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6416-993 1 } f ? I } I .. Ar?????J:S?I^ r 4 A 4 aV ORDINANCE NO. 6416-99 AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA, AMENDING THE CAPITAL IMPROVEMENT PROGRAM REPORT AND BUDGET FOR THE FISCAL YEAR ENDING SEPTEMBER 30, 1999, TO REFLECT AN INCREASE IN BUDGET EXPENDITURES TO EXPAND THE SCOPE OF PROJECTS IN THE FUNCTIONAL CATEGORIES OF NEW STREET CONSTRUCTION, MAJOR STREET MAINTENANCE, LAND ACQUISITION, PARK DEVELOPMENT, MARINE FACILITIES, AND UTILITY MISCELLANEOUS, AND TO REFLECT A DECREASE IN BUDGET EXPENDITURES TO REDUCE THE SCOPE OF PROJECTS IN THE FUNCTIONAL CATEGORIES OF PARKING, MISCELLANEOUS ENGINEERING, BEAUTIFICATION, MISCELLANEOUS, WATER SYSTEM, AND GAS SYSTEM, FOR A NET INCREASE OF $3,715,872; PROVIDING AN EFFECTIVE DATE. WHEREAS, the Capital Improvement Program Report and Budget for the fiscal year ending September 30, 1999 was adopted by Ordinance No. 6330-98; and WHEREAS, unanticipated needs necessitate an increase in expenditures for the following: New Street Construction $9,306,939, Major Street Maintenance $5,282, Land Acquisition $111,500, Park Development $28,396; Marine Facilities $131,966, and Utility Miscellaneous $49; and WHEREAS, funds of $9,563,405 are available to finance these projects through use of Open Space Impact Fees, Recreation Land Impact Fees, Pennies II Revenues, FEMA Revenues, Florida Department of Transportation Revenues, 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 I of Ordinance No. 6330-98 is amended to read: Pursuant to the Mid Year Amended Capital Improvement Program Report and Estimated Budget for the fiscal year beginning October 1, 1998 and ending September 30, 1999, a copy of which is on file with the City Clerk, the City Commission 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 App ed as to farm: Pamela K. Akin, City Attorney June 17, 1999 July 15, 1999 Brian J. Aungst??llaybr-Commissil fler Attest: ((// Cyna E. Goudeau, City Clerk ?? Ordinance No. 6416-99 613199 EXHIBIT A CAPITAL IMPROVEMENT PROGRAM FOR FISCAL YEAR 1998199 First Qtr Mid Year Original Amended Amended Budget Budget Budget 1998199 1998/99 1998199 Amendments Police Protection 0 0 0 Fire Protection 736,500 1,752,068 1,752,068 New Street Construction 750,000 1,443,061 10,750,000 9,306,939 Major Street Maintenance 6,205,000 6,205,000 6,210,282 5,282 Sidewalks & Bike Trails 422,000 422,000 422,000 Intersections 445,000 445,000 445,000 Parking 1,775,000 1,775,000 1,275,000 -500,000 Miscellaneous Engineering 135,000 135,000 105,427 -29,573 Land Acquisition 0 218,150 329,650 111,500 Beautification 0 0 -5,282 -5,282 Park Development 1,330,000 1,586,000 1,594,396 28,396 Marine Facilities 350,000 350,000 481,966 131,966 Libraries 1,931,670 1,939,727 1,939,727 Garage 2,770,000 2,770,000 2,770,000 Maintenance of Buildings 653,000 653,907 653,907 General City Buildings 0 0 0 ? Miscellaneous 1,312,650 1,316,777 1,147,420 -169,357 Stormwater Utility 7,058,000 7,706,398 7,706,398 Water System 5,841,200 6,743,240 6,743,191 -49 Sower System 91565,000 9,544,270 9,544,270 Gas System 