Loading...
FUTURE PROS ALL SPORTS CAMP 04/13/00 - 09/30/00 I I AGREEMENT Between THE JUVENILE WELFARE BOARD And City of Clearwater Parks and Recreation Department (Future Pros All Sports Camp) I. PURPOSE The Juvenile Welfare Board of Pinellas County, hereinafter referred to as "JWB" , and City of Clearwater Parks and Recreation Department, hereinafter referred to as "Provider", enter into this mutual Agreement, including all attachments referred to herein, for the period commencing April 13, 2000 and extending through September 30, 2000. II. STAFF Provider agrees to employ staff, at its expense, to execute services provided in accordance with this Agreement. Such individuals shall not be considered employees of JWB or the County of Pinellas, and are subject to the supervisio~, personnel practices and policies of the provider. Unless otherwise approved by JWB, all staff shall meet qualifications as stated in the application and any approved revisions which were submitted for fiscal year 1999-00 funding. III. SERVICES Provider agrees to deliver services to accomplish objectives stated in Attachment 2 in accordance with recognized child welfare practices, as determined by JWB, in service areas stated in Attachment 3, and pursuant to the General Condi tions I isted in At tachment I, and any special conditions as stated in Section VIII of this Agreement. IV. FUNDS The budget for both JWB and other funds (if any) for accomplishing the above stated services shall be as set forth in Attachment 4. JWB agrees to reimburse up to $18,300 for actual costs incurred for services rendered pursuant to this Agreement. V. METHOD OF PAYMENT 1. JWB issues reimbursements in accordance with the schedule listed on Attachment V (or on the preceding working day in case of a holiday). The Provider may select to submit a request for payment every other week or once a month. Request for payment must be accompanied by the appropriate documentation as prescribed by JWB. 2. Requests for advance funds may be made, consistent with JWB policy. 5/12/008:23:29 AM #J Page 1 of 19 }y CO ~ /,7 q I, . /~ , -><' '-' (~; I I VI. TERMINATION 1. It is the intent of the JWB to assure a consistent and orderly delivery of children's services. It is the further intent of JWB to terminate Agreements only in those situations where such action is essential to protection of its interests and the interests of children, as determined by JWB. 2. Except as provided in subparagraphs 3 and 4 below, this Agreement may be terminated by either party upon no less than thirty (30) days notice. Said notice shall be delivered by certified mail, return receipt requested, or in person with proof of delivery. 3. In the event funds to finance this Agreement become unavailable, JWB may terminate the-contract upon no less than twenty-four (24) hours notice in writing to the Provider. Said notice shall be delivered by certified mail, return receipt requested, or in person with proof of delivery. JWB shall endeavor, whenever possible and consistent with its legal obligations and principles of prudent management to provide 30 days notice for Termination for Lack of Funds. JWB shall be the final authority as to the availability of funds and extension of notice beyond the minimum time herein stated. 4. In addition to the rights as set forth in paragraph VI., 2 above, this Agreement may be terminated by JWB for any breach by Provider of the terms of this Agreement, including all attachments, upon twenty-four (24) hours written notice. Said notice shall be delivered by certified mail, return receipt requested, or in person with proof of delivery. JWB at its discretion may waive any breach by the Provider in writing, but such waiver shall not constitute a waiver of any future breaches, including breaches of the same type. 5. The above provisions shall not limit JWB' s right to remedies at law or to damages. VII. COMMENCEMENT OF PAYMENT Unless specifically authorized by JWB, payment for services rendered under this Agreement shall not commence prior to its effective date. 5/12/008:23:29 AM