 462,258 462,258 462,258 0
94237 Other Fire Vehicles 18,000 18,000 18,000 18,000
Sub-Total 18,476,780 18,476,780 0 18,476,780 15,134,540 1,657,098 1 ,685,143
Building Maintenance
94510 Air Cond Replace-City Wide 2,118,459 2,118,459 2,118,459 1,667,450 7,812 443,198
94512 Roof Repairs 587,635 587,635 587,635 444,755 142,879
94514 Roof Replacements 1,495,334 1,495,334 1,495,334 831,378 663,955
94517 Painting of Facilities 721,925 721,925 (97,545) 624,380 311,480 312,900 16
94518 Fencing of Facilities 196,698 196,698 196,698 120,268 3,500 72,931
94519 Flooring for Facilities 794,642 794,642 794,642 647,004 147,638
94521 Elevator Refurb/Modernization 220,000 220,000 220,000 220,000
94522 B&M Asset Mgmt Sys 130,886 130,886 130,886 123,691 5,561 1,634
94524 Long Ct Major Infrst Imprvmts 805,000 805,000 805,000 65,143 739,857
Sub-Total 7,070,579 7,070,579 (97,545) 6,973,034 4,211,169 16,872 2,744,993
General Public City Buildings & Equipment
94620 New City Hall 108,750 108,750 108750 164 108,586
94621 Fleet Maint Facility Expansion 1,183,077 1,183,077 1183077.16 1,041,534 141,543
94622 MSB/Lib Hurricane Protection 620,000 620,000 620000 598,679 5,122 16,200
94623 Public Comm Office Renovations 14,000 14,000 14000 10,962 3,038
Sub-Total 1 ,925,827 1 ,925,827 0 1 ,925,827 1,651,339 5,122 269,367
Item # 21
25
Attachment number 8
Page 4 of 6
CAPITAL IMPROVEMENT PROGRAM
PROGRAM & STATUS SUMMARY
MID YEAR: October 1, 2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/1/07 Prev Qtr Amdmts Budget To Date Encumbr Balance Status Ref
Miscellaneous
94714 Downtown Redevelopment 1,323,064 1,323,064 1,323,064 1,323,064 0
94729 City-wide Connect Infra 1,481,333 1,481,333 1,481,333 994,361 27,341 459,632
94736 Geographic Information 1,027,726 1,027,726 1,027,726 774,038 89,043 164,645
94761 Poll Stor Tank Rem/Repl-Gen 393,658 393,658 393,658 231,584 8,649 153,424
94765 IMR Development 1,342,517 1,342,517 1,342,517 1,342,517 0
94801 Tidemark Upgrade 802,623 802,623 802,623 494,228 7,900 300,495
94803 Envrnmntl Assmt & Clean-up 779,066 779,066 779,066 296,822 482,245
94809 Financial Sys Replacement 1,050,640 1,050,640 1,050,640 973,663 50,355 26,622
94814 Network Infra & Server Upgr 935,202 935,202 935,202 581,703 341,000 12,499
94820 HR Peoplesoft Upgrade 450,000 450,000 450,000 75,420 374,580
94824 IT Disaster Recovery 200,000 200,000 200,000 179,290 20,710
94827 Telecommunications Upgrade 154,000 154,000 154,000 154,000
94828 Financial Sys Upgrades 300,000 300,000 300,000 84,390 6,510 209,100
94829 CIS Upgrades / Replcmt 447,376 447,376 447,376 60,290 387,086
94830 MS Licensing / Upgrades 650,000 650,000 650,000 2,883 647,117
94831 Evaluation & Appraisal Rept 295,190 295,190 295,190 295,190 0 C
94833 Computer Monitors 320,000 320,000 320,000 258,288 61,712
94839 Roadway & Traffic Asset Mgt 100,000 100,000 100,000 100,000
94842 MSB Pkg Lot Resurf/lmprvmts 400,000 400,000 400,000 9,769 390,231
94850 Backfile Conversion of Records 500,000 500,000 500,000 33,782 466,218 0
Sub-Total 12,952,396 12,952,396 0 12,952,396 8,011,282 997,015 3,944,098
UTILITIES
Stormwater Utility
96124 Storm Pipe System Improv 9,317,461 9,289,989 9,289,989 5,753,223 402,194 3,134,573
96125 Prospect Lake Park 7,551,769 7,551,769 7,551,769 7,480,847 29,600 41,322
96129 Stev Ck Estuary Restor 8,356,327 8,356,327 8,356,327 2,051,080 6,305,247
96137 FDEP Compliance 1,008,000 1,008,000 1,008,000 112,423 21,478 874,099
96141 Kapok Flood Resolution 18,919,929 18,919,929 18,919,929 18,795,298 31,339 93,292
96144 Stevensen Crk Impl Projects 12,138,972 13,179,595 13,179,595 9,149,508 199,297 3,830,789
96149 Storm Sys Expansion 775,849 930,179 930,179 395,302 534,878
96150 Morningside/Meadows Drain 3,463 127 127 127 0 C
96152 Lake Bellevue Stormwater Imp 2,553,935 2,513,312 33,308 2,546,620 279,873 6,607 2,260,141 17
96154 Alligator Ck Implemt - II 8,729,110 8,729,110 8,729,110 1,097,349 116,401 7,515,360
96158 Transfer Yard Upgrade 640,000 640,000 640,000 100,131 16,336 523,533
96160 Coopers Point Observation Tower 323,470 61,206 61,206 61,206 0
96161 Coastal Basin Improvement 1,281,300 2,180,816 2,180,816 68,264 74,903 2,037,649
96162 Channel Improvements 717,220 0 0 0 C
96164 Allen's Creek Improvement Projects 1,281,300 1,281,300 1,281,300 1,281,300
96165 Exotic & Inv Species Control 200,000 200,000 200,000 199,813 188
Sub-Total 73,798,106 74,841,660 33,308 74,874,967 45,544,441 898,156 28,432,371
Water System
96721 System R & R-Maintenance 933,360 933,360 88,300 1,021,660 804,740 45,000 171,920 22
96739 Reclaimed Water Dist 45,744,326 46,520,307 43,180 46,563,487 36,796,286 722,277 9,044,925 23
96740 Water SupplylTreatment 5,442,034 5,442,034 5,442,034 4,200,517 116,458 1,125,059
96741 System R & R-Capitalized 9,460,404 9,460,404 9,460,404 7,108,396 778,850 1,573,159
96742 Line Relocation-Capitalized 11,548,137 11,548,137 (100,333) 11,447,804 5,576,345 13,015 5,858,444 24
96743 Mtr Bkflow Prev Dev/Chang 3,399,182 3,399,182 3,399,182 1,752,675 1,646,507
96744 System Expansion 2,249,673 2,249,673 2,249,673 1,199,030 1,050,643
96747 Rain Sensor Rebates 1,819 1,819 1,819 1,819 0
96750 Well Rehabilitation 1,354,379 1,354,379 1,354,379 965,014 76,321 313,045
96752 Water Service Lines 3,876,792 3,876,792 3,876,792 3,139,766 50,834 686,192
96757 Water Pick up Trucks 111,801 79,021 79,021 79,021 0
96758 Fluoride in Water System 289,780 289,780 289,780 83,596 20,725 185,459
96759 Water Main Ph 15-16-17 2,500,000 2,500,000 2,500,000 2,312,189 667 187,143
Item # 21
26
Attachment number 8
Page 5 of 6
CAPITAL IMPROVEMENT PROGRAM
PROGRAM & STATUS SUMMARY
MID YEAR: October 1, 2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/1/07 Prev Qtr Amdmts Budget To Date Encumbr Balance Status Ref
Water System (continued)
96760 Elevated Water Tanks Upgrade 2,958,600 2,958,600 2,958,600 2,138,038 32,789 787,773
96761 Telemetry for Wells 1,065,000 1,065,000 1,065,000 103,073 33,653 928,274
96763 Wellfield Expansion 3,977,310 3,977,310 3,977,310 252,223 439,126 3,285,961
96764 RO Plant Exp Res #1 1,335,040 1,335,040 1,335,040 338,037 657,683 339,320
96766 Water Quality Monitoring Devices 600,000 600,000 600,000 8,255 591,745
96767 RO Plant Exp Res #2 2,902,120 2,902,120 2,902,120 152,007 403,910 2,346,204
96768 Rebate Well, Lk, Pnd Irr Abandmt 100,000 100,000 100,000 1,920 98,080
96769 Trackhoe & Trailer 41,000 41,000 41,000 24,386 16,614
Sub-Total 99,890,758 100,633,959 31,147 100,665,107 67,012,946 3,415,694 30,236,466
Sewer System
96602 WWTP New Blending Tanks 400,000 0 0 0 C
96611 Bio-Solids Treatment 11,197,883 11,287,758 11,287,758 7,512,621 149,354 3,625,783
96613 NE Filter/Marshall Blow MCC 2,894,812 2,894,812 (38,122) 2,856,691 2,856,691 0 0 C 18
96615 Odor Control 714,746 714,746 714,746 557,335 141,853 15,558
96616 WPC Int Recycle Modifications 2,340,331 2,340,331 2,340,331 1,954,471 385,860
96619 WWTP Generator Replacements 3,118,331 3,118,331 3,118,331 1,392,100 41,808 1,684,423
96620 WWTP Headworks 4,835,000 6,230,052 38,122 6,268,174 332,219 6,064,433 -128,479 19
96621 WWTP New Presses 1,778,786 1,778,786 1,778,786 143,571 76,029 1,559,186
96622 WWTP Aeration Imp 2,982,000 2,982,000 2,982,000 297,213 35,371 2,649,416
96624 Liquid Disinfection 825,279 825,279 825,279 94,386 24,093 706,800
96630 Sanitary Sewer Ext 4,040,894 4,040,894 4,040,894 821,896 3,218,998
96634 San Util Reloc Accmmdtn 3,660,228 3,660,228 (88,445) 3,571,783 2,386,272 42 1,185,469 20
96645 Laboratory Upgrade & R&R 902,029 902,029 902,029 752,361 26,846 122,822
96654 Facilities Upgrade & Improv 2,180,517 2,180,517 2,180,517 1,649,077 531,440
96664 WPC R & R 9,908,398 10,177,913 10,177,913 9,013,825 269,572 894,516
96665 Sanitary Sewer R&R 24,327,540 24,327,540 9,245 24,336,785 14,087,668 1,573,188 8,675,929 21
96666 WWTP New Bypass & NE Pump 1,230,000 400,000 400,000 400,000
96670 Poll Stor Tk Remov-WPC 192,226 192,226 192,226 159,479 32,747
96685 WPC Master Plan Ph III 1,513,993 1,513,993 1,513,993 1,513,993 0 C
96686 Pump Station Replacement 13,854,814 13,854,814 13,854,814 9,506,771 1,546,323 2,801,720
Sub-Total 92,897,808 93,422,250 (79,200) 93,343,049 55,031,948 9,948,913 28,362,189
Gas System
96358 Environmental Remediation 1,936,936 1,936,936 1,936,936 809,964 114,194 1,012,777
96365 Line Relocation-Pinell Maint 2,216,089 1,551,089 1,551,089 327,895 1,223,194
96367 Gas Meter Change Out-Pin 1,030,000 1,030,000 1,030,000 110,640 919,360
96374 Line Relocation-Pin Capit 2,736,983 2,736,983 2,736,983 1,496,789 96,644 1,143,551
96376 Line Relocation - Pas Maint 430,000 430,000 430,000 8,006 421,994
96377 Pinellas New Main / Ser 11,478,613 10,978,613 10,978,613 9,184,656 1,793,958
96378 Pasco New Mains / Ser 12,141,782 9,141,782 9,141,782 6,843,368 38,190 2,260,224
96379 Pasco Gas Mtr Change Out 400,000 400,000 400,000 2,456 397,544
96381 Line Reloc-Pasco-Capital 455,000 455,000 455,000 954 454,046
96382 Gas Inventory - Work mgmt Sys 992,000 992,000 992,000 691,013 300,987
96384 Gas Building Renovation 574,800 574,675 574,675 126,336 4,570 443,769
96385 Gas Main Extensions 1,057,845 1,057,845 1,057,845 333,888 723,957
Sub-Total 35,450,048 31,284,923 0 31,284,923 19,935,965 253,599 11,095,359
Solid Waste
96426 Facility R & R 1,476,752 1,476,752 1,476,752 1,081,038 395,714
96438 Vehicle Acquisition 906,461 906,461 906,461 657,613 116,450 132,398
96440 Improvements to SW Complx 208,785 208,785 208,785 86,809 121,977
96442 SW Vehicle Replacement 1,029,769 1,029,769 1,029,769 544,815 484,954
96443 Res Container Acquisition-II 641,741 641,741 641,741 389,948 45,984 205,809
96444 Comm Container Acquisition-II 1,220,020 1,220,020 1,220,020 763,261 124,316 332,443
Sub-Total 5,483,527 5,483,527 0 5,483,527 3,523,483 286,750 1,673,295
Item # 21
27
Attachment number 8
Page 6 of 6
CAPITAL IMPROVEMENT PROGRAM
PROGRAM & STATUS SUMMARY
MID YEAR: October 1, 2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/1/07 Prev Qtr Amdmts Budget To Date Encumbr Balance Status Ref
Utility Miscellaneous
96516 Citywide Aerial Photo 189,666 189,666 189,666 149,533 40,134
96521 PW Infra Mgmt System 1,318,260 1,318,260 1,318,260 1,238,171 80,089
96523 Pub Utilities Adm Bldg R&R 235,054 235,054 235,054 164,272 8,078 62,704
Sub-Total 1,742,980 1,742,980 0 1,742,980 1,551,975 8,078 182,927
Recycling
96804 Recycling Carts/Dumpsters 671,925 671,925 671 ,925 349,898 18,000 304,027
96805 Recyc Expan/Prom/R&R 987,923 987,923 987,923 628,564 6,000 353,358
96806 Recycling Equip Replac 2,247,037 2,247,037 2,247,037 1,503,733 743,304
96807 Recycling Van Acquisition 151,000 151,000 151,000 146,600 4,400
Sub-Total 4,057,885 4,057,885 0 4,057,885 2,628,795 24,000 1,405,089
555,860,713 565,298,801 3,914,347 569,213,148 363,032,306 32,535,355 173,645,488
Item # 21
28
Amdmt
Number
Project
Number
Public Safety Programs
2
3
4
5
6
7
99273
99283
99299
99317
99329
99330
99331
Increase!