6,398,130 6,398,130 1,234,130 -5,164,000 Solid Waste 565,000 565,000 565,000 Utilities Miscellaneous 0 0 49 49 Recycling 436,600 416,600 416,600 TOTAL 48,679,750 52,365,328 56,081,200 3,715,872 Ordinance # 6416-99 613199 EXHIBIT A (Continued) RESOURCES APPROPRIATED FOR CAPITAL PROJECTS 1998199 First Qtr Mid Year Original Amended Amended Budget Budget Budget 1998199 1998199 1998199 GENERAL SOURCES: General Operating Revenue General Fund Retained Earnings General Revenue/County Co-op Special Development Fund Community Redevelopment Agency Road Millage Open Space Impact Foos Recreation Land Impact Fees Recreation Faciility Impact Fees Transportation Impact Fees Pennies I Pennies Il Development Impact Fees Local Option Gas Tax Grants -Other Agencies FEMA Pinellas County Commission Property Owners Share Interest Donations Other Municipalities Reimbursement from SWFWMD FI Dept of Envir Protoction Grants Florida State -Other Grants Land Sales Rental Fees Insurance Reimbursement SELF SUPPORTING FUNDS: Marine Operating Revenue Parking Revenue Harborview Center Revenue Utility System: Water Revenue Sewer Revenue Reclaimed Water Revenue Water Impact Fees Water R & R Sower R & R Utility R & R Gas Revenue Solid Waste Revenue Stormwater Utility Recycling Revenue Grant - Reclaimed Water 1,052,000 1,126,982 1,112,940 800,000 800,000 800,000 206,670 206,670 206,670 160,000 382,000 382,000 0 10,010 10,010 1,795,000 1,795,000 1,795,000 0 0 70,848 0 0 40,652 0 0 0 1,090,000 1,090,000 1,090,000 4,944,650 4,921,584 4,921,584 0 693,061 10,000,000 270,000 270,000 270,000 1,750,000 1,750,000 1,750,000 115,000 115,000 115,000 0 0 144,966 0 6,315 6,315 0 0 0 0 0 0 0 8,057 8,057 0 0 0 0 871,364 871,364 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 50,000 50,000 50,000 275,000 275,000 275,000 15,000 15,000 15,000 2,358,100 2,358,100 2,358,100 9,878,100 9,857,370 9,857,370 175,000 175,000 175,000 75,000 75,000 75,000 800,000 800,000 800,000 1,325,000 1,325,000 1,325,000 0 0 0 1,234,130 1,234,130 1,234,130 565,000 797,150 797,150 20,000 1,319,000 1,319,000 436,600 416,600 416,600 840,000 840,000 840,000 Amendments -14,042 70,848 40,652 9,306,939 144,966 Ordinance # 6416-99 613199 EXHIBIT A (Continued) .? n.I RESOURCES APPROPRIATED FOR CAPITAL PROJECTS 1998199 First Qtr Mid Year Original Amended Amended Budget Budget Budget 1998199 1998199 1998199 Amendments INTERNAL SERVICE FUNDS: Garage Fund 53,000 53,000 53,000 Admin Services Fund 465,000 165,000 165,000 BORROWING - GENERAL SOURCES: Lease Purchase 11189,000 2,118,295 2,118,160 -135 SELF-SUPPORTING FUNDS: Lease Purchase - Sewer 82,500 82,500 82,500 Lease Purchase - Water 22,500 63,640 63,640 Lease Purchase - Stormwater Utility 242,500 242,500 242,500 Bond Issue - Stormwater 6,738,000 6,100,000 6,100,000 Parking Bonds 1,500,000 1,500,000 1,000,000 -500,000 19948 Gas Bond Issues 5,164,000 5,164,000 0 -5,164,000 INTERNAL SERVICE FUNDS: Garage Lease/Purchase 3,223,000 3,223,000 3,223,000 ' Admin Svcs LeasetPurchase 70,000 70,000 -99,357 -169,357 TOTAL ALL FUNDING SOURCES: 48,679,750 52,365,328 56,081,199 3,715,872 Ordinance # 6416-99