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5479-93_...?.. ..... ...._. .. ..... :'R?.:' ,+..w'-rte', ...-.... ., .. ? 'E ???' . *46W 1460W ORDINANCE NO. 5479.93 AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA, AMENDING THE OPERATING BUDGET FOR THE FISCAL YEAR ENDING SEPTEMBER 30, 1993; TO REFLECT INCREASES AND DECREASES IN REVENUES AND EXPENDITURES FOR THE GENERAL FUND, SPECIAL DEVELOPMENT FUND, SPECIAL PROGRAM FUND, UTILITY FUNDS, BRIDGE FUND, MARINA FUND, PARKING FUND, PIER 60 FUND, ATRIUM BUILDING FUND, ADMINISTRATIVE SERVICES FUND, GENERAL SERVICES FUND, GARAGE FUND, AND INSURANCE FUND, AS PROVIDED HEREIN; PROVIDING AN EFFECTIVE DATE. WHEREAS, the budget for the fiscal year ending September 30, 1993, for operating purposes, including debt service, was adopted by Ordinance No. 5281-92; and WHEREAS, at the Third Quarter Review it was found that an increase in expenditures of $300,664 is necessary in the General Fund; a decrease of $1,582,939 is necessary in the Special Development Fund; an increase of $416,389 is necessary in the Special Program Fund; a decrease of $94,760 is necessary in the Utility Funds; an increase of $20,657 is necessary in the Marina Fund, a decrease of $90,000 is necessary in the Parking Fund, a decrease of $29,000 is necessary in the Administrative Services Fund; a decrease of $38,250 is necessary in the General Services Fund; a decrease of $24,000 is necessary in the Garage Fund; a decrease of $32,000 is necessary in the Insurance Fund; and that sufficient revenues are available to cover these additional expenses; 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 Commission 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 COMMISSION OF THE CITY OF CLEARWATER, FLORIDA; Section 1. Section 1 of Ordinance No. 5281-92 is amended to read: Pursuant to the Amended City Manager's Annual Report and Estimate for the fiscal year beginning October 1, 1992, and ending September 30, 1993, it copy of which is on file with the City Clerk, the City Commission 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 September 1611993_ PASSED ON SECOND AND FINAL READING 0 tober 1993 Rita Garvey, Mayor-Comm' over Attest: j Cy ie E. Ga:ide;.+t, City -2lerk Approved ax to f'orni and c rrectness: M. A. Galbraith, Jr., City ttorney 5 V 7 , I-3 *41W WAW =z s i EXHIBIT A 9.10-93 1992.93 BUDGET REVENUE First Third Quarter Mid Year Quarter Original Amended Amended Amended Budget Budget Budget Budget 1992/93 1992/93 1992/93 1992/93 Difference General Fund: Property Taxes 18,992,340 18,992,340 19,092,340 18,992,600 -99,740 Franchise Fees 5,147,520 5,147,520 4,942,680 4,971,000 28,320 Utility Taxes 10,090,080 10,090,080 10,353,550 10,543,550 190,000 Licenses 6 Permits 2,007,000 2,007,000 1,958,700 2,008,700 50,000 Fines, Forfeitures or Penalties 1,450,100 1,450,100 1,450,100 1,450,100 Intergovernmental Revenue 10,395,160 10,395,160 10,306,700 10,338,800 32,100 Charges for Services 949,940 949,940 955,260 950,250 -5,010 Use and Sale of City Property and Money 1,113,750 1,113,750 1,266,590 1,266,590 Miscellaneous Revenues 130,000 130,000 130,000 130,000 Interfund Administration Service charge 2,703,820 2,703,820 2,709,850 2,709,850 Interfund Other Service Charge 1,919,810 1,919,810 1,933,790 1,959,710 25,920 Interfund Transfer 2,752,910 2,752,910 2,752,910 2,752,910 