(Decrease)
Amount
286
901
5,370
46,156
119,860
Attachment number 9
Page 1 of 5
Special Program Fund
Mid-Year Budget Amendments
October 1, 2007 - March 31, 2008
Intrafund
Transfer
4,645
(300,000)
255,355
Amount Description
AmeriCorps Clearwater 2007 - To record a budget
transfer of $4,645.47 to provide matching funds from
project 181-99331 Special Law Enforcement Trust.
Justice Assistance Grant FY05 - 07 - Record a
$286.20 budget increase in interest earnings to match
budget revenues with actual revenues received.
Justice Assistance Grant - Record a $900.74 budget
increase in interest earnings to match budgeted
revenues with actual revenues received.
Police Education Fund - Record a $5,369.75 budget
increase in Police Education Fines to match budgeted
revenues with actual revenues received.
Investigative Recovery Costs - Record a $46,155.97
budget increase representing $45,798.67 in court
forfeiture fees and $357.50 in other general revenue to
match budgeted revenues with actual revenues
received. The $357.50 in other general revenue is
reimbursement by an attorney to reimburse the Police
Department for towing services and officer time to
examine evidence.
Florida Contraband Forfeiture Record a
$180,140.00 budget decrease representing
$119,860.00 in court forfeiture fees to match budget
revenues with actual revenues received offset by a
$300,000.00 budget and actual transfers to 181-99331
Special Law Enforcement Trust Fund. Of the
$300,000.00 transfer $100,000.00 will be used in the
Safe Neighborhood category, $100,000.00 in the
Technical Equipment category, and $100,000.00 in the
Matching fund for Federal Grants.
Special Law Enforcement Trust Record
$255,355.00 budget and actual transfers representing
a $300,000.00 transfer from 181-99330 Florida
Contraband Forfeiture offset by $4,645.47 transfer to
181-99273 AmeriCorps Clearwater 2007 to provide
match funding and $40,000.00 transfer to 181-99356
Safe Neighborhood Program.
29
Item # 21
Net Budget
Amendment
4,645
286
901
5,370
46,156
(180,140)
255,355
Amdmt
Number
8
9
10
11
Project
Number
99350
99356
99387
99947
Public Safety Program
Totals:
Increase!
(Decrease)
Amount
4,614
Community Development Programs
177,187
12
13
14
99454
99459
99460
Attachment number 9
Page 2 of 5
Special Program Fund
Mid-Year Budget Amendments
October 1, 2007 - March 31, 2008
Intrafund
Transfer
4,540
15,000
25,000
4,540
(100,000)
(11,741)
(522,612)
Amount Description
Vehicle Replacement Fund - Record $4,540.00
budget and actual transfers representing a transfer
from 181-99908 Outside Duty Program. These
transfers reflect an additional charge per each Outside
Duty job that requires a police vehicle. This fund has
been established to set aside money for the
replacement of vehicles for the Police Department's
Take Home Car Plan.
Safe Neighborhood Program - Record $15,000.00
budget and actual transfers representing $40,000.00
transfer from 181-99331 Special Law Enforcement
Trust offset by $25,000.00 transfer to 181-99947 Safe
Neighborhood TV Specialist.
Federal Forfeiture Sharing - Record a $4,614.36
budget increase in federal forfeiture revenue from the
Department of Justice to match budgeted revenues
with actual revenues received.
Safe Neighborhood TV Specialist Record
$25,000.00 budget and actual transfers from 181-
99356 Safe Neighborhood Program. This funding will
be utilized in community outreach with it's monthly
television program and internet capabilities to promote
a Safe Neighborhood.
Housing Rehab 2006 - To record a $100,000.16
Budget reduction from 2006 unused project funds
transferring to 181-99618 I nfill Housing 2008 to close
prior year HUD programs and roll balance forward to
fiscal 2008.
Public Services 2007 - To record a $11,741.04
Budget reduction from 2007 unused project funds,
transferring to 181-99618 Infill Housing 2008 to close
prior year HUD programs and roll balance forward to
current fiscal 2008. Budget Transfer
Public Facilities & Improvements 2007 - To record a
$522,611.84 Budget reduction representing unused
project funds transferred to 181-99618 Infill Housing
2008 to close prior year HUD programs and roll
balance forward to current fiscal 2008.
30
Item # 21
Net Budget
Amendment
4,540
15,000
4,614
25,000
181,727
(100,000)
(11,741)
(522,612)
Amdmt
Number
15
16
17
18
19
20
21
Project
Number
99461
99462
99463
99464
99465
99466
99617
Increase!
(Decrease)
Amount
Attachment number 9
Page 3 of 5
Special Program Fund
Mid-Year Budget Amendments
October 1, 2007 - March 31, 2008
Intrafund
Transfer
(188,721)
(295,668)
(253,369)
(27,990)
(123,681)
(310,801)
151,670
Amount Description
Economic Development 2007 - To record a
$188,720.52 Budget reduction from 2007 unused
project funds, transferring to 181-99618 Infill Housing
2008 to close prior year HUD programs and roll
balance forward to current fiscal 2008.
Housing Rehab 2007 - To record a $295,667.81
Budget reduction from 2007 unused project funds
transferring to 181-99618 Infill Housing 2008 to close
prior year HUD programs and roll balance forward to
current fiscal 2008.
Program Administration 2007 - To record a
$253,368.71 budget transfer to 181-99618 Infill
Housing 2008 to close prior year HUD programs and
roll balance forward to current fiscal 2008.
Fair Housing 2007 - To record a $27,989.64 budget
transfer to 181-99617 Relocation & Demolition 2008 to
close prior year HUD programs and roll balance
forward to current fiscal 2008.
Relocation & Demolition 2007 - To record a
$123,680.81 budget transfer to 181-99617 Relocation
& Demolition 2008 and to close prior year HUD
programs and roll balance forward to current fiscal
2008.
Infill Housing 2007 - To record a $310,801.33 budget
reduction representing budget transfer to 181-99618
Infill Housing 2008 to close prior year HUD programs
and roll balance forward to current fiscal 2008.
Relocation & Demolition 2008 - To record a
$151,670.45 budget increase representing budget
transfers of $123,680.81 from 181-99465 Relocation
& Demolition 2007 and $27,989.64 from 181-99464
Fair Housing 2007 to close prior year HUD programs
and roll balance forward to current fiscal 2008.
31
Item # 21
Net Budget
Amendment
(188,721)
(295,668)
(253,369)
(27,990)
(123,681)
(310,801)
151,670
Amdmt
Number
22
Project
Number
99618
Community Development:
Total:
Miscellaneous Programs:
23
24
25
26
27
28
99851
99871
99889
99898
99908
99910
Increase!
(Decrease)
Amount
283,897
1,230
108
366
140,165
29,761
Attachment number 9
Page 4 of 5
Special Program Fund
Mid-Year Budget Amendments
October 1, 2007 - March 31, 2008
Intrafund
Transfer
1,682,911
o
(4,540)
Amount Description
Infill Housing 2008 - To record $1,682,911.41 budget
increase representing budget transfers of $100,000.16
from 181-99454 Housing Rehab 2006, $522,611.84
from 181-99460 Public Facilities & Improvement 2007,
$188,720.52 from 181-99461 Economic Development
2007, $295,667.81 from 181-99462 Housing Rehab
2007, $253,368.71 from 181-99463 Program
Administration 2007, $310,801.33 from 181-99466 Infill
Housing 2007, and $11,741.04 from 181-99459 Public
Services 2007 to close prior year HUD programs and
roll balance forward to current fiscal 2008.
o
Special Events YR 07-08 - Record a $283,897.37
budget increase representing: $138,403.60 in sales,
$42,397.25 in sponsorships, $1,760.00 in
memberships registrations, $4,250.00 in donations,
and $97,086.52 in rentals to match budgeted revenues
with actual revenues received.
State Brownfield
$1,230.00 budget
match budgeted
received.
Redevelopment - Record a
increase in interest earnings to
revenues with actual revenues
Teen Club - Record a $107.50 budget increase in
donations to match budgeted revenues with actual
revenues received.
Fire Department Honor Guard - Record a $366.00
budget increase in donations to match budgeted
revenues with actual revenues received.
Police - Outside Duty - Record a $135,625.00 budget
increase representing $140,165.00 in contractual
services to match budgeted revenues with actual
revenues received offset by $4,540.00 budget and
actual transfers to 181-99350 Vehicle Replacement
Fund. The $4,540.00 will be used to fund replacement
Police vehicles.
Library Special Account - Record a $29,760.79
budget increase in donations to match budgeted
revenues with actual revenues received.
32
Item # 21
Net Budget
Amendment
1,682,911
o
283,897
1,230
108
366
135,625
29,761
Amdmt
Number
29
30
Project
Number
99962
99970
Miscellaneous Programs
Total:
Grand
Total:
Increase!
(Decrease)
Amount
3,948
2,256
461,731
638,917
Attachment number 9
Page 5 of 5
Special Program Fund
Mid-Year Budget Amendments
October 1, 2007 - March 31, 2008
Intrafund
Transfer
(4,540)
Amount Description
Parks & Recreation Specified & Gift Program -
Record a $3,947.84 budget increase in donations to
match budgeted revenues with actual revenues
received.
Tree Replacement Program - Record $2,256.00
budget increase in fines to match budgeted revenues
with actual revenues received.
o
33
Item # 21
Net Budget
Amendment
3,948
2,256
457,191
638,917
Attachment number 10
Page 1 of 2
SPECIAL PROGRAM STATUS SUMMARY
MID YEAR REVIEW: October 1,2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/01/2007 Prev Qtr Amdmt Budget To Date Encumbr Balance Status Ref
PLANNING PROGRAMS
99128 Countrywide Consistency Grant 45,050 45,050 0 45,050 33,910 0 11,140
99141 Historic District Evaluation 40,000 40,000 0 40,000 27,852 0 12,148
99142 Design Review 10,000 10,000 0 10,000 0 0 10,000
99143 Enclave Annexation 15,000 15,000 0 15,000 0 0 15,000
99144 Boos Development Mitigation 250,000 250,000 250,000 250,000
Sub-Total 360,050 360,050 0 360,050 61,762 0 298,288
PUBLIC SAFETY PROGRAMS
99269 AmeriCorps Clearwater 2008 0 194,242 0 194,242 41,301 2,500 150,441
99270 Red Light Running Project YR 2 0 32,225 0 32,225 29,617 2,500 108
99271 FY07 JAG Equipment Grant 103,971 103,971 0 103,971 30,850 72,736 385
99272 BZPP 2005 Grant 99,999 99,978 0 99,978 99,978 0 0 C
99273 Americorps Clearwater 2007 190,512 178,090 4,645 182,735 151,290 0 31,445
99274 Homeless Shelter 07 121,078 237,791 0 237,791 237,791 0 0
99275 Bulletproof Vest Partnership '06 14,268 14,268 0 14,268 5,432 0 8,836
99276 Red Light Running Project 52,000 49,993 0 49,993 49,993 0 0 C
99277 Clearwater Human Trafficking 450,000 450,000 0 450,000 105,752 0 344,248
99279 Police Recruitments 50,000 50,000 0 50,000 31,544 0 18,456
99280 Americorps Clearwater 2006 263,792 174,359 0 174,359 174,359 0 (0) C
99281 Fed Forfeitures - Treasury 120,760 126,811 0 126,811 20,871 0 105,940
99282 COPS Technology 2005 246,661 246,661 0 246,661 122,224 81,482 42,955
99283 Justice Assistance Grant FY05-07 105,437 106,326 286 106,612 95,643 3,990 6,979 2
99284 BeachWalk Police Aides 80,000 80,000 0 80,000 61,356 0 18,644
99286 COPS 2004 Technology 692,634 692,634 0 692,634 458,986 232,029 1,619
99289 Downtown Ambassadors 3,000 3,000 0 3,000 0 0 3,000
99290 Traffic Safety 1,841 1,841 0 1,841 1,277 0 564
99299 Justice Assistance Grant FY07-08 69,086 70,753 901 71,654 0 0 71,654 3
99310 K-9 Equipment 26,758 27,758 0 27,758 27,293 0 465
99316 Police Volunteers 100,500 101,000 0 101,000 83,334 0 17,666
99317 Police Education Fund 1,004,328 1,022,905 5,370 1,028,275.12 934,322 6,211 87,742 4
99325 Citizen's Police Academy 34,113 34,113 0 34,113 28,982 0 5,131
99329 Investigative Recovery Costs 1,522,560 1,591,384 46,156 1,637,540 1,014,171 26,826 596,543 5
99330 FL Contraband Forfeiture Fnd 712,108 943,024 (180,140) 762,884 501,384 2,300 259,200 6
99331 Law Enforcement Trust Fd 2,272,108 2,272,108 255,355 2,527,463 2,012,936 0 514,527 7