I/O Page 2 of 19 I VIII.SPECIAL CONDITIONS I General Condition #3 (Audit and management Letter) is waived. General Condition #6 (Board Members and Meetings) is waived. Board Date , J If J Zhfrc , , Countersigned: Approved as to form: r- r-7 -=? ~:~ Assistant City Attorney /81003:04:30 AM Page 3 of 19 /.KJ City of Clearwater, Florida :::n:- Goudeau I I VIII.SPECIAL CONDITIONS General Condition #3 (Audit and Management Letter) is waived. General Condition #6 (Board Members and Meetings) is waived. Executive Director:Juvenile Welfare Board Authorized Representative,Provider Date Date 5/12/002:12:27 PM ;t1O Page 3 of 19 I I ATTACHMENT #1 GENERAL CONDITIONS OF THE AGREEMENT 1, Aqreement Revisions-This Agreement, and attachments 1 through 4, constitute the contractual relationship between the Provider and JWB. No amendments to this Agreement or its attachments may be made without the prior written approval of JWB and Provider, except as may be provided in General Condition #4. 2, Fiscal ResDonsibility-Provider agrees: A. To maintain books, records and documents in accordance with generally accepted accounting procedures and practices which accurately and appropriately reflect all expenditures of funds listed in Attachment 4. B. That all financial records and supporting documentation shall be subject at all times to inspection, review, or audit by JWB personnel or its duly authorized agent. C. To maintain and file with JWB in a timely fashion reports related to services provided under this Agreement. D. To retain all financial records, supporting documentation, statistical records, and any other documents pertinent to this Agreement for a period of five (5) years after termination of this Agreement. If an audit has been initiated and audit findings have not been resolved at the end of five (5) years, all records shall be retained until resolution of audit findings. 3. Audit and Manaaement Letter-Within 120 days of the close of its fiscal year, Provider agrees to submit to JWB a certified independent fiscal audit of all its corporate activities and any accompanying management letter(s). This audit shall be conducted consistent with American Institute of Certified Public Accountants (AICPA) Standards for Non Profit Organizations or other mutually agreed upon standard, The audit will separately identify JWB revenues, fees and donations, and expenditures by program. 4, Other Financial SUDDort A. Within 30 days of the effective date of this Agreement, and at any subsequent time as a revision in the budget may be reasonably anticipated, Provider will submit to JWB for its approval a revised budget which again includes all resources to be applied to the program funded under this Agreement. A written justification will be made of any difference in the proposed budget revision and the approved budget. Statements which reflect reductions in excess of 5% of total program funding or $5,000, whichever is least, as reflected in the approved budget, or reduction in any amount which in the judgment of JWB would significantly interfere with implementation of the program as originally approved, may be grounds for breach of Agreement. B. Provider will report any request to any other source for financial support relating to this program for this fiscal year; and report any other financial support received which amounts to 10% of the total program cost or $5,000, whichever is least, and an explanation of how such additional funds will be used. A full copy of requests or applications for other financial support will be provided if requested by JWB. C. JWB funds will not be used for expenditures also funded by other sources, D, Generally JWB encourages use of its funds as financial match for securing funds from other sources, However, in such instances Provider is required to obtain prior approval from JWB, 5. Proaram Monitoring-Provider agrees to submit progress reports and other information in such format and at such times as may be prescribed by JWB, and to cooperate in site visits and other on-site monitoring 5/12/00 8:23:29 AM Page 4 of 