Loading...
6241-98ORDINANCE NO. 6251-98 . AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA, AMENDING THE OPERATING BUDGET FOR THE FISCAL YEAR ENDING SEPTEMBER 34, 1998 TO REFLECT INCREASES AND DECREASES IN REVENUES AND EXPENDITURES FOR THE GENERAL FUND, SPECIAL DEVELOPMENT FUND, SPECIAL PROGRAM FUND, WATER AND SEWER FUND, GAS FUND, SOLID WASTE FUND, STORMWATER UTILITY FUND, ADMINISTRATIVE SERVICES FUND, AND CENTRAL INSURANCE FUND, AS PROVIDED HEREIN; PROVIDING AN EFFECTIVE DATE. WHEREAS, the budget for the fiscal year ending September 30, 1998, for operating purposes, including debt service, was adopted by Ordinance No. 6186-97; and WHEREAS, at the First Quarter Review it was found that an increase in expenditures of $205,733 is necessary in the General Fund; an increase of $325,881 is necessary in the Special Development Fund; an increase of $1,946,124 is necessary in the Special Program Fund; an increase of $13,904 is necessary in the Water & Sewer Fund; an increase of $ 15,351- is necessary in the Solid Waste Fund; an increase of $4,135 is necessary in the Stormwater Utility Fund; an increase of $15,000 is necessary in the Administrative Services Fund; and an increase of $17,760 in the Central Insurance Fund; and that sufficient revenues are available to cover these additional expenses; and WHEREAS, a s? mmary 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. 6186-97 is amended to read: Pursuant to the Amended City Manager's Annual Report and Estimate for the fiscal year beginning October 1, 1997 and ending September 30, 1998 a 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 PASSED ON SECOND AND FINAL READING AND ADOPTED March 5, 1998 March 19,1998 ; 1A Rita Garvey, Mayor-Commis ner Ap r ved T to form: Pame a K. Akin, City Attorney Attest: Cynth' . Goudcau, ity Clerlc Ordinance 6241-98 •• 5 EXHIBIT A 1997.98 BUDGET REVENUE . s . First Quarter Original Amended Budget Budget 1997/98 1997198 Difference General Fund: Property Taxes 20,366,810 20,366,810 Sales Tax 4,913,920 4,913,920 Franchise Fees 7,750,730 7,750,730 Utility Taxes ' 14,739,970 14,739,970 Licenses & Permits 2,588,100 2,588,100 Fines, Forfeitures or Penalties 1,312,700 1,312,700 Intergovernmental Revenue 7,837,760 7,837,760 Charges for Services 1,527,940 1,527,940 Use and Sale of City Property and Money 1,456,700 1,458,700 Miscellaneous Revenues 140,320 140,320 Interfund Charges/Transfers 9,969,360 9,996,775 27,415 Transfer from Surplus 427,210 605,528 178,318 10tal, General Fund 73,031,520 73,237,253 205,733 Special Revenue Funds: ?N Special Development Fund 11,279,630 11,605,511 325,881 Special Program Fund 1,540,000 3,486,124 1,946,124 Utility & Other Enterprise Funds: Water & Sewer Fund 40,326,700 40,340,604 13,904 Gas Fund 22,546,220 20,476,310 -2,069,910 Solid Waste Fund 13,764,980 13,780,331 15,351 Storrnwater Utility Fund 3,707,000 3,711,135 4,135 Recycling Fund 2,200,900 2,200,900 Marine Fund 2,045,900 2,045,900 Parking Fund 2,978,030 2,978,030 Harborview Center Fund 1,779,000 1,779,000 Internal Service Funds: Administrative Services Fund 6,123,200 6,138,200 15,000 General Services Fund 2,397,410 2,397,410 Garage Fund 7,969,120 7,969,120 Central Insurance Fund 10,154,040 10,154,010 Total, All Funds 201,843,620 202,299,838 456,218 f! i s I I j I ' i 1 I i i ordinance #6241-98 Ordinance 6241--98 EXHIBIT A (Continued) 1997-96 BUDGET EXPENDITURES First Quarter Original Amended Budget Budget 1997198 1997198 Difference General Fund: City Commission 205,380 205,380 Administration 3,249,660 3,450,060 200,400 Legal 1,117,920 1,117,920 City Clerk 777,770 777,770 IM - Public Comm & Markoting 693,960 • 790,475 96,515 Finance 1,450,390 1,450,390 Human Resources 774,710 820,110 45,400 Police 23,980,120 23,970,120 -10,000 Fire 11,217,920 11,295,620 77,700 Central Permitting 2,088,460 2,088,460 Clearwater Housing & Urban Dev 467,130 467,130 Parks & Recreation 10,852,510 10,860,510 8,000 Library 4,289,950 4,295,880 5,930 Engineering 4,932,180 4,936,780 4,600 Public Services 1,707,710 1,707,710 Marine - Sailing Center 127,420 127,420 Marine - Pier 60 261,170 261,170 D Nan-Departmental 4,837,160 4,614,348 -222,812 Total, General Fund 73,031,520 73,237,253 205,733 Special Revenue Funds: Special Development Fund 7,810,750 8,136,631 325,881 Special Program Fund 1,440,000 3,386,124 1,946,124 Utility & Other Enterprise Funds: Water & Sewer Fund 40,326,700 40,340,604 13,904 Gas Fund 21,246,700 19,987,804 -1,258,896 Solid Waste Fund 13,764,980 13,780,331 15,351 Stonnwater Utility Fund 3,707,000 3,711,135 4,135 Recycling Fund 2,114,330 2,114,330 Marine Fund 1,997,980 1,997,980 Parking Fund 2,978,030 2,978,030 Harborview Center Fund 1,779,000 1,779,000 Internal Service Funds: Administrative Services Fund 6,083,310 6,098,310 15,000 General Services Fund 2,379,210 2,379,210 Garage Fund 7,621,460 7,621,480 Central Insurance Fund 9,320,100 9,337,860 17,760 Total, All Funds 195,601,090 196,686,082 1,284,992 Ordinance #6241-98 Ordinance 624198