99332 Officer Friendly Program 149,230 149,230 0 149,230 141,288 28 7,914
99350 Vehicle Replacement Fund 77,510 86,970 4,540 91,510 0 0 91,510 8
99353 DUI Education Program 3,000 3,000 0 3,000 1,420 0 1,580
99356 Safe Neighborhood Program 231,645 231,645 15,000 246,645 188,379 0 58,266 9
99363 DUI Equipment Fund 19,000 19,000 0 19,000 18,889 0 111
99364 Crime Prevention Program 22,620 23,095 0 23,095 15,250 0 7,845
99387 Federal Forfeiture Sharing 638,226 719,855 4,614 724,469 374,682 0 349,787 10
99947 Safe Neighborhood TV Specialist 533,648 533,648 25,000 558,648 501,962 150 56,536 11
Sub-Total 10,012,393 10,671,679 181,727 10,853,406 7,562,556 430,752 2,860,097
COMMUNITY DEVELOPMENT
99414 Public Fac & Imprvmts 2004 768,562 768,562 0 768,562 768,562 0 0
99421 Housing Consulting Service 115,000 115,000 0 115,000 49,134 0 65,866
99424 Public Fac & Imprvmts 2005 249,400 249,400 0 249,400 249,400 0 0 C
99425 Public Svces 2005 155,322 155,322 0 155,322 155,323 0 0 C
99451 PublicServices 2006 161,997 161,997 0 161,997 161,997 0 0
99452 Public Facilities 2006 303,750 303,750 0 303,750 303,750 0 0 C
99453 Economic Development 2006 37,017 37,017 0 37,017 37,017 0 0 C
99454 Housing Rehab 2006 201,318 201,318 (100,000) 101,318 101,318 0 0 12
99455 Program Administration 2006 195,026 195,026 0 195,026 195,026 0 0 C
99456 Fair Housing 2006 14,868 14,868 0 14,868 14,868 0 0
99457 Relocation/Demolition 6,000 6,000 0 6,000 6,000 0 0
99458 I nfill Housing 2006 214,458 214,458 0 214,458 214,458 0 0 C
99459 Public Services 2007 189,162 189,162 (11,741) 177,421 161,396 16,025 0 13
99460 Public Facilities 2007 613,837 613,838 (522,612) 91,225 82,826 8,400 0 14
99461 Economic Development 2007 215,975 215,975 (188,721) 27,254 27,254 0 0 C 15
99462 Housing Rehab 2007 409,837 409,837 (295,668) 114,169 65,012 0 49,158 16
99463 Program Administration 2007 420,084 420,084 (253,369) 166,715 166,715 0 0 17
99464 Fair Housing 2007 43,284 43,284 (27,990) 15,294 15,294 0 0 18
99465 Reloc/Demolition 2007 140,889 140,889 (123,681) 17,209 17,209 0 0 19
99466 I nfill Housing 2007 356,535 356,535 (310,801) 45,734 12,772 0 32,962 20
34 Item # 21
Attachment number 10
Page 2 of 2
SPECIAL PROGRAM STATUS SUMMARY
MID YEAR REVIEW: October 1,2007 to March 31, 2008
Actual Expenditures
Budget Amended Revised Project Open Available Amend
Description 10/01/2007 Prev Qtr Amdmt Budget To Date Encumbr Balance Status Ref
99611 Public Services 2008 135,107 135,107 0 135,107 30,438 104,669 0
99612 Public Facilities 2008 173,660 173,660 0 173,660 122 123,660 49,878
99613 Economic Development 28,000 28,000 0 28,000 14,405 0 13,595
99614 Housing Rehab 2008 270,776 270,776 0 270,776 82,041 0 188,735
99615 Program Administration 2008 177,691 177,691 0 177,691 90,342 0 87,349
99616 Fair Housing 2008 27,319 27,319 0 27,319 14,355 12,965 0
99617 Relocation/Demolition '08 40,000 40,000 151,670 191,670 4,080 0 187,590 21
99618 I nfill Housing 2008 112,500 112,500 1,682,911 1,795,411 1,861 0 1,793,550 22
Sub-Total 5,777,375 5,777,375 0 5,777,375 3,042,974 265,719 2,468,685
SOCIAL SERVICES
99538 Affordable Housing Imp Fees 551,061 551,061 0 551,061 132,236 0 418,825
99562 HUD Special Education 30,000 30,000 0 30,000 26,200 0 3,800
Sub-Total 581,061 581,061 0 581,061 158,436 0 422,625
MARINE
99704 Sembler Mitigation Project 586,992 611,195 0 611,195 113,148 22,620 475,428
99707 Beach Guard Donations 63,913 68,093 0 68,093 50,176 0 17,917
Sub-Total 650,905 679,289 0 679,289 163,324 22,620 493,345
MISCELLANEOUS PROGRAMS
99802 Brownfield Revolving Loan 1,200,000 1,200,000 0 1,200,000 147,517 7,632 1,044,851
99804 City Manager's Flexibility Fund 771,238 771,238 0 771,238 536,287 6,450 228,501
99822 JWB-Norton Teen 2001 210,314 246,602 0 246,602 228,175 0 18,427
99834 Neighborhood Svces Grants 150,000 150,000 0 150,000 108,616 0 41,384
99835 JWB Programmer N. Greenwood 163,464 205,367 0 205,367 184,609 0 20,758
99837 Federal EPA Assessment 400,000 400,000 0 400,000 400,000 0 0
99843 Mgt Training Initiatives 721,547 721,547 0 721,547 409,706 0 311,841
99844 United Way 6,080 6,080 0 6,080 3,536 0 2,544
99845 Assistance to Firefighters Grant Prgm 418,925 325,364 0 325,364 325,364 0 0 C
99846 Economic Development - QTI 72,360 72,360 0 72,360 29,116 0 43,244
99847 JWB - Wood Valley Teens 100,746 136,272 0 136,272 115,643 0 20,629
99850 Performing Art Center 300,000 300,000 0 300,000 300,000 0 0 C
99851 Special Events FY07-08 1,268,526 1,845,835 283,897 2,129,732 1,906,712 40,020 183,000 23
99852 JWB - N. Greenwood Camp 2007 100,993 90,269 0 90,269 90,269 0 0 C
99853 JWB - Ross Norton Camp 2007 48,441 33,569 0 33,569 33,669 0 (100) C
99854 Brownfield EPA Assessment 0 400,000 0 400,000 25,941 35,403 338,656
99870 Drive Cam Driver 15,000 15,000 0 15,000 14,900 95 5
99871 State Brownfields Redevelopment Acct 151,249 153,625 1,230 154,855 54,132 1,895 98,828 24
99877 Building Code Enforcement Surplus 482,818 482,818 0 482,818 0 0 482,818
99879 Youth Engagement Initiatives 1,000 1,000 0 1,000 1,000 0 0
99885 Clearwater Auto Site 350,000 350,000 0 350,000 350,000 0 0
99889 Teen Club 2,111 2,782 108 2,889 1,395 0 1,494 25
99890 Cultural Art Fund 13,081 13,081 0 13,081 0 0 13,081
99898 Fire Dept Honor Guard 8,645 9,675 366 10,041 8,690 0 1,351 26
99899 GASB 34 Implementation 238,000 238,000 0 238,000 62,338 20,000 155,662
99908 Police - Outside Duty 3,656,278 3,863,950 135,625 3,999,575 4,062,405 0 (62,831) 27
99910 Library Special Account 521,766 532,685 29,761 562,446 446,794 5,415 110,237 28
99925 Peg Access Support 779,761 779,761 0 779,761 684,645 0 95,116
99927 Emergency Operation 4,125,098 4,125,098 0 4,125,098 2,679,644 73,598 1,371,856
99928 Nagano Sister City Program 72,329 72,329 0 72,329 68,615 0 3,714
99950 IDB Fees 54,131 54,131 0 54,131 32,830 0 21,301
99962 Parks & Rec Gift Giving Pgm 1,319,604 1,329,233 3,948 1,333,181 1,321,944 0 11,237 29
99966 I ntegrated Disability Mgmt Assmnt & I mpl 80,000 80,000 0 80,000 40,000 0 40,000
99970 Tree Replacement Project 792,172 826,355 2,256 828,611 577,408 870 250,333 30
99982 EMS Incentive/Recognition 45,175 48,400 0 48,400 36,791 0 11,609
99983 Local Mitigation Strategy 50,000 50,000 0 50,000 45,744 0 4,256
99995 Water Conservation Devices 100,000 100,000 0 100,000 87,369 0 12,631
99997 Main Library Field Trust 115,571 115,571 0 115,571 0 0 115,571
99998 Safety Village 26,166 26,166 0 26,166 21,716 0 4,450
Sub-Total 18,932,590 20,174,162 457,191 20,631,353 15,443,520 191,378 4,996,455
TOTAL ALL PROJECTS 36,314,374 38,243,617 638,917 38,882,534 26,432,572 910,469 11,539,496
35
Item # 21
Revenues
Infrastructure Sales Tax Revenue
Allocation of Undesignated Reserves
Expend itu res
Transfer to Capital Improvement Fund
Attachment number 11
Page 1 of 1
City of Clearwater
SPEC~LDEVELOPMENTFUND
Mid Year Amendments
FY 2007!08
Increase!
(Decrease) Description
(800,000)
The amendment reflects a decrease in Sales Tax
Revenue with the slowing economy. This category will
be reviewed for possible further amendment at third
quarter.
Mid Year amendments reflect the transfer of
$2,000,000 of undesignated retained earnings of the
Special Development Fund to capital improvement
project 315-93405, Downtown Boat Slips, to reduce the
borrowing requirements for the project. This transfer
was approved by the City Council on April 17, 2008.
Net Revenue Amendments
$2,000,000
$ 1,200,000
Mid Year amendments reflect the transfer of
$2,000,000 of undesignated retained earnings of the
Special Development Fund to capital improvement
project 315-93405, Downtown Boat Slips, to reduce the
borrowing requirements for the project. This transfer
2,000,000 was approved by the City Council on April 17, 2008.
$ 2,000,000 Net Expenditure Amendments
36 Item # 21
SPECIAL REVENUE FUNDS
Mid Year: October 1, 2007 - March 31, 2008
Original
Budget
2007!08
Attachment number 12
Page 1 of 2
First Quarter Mid Year
Amended Budget Amended Budget
2007!08 2007!08 Amendments
SPECIAL DEVELOPMENT FUND
Revenues:
Ad Valorem Taxes
Infrastructure Tax
Interest Earnings
Open Space Fees
Recreation Facility Impact Fees
Recreation Land Impact Fees
Transportation Impact
Local Option Gas Tax
Allocation of Designated Reserves
Allocation of Undesignated Reserves
Transfer-In from Capital Improvement Plan
2,820,720
11,365,000
600,000
200,000
50,000
405,000
308,700
1,522,560
895,000
o
o
18,166,980
2,820,720
11,365,000
600,000
200,000
50,000
405,000
308,700
1,522,560
895,000
o
o
18,166,980
2,820,720
10,565,000
600,000
200,000
50,000
405,000
308,700
1,522,560
895,000
2,000,000
o
19,366,980
(800,000)
2,000,000
1,200,000
Expenditu res:
Transfer to Capital Improvement Fund
Road Millage
I nfrastructu re Tax
Transportation I mpact fees
Open Space I mpact fees
Recreation Land Impact fees
Local Option Gas Tax
Undesignated Retained Earnings
Debt Service on Penny for Pinellas Bonds
2,820,720
3,350,000
290,000
750,000
750,000
1,100,000
o
6,873,030
15,933,750
2,820,720
3,950,000
320,750
750,000
750,000
1,100,000
o
6,873,030
16,564,500
2,820,720
3,950,000
320,750
750,000
750,000
1,100,000
2,000,000
6,873,030
18,564,500
2,000,000
2,000,000
37
Item # 21
Attachment number 12
Page 2 of 2
SPECIAL REVENUE FUNDS
Mid Year: October 1, 2007 - March 31, 2008
Original First Quarter Mid Year
Budget Amended Budget Amended Budget
2007/08 2007/08 2007/08 Amendments
SPECIAL PROGRAM FUND
Revenues:
CDBG/Home Funds 1,703,410 1,703,410 1,703,410 0
Interest Earnings 300,000 302,417 304,834 2,417
Grant Funds 0 0 0 0
Police Fines and Court Proceeds 0 172,529 350,427 177,898
Donations 0 38,432 76,864 38,432
Sales 0 138,404 276,807 138,404
Rentals 0 97,087 194,173 97,087
Sponsorships 0 42,397 84,795 42,397
Me mbershi ps/R egistrations 0 1,760 3,520 1,760
Contractual Services 0 140,165 280,330 140,165
Miscellaneous 0 0 358 358
Transfers from General Fund
United Way Program 1,500 1,500 1,500 0
Sister City Program 3,000 3,000 3,000 0
City Manager's Flexibility Fund 100,000 100,000 100,000 0
Neighborhood Grants 25,000 25,000 25,000 0
2,132,910 2,766,100 3,405,018 638,917
Expenditu res:
CDBG/Home Funds 1,703,410 1,703,410 1,703,410
Public Safety 0 5,370 322,722 317,352
Marine 0 0 0 0
Parks & Recreation 0 0 0 0
Special Events 0 283,897 283,897
Sister City Program 3,000 3,000 3,000 0
United Way Program Fund 1,500 1,500 1,500 0
City Manager's Flexibility Fund 100,000 100,000 100,000 0
Neighborhood Grants 25,000 25,000 25,000 0
Other Miscellaneous Programs 0 358 38,026 37,668
1,832,910 1,838,638 2,477,555 638,917
LOCAL HOUSING ASSISTANCE TRUST FUND
Revenues:
SHIP Funds
Expenditu res:
SHIP Program
1,195,250
1,195,250
1,195,250
1,195,250
1,195,250
1,195,250
1,195,250
1,195,250
1,195,250
o
38
Item # 21
Attachment number 13
Page 1 of 2
City of Clearwater, Florida
ADMINISTRA TIVE CHANGE ORDERS
Mid Year Review
FY 2007 / 08
In accordance with City of Cleanvater Code Section 2.564(2), the City Manager may approve and execute change orders
without City Council approval within certain limitations.
The following change order have been administratively approved since the last report to the Council based on the code
specified criteria:
3/10/08
3/17/08
3/31/08
4/7/08
4/22/08
1. Increases do not exceed 10% over Council approved amount on a cumulative basis.
2. Change does not change the scope of a project.
3. Price increases do not require additional appropriation to the project.
4. Contract price decreases may be approved without limitation.
5. The time for completion may not be extended by more than sixty (60) days, in anyone change or
cumulatively for the same project.