19 /.l(} I I (including, but not limited to, access to sites, staff, fiscal and client records, and logs and the provision of related information), 6. Board Members and Meetings-Within 30 days of the effective date of this Agreement, Provider will submit to JWB a calendar of scheduled Board meetings for the current fiscal year. Approved Board minutes and an updated list of Board Members shall be submitted in accordance with JWB policy, 7. Nondiscrimination-Provider agrees that no person shall, on the grounds of race, sex, handicap, national origin, religion, martial status or political belief, be excluded from participation in, denied the benefit(s) of, or be otherwise discriminated against as an employee, volunteer, or client of the provider, except that programs may designate services for specific client groups as defined in the application, Provider agrees to maintain reasonable access to handicapped persons. 8, Publicizinq of JWB Support -Provider agrees to identify JWB support on its letterhead, agency newsletter, and other printed materials, and to utilize every reasonable opportunity to publicize the support received from JWB, 9, Publications-Provider agrees to supply JWB, without charge, up to three (3) copies of any publication developed in connection with implementation of programs addressed by this Agreement. Such publications will state that the program is supported by JWB, Provider agrees that JWB will have unlimited use of copyrighted materials developed under this Agreement. . 10. Assignments and Subcontracts-Provider shall not assign the responsibility of this Agreement to another party nor subcontract for any of the work contemplated under this Agreement, unless so specified in Attachment 4, without prior written approval of JWB. No such approval by JWB of any assignment or subcontract shall be deemed in any event or in any manner to provide for the incurrence of any obligation by JWB in addition to the total dollar amount stated in this Agreement. All such assignments or subcontracts shall be subject to the conditions of this Agreement and to any conditions of approval that JWB shall deem necessary. 11, Confidential Information-Provider shall not use or disclose any information which specifically identifies a recipient of services under this Agreement, with the following exceptions: a) such information may be revealed as may be necessary to implement General Conditions 2 and 5; b) such information may be revealed as may be necessary pursuant to applicable federal, state, or local law and related regulations; and c) such information may be revealed with the written consent of the recipient, or the recipient's responsible parent or guardian, where authorized by law. 12. Return of Funds-Provider agrees to return to JWB any overpayment due to unearned funds or funds disallowed pursuant to the terms of this Agreement that were disbursed to Provider by JWB, and such funds shall be considered JWB funds and shall be refunded to JWB in accordance with its instructions. 13, Special Situations-Provider agrees to inform JWB in a timely manner of any circumstances or events which may reasonably be considered to jeopardize its capability to continue to meet its obligations under the terms of this Agreement. ' 14. Provider Staff Membership on Board-Provider agrees that provider staff shall not serve as members of the Provider's governing board. 15. Measurable Obiectives- A. Measurable objectives, objective levels and minimum service levels will be negotiated during the first sixty days of the fiscal year and will be retroactive to October 1 st. The measurable objectives, objective levels and minimum service levels of the previous fiscal year shall apply until they are renegotiated, B. In instances when measurable objectives, objective levels and minimum service levels cannot be mutually renegotiated between JWB and the provider, the matter will be referred to the Executive Director of the Juvenile Welfare Board for resolution with the agency. If resolution is not reached at this level the matter will be presented to the Juvenile Welfare Board at their January meeting for further action, 16. Waiver-JWB reserves the right to waive requirements of the above stated Agreement and General Conditions where warranted by special circumstances. 