08/10/1992
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TOWN MEETING
MINUTES
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TOWN BUDGET MEETING
August 10, 1992
The City Commission of the City of Clearwater met at the Clearwater East
Library with the following members present:
Richard Fitzgerald
Sue Berfield
Arthur X. Deegan, 11
Vice-Mayor/Commissioner
Commissioner
Commissioner
Absent:
Rita Garvey
Mayor/Commissioner
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Also present:
Michael J. Wright
M.A. Galbraith, Jr.
Mary K. Diana
City Manager
City Attorney
Assistant CIty Clerk
The town meeting was called to order by Vice-Mayor Fitzgerald at 7:04 p.m.
and the following was discussed:
The Vice-Mayor reported the purpose of tonight's meeting was to receive input
from the public regarding the proposed budget.
The city manager said the informal meeting will provide an opportunity'to go
over the proposed budget and receive public input and specific comments. He
announced formal public hearings would be held on September 3rd and September
17th.
He reviewed the budget process and presented slides stating the recommended
rate is 5.1158 mills which is consistent with this year's rate and less than the "roll
back" rate of 5.1707 mills due to the taxable value of property in Clearwater having
decreased by approximately .4 percent from the current year.
He stated that 47 percent of the general fund budget is for public safety which
includes police and fire and 66 percent covers personal services. He said the non-
departmental expenditures Include the capital improvement projects funded by general
fund dollars of which $2.9 million has been designated for the consolidated city hall
project. He said recommended additional personnel are .4 FTE for the Transportation
Group, .5 FTE for the Sailing Center, .5 FTE for Affirmative Action, 1 staff assistant
for Watershed Management, 1 administrative support manager for the Gas System,
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.3 FTE for the parking garage and 1 mechanic for Fleet Maintenance. He said this
comes to a net reduction of 9 positions since mid year 91/92.
He reported property taxes are 31 percent of the city's revenue sources with
franchise and utility fees bringing in 26 percent. He said the taxable value of city
property has decreased and we cannot expect significant growth in this area. He
reported the surplus fund still exceeds the commission's goal of 10 percent. He
indicated $6.1 million of "Penny for Pinellas" tax money will be spent for road and
street improvements, recreational parks, environmental projects and the consolidated
city hall project. He said other funding sources for the capital improvement program
include monies received from impact fees, special development fund and internal
funds and borrowing consisting of the city's lease/purchase funding provides for 19
percent.
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Bob Wright, representing the Coalition of Homeowners, agreed with the,
proposed budget but expressed concerns regarding shortfalls in ensuing years. He
requested an outside study be done regarding a new city hall. He complemented the
city manager for the start of a 3-year forecast and a right sizing program. Mr. Wright
questioned whether transferring funds from the' "Penny for Pinellast1 tax monies for
purchase of the Sun Bank Building and the Maas Brothers property was a misuse of
these funds. He asked that the city attorney review this transfer and supported
funding a new city hall with revenue bonds. He expressed concern the city wanted
to use unidentified funds in order to avoid a referendum. Mr. Wright referred to the
city's proposed reclaimed water system and questioned whether the city has
approached SWFWMD regarding this program. He felt this program should be given
priority in 1992-93.
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Discussion ensued regard the city's self insured reserve fund and reaching the
$ 7 million commission goal to keep the fund solid. It was ind icated the pension fund
has been wisely managed and is intact.
Discussion ensued in regard to the city's reclaimed water program being
discussed with SWFWMD and that they were prepared to go forward. However,
there had been no opportunity for the public to express whether there was an interest.
The city manager indicated there is money being held by SWFWMD for a stormwater
utility project. The reclaimed water issue will be agendaed In approximately 60 days.
The project will cost approximately $60 million and the beach areas will be given
priority.
Dave Abelson, representing the Clearwater Chamber of Commerce, expressed
a public need for a Countryside Community Center. It was noted a presentation has
been scheduled for Thursday night.
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The city manager pointed out this project is proposed to be funded In 1995-96.
There have been requests for changes In the Parks & Recreation CIP and requests for
park land purchases and development. In response to a question, it was indicated this
project could begin sooner than 1995M96.
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Joe Evich complimented the city manager and staff on preparation of the
budget. He requested the actuals for the mid year or the first 9 months indicating
these would be helpful In comparing the budget. It was indicated the adjusted
number in the proposed budget reflects mid year. He expressed concern that travel,
subscriptions and phone expenses have escalated since last fiscal year and requested
these items be reviewed carefully. He indicated even though the salaries and wages
have been reduced favorably, there was no corresponding change in the fringe benefit
rates.
The city manager noted many employees are not covered by social security and
Deputy City Manager Kathy Rice noted health insurance is a fixed cost.
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Mr. Evich favored issuing revenue bonds to finance a new city haiL
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There was discussion regarding the different pension funds in the city. The city
manager believed the city has the most solvent pension funds in the state.
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Mr. Evich questioned what is the value of the assets for the first 9 months. It
was indicated there is no report as yet. Mr. Evich expressed concern if the pension
assets would have a downturn, is the city being conservative in their approach. The
city manager said we are. He said even by reducing the city's funding to the pension
it will still be overfunded.
A question was raised as to what is the projected surplus for the general fund
for the current fiscal year. Staff is to provide. It was indicated the general fund is
roughly $60 million. In response to a question, the city manager indicated he is
projecting a 16 percent surplus at the end of the current fiscal year if no money is
transferred to the city hall project.
Discussion ensued in regard to the expected surplus at the end of fiscal year
1992. It was indicated the surplus at the end of fiscal 1991 was about $9.1 million.
A request was made to see what the potential surplus will be at the end of fiscal
1992.
Mr. Evich expressed concern with the budget being conservative that there will
be sufficient reserves in the future. He questioned some of the increases in certain
categories.
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The city manage~ explained some of these increases reflect microfilming
services, a number of legal cases expected to go to trial and ADA requIrements.
There is a great deal of budget detail to justify the increases.
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The city manager said a large part of the increase in expenditures is shiftIng the
money from the reserves to the CIP.
, A question was raised If this year's adjusted budget of $56 million include the
$2 mlllion plus that was moved to the other funds for the city hall project. It was
indicated the money has not been moved yet.
Steve Saliaa asked clarification on the budget position summary by department
and it was indicated the numbers reflect full time equivalent employees. In response
to a question, the city manager indicated the consolidated city hall will house
approximately 280 employees from various departments and the issue of square feet
per person has not been resolved.
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, Bill Jonson said there is a need to get the stormwater utility plan completed to
identify what needs to be done. He urged the commission to move additional monies
into structural improvements for water quality. '
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The city manager noted the commission has approved the stormwater master
plan. Negotiations with SWFWMD have stopped the proposal. The city will be talking
with adjoining cities with SWFWMD's concurrence to try and get an area wide plan
which they would fund the majority of the cost.
Mr. Jonson found placing the utilities underground on Sand Key to be a
favorable goal and questioned who would be funding this project. The city manager
indicated if the utilities are placed underground, the cost would fall to the city. It was
indicated the cost would be enormous. It was noted the utility companies will absorb
the costs to move their utility lines back. It was questioned whether costs could be
shared.
The city manager asked anyone requiring detailed information regarding the
budget to notify his office.
Vice-Chairman thanked everyone for attending the town meeting.
The meeting adjourned at 8: 19 p.m.
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