*****
Administrative Change Order #1 - Northeast APCF Secondary Digester
Cleaning Project (06-0057-UT). This is an overrun of the digester cleaning line
due to the actual existing tank contents being significantly greater than what was
estimated. Contingency will be used to cover $30,000 of the overrun. This CO
will cover the remaining overage.
American Process Group
12,941.91
Administrative Change Order #3 and Final - 2007 Street Resurfacing (07-0011-
EN). Council approved change Order #1 on 10/17/07. Change Order #2 was
approved by the City Manager on 1/15/08. This change order is necessary to
increase / add items as necessary to provide payment to the contractor for
additional work within the scope of the project and to adjust bid items for final
over and under- runs to close-out the project.
RE Purcell Construction, Inc.
16,459.42
Administrative Change Order #2 & Final - Joe DiMaggio Sports Complex
Demolition ofField House (07-0035-PR). Change Order #1 was approved 9/6/07.
This change order is for closeout purposes only, reducing the contingency by the
unused amount.
Sonny Glasbrenner, Inc.
(7,774.50)
Administrative Change Order #1 - 2007 Sidewalk Project (07-0023-EN). This is
for the purpose of decreasing unused items and adding an additional necessary
item. This change order does not increase or decrease the original contract
amount. This change order adds no additional time to the contract.
Southwest Contracting, Inc.
00.00
Administrative Change Order #2 & Final - Countryside Little League Restroom /
Concession Building (07-0016-PR). This change order adds forty-two (42)
additional days to the contract.
Grosz & Stamper Construction Company, Inc.
00.00
39
Item # 21
4/23/08
5/15/08
City of Clearwater, Florida
ADMINISTRA TIVE CHANGE ORDERS
Mid Year Review
FY 2007 / 08
Administrative Change Order #1 and Final- City Nursery Maintenance Building
(07-0018-PR). This change order is for closeout purposes only, adding two items
and reducing the contingency.
Cairns Corporation
Administrative Change Order #2 and Final- Pier 60 Storage Building (07-0033-
EN). This change order is for contract closeout purposes.
Caladesi Construction Co.
40
Attachment number 13
Page 2 of 2
(6,193.82)
00.00
Item # 21
Attachment number 14
Page 1 of 1
ORDINANCE NO. 7979-08
AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA,
AMENDING THE OPERATING BUDGET FOR THE FISCAL
YEAR ENDING SEPTEMBER 30, 2008 TO REFLECT
INCREASES AND DECREASES IN REVENUES AND
EXPENDITURES FOR THE GENERAL FUND, SPECIAL
DEVELOPMENT FUND, SPECIAL PROGRAM FUND, WATER
AND SEWER FUND, STORMWATER UTILITY FUND, GAS
FUND, SOLID WASTE FUND, RECYCLING FUND, AIRPARK
FUND, PARKING FUND, AND CENTRAL INSURANCE FUND,
AS PROVIDED HEREIN; PROVIDING AN EFFECTIVE DATE.
WHEREAS, the budget for the fiscal year ending September 30, 2008, for operating
purposes, including debt service, was adopted by Ordinance No. 7866-07; and
WHEREAS, at the Mid Year Review it was found that increases and decreases are
necessary in the total amount of $979,392 for revenues and $1,714,212 for expenditures; and
WHEREAS, a summary of the amended revenues and expenditures is attached
hereto and marked Exhibit A; and
WHEREAS, Section 2.519 of the Clearwater Code authorizes the City Council to
provide for the expenditure of money for proper purposes not contained in the budget as
originally adopted due to unforeseen circumstances or emergencies arising during the fiscal
year; now, therefore,
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF
CLEARWATER, FLORIDA:
Section 1. Section 1 of Ordinance No. 7866-07 is amended to read:
Pursuant to the Amended City Manager's Annual Report and Estimate for the
fiscal year beginning October 1, 2007 and ending September 30, 2008 a copy
of which is on file with the City Clerk, the City Council hereby adopts .an
amended budget for the operation of the City, a copy of which is attached
hereto as Exhibit A.
Section 2. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
PASSED ON SECOND AND FINAL
READING AND ADOPTED
Frank Hibbard, Mayor
Approved as to form:
Attest:
Pamela K. Akin, City Attorney
Cynthia E. Goudeau, City Clerk
Item # 21
41
Ordinance No. 7979-08
Attachment number 15
Page 1 of 2
EXHIBIT A
2007-08 BUDGET REVENUE
First
Quarter Mid Year
Original Amended Amended
Budget Budget Budget
2007/08 2007/08 2007/08 Amendments
General Fund:
Property Taxes 47,273,940 47,273,940 47,273,940
Franchise Fees 9,833,640 9,833,640 9,833,640
Utility Taxes 11,928,390 11,928,390 11,928,390
Licenses, Permits & Fees 4,492,580 4,492,580 4,492,580
Sales Tax 6,564,320 6,197,530 6,197,530
Communications Services Tax 7,045,750 7,045,750 7,045,750
Intergovernmental Revenues 11,809,270 12,472,210 12,472,210
Charges for Current Services 3,763,800 3,799,950 3,869,800 69,850
Fines & Forfeitures 955,000 955,000 955,000
Interest Income 1,263,950 1,263,950 1,263,950
Miscellaneous 1,053,710 1,503,710 1,803,710 300,000
Interfund Charges / Transfers In 17,193,280 17,220,388 17,220,388
Transfer from Surplus 0 623,485 499,645 (123,840)
Total, General Fund 123,177 ,630 124,610,522 124,856,532 246,010
Special Revenue Funds:
Special Development Fund 18,166,980 18,166,980 18,805,897 638,917
Special Program Fund 2,132,910 4,062,152 5,262,152 1,200,000
Local Housing Asst Trust Fund 1,195,250 1,195,250 1,195,250
Utility & other Enterprise Funds:
Water & Sewer Fund 59,930,170 59,930,170 56,730,170 (3,200,000)
Stormwater Utility Fund 14,436,690 14,499,680 14,532,988 33,308
Solid Waste Fund 18,153,900 18,153,900 18,060,600 (93,300)
Gas Fund 50,656,650 53,123,570 52,144,160 (979,410)
Recycling Fund 2,834,930 3,044,260 3,334,260 290,000
Marine (and Aviation) Fund 4,823,730 4,702,910 4,702,910
Airpark Fund 0 233,000 235,070 2,070
Parking Fund 4,102,130 4,342,130 4,447,830 105,700
Harborview Center Fund 704,360 704,360 704,360
Internal Service Funds:
Administrative Services Fund 10,200,730 10,200,730 10,200,730
General Services Fund 5,236,710 5,236,710 5,236,710
Garage Fund 13,293,770 13,293,770 13,293,770
Central Insurance Fund 21,306,060 21,690,338 24,426,435 2,736,097
Total, All Funds 350,352,600 357,190,432 358,169,824 979,392
Ordinance #7979-08
42
Item # 21
Attachment number 15
Page 2 of 2
EXHIBIT A (Continued)
2007-08 BUDGET EXPENDITURES
First
Quarter Mid Year
Original Amended Amended
Budget Budget Budget
2007/08 2007/08 2007/08 Amendments
General Fund:
City Council 295,920 295,920 295,920
City Manager's Office 1,268,700 1,268,700 1,178,700 (90,000)
City Attorney's Office 1,676,820 1,676,820 1,676,820
City Audit 162,870 172,870 172,870
Development & Neighborhood Svcs 4,295,940 4,395,940 4,395,940
Economic Development & Housing SVI 1,436,710 1,436,710 1,436,710
Engineering 7,028,070 7,028,070 7,028,070
Equity Services 338,200 338,200 338,200
Finance 2,265,190 2,255,190 2,255,190
Fire 21,423,410 21,423,410 21,423,410
Human Resources 1,231,480 1,231,480 1,231,480
Library 6,433,700 6,433,700 6,433,700
Marine & Aviation 1,221,490 1,221,490 1,261,490 40,000
Non-Departmental 6,394,690 7,691,432 7,791,432 100,000
Office of Management & Budget 305,160 305,160 305,160
Official Records & Legislative Svcs 1,255,700 1,255,700 1,255,700
Parks & Recreation 21,888,050 22,023,510 22,101,520 78,010
Planning 1,414,750 1,414,750 1,414,750
Police 36,970,730 36,970,730 37,088,730 118,000
Public Communications 1,098,590 1,098,590 1,098,590
Public Services 3,684,770 3,585,460 3,585,460
Allocation to Reserve 1,086,690 1,086,690 1,086,690
Total, General Fund 123,177 ,630 124,610,522 124,856,532 246,010
Special Revenue Funds:
Special Development Fund 15,933,750 16,564,500 17,203,417 638,917
Special Program Fund 1,832,910 3,762,152 5,762,152 2,000,000
Local Housing Asst Trust Fund 1,195,250 1,195,250 1,195,250
Utility & other Enterprise Funds:
Water & Sewer Fund 59,930,170 59,930,170 56,730,170 (3,200,000)
Stormwater Utility Fund 14,436,690 14,499,680 14,532,988 33,308
Solid Waste Fund 18,068,320 18,068,320 17,975,000 (93,320)
Gas Fund 45,896,470 47,777,980 46,782,550 (995,430)
Recycling Fund 2,834,930 3,017,740 3,307,440 289,700
Marine (and Aviation) Fund 4,774,180 4,522,040 4,522,040
Airpark Fund 0 232,540 235,070 2,530
Parking Fund 3,804,260 3,952,580 4,008,980 56,400
Harborview Center Fund 704,360 704,360 704,360
Internal Service Funds:
Administrative Services Fund 10,197,640 10,197,640 10,197,640
General Services Fund 5,235,590 5,235,590 5,235,590
Garage Fund 13,293,770 13,293,770 13,293,770
Central Insurance Fund 19,986,040 20,370,318 23,106,415 2,736,097
Total, All Funds 341,301,960 347,935,152 349,649,364 1,714,212
Ordinance #7979-08
43 Item # 21
Attachment number 16
Page 1 of 1
ORDINANCE NO. 7980-08
AN ORDINANCE OF THE CITY OF CLEARWATER,
FLORIDA, AMENDING THE CAPITAL IMPROVEMENT
BUDGET FOR THE FISCAL YEAR ENDING SEPTEMBER
30, 2008, TO REFLECT A NET INCREASE OF $3,914,347
PROVIDING AN EFFECTIVE DATE.
WHEREAS, the Capital Improvement Budget for the fiscal year ending
September 30,2008 was adopted by Ordinance No. 7867-07; and
WHEREAS, Section 2.519 of the Clearwater Code authorizes the City Council
to provide for the expenditure of money for proper purposes not contained in the budget
as originally adopted due to unforeseen circumstances or emergencies arising during the
fiscal year; now, therefore,
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY
OF CLEARWATER, FLORIDA;
Section 1. Section 1 of Ordinance No. 7867-07 is amended to read:
Pursuant to the Mid Year Amended Capital Improvement Program
Report and Estimated Budget for the fiscal year beginning October 1,
2007 and ending September 30, 2008, a copy of which is on file with the
City Clerk, the City Council hereby adopts a Mid Year Amended budget
for the capital improvement fund for the City of Clearwater, a copy of
which is attached hereto as Exhibit A.