5/12/008:23:29 AM ~ Page 5 of 19 I I Attachment #2 City of Clearwater Parks and Recreation Department (Future Pros All Sports Camp) Measurable Objectives FY 1999-00 Measurable objectives for this contract are in the process of being developed with assistance from the Quality Management & Evaluation Department. They will be finalized by May 22, 2000. 5/9/00+ 4J I I ATTACHMENT 3 Service Area Provider agrees whenever possible to maintain service sites which are accessible by public transportation and convenient to the target client group. Provider will advise JWB of any changes made in service sites. The geographical service area for this agreement is as follows: Program Name Service will be provided countywide Services will be provided less than countywide, Service will be provided in the following zip codes {list m! zip codes of the target area) Future Pros All Sports Camp 33755 5/12/008:23:30 AM Page 7 of 19 (.l(l . , - I ATTACHMENT 4 BUDGETlS) The provider will deliver services according to the budget(s) following this page, Revised budgets should be submitted by the provider in accordance with the provision of General Condition 4A as found in Attachment 1 of this agreement. Provider may make budget amendments during the fiscal year in accordance with JWB forms and procedures and the budget amendment approval process published on 4/16/96. Additional copies are available from JWB upon request. In most instances, budget amendments require the approval of JWB staff. However, there are instances when providers may amend the budget and then notify the contract manager. In such instances, the following guidelines apply: a, Funded programs shall make adjustments in accordance with forms and procedures as established by JWB staff. b. A change in an individual position salary or fringe expenditure shall be considered as separate line items. The program may make transfers between individual salary and fringe lines, but such transfers may not exceed 5% of individual salary and may not exceed the aggregate amount of approved salary and fringe, c. The program may make transfers between operating expense line items of the JWB Allocation not exceeding $1,000 or 20% whichever is larger (except Administrative Cost), but not exceeding $5,000 in aggregate per amendment. d. No single line item may be adjusted more than twice each fiscal year without prior JWB approval. e. Any adjustments made by funded agencies which are not in accordance with JWB policy shall be subject to reimbursement of JWB at the discretion of JWB. No adjustment may be made after the budget amendment closing date in September. Reimbursement on per diem contracts may not exceed one-fourth of the total annual JWB allocation in any quarter of the fiscal year without prior JWB approval. Any unused per diem in one quarter may be carried over to a subsequent quarter within the fiscal year given adequate justification and with the prior approval of JWB, 5/12/008:23:32 AM -<<J Page 8 of 19 . . I 1 FORM 2 Program: Future Pros All Sports Camp Agency: City of Clearwater Parks and Recreation Department Date Created: May 12, 2000 PROGRAM CURRENT & PROPOSED OPERATING BUDGET (ROUND NUMBERS UP TO THE NEAREST DOLLAR) (1) (2) (3) (4) (5) (6) 98-99 99-00 98-99 99-00 ACCT # TITLE PROG. PROG. % JWB JWB % BUDG. BUDG. CRG. ALLOC. ALLOC. CRG. SALARY AND FRINGE ACCOUNTS 569.120 Regular Salaries and Wages $0,00 $14,994.00 100.00% $0.00 $7,516,00 0,00% 569.210 FICA $0.00 $1,146,00 100.00% $0.00 $576.00 0.00% 569.220 Retirement Contributions $0.00 $0,00 0.00% $0,00 $0.00 0.00% 569,230 Life and Health Insurance $0.00 $0.00 0.00% $0.00 $0.00 0.00% 569.240 Workers Compensation $0.00 $545.00 100,00% $0.00 $362.00 0.00% 569.250 Unemployment $0.00 $0.00 0.00% $0.00 $0,00 0.00% Compensation Total Salary and Fringe: $0.00 $16,685.00 0.00% $0.00 $8,454.00 0.00% OPERATING