Transfer from Surplus 2,941,330 3,534,365 3,446,102 3,525,176 79,074 Total, General Fund 60,593,760 61,186,795 61,298,572 61,599,236 300,664 Special Revenue Funds: Special Development 11,727,680 15,207,712 15,687,712 14,104,773 -1,582,939 Special Program Fund 901,000 1,252,005 1,786,079 2,202,468 416,389 Utility fund 60,223,655 60,223,655 61,706,810 61,706,810 Bridge Fund 1,630,100 1,630,100 1,730,100 1,730,100 Marina Fund 1,591,640 1,661,135 1,749,935 1,770,592 20,657 Parking Fund 2,750,850 2,750,850 2,720,850 2,600,850 -120,000 Pier 60 72,880 127,072 172,120 191,982 19,862 Atrium Building 0 0 807,270 807,270 Administrative Services 4,161,740 4,168,682 4,138,130 4,138,130 General Services 2,604,030 2,610,860 2,718,430 2,711,930 -6,500 Garage Fund 7,092,910 7,098,136 7,221,496 7,221,496 Insurance 6,655,150 6,655,150 6,973,300 6,973,300 Total, All Funds 160,005,395 164,572,152 168,710,804 167,758,937 -951,867 .5-y79 - ?- 3 ?.t I EXHIBIT A (Continued) 1992-93 Budget Expenditu res First Third Original Amended Amended Amended Budget Budget Budget Budget 1992/93 1992/93 1992/93 1992/93 General Fund: City Commission 135,110 135,110 135,110 175,110 Administration 1,358,930 1,358,930 1,338,360 1,326,060 Public information office 163,870 163,870 175,790 176,490 Economic Development/CRA 104,530 104,530 104,530 104,530 Legal 687,310 687,310 852,370 852,370 City Clerk 524,220 524,220 531,600 531,600 Management and Budget 372,910 372,910 335,550 343,050 Finance 1,503,010 1,503,010 1,512,175 1,524,759 Human Resources 823,960 823,960 815,360 815,360 Non-Departmental 5,561,140 6,154,175 6,283,304 6,811,584 Emergency Management 7,200 7,200 54,740 54,740 Police 18,768,990 18,768,990 18,808,490 18,738,190 Fire 9,506,750 9,506,750 9,360,380 9,320,980 Public Works - Engineering 2,158,300 2,158,300 2,158,300 2,158,300 Public Works - Airpark 64,380 64,380 63,150 57,750 Public Works - Environmental 224,230 224,230 221,610 221,610 Public Works - Transportation 2,450,870 2,450,870 2,363,170 2,328,170 Public Works - Infrastructure 1,452,620 1,452,620 1,449,757 1,429,757 Marine - setting center 75,040 75,040 75,040 75,040 Planning and Development 2,420,150 2,420,150 2,420,150 2,389,150 Parks and Recreation 9,101,800 9,101,800 9,111,196 9,061,196 Library 3,128,440 3,128,440 3,128,440 3,103,440 Total, General Fund 60,593,760 61,186,795 61,298,572 61,599,236 Special Revenue Funds: Special Development Special Program Utility Fund Bridge Fund Marina Fund Parking Fund Beach Guards Pier 60 Atrium Building R Administrative Services General Services Garage Fund insurance Total, All Funds Difference 40,000 -12,300 700 7,500 12,584 528,280 -70,300 -39,400 -5,400 -35,000 -20,000 -31,000 -50,000 -25,000 300,664 11,350,480 14,830,512 15,043,689 13,460,750 -1,582,939 811,000 1,162,005 1,696,079 2,112,468 416,389 57,277,640 57,277,640 58,062,100 57,967,340 -94,760 1,048,560 1,104,375 1,104,375 1,104,375 1,564,240 1,661,135 1,741,135 1,761,792 20,657 2,239,300 2,270,630 2,180,060 2,090,060 -90,000 361,550 362,598 362,598 362,598 64,820 127,072 172,120 172,120 0 0 407,420 407,420 4,131,090 4,138,032 4,138,130 4,109,130 -29,000 2,604,030 2,610,860 2,718,430 2,680,180 -38,250 7,092,910 7,098,136 7,127,506 7,103,506 -24,000 5,676,290 5,685,460 5,674,640 5,642,640 -32,000 154,815,670 159,515,250 161,726,854 160,573,615 -1,153,239 S` re >`3