Section 2. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
PASSED ON SECOND AND FINAL
READING AND ADOPTED
Frank Hibbard
Mayor
Approved as to form:
Attest:
Pamela K. Akin
City Attorney
Cynthia E. Goudeau
City Clerk
44
Item # 21
Ordinance #7980-08
Attachment number 17
Page 1 of 2
EXHIBIT A
CAPITAL IMPROVEMENT PROGRAM FOR FISCAL YEAR 2007/08
First Qtr Mid Year
Original Amended Amended
Budget Budget Budget
2007/08 2007/08 2007/08 Amendments
Police Protection 250,000 (555,302) (555,302)
Fire Protection 451,000 458,000 458,000
Major Street Maintenance 3,775,720 3,730,165 3,974,164 243,999
Sidewalks and Bike Trail 0 161,015 1,429,596 1,268,581
Intersections 435,000 385,824 385,824
Parking 300,000 267,230 267,230
Miscellaneous Engineering 35,000 73,250 73,250
Land Acquisition 0 (759) (759)
Park Development 10,155,410 11,024,722 11,285,697 260,975
Marine Facilities 160,000 11,310,000 13,896,097 2,586,097
Airpark Facilities 10,000 10,000 10,000
Libraries 706,290 706,290 373,275 (333,015)
Garage 2,840,500 2,840,500 2,840,500
Maintenance of Buildings 998,000 998,000 900,455 (97,545)
Miscellaneous 909,000 909,000 909,000
Stormwater Utility 5,511,300 6,554,854 6,588,162 33,308
Gas System 6,168,830 2,003,705 2,003,705
Solid Waste 160,000 160,000 160,000
Utilities Miscellaneous 44,000 44,000 44,000
Sewer System 12,347,280 12,871,722 12,792,522 (79,200)
Water System 10,971,460 11,714,662 11,745,809 31,147
Recycling 140,000 140,000 140,000
TOTAL 56,368,790 65,806,878 69,721,225 3,914,347
GENERAL SOURCES:
General Operating Revenue 2,072,330 3,131,859 2,958,844 (173,015)
General Revenue/County Co-op 706,290 706,290 706,290
Road Millage 2,820,720 2,820,720 2,820,720
Penny for Pine lias 3,350,000 3,950,000 3,950,000
Transportation Impact Fee 290,000 320,750 320,750
Development Impact Fee 0 0 0
Local Option Gas Tax 1,100,000 1,100,000 1,100,000
Recreation Land Impact Fee 750,000 750,000 750,000
Open Space Impact Fee 750,000 750,000 750,000
Special Development Fund 0 0 2,000,000 2,000,000
Special Program Fund 30,000 30,000 30,000
Grants - Other Agencies 4,700,000 4,672,115 6,040,696 1,368,581
Sales of Surplus Revenue 0 1,087 2,062 975
Donation Revenue 0 (67,775) (67,775)
Other Governmental Units 0 1,399,824 1,399,824
Other Contributions 0 0 49,400 Ite~9i~
45 Ordinance # 7980-08
Attachment number 17
Page 2 of 2
EXHIBIT A
CAPITAL IMPROVEMENT PROGRAM FOR FISCAL YEAR 2007/08
First Qtr Mid Year
Original Amended Amended
Budget Budget Budget
2007/08 2007/08 2007/08 Amendments
SELF SUPPORTING FUNDS:
Marine/Aviation Revenue 50,000 50,000 50,000
Parking Revenue 303,000 303,000 303,000
Harborview Revenue 118,910 118,910 118,910
Utility System:
Water Revenue 1,978,500 1,978,500 1,978,500
Sewer Revenue 15,800 15,800 15,800
Water Impact Fees 250,000 250,000 250,000
Sewer Impact Fees 1,044,600 1,044,600 1,044,600
Utility R&R 2,706,060 2,706,060 2,706,060
Stormwater Utility Revenue 2,609,570 2,672,560 2,705,868 33,308
Gas Revenue 5,945,000 1,780,000 1,780,000
Grants - Other Agencies 0 980,564 1,029,566 49,001
INTERNAL SERVICE FUNDS:
Garage Revenue 179,000 179,000 179,000
Administrative Services Revenue 500,000 500,000 500,000
Central Insurance Revenue 0 0 2,736,097 2,736,097
BORROWING - GENERAL SOURCES:
Lease Purchase - General Fund 383,000 (420,215) (420,215)
Lease Purchase - Special Events Revenue 34,000 34,000 34,000
BORROWING - SELF SUPPORTING FUNDS:
Lease Purchase - Water 73,780 41,000 41,000
Lease Purchase - Solid Waste 160,000 160,000 160,000
Lease Purchase - Recycling 140,000 140,000 140,000
Bond Issues - Water & Sewer 17,303,000 17,303,000 17,303,000
Bond Issue - Stormwater 2,907,730 2,907,730 2,907,730
Bond Issue - Marine 0 10,400,000 8,250,000 (2,150,000)
BORROWING - INTERNAL SERVICE FUNDS:
Lease Purchase - Garage 2,758,500 2,758,500 2,758,500
Lease Purchase - Administrative Services 339,000 339,000 339,000
TOTAL ALL FUNDING SOURCES: 56,368,790 65,806,878 69,721,226 3,914,347
Item # 21
46
Ordinance # 7980-08
Attachment number 18
Page 1 of 2
UTILITY FUNDS
MID YEAR REVIEW
For the Six Month Period of October 1, 2007 to March 31, 2008
2007/08 2007/08
1 Qtr Amended Mid-Year Mid-Year Budget Proposed MY Amended
Budget Projection Actual Variance % Amendment Budget
WA TER & SEWER FUND
Water & Sewer Fund Revenues
Operating Revenue 53,688,950 26,844,474 25,032,968 (1,811,506) -7% (1,750,000) 51,938,950
Non-Operating Revenue 3,419,610 1,709,808 813,460 (896,348) -52% (225,000) 3,194,610
Contributions 220,310 110,154 169,189 59,035 54% 0 220,310
Transfers In 0 0 0 0
Use of Fund Equity 2,601,300 0 0 0 (1,225,000) 1,376,300
Total Revenues 59,930,170 28,664,436 26,015,617 (2,648,819) -9% (3,200,000) 56,730,170
Water & Sewer Fund Expenditures
Public Utilities Administration 766,710 394,509 346,130 48,379 12% 0 766,710
Wastewater Collection 6,574,780 3,916,357 3,679,119 237,238 6% 0 6,574,780
WPC/Plant Operations 13,039,670 6,658,785 6,188,744 470,041 7% 0 13,039,670
WPC/Laboratory Operations 1,287,360 665,559 644,218 21,341 3% 0 1,287,360
WPC/lndustrial Pretreatment 620,230 324,996 290,725 34,271 11% 0 620,230
Water Distribution 9,591,180 6,004,301 5,758,586 245,715 4% (5,717) 9,585,463
Water Supply 12,285,810 6,174,645 5,710,542 464,103 8% 0 12,285,810
Reclaimed Water 1,609,130 841 ,572 784,323 57,249 7% 5,717 1,614,847
Non-Departmental 14,155,300 7,077,648 5,483,039 1,594,609 23% (3,200,000) 10,955,300
Total Expenditures 59,930,170 32,058,372 28,885,427 3,172,945 10% (3,200,000) 56,730,170
STORMWATER FUND
Stormwater Utility Revenues
Operating Revenues 12,477,410 6,238,704 6,249,892 11,188 0% 0 12,477,410
Non-Operating Revenues 711,500 355,746 235,269 (120,477) -34% 0 711,500
Transfers In 0 0 0 0
Use of Fund Equity 1,310,770 0 0 0 33,308 1,344,078
Total Revenues 14,499,680 6,594,450 6,485,161 (109,289) -2% 33,308 14,532,988
Stormwater Utility Expenditures
Stormwater Management 5,926,620 2,987,934 2,303,082 684,852 23% 0 5,926,620
Stormwater Maintenance 8,573,060 5,712,976 5,493,735 219,241 4% 33,308 8,606,368
Total Expenditures 14,499,680 8,700,910 7,796,817 904,093 10% 33,308 14,532,988
GAS FUND
Gas Fund Revenue
Operating Revenues 45,963,180 22,303,240 21,061,809 (1,241,431) -6% (864,410) 45,098,770
Non-Operating Revenues 939,050 515,984 504,506 (11,478) -2% 0 939,050
Transfers In 4,165,000 4,165,000 4,165,000 0 0% 0 4,165,000
Capitalized Labor 450,000 225,060 83,713 (141,347) -63% (115,000) 335,000
Use of Fund Equity 1,606,340 0 0 0 0 1,606,340
Total Revenues 53,123,570 27,209,284 25,815,028 (1,394,256) -5% (979,410) 52,144,160
Gas Fund Expenditures
Administration & Supply 32,788,050 17,582,932 16,908,983 673,949 4% (867,070) 31,920,980
South Area Gas Operations 5,970,490 4,004,760 4,122,909 (118,149) -3% 111,040 6,081,530
North Area Gas Operations 6,245,040 5,056,633 4,873,362 183,271 4% (195,180) 6,049,860
Marketing & Sales 2,774,400 1,409,497 1,369,520 39,977 3% (44,220) 2,730,180
Total Expenditures 47,777,980 28,053,822 27,274,775 779,047 3% (995,430) 46,782,550
9
Item # 21
Attachment number 18
Page 2 of 2
UTILITY FUNDS
MID YEAR REVIEW
For the Six Month Period of October 1, 2007 to March 31, 2008
2007/08 2007/08
1 Qtr Amended Mid-Year Mid-Year Budget Proposed MY Amended
Budget Projection Actual Variance % Amendment Budget
SOLID WASTE FUND
Solid Waste Revenues
Operating Revenues 17,334,000 8,667,000 8,724,688 57,688 1% (93,000) 17,241,000
Non-Operating Revenues 578,880 289,430 462,265 172,835 60% (300) 578,580
Transfers In 241,020 120,510 120,510 0 0% 0 241,020
Use of Fund Equity 0 0 0 0
Total Revenues 18,153,900 9,076,940 9,307,463 230,523 3% (93,300) 18,060,600
Solid Waste Expenditures
Collection 14,783,730 7,578,683 7,089,706 488,977 6% (118,470) 14,665,260
Transfer 1,503,430 782,287 682,202 100,085 13% 2,520 1,505,950
Container Maintenance 756,190 395,916 378,339 17,577 4% (600) 755,590
Administration 1,024,970 527,421 521,665 5,756 1% 23,230 1,048,200
Total Expenditures 18,068,320 9,284,307 8,671,912 612,395 7% (93,320) 17,975,000
RECYCLING FUND
Recycling Revenues
Operating Revenues 2,910,830 1,560,355 1,838,442 278,087 18% 290,000 3,200,830
Non-Operating Revenues 133,430 66,715 112,216 45,501 68% 0 133,430
Total Revenues 3,044,260 1,627,070 1,950,658 323,588 20% 290,000 3,334,260
Recycling Expenditures
Residential 1,078,040 576,997 543,020 33,977 6% 3,060 1,081,100
Multi-Family 533,740 276,785 269,042 7,743 3% 1,640 535,380
Commercial 1,405,960 791,645 842,382 (50,737) -6% 285,000 1,690,960
Total Expenditures 3,017,740 1,645,427 1,654,444 (9,017) -1% 289,700 3,307,440
10
Item # 21
Attachment number 19
Page 1 of 2
ENTERPRISE FUNDS
MID YEAR REVIEW
For The Six Month Period of October 1, 2007 - March 31, 2008
2007108 2007/08
1 Qtr Amended Mid-Year Mid-Year Budget Proposed MY Amended
Budget Projection Actual Variance % Amendment Budget
MARINE FUND
Marine Fund Revenues
Operating Revenues 4,533,560 2,020,660 1,946,016 (74,644) -4% 4,533,560
Non-Operating Revenues 169,350 84,674 79,039 (5,635) -7% 169,350
Transfers In
Use of Fund Equity
Total Revenues 4,702,910 2,105,334 2,025,055 (80,279) -4% 4,702,910
Marine Fund Expenditures
Marina Operations 4,522,040 2,313,071 2,166,874 146,197 6% 4,522,040
Airpark Operations
Total Expenditures 4,522,040 2,313,071 2,166,874 146,197 6% 4,522,040
AIRPARK FUND
Airpark Fund Revenues
Operating Revenues 212,000 106,002 108,090 2,088 2% 2,070 214,070
Non-Operating Revenues 21,000 10,500 5,338 (5,162) -49% 21,000
Transfers In
Use of Fund Equity
Total Revenues 233,000 116,502 113,428 (3,074) -3% 2,070 235,070
Airpark Fund Expenditures
Airpark Operations 232,540 113,227 123,906 (10,679) -9% 2,530 235,070
Total Expenditures 232,540 113,227 123,906 (10,679) -9% 2,530 235,070
PARKING FUND
Parking Fund Revenues
Operating Revenues 3,730,460 1,662,380 1,693,303 30,923 2% 105,700 3,836,160
Non-Operating Revenues 611,670 305,836 403,103 97,267 32% 611,670
Transfers In
Total Revenues 4,342,130 1,968,216 2,096,406 128,190 7% 105,700 4,447,830
Parking Fund Expenditures
Public Wks/Parking System 3,102,580 1,795,792 1,561,797 233,995 13% 56,400 3,158,980
Public Wks/Parking Enforcement 850,000 436,598 257,537 179,061 41% 850,000
Total Expenditures 3,952,580 2,232,390 1,819,334 413,056 19% 56,400 4,008,980
12
Item # 21
Attachment number 19
Page 2 of 2
ENTERPRISE FUNDS
MID YEAR REVIEW
For The Six Month Period of October 1, 2007 - March 31, 2008
2007108 2007/08
1 Qtr Amended Mid-Year Mid-Year Budget Proposed MY Amended
Budget Projection Actual Variance % Amendment Budget
HARBORVIEW FUND
Harborview Center Fund Revenues
Operating Revenues 234,800 94,902 94,141 (761) -1% 234,800
Non-operating Revenues 127,320 63,660 139,113 75,453 119% 127,320
Transfers In 342,240 342,240 342,240 0% 342,240
Total Revenues 704,360 500,802 575,494 74,692 15% 704,360
Harborview Center Fund Expenditures
Harborview Center Operations 704,360 411,638 585,432 (173,794) -42% 704,360
Total Expenditures 704,360 411,638 585,432 (173,794) -42% 704,360
13
Item # 21
Attachment number 20
Page 1 of 3
Mid Year Budget Review
Fiscal 2007-08
City Manager's Transmittal
Memorandum
TO: Mayor and City Council
FROM: Bill Home, City Manager
COPIES: Jill Silverboard, Assistant City Manager
Rod Irwin, Assistant City Manager
Department Directors
SUBJECT: Mid Year Budget Review - Amended City Manager's Annual Budget Report
DATE: June 4,2008
Attached is the Mid Year Budget Review in accordance with the City Code of Ordinances.
The report is based on six months of activity (October, 2007 through March, 2008) in this fiscal year. The
report comments on major variances, as well as documents all proposed amendments.
Significant Fund amendments are outlined below:
General Fund
General Fund revenues and expenditure amendments reflect a net increase of $ 246,010.
The General Fund expenditure budget increase includes increases of $29,850 in Parks and Recreation and
$40,000 for Pier 60, all of which are offset by additional revenues for these programs. In addition, an
increase of $100,000 to the General Fund reflects the transfer to the Capital Improvement Fund for the Ross
Norton Park Improvement project, which is essentially paid from proceeds from the Stormwater Fund to the
General Fund as a reimbursement for lost park land.
In addition, an appropriation of General Fund reserves is necessary in the amount of $48,160 for the payout
of retirement leave for two long term employees in the Parks and Recreation Department, and $28,000 is
allocated from retained earnings to partially offset the cost of the John Brown settlement in the Police
Department.
General Fund Reserves - In order to ensure adequate reserves, the City Council's policy reflects that General
Fund unappropriated retained earnings of 8.5% of the City's budgeted General Fund expenditures must be
maintained as a reserve to guard against future emergencies.
With the closing of the year-end 2007 books, and the allocation of reserves noted above, estimated General
Fund reserves at mid year are approximately $24 million, or 19.6% of the current year's General
Fund budget, exceeding our reserve policy by $13.7 million.
Item # 21
Attachment number 20
Page 2 of 3
Mid Year Budget Review
Fiscal 2007-08
City Manager's Transmittal
Significant amendments to other City Operating Funds are noted follows.
Water and Sewer Fund
Mid year amendments in the Water and Sewer operating budget reflect a decrease of $3.2 million in debt
service costs with the delay in the issuance of revenue bonds from fiscal year '08 to '09.
Stormwater Fund
At mid year, the Stormwater operating budget reflects an increase of $33,308 of Stormwater retained
earnings representing excess cash in the debt service funds representing interest earnings in the bond
construction funds for the last six months, and the related transfer of these funds to the capital
improvement project for the Lake Bellevue Stormwater Improvements.
Gas Fund
Budget amendments to the Gas Fund reflect a budget decrease of approximately $995,430 primarily for
the reduction of fuel purchases due to the warm winter and a reduction in a number of line items due to
slowing construction.
Solid Waste Fund
The Solid Waste Department reflects a net budget decrease of $93,320 at mid year, with the primary
decrease a reduction in anticipated dump fee charges.
Recvclin2: Fund
Mid year expenditure amendments in the Recycling Fund reflect an increase of $289,700, primarily from
an increase in the cost of inventory for resale due to higher than budgeted market prices. Revenues from
recyclable sales more than offset the increase in budgeted expenditures.
Airpark Fund
Mid year amendments reflect a small line item increase to recognize the annual debt on the loan for the
construction of the new hangars approved by the City Council on April 3, 2008
Parkin2: Fund
Budgeted expenditures in the Parking Fund at mid year reflect a proposed increase of $56,400 to reflect
the annual cost of the Salt Block #57 lot for the current fiscal year, and related offsetting revenues.
Central Insurance Fund
At mid year, the Central Insurance Fund operating expenditures reflect the allocation of Central Insurance
Fund reserves in the amount of $2,736,097 to project 315-93405, Downtown Boat Slips, advancing $1.5
million to the CRA and $1,236,097 representing grant funding all of which will be reimbursed to the
Central Insurance Fund over a three year period for the CRA, and upon receipt of the grant.
Item # 21
Attachment number 20
Page 3 of 3
Mid Year Budget Review
Fiscal 2007-08
City Manager's Transmittal
Capital Improvement Fund
Mid year amendments to the Capital Improvement Fund reflect an increase of$3,914,347, primarily due a
net increase of $2,586,097 in the Downtown Boat Slip project and the recognition of an FDOT grant in
the amount of $1,268,581 for the Beach Connector Trail. A list of capital improvement project budget
increases that have been previously approved by the City Council is included on page 17 of this report.
Project budget increases not previously approved by the Council are also summarized on page 17. The
largest of these proposed increases is an increase of $60,000 recognizing the transfer of savings from the
Parks and Recreation operating budget to fund a project to replace the customer management and facilities
scheduling system.
Special Development Fund
The Special Development Fund reflects the allocation of $2 million of unrestricted retained earnings to
the Downtown Boat Slip project to reduce the borrowing requirements on the project as approved by the
City Council on April 17, 2008.
Special Pro2ram Fund
The Special Program Fund reflects a net budget increase of $638,917 at mid-year. Significant
amendments reflect more than $283,000 for the special events and sponsorships programs in the last three
months, $178,000 from police fines and court proceeds to support public safety programs and $140,000 in
revenues for police outside duty contractual services.
Item # 21
Attachment number 21
Page 1 of 2
MID YEAR REVIEW
AMENDED CITY MANAGER'S FISCAL YEAR 2007-08 REPORT
PAGE #
General Fund Operating Budget................................................................................................................... 3
Utility Funds Operating Budget..................................................................................................................... 7
Other Enterprise Funds Operating Budgets .............................................................................................. 11
Internal Service Funds Operating Budgets.................................................................................................14
Capital Improvement Program Budget .......................................................................................................17
Special Program Fund Budget.................................................................................................................... 29
Special Development Funds....................................................................................................................... 36
Administrative Change Orders.................................................................................................................... 39
Ordinances...................................................................................................................... ............................41
Midyear budgets were projected in the following manner:
All department expenditure budgets have been established on a month-to-month basis so that projects
identified in the report are not simply time percentages applied to annual budgets but rather department
director's judgment of month-to-month expenditures. This technique was also used for revenue projections.
The actual and projected data contained in this review represents six months, October 1, 2007 through
March 31, 2008. The adjustments, however, represent all data available at the time of the report, including
action taken by the City Council after March 31, 2008.
Definitions associated with the operating funds information is presented as follows:
Definitions:
Original Budget
The budget as adopted by the City Council on September 20, 2007.
Mid Year Projections
Monthly budgets submitted by departments are based on prior year
experience and unique circumstances.
Mid Year Actual
Self-explanatory.
Variance
Difference between Mid Year projected and Mid Year actual.
Variance %
% of variance to Mid Year projection.
Adjustments
Adjustments that have been approved by the City Council, made at the
Manager's discretion, and/or adjustments proposed based on Mid Year
review.
Amended Budget
Adding the Original Budget and Adjustments.
Amended Budget %
Percentage change of amended budget to original budget.
Item # 21
Attachment number 21
Page 2 of 2
Capital Improvement Projects
The amended 2007/08 Capital Improvement Projects budget report is submitted for the City Council review.
This review provides the opportunity to analyze the status of all active projects and present formal
amendments to the project budget.
The Capital Improvement and Special Program funds information is presented as follows:
Definitions:
Budget
The budget as of October 1,2007, which includes budgets from prior years,
which have not been completed.
Amendment
Amendments which have been approved by the City Council, made at the
Manager's discretion, and/or adjustments proposed as a result of the Mid
Year review.
Revised Budget
Adding columns one and two.
Expenditure
Self-explanatory.
Encumbrance
Outstanding contract or purchase order commitment.
Available Balance
Difference between revised budget and expenditure plus encumbrance.
Status
C - project is completed
Amend Ref
Reference number for description of amendment.
2
Item # 21
Increase/
(Decrease)
Attachment number 22
Page 1 of 1
City of Clearwater
General Fund Expenditures
Mid Year Amendments
FY 2007/08
Description
City Manaqer's Office
(90,000)
The budget amendment reflect the savings in the
Emergency Operations program with the elimination of the
Emergency Manager position and the shift of these duties
to the Fire Department.
Marine & Aviation
40,000
The budget amendment reflects an increase of
$40,000 to inventory purchases for resale at Pier 60. This
increased cost is offset by sales revenue which is higher
than originally anticipated.
Parks & Recreation
78,010
The mid year budget amendments reflect the following
amendments: 1) an increase of $12,850 as a result of
property taxes on the Brighthouse Networks Field that
were higher than anticipated, and 2) a budget increase of
$17,000 reflects additional costs related to the
Morningside Recreation Center summer camp. Both of
these increases are offset by additional revenues from the
Phillies and camp user fees. 3) A third amendment
reflects an increase of $48,160 reflecting the payout of
retirement leave for two long-term employees. This will be
offset by the appropriation of General Fund reserves per
Council policy. 4) A final amendment reflect the budget
transfer of $60,000 of savings in the Parks and Recreation
operating budget to establish a capital improvement
project, 315-93607, P & R Customer Management &
Facilities Scheduling System, to provide funding to replace
the current system. The net impact to the operating
budget for this item is $0.
Police
118,000
The mid year budget amendment reflect the unbudgeted
impact of the John Brown settlement resulting in two years
back pay for this individual. Funding for this cost will be
partially offset by savings in the City Manager's office of
$90,000 and the balance of $28,000 will be funded with
the allocation of General Fund retained earnings.
Non-Departmental
Net General Fund
100,000
246,010
1) A transfer of $100,000 of General Fund revenues,
representing the proceeds from the Stormwater
reimbursement for lost park land, is transferred to project
315-93605, Ross Norton Park Improvements, as
approved by the Council on April 3, 2008.
5
Item # 21
Attachment number 23
Page 1 of 1
GENERAL FUND
MID YEAR REVIEW
For Six Month Period of October 1, 2007- March 31, 2008
2007/08 2007/08
1 Qtr Amended Mid-Year Mid-Year Budget Proposed MY Amended
Budget Projection Actual Variance % Amendment Budget
GENERAL FUND
General Fund Revenues
Property Taxes 47,273,940 41,200,000 40,996,942 (203,058) 0% 0 47,273,940
Franchise Fees 9,833,640 3,908,800 3,683,090 (225,710) -6% 0 9,833,640
Utility Taxes 11,928,390 4,934,162 4,770,510 (163,652) -3% 0 11 ,928,390
Licenses, Permits & Fees 4,492,580 1 ,923,748 1,822,294 (101,454) -5% 0 4,492,580
Intergovernmental
Sales Tax 6,197,530 1,961,605 2,447,968 486,363 25% 0 6,197,530
Communications Services Tax 7,045,750 2,356,000 2,617,369 261,369 11% 0 7,045,750
Other Intergovernmental 12,472,210 5,727,900 5,559,344 (168,556) -3% 0 12,472,210
Charges for Services 3,799,950 1,543,541 1,693,830 150,289 10% 69,850 3,869,800
Fines & Forfeitures 955,000 477,504 387,065 (90,439) -19% 0 955,000
Interest Income 1,263,950 631,976 986,448 354,472 56% 0 1 ,263,950
Miscellaneous Revenues 1,503,710 855,461 1,064,163 208,702 24% 300,000 1,803,710
Interfund Charges / Transfers In 17,220,388 8,623,736 8,710,811 87,075 1% 0 17,220,388
Operating Revenues 123,987,038 74,144,433 74,739,834 595,401 1% 369,850 124,356,888
Transfer (to) from Surplus 623,484 0 0 0 (123,840) 499,644
Total Revenues 124,610,522 74,144,433 74,739,834 595,401 1% 246,010 124,856,532
General Fund Expenditures
City Council 295,920 152,139 145,506 6,633 4% 0 295,920
City Manager's Office 1,268,700 697,111 553,926 143,185 21% (90,000) 1,178,700
City Attorney's Office 1,676,820 856,115 688,708 167,407 20% 0 1,676,820
City Auditor's Office 172,870 91,442 92,500 (1,058) -1% 0 172,870
Development & Neighborhood Svcs 4,395,940 2,403,262 2,384,690 18,572 1% 0 4,395,940
Economic Development & Housing 1,436,710 744,287 755,438 (11,151) -1% 0 1,436,710
Engineering 7,028,070 3,796,386 3,453,808 342,578 9% 0 7,028,070
Equity Services 338,200 171,751 154,327 17,424 10% 0 338,200
Finance 2,255,190 1,199,967 1,117,230 82,737 7% 0 2,255,190
Fire 21,423,410 11,865,689 11,146,665 719,024 6% 0 21,423,410
Human Resources 1,231,480 646,824 541,448 105,376 16% 0 1,231,480
Library 6,433,700 3,708,335 3,622,379 85,956 2% 0 6,433,700
Marine & Aviation 1,221,490 637,682 564,963 72,719 11% 40,000 1,261,490
Non-Departmental 7,691,432 5,491,760 5,173,252 318,509 6% 100,000 7,791,432
Office of Management & Budget 305,160 166,224 147,207 19,017 11% 0 305,160
Official Records & Legislative Svcs 1,255,700 660,222 601 ,954 58,268 9% 0 1 ,255,700
Parks & Recreation 22,023,510 11,959,817 11,158,874 800,943 7% 78,010 22,101,520
Planning 1,414,750 757,789 691 ,875 65,914 9% 0 1,414,750
Police 36,970,730 19,996,253 20,311,971 (315,718) -2% 118,000 37,088,730
Public Communications 1,098,590 573,727 538,935 34,792 6% 0 1,098,590
Public Services 3,585,460 1,851,324 1,800,278 51,046 3% 0 3,585,460
Allocation to GF Reserve 1,086,690 0 0 0 0 1,086,690
Total Expenditures 124,610,522 68,428,106 65,645,931 2,782,176 4% 246,010 124,856,532
6
Item # 21
Marina Fund
Revenues:
Expenditures:
Attachment number 24
Page 1 of 1
City of Clearwater
Other Enterprise Funds
Mid Year Amendments
FY 2007/08
Increase/
(Decrease)
Description
Anticipated revenues of the Marine Fund exceed
anticipated expenditures by $ 180,870 at mid year FY
2007/08.
No budget amendments are proposed at mid year.
No budget amendments are proposed at mid year.
Airpark Fund
Revenues:
Expenditures:
Anticipated revenues of the Airpark Fund equal
anticipated expenditures at mid year FY 2007/08.
2,070
Mid year revenue amendments reflect an increase in
anticipated operating revenues of $2,070 offsetting the
increase in debt payments on the new hangars
approved by the City Council on April 3, 2008.
Mid year expenditure amendments reflect a line item
increase in debt service to fund interest earnings on the
loan from the Central Insurance Fund for the
construction of a new multi plane hangar approved by
the City Council on April 3, 2008.
2,530
ParkinQ Fund
Revenues:
Expenditures:
At mid year, anticipated revenues of the Parkin!:! Fund
exceed anticipated expenditures by $438,850 for FY
2007/08.
105,700
Mid year amendments reflect the expected revenues
of $105,700 from the Salt Block #57 lot approved by the
City Council on April 3, 2008. These revenues and
related costs were not included in the adopted '08
budget.
Mid year expenditure amendments reflect the annual
rental cost of $56,400 for the Salt Block lot approved by
the City Council on April 3, 2008. All costs are offset by
related parking revenues.
56,400
Harborview Fund
Revenues:
Expenditures:
At mid year, anticipated revenues of the Harborview
Fund equal anticipated expenditures for FY 2007/08.
No budget amendments are proposed at mid year.
No budget amendments are proposed at mid year.
11
Item # 21
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve amending Purchase Order (STl04168) to Wannemacher Russell Architects, Inc. of St. Petersburg, Florida in the amount
of $175,185, for a total of $275,185, to complete the design and permitting of the Carpenter Complex Clubhouse Renovations and
approve establishing a new CIP (315-93606) in the amount of $3 million to be funded from General Fund retained earnings.
SUMMARY:
The four field Carpenter Complex was originally developed in partnership with the Philadelphia Phillies over 40 years ago to
be the main spring training facility for the Phillies. Their spring games were played at Jack Russell Stadium but the majority of the
team work was done at Carpenter.
In the early 1990's the City made some much needed renovations to the clubhouse in order to accommodate the needs of the
Phillies.
Since that time, the City, Pinellas County, State and Phillies have invested heavily into the Bright House Networks Field and
committed to a long term agreement with the City. The Phillies have year round baseball operations at the Carpenter Complex and
as such, have severely outgrown the existing spaces.
Due to the increase in use of the facilities and growth in the number of players and coaches utilizing the Carpenter Clubhouse
there is a need to increase the size and provide for modernization of the clubhouse to bring it to current major league standards.
Staff is recommending this renovation project totaling $3,500,000 with the City funding the first $3,000,000. In addition, the
Phillies will assume the year round ballfield and custodial maintenance of the facility as well as be responsible for traffic and
public safety during spring training beginning in FY 2010. Total annual savings to the general fund budget will be $219,330 for
the remainder of the lease period with the Phillies, which is 15 years. The present value of that savings over the 15 years using a
4% discount rate is $2.4 million.
An amendment to the existing Carpenter Complex agreement will be forthcoming with the Phillies to reflect all of the
changes and modifications needed to support this agenda item.
Major elements of this project will be to enlarge the coaches locker room, restrooms, meeting rooms; provide larger and
enhanced kitchen and feeding facilities, new office areas, storage facilities, a second floor totaling 5,650 square feet in size to
house additional offices, conference room, rest room and observation areas.
A purchase order to Wannemacher Russell Architects, Inc. in the amount of $100,000 was approved by staff for the
conceptual drawings and 30% design drawings. The additional amendment to the P.O. of $175,185 is needed to complete the
contract, which will include 60%, 90% and 100% design and specifications, cost estimates, civil engineering, permitting, threshold
inspection, bidding and project management. The City will provide landscape and irrigation plans as well as handle miscellaneous
construction related costs like geotechnical services, permit fees, public art fee etc. for a total estimated budget of $3,500,000.
The project design schedule calls for the design, permitting, bidding and award of contract to be completed during calendar
year 2008 with the construction commencing May 2009 to be ready for spring 2010.
There will be no increase in operating budgets and staffing levels due to the fact that the Phillies will pay for all of these
costs.
Type:
Current Year Budget?:
Capital expenditure
No
Budget Adjustment:
None
Budget Adjustment Comments:
Current Year Cost:
Not to Exceed:
For Fiscal Year:
$3,000,000
$3,000,000
2007 to 2008
Annual Operating Cost:
Total Cost:
Cover Memo
Appropriation Code
315-93606
Amount
$3,000,000
Appropriation Comment
General Fund retained earnings.
Item # 22
Bid Required?:
Other Bid / Contract:
Review Approval: 1) Clerk
No
Bid Number:
Bid Exceptions:
None
Cover Memo
Item # 22
Attachment number 1
Page 1 of 2
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Item # 22
Attachment number 1
Page 2 of 2
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Item # 22
Attachment number 2
Page 1 of 1
Term Sheet
1. The purpose of this term sheet is to advise the Clearwater City Council of the
negotiation to amend the existing Baseball Training Facility Lease Agreement
(Agreement) between the Philadelphia Phillies ("Phillies") and the City of
Clearwater ("City") to establish a joint project providing for expansion and
renovation of the Carpenter Complex Baseball Training Facility (Facility) and to
revise terms of the Agreement relating to responsibilities for annual operating
expenses of the Facility.
2. The Project shall be comprised of the expansion of the main building at the
Carpenter Complex, with the parties agreeing as follows:
a. The architect's probable construction cost estimate for the Project is $3.3
million, to include all Project costs.
b. The City shall provide an amount not to exceed $3 million for the design and
capital construction of this Project.
c. The City shall establish a Capital Improvement Project (CIP (315-93606) for
the sole use of the funds for the Project and retain any interest earned for
the Project.
d. All interest earned for the Project shall accrue to the benefit of the Phillies
and apply to any costs the Phillies incure above and beyond the City's $3
million funding commitment for design and capital construction.
d. The Phillies shall pay all FF&E costs budgeted at $110,000.
e. The Phillies shall be responsible for all design and capital construction
Project costs in excess of the City's Project funding commitment of $3
million.
f. The Phillies shall be responsible for the following operating expenses
currently provided by the City, on or before a Certificate of Occupancy is
secured for the Project:
(1) All field maintenance within all field fencing on the four-field complex.
Work to include, but not be limited to, mowing, edging and clay
preparation.
(2) Will assume all custodial maintenance and "light" house maintenance
within the entire complex.
(3) To be responsible for procuring all traffic control officers during spring
training games.
1
Item # 22
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Approve the term sheet establishing the basis for negotiations for possible City acqusition of 5.7 acres owned by Clearwater
Country Club Management, Inc. and amendment of the current Lease Agreement between the City and CCC.
SUMMARY:
The City of Clearwater and Clearwater Country Club Management, Inc. (CCC) currently have a Lease Agreement for CCC to
operate the City's public golf course located at 525 Betty Lane North, which will expire April 30, 2032.
CCC currently owns 5.7 acres, including parking and the clubhouse, which is surrounded by the City's golf course which CCC
operates on behalf of the City.
This term sheet establishes a basis for the negotiations for the City to purchase the 5.7 acres including all improvements and to
amend the existing Lease Agreement between the City and CCc.
The approval of the term sheet will not bind the City as the sale and purchase agreement and lease amendment will come back to
the Council at a future date.
The basic components of the term sheet are as follows:
. The City to purchase the 5.7 acre clubhouse parcel for approximately $2,025,000 and satisfy certain membership obligation
notes of $110,000.
. Annual lease payment to the City of $200,000.
. Establishment of a $50,000 CIP, administered by the City at its sole discretion.
. The City will procure turf maintenance supplies for use at the golf course and be reimbursed.
Implementation of these two agreements will bundle all assets of the course under one ownership and provide increased savings to
the overall operation.
If approved, funding for the purchase and satisfying the obligation notes may come from General Fund retained earnings.
Review Approval: 1) Clerk
Cover Memo
Item # 23
Attachment number 1
Page 1 of 2
Term Sheet
1. The purpose of this term sheet is to establish a basis for the negotiation and consideration of
a sale and purchase agreement for certain property owned by Clearwater Country Club
Management, Inc. ("CCC") totally approximately 5.7 acres ("Clubhouse Parcel"), which is
adjacent to the City-owned golf course known as the Clearwater Country Club, and to negotiate
an amendment to the existing Lease Agreement between CCC and the City of Clearwater
("City") for the occupation and management of both properties by CCC.
2. Regarding the City purchasing and leasing back the 5.7 acres to CCC, the parties agree as
follows:
a. The City shall purchase the 5.7 acres:
(1) The City will purchase the Clubhouse Parcel (in fee simple along with all
improvements existing thereon) from CCC for approximately $2,025,000.
b. As further consideration for the Clubhouse Parcel, the City shall purchase all
outstanding membership notes:
(1) The City will satisfy certain outstanding obligations under previously
issued membership notes, estimated value of $110,000 at the time of the
execution of this agreement.
c. Amendment to existing agreement:
(1) The parties will amend the Lease Agreement to add the Clubhouse
Parcel to the Golf Course parcel ("Expanded Golf Course Parcel"). All
terms of the Lease shall remain in full force and effect as to the Expanded
Golf Course Parcel except as otherwise revised below. Said revised
terms shall also apply to the Expanded Parcel and supersede existing
terms in conflict.
d. Insurance:
(1) The City will self-insure the Clubhouse Parcel as it does other City-owned
buildings. All other insurance would remain the responsibility of CCC as
provided for in the Lease, as amended.
e. Rent:
(1) The Club agrees to pay the City annual rent of $200,000 per year, paid in
advance, quarterly on the first day of each quarter.
f. Capital Improvement Program:
(1) Schedule of Capital Expenditures. CCC shall annually, during the month
of February, provide to the City a six (6) year forecasted schedule of
capital improvements necessary at the facility and requiring a capital
1
Item # 23
Attachment number 1
Page 2 of 2
expenditure (as defined below), for the purpose of allowing the City to
consider for inclusion in the City's Capital Expenditure Schedule, such
projects in its budget for the ensuing year, in the City's sole discretion,
and to prepare and update a long-range capital expenditure budget. For
purposes of this paragraph, "capital expenditures" shall mean all
expenditures for building additions, alterations, or improvements and for
purchases of additional or replacement furniture, machinery, or
equipment, where the cost of such expenditure is greater than $5,000 and
the depreciable life of the applicable item is, according to generally
accepted accounting principals, in excess of one (1) year.
(2) Responsibility for Capital Expenditures. The City shall be solely
responsible for the expenditure of all capital funds as a part of this
agreement (which capital expenditure shall not be an operating expense).
The City covenants and agrees to budget fifty thousand dollars ($50,000)
each operating year to be available for capital needs at the facility. CCC
may request and recommend such capital repairs, which the City shall, in
its sole discretion, schedule annually. Notwithstanding the foregoing,
CCC shall have the right to make capital expenditures at the facility for
"emergency repairs" (defined as the repair of a condition which, if not
performed immediately, creates an imminent danger to persons or
property and/or an unsafe condition at the facility threatening persons or
property), and shall be promptly reimbursed by the City for any such
expenditures. CCC shall verbally notify City immediately regarding any
emergency requiring such a repair, and in writing, no later than twenty-
four (24) hours after the need for such a repair arises.
g. Turf Maintenance Supplies:
(1) The City shall acquire for and supply to CCC all turf maintenance supplies
(e.g. sod, sand, fertilizer and chemicals) and other supplies necessary for
CCC to discharge their maintenance obligations relating to the golf
course, and CCC shall reimburse the City for its actual out-of-pocket
costs therefore.
3. It is agreed by the City and CCC that this term sheet shall be treated as the basis for
negotiations for a Sale and Purchase Agreement and an amendment to the existing Lease
Agreement by and between the parties; neither party shall acquire any rights or obligations as a
result of the term sheet.
Date:
Clearwater Country Club Management, Inc. City of Clearwater
By: By:
2 Item # 23
Meeting Date:6/19/2008
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Appoint the Neighborhood and Affordable Housing Board as the Affordable Housing Advisory Committee and provide for
member terms for the State Housing Initiatives Partnership (SHIP) program, adopt Resolution 08-15 and pass Ordinance 7981-08
on first reading.
SUMMARY:
During the 2007 legislative session, the Florida legislature passed House Bill 1375 requiring counties and cities receiving State
Housing Initiatives Partnership (SHIP) funds to re-establish the local affordable housing advisory committee and its new duties.
The statute further provides that the committee be made up of eleven (11) members.
The statute requires that the City amend its existing housing committee ordinance, and that the eleven members be appointed by
resolution no later than June 30, 2008. The eleven members must represent a specific industry or a specific group. The Resolution
appoints the existing Neighborhood and Affordable Housing Board [NAHAB] members to the Committee and also names new
persons who will be both NAHAB and Committee members. The required groups and recommended individuals are listed below:
. Residential home building: Donald Brackett
. Banking industry/mortgage: Samuel F. Davis
. Area of labor engaged in home building: Nick Pavonetti
. Advocate for low-income person: Lisa Hughes
. For-profit-provider of affordable housing: Peter Leach
. Not-for-profit provider of affordable housing: Kip Courriveau
. Real estate professional engaged in affordable housing: Peggy Cutcomb
. Member of the local planning agency: Jordan Behar
. Clearwater resident: Josephine Carbone and Laurel Braswell
. Employers representative: TBD
. Essential Services representative: Tony Longhorn
The new duties of the Affordable Housing Advisory Committee shall include reviewing policies and procedures, ordinances, land
development regulations and the City's adopted comprehensive plan and shall recommend specific actions or initiatives to
encourage or facilitate affordable housing while protecting the ability of the property to appreciate in value. The recommendations
may include the modification or repeal of existing policies, procedures, ordinances, regulations, or plan provisions; the creation of
exceptions applicable to affordable housing, or the adoption of the new policies, procedures, regulations, ordinances, or plan
provisions, including recommendations to amend local government comprehensive plan and corresponding regulations,
ordinances, and other policies. The initial report must be submitted to City Council by December 30, 2008. After l?ce in~al
submission, the reports are due triennially on December 31 of the year preceding the submission of the local houslIfge~ssl~Tcfnce
plan. The report shall evaluate the implementation of affordable housing incentives in the following areas: Item # 24
(a) The processing of approvals of development orders or permits, as defined in s. 163.3164(7) and (8), for affordable housing
projects is expedited to a greater degree than other projects.
(b) The modification of impact-fee requirements, including reduction or waiver of fees and alternative methods of fee payment for
affordable housing.
(c) The allowance of flexibility in densities for affordable housing.
(d) The reservation of infrastructure capacity or housing for very-low income persons, low-income persons, and moderate-income
persons.
(e) The allowance of affordable accessory residential units in residential zoning districts.
(f) The reduction of parking and setback requirements for affordable housing.
(g) The allowance of flexible lot configurations, including zero-lot-line configurations for affordable housing.
(h) The modification of street requirements for affordable housing.
(i) The establishment of a process by which a local government considers, before adoption, policies, procedures, ordinances,
regulations, or plan provisions that increase the cost of housing.
(j) The preparation of a printed inventory of locally owned public lands suitable for affordable housing.
(k) The support of development near transportation hubs and major employment centers and mixed-use developments.
The City is responsible for staffing, administering and providing facility support to the committee. The City is also required to
make all meetings and records public. The initial report must be submitted to City Council by December 30, 2008 and triennially
thereafter.
Review Approval: 1) Clerk
Cover Memo
Item # 24
Attachment number 1
Page 1 of 2
RESOLUTION NO. 08-15
A RESOLUTION OF THE CITY OF CLEARWATER, FLORIDA
REGARDING THE AFFORDABLE HOUSING ADVISORY
COMMITTEE REQUIRED FOR PURPOSES OF THE STATE
HOUSING INITIATIVES PARTNERSHIP PROGRAM ("SHIP")
PROGRAM; PROVIDING THAT THE CITY'S
NEIGHBORHOOD AND AFFORDABLE HOUSING BOARD
[NAHAB] SHALL SERVE AS SAID COMMITTEE; APPOINTING
EXISTING NAHAB MEMBERS TO THE COMMITTEE;
APPOINTING NEW MEMBERS TO THE NEIGHBORHOOD
AND AFFORDABLE HOUSING BOARD AND THE
COMMITTEE; PROVIDING FOR NEW MEMBER TERMS;
PROVIDING AN EFFECTIVE DATE.
WHEREAS, the State of Florida enacted the State Housing Initiatives
Partnership Act ("Act") also known as the William E. Sadowski Affordable
Housing Act, which allocates a portion of new and existing documentary stamp
taxes on deeds to local governments for development of affordable housing
through the SHIP Program; and
WHEREAS, the Act requires that in order to receive SHIP funds, the local
government appoint an Affordable Housing Advisory Committee to recommend
monetary and non-monetary incentives for the Affordable Housing Incentive Plan
and that its members be appointed by resolution, and it is desirable that the City
Neighborhood and Affordable Housing Advisory Board [NAHAB] serve as the
Affordable Housing Advisory Committee; now therefore
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
CLEARWATER, FLORIDA:
Section 1. That the following existing members of the Neighborhood and
Affordable Housing Board are hereby appointed as members of the Affordable
Housing Advisory Committee for the State Housing Initiatives Partnership
Program:
. Donald Brackett (retired builder) representing the residential home
building industry
. Lisa Hughes (Coordinated Child Care) as an advocate for low-
income persons in connection with affordable housing
. Kip Corriveau (Salvation Army) representing not-for-profit provider
of affordable housing
. Peggy Cutkomp (Prudential Tropical Realty) representing those
who are actively engaged as a real estate professional in
connection with affordable housing
Resolution No. a~ # 24
Attachment number 1
Page 2 of 2
. Laurel Braswell (Homemaker) as citizen who resides within the City
of Clearwater
. Josephine Carbone (retired Realtor) as citizen who resides within
the City of Clearwater
Section 2. That the following persons are hereby appointed to the
Neighborhood and Affordable Housing Board and as members of the Affordable
Housing Advisory Committee for the State Housing Initiatives Partnership
Program:
. Samuel Davis (Wells Fargo Mortgage) representing the banking or
mortgage industry in connection with affordable housing
. Nick Pavonetti (PDC Affordable Housing) representing those areas
of labor engaged in home building in connection with affordable
housing
. Peter Leach (Southport Financial Services) representing the for-
profit provider of affordable housing
. Jordan Behar (Behar Design and Associates, Inc.), who serves on
the local planning agency
. TBD (xxxx) representing employers within the City of Clearwater
. Tony Longhorn (Pinellas County School Board) representing
essential services personnel
The term of office of said six members will be four years per Code of Ordinances
Section 2.226(3).
Section 3. This resolution shall take effect immediately upon adoption, and
is subject to the adoption of Ordinance No. 7981-08.
PASSED AND ADOPTED this
day of
,2008.
Frank V. Hibbard
Mayor
Approved as to form:
Attest:
Leslie K. Dougall-Sides
City Attorney
Cynthia E. Goudeau
City Clerk
2
Resolution No. a~ # 24
Attachment number 2
Page 1 of 6
ORDINANCE NO. 7981-08
AN ORDINANCE OF THE CITY OF CLEARWATER,
FLORIDA, RELATING TO THE NEIGHBORHOOD AND
AFFORDABLE HOUSING ADVISORY BOARD;
AMENDING CODE OF ORDINANCES, ARTICLE 2,
DIVISION 9A, SECTIONS 2.226 THROUGH 2.229;
INCREASING THE NUMBER OF BOARD MEMBERS
FROM SEVEN TO ELEVEN AND PROVIDING FOR
QUALIFICATIONS OF SAID MEMBERS; PROVIDING FOR
POWERS AND DUTIES OF THE BOARD; PROVIDING
PROCEDURES FOR THE BOARD'S ADOPTION OF
FINAL HOUSING INCENTIVE STRATEGIES
RECOMMENDATIONS; UPDATING OBSOLETE
LANGUAGE; AMENDING CODE OF ORDINANCES
SECTION 2.063 TO PROVIDE AN EXCEPTION FROM
THE CITY RESIDENCY REQUIREMENT FOR CERTAIN
MEMBERS OF THE NEIGHBORHOOD AND
AFFORDABLE HOUSING ADVISORY BOARD; AND
PROVIDING AN EFFECTIVE DATE.
WHEREAS, in order to participate in the State Housing Initiatives Partnership,
the City of Clearwater must establish a local affordable housing advisory committee,
which must triennially adopt an affordable housing report and perform other duties;
and
WHEREAS, Florida Statutes Section 420.9076 was amended by the 2007
Florida Legislature to provide for additional members and their qualifications, and
making other revisions, and it is necessary to harmonize the Code of Ordinances
with the new statutory provisions; now therefore,
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY
OF CLEARWATER, FLORIDA:
Section 1. Code of Ordinances, Division 9A, Sections 2.226 through
2.229, is hereby amended to read as follows:
DIVISION 9A. NEIGHBORHOOD AND AFFORDABLE HOUSING ADVISORY
BOARD
Sec. 2.226. Creation; membership.
(1) There is hereby created and established the Neighborhood and Affordable
Housing Advisory Board of the City of Clearwater.
(2) The board shall consist of seven eleven members who are residents of or
conduct work in the city. Members shall be appointed by the city commission city
council. The board shall include the following:
Ordinance No. 79l:UEOO # 24
Attachment number 2
Page 2 of 6
1. One citizen who is actively engaged in the residential building industry
and/or those areas of labor engaged in residential building industry.
2. One citizen who is actively engaged in the banking or mortgage industry
3. One citizen who is designated as an advocate for low income persons.
1. One citizen who is a provider of affordable housing and/or a real estate
professional.
5. One citizen who is a resident of one of the city's neighborhood
revitalization strategy areas.
6. One citizen who is a resident of the city.
7. One citizen who is a resident of East Clearvvater.
For the purposes of this subsection, the boundaries of East Clear\IVater shall be
defined by resolution of the city commission.
1. One citizen who is actively enqaqed in the residential home buildinq
industry in connection with affordable housinq.
2. One citizen who is actively enqaqed in the bankinq or mortqaqe industry in
connection with affordable housinq.
3. One citizen who is a representative of those areas of labor enqaqed in
home buildinq in connection with affordable housinq.
4. One citizen who is actively enqaqed as an advocate for low-income
persons in connection with affordable housinq.
5. One citizen who is actively enqaqed as a for-profit provider of affordable
housinq.
6. One citizen who is actively enqaqed as a not-for-profit provider of
affordable housinq.
7. One citizen who is actively enqaqed as a real estate professional in
connection with affordable housinq.
8. One citizen who serves on the local planninq aqency pursuant to Florida
Statutes Section 163.3174.
9. One citizen who resides within the City of Clearwater.
10. One citizen who represents employers within the City of Clearwater.
11. One citizen who represents essential services personnel. as defined in
the local housinq assistance plan.
(3) Of the initial appointments, three members shall be appointed for a term of
four years; two members shall be appointed for a term of three years; two
members shall be appointed for a term of two years. Thereafter, appointments
shall be for a term of four years. A member, including a member initially
appointed for term of less than four years, may be reappointed for not more than
one additional term. If a vacancy occurs, a new appointment shall be made by
the city commission council for the unexpired term. Members shall serve without
pay.
Sec. 2.227. Officers; conduct of meetings; staff liaison.
(1) The board shall elect from its membership a chairperson, a vice-
chairperson, and such other officers as the board may find necessary. Each
2
Item # 24
Attachment number 2
Page 3 of 6
officer of the board shall serve for a term of one year. The chairperson shall not
serve consecutive terms as chairperson.
(2) The board shall adopt rules of procedure to govern the conduct of its
business. The board shall hold at least one regular meeting every three months
and may hold regular meetings more frequently as the board may agree, but not
more than one regular meeting shall be held per month. Special meetings may
be called as is necessary by the chairperson, or by any three members, upon not
less than 24 hours written notice. A quorum shall consist of the majority of the
members currently serving. In the presence of a quorum, board business shall be
conducted by a majority vote of the members present and voting. The board and
its members shall comply with the public records and public meeting laws and
other applicable laws of the State of Florida.
(3) The city manager shall designate a city employee to serve as staff liaison for
the board and to assist the board in the performance of its duties, including the
appointment of a recording secretary to meet the administrative needs of the
board. Any request by the board for information, reports, or other significant work
efforts that will reasonably be expected to exceed eight hours of staff time shall
require the advance approval of the city commission council.
Sec. 2.228. Powers and duties.
The board shall have the followinq powers and duties: Every three years the
board shall review the established policies and procedures, ordinances, land
development requlations, and adopted local qovernment comprehensive plan of
the city and shall recommend specific actions or initiatives to encouraqe or
facilitate affordable housinq while protectinq the ability of the property to
appreciate in value. The board shall subm it a report to the city that includes
recommendations on and triennially thereafter evaluates the implementation of
affordable housinq incentives in the followinq areas;
(a) The processinq of approvals of development orders or permits and
expedited permittinq for affordable housinq projects.
(b) The modification of impact fee requirements, includinq reduction or waiver
of fees and alternative methods of fee payment for affordable housinq.
(c) The allowance of flexibility in densities for affordable housinq.
(d) The reservation of infrastructure capacity for housinq for very-low income
persons, low-income persons, and moderate income persons.
(e) The allowance of affordable accessory residential units in residential
zoninq districts.
(f) The reduction of parkinq and setback requirements for affordable housinq.
(g) The allowance of flexible lot confiqurations, includinq zero-lot line
confiqurations for affordable housinq.
(h) The modification of street requirements for affordable housinq.
(i) The establishment of a process by which the city considers, before
adoption, policies, procedures, ordinances, requlations, or plan provisions
that increase the cost of housinq.
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Item # 24
Attachment number 2
Page 4 of 6
U) The preparation of a printed inventory of locally owned public lands
suitable for affordable housinq.
(k) The support of development near transportation hubs and maior
employment centers and mixed-use developments.
The approval by the board of the city's local incentive strateqies
recommendations and its review of local qovernment implementation of
previously recommended strateqies must be made by affirmative vote of a
maiority of the membership of the board taken at a public hearinq. Notice of the
time, date, and place of the public hearinq of the board to adopt final housinq
incentive strateqies recommendations must be published in a newspaper of
qeneral paid circulation in Pinellas County. The notice must contain a short and
concise summary of the housinq incentive strateqies recommendations to be
considered by the board. The notice must state the public place where a copy of
the tentative board recommendations can be obtained by interested persons.
Within ninety days after the date of receipt of the housinq incentive strateqies
recommendations from the board, the city council shall adopt an amendment to
its local housinq assistance plan to incorporate the housinq incentive strateqies it
will implement.
In addition, the board may:
(1) Review the programs of the city which are directed to improving the physical
environment and lifestyle of low to moderate income people assisted by the
various federal aMJ. state and county housing and community development
programs the city receives, by:
(a) Assessing neighborhood needs;
(b) Formulating neighborhood goals and objectives;
(c) Establishing priorities for projects within neighborhoods;
(d) Monitoring programs; and
(e) Evaluating programs.
(2) The monitoring and evaluation of programs shall, as a minimum, include the
following activities:
(a) Attending and participating in public hearings regarding the programs;
(b) Reviewing condition data;
(c) Reporting citizen reactions to projects and programs;
(d) Reviewing reports regarding projects and program activities;
(e) Reviewing goals and objectives and recommending priorities for the order in
which activities are to be undertaken; and
(f) Reviewing applications for the funding of selected programs.
(3) Make recommendations to the city manager and city commission council
regarding such programs.
(4) Carry out the duties of an advisory committee when and to the extent that an
advisory committee may be required for the various state aM Jederal and county
housing and community development programs the city receives.
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Item # 24
Attachment number 2
Page 5 of 6
Sec. 2.229. Removal.
(1) The city commission council shall have the authority to remove any member
of the board for misconduct or neglect of duty.
(2) The city manager shall have the authority to remove any member of the
board for excessive absence as defined in section 2.066.
Section 2. Code of Ordinances Section 2.063 is hereby amended to read as
follows:
Sec. 2.063. Qualifications and appointment of members.
(1) In addition to other qualifications which may be specified for board
membership, a person appointed to a board shall be a resident of the city at the
time of appointment and shall maintain residency within the city during the term
of the appointment as a condition of eligibility to hold office. No employee of the
city shall be appointed to membership on a board of the city. As exceptions to
the requirements of this section:
*****
(i) The persons appointed to the Neiqhborhood and Affordable Housinq Advisory
Board need not be residents of the city as lonq as they meet the qualifications set
forth in Section 2.226(2), except that the person referenced in Subsection
2.226(2)9. must be a resident of the city.
*****
Section 3. This ordinance shall take effect immediately upon adoption.
PASSED ON FIRST READING
5
Item # 24
PASSED ON SECOND AND FINAL
READING AND ADOPTED
Approved as to form:
Leslie K. Dougall-Sides
Assistant City Attorney
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Attachment number 2
Page 6 of 6
Frank V. Hibbard
Mayor
Attest:
Cynthia E. Goudeau
City Clerk
Item # 24
SUBJECT / RECOMMENDATION:
City Manager Verbal Reports
SUMMARY:
City Council Agenda
Council Chambers - City Hall
Meeting Date:6/19/2008
Review Approval: 1) Clerk
Cover Memo
Item # 25
City Council Agenda
Council Chambers - City Hall
SUBJECT / RECOMMENDATION:
Provide Direction re nominations for the Florida League of Cities Excellence A wards
SUMMARY:
Categories for which nominations can be made:
Florida City of Excellence
City Spirit
Mayor of the Year
Council Member of the Year
City Attorney of the Year
City Manager of the Year
City Employee of the Year
City Citizen of the Year
Nominations are due by august 11,2008
Review Approval: 1) Clerk
Meeting Date:6/19/2008
Cover Memo
Item # 26
SUBJECT / RECOMMENDATION:
Other Council Action
SUMMARY:
City Council Agenda
Council Chambers - City Hall
Meeting Date:6/19/2008
Review Approval: 1) Clerk
Cover Memo
Item # 27