EXPENSE ACCOUNTS 569,310 Professional Services $0.00 $0,00 0,00% $0.00 $0,00 0.00% 569.311 Professional $0,00 $0.00 0.00% $0.00 $0,00 0.00% Services/Workshops 569,320 Accounting and Auditing $0,00 $0,00 0,00% $0,00 $0.00 0.00% 569,321 Bank Services $0,00 $0,00 0,00% $0.00 $0.00 0.00% 569.330 Court/Legal Services $0,00 $0.00 0.00% $0.00 $0,00 0,00% 569,340 Other Contractual Services $0,00 $0,00 0,00% $0,00 $0.00 0.00% 569.350 Investigations $0,00 $0.00 0.00% $0.00 $0,00 0.00% 569.400 Travel and Per Diem $0.00 $0,00 0,00% $0.00 $0,00 0.00% 569.401 Conference $0,00 $0,00 0.00% $0,00 $0.00 0,00% 5/12/008:23:32 AM ,44 Page 9 of 19 569.402 Transportation $0.00 $2,100,00 100.00% $0,00 $2,100.00 0.00% 569.410 Communications-Telephone $0,00 $0.00 0.00% $0.00 $0.00 0.00% 569.411 Communications-Long $0.00 $0,00 0,00% $0,00 $0.00 0.00% Distance 569.412 Communications-Postage $0.00 $0,00 0.00% $0.00 $0.00 0.00% and Shipping 569.413 Communication-I nternet $0,00 $0,00 0.00% $0,00 $0.00 0.00% 569,430 Utility Services $0.00 $0.00 0.00% $0.00 $0,00 0.00% 569.431 Water/Sewer/Sanitation $0.00 $0,00 0.00% $0,00 $0.00 0.00% 569.440 Rentals & Leases (Building & $0,00 $0.00 0.00% $0.00 $0,00 0.00% Land) 569.441 Rentals & Leases - $0.00 $0,00 0,00% $0,00 $0.00 0.00% Equipment - 569.450 Insurance $0.00 $0,00 0.00% $0.00 $0,00 0.00% 569.460 Repair & Maintenance $0.00 $0,00 0,00% $0.00 $0.00 0.00% Services - Equipment 569.461 Repair & Maintenance $0.00 $0.00 0.00% $0,00 $0,00 0.00% Services - Property 569.462 Repair & Maintenance $0.00 $0,00 0,00% $0.00 $0,00 0,00% Services - Grounds 569.463 Vehicle Repair and $0.00 $0.00 0.00% $0,00 $0.00 0.00% Maintenance Services 569,470 Printing & Binding $0.00 $0,00 0.00% $0.00 $0,00 0.00% 569.471 Copying & Binding $0,00 $0.00 0.00% $0.00 $0,00 0.00% 569.480 Promotional Activities $0,00 $0.00 0.00% $0.00 $0,00 0,00% 569.481 Advertising $0,00 $0,00 0,00% $0,00 $0.00 0.00% 569.493 Match $0.00 $0,00 0,00% $0.00 $0,00 0,00% 569.494 Administrative Cost $0,00 $0.00 0.00% $0.00 $0.00 0.00% 569,495 Residential Per Diem $0.00 $0,00 0,00% $0.00 $0,00 0,00% 569.496 Day Program Per Diem $0.00 $0.00 0.00% $0,00 $0.00 0.00% 569.497 Day Program Subsidy $0,00 $0.00 0.00% $0,00 $0.00 0,00% 569,498 Day Program Hourly Unit $0.00 $0,00 0,00% $0.00 $0,00 0,00% Cost 569,510 Office Supplies $0,00 $0.00 0.00% $0,00 $0.00 0.00% I I . . 5/12/008:23:33 AM .M Page 10 of 19 569,515 Participant Expenses $0.00 $0.00 0.00% $0.00 $0,00 0.00% 569.520 Operating Supplies $0,00 $7,431,00 100,00% $0,00 $7,431.00 0.00% 569,521 Food & Nutrition $0.00 $315,00 100,00% $0.00 $315.00 0,00% 569,540 Subscriptions $0,00 $0.00 0,00% $0.00 $0.00 0.00% 569,541 Books $0.00 $0,00 0.00% $0,00 $0.00 0.00% 569.542 Dues & Memberships $0,00 $0.00 0.00% $0.00 $0.00 0.00% 569.543 Educational Materials $0,00 $0,00 0,00% $0,00 $0.00 0.00% 569,544 Educational Training $0.00 $0,00 0,00% $0,00 $0,00 0.00% 569,590 Depreciation $0.00 $0.00 0.00% $0.00 $0.00 0,00% 569.600 Other/Miscellaneous $0,00 $0,00 0,00% $0.00 $0.00 0.00% 569,640 Machinery & Equipment $0.00 $0,00 0.00% $0.00 $0,00 0.00% (Capital Outlay) 569.660 Books, Publications, and $0.00 $0,00 0,00% $0,00 $0.00 0.00% Library Materials (Capital) ) I . , Total Operating Expenses: Total Program Expenses: $0.00 $0.00 $9,846.00 $26,531.00 0,00% 0.00% $0.00 $0.00 $9,846,00 $18,300.00 0,00% 0.00% 5/12/008:23:34 AM IJ4 Page 11 of 19 . , I I , FORM 3 Pr02ram: Future Pros All Sports Camp A2ency: City of Clearwater Parks and Recreation Department Date Created: May 12, 2000 PROGRAM SALARY AND FRINGE PREPARATION FISCAL YEAR 99-00 Salary In Fringe In JWB JWB Request % Time Gross Salary Program Program Request For For Fringe Position Employee In Salary 99-00 99-00 99-00 99-00 99-00 Seasonal Recreation tbh 100.00 $3,758,00 $3,758.00 $469.00 $3,758.00 $469.00 Leader Seasonal Recreation tbh 100.00 $3,758.00 $3,758.00 $469.00 $3,758,00 $469.00 Leader Program Coordinator LaTerza 2,00 $44,975.00 $900,00 $69.00 $0,00 $0.00 Recreation Programmer Dixon 100.00 $6,548,00 $6,578.00 $684.00 $0.00 $0.00 TOTALS $59,039.00 $14,994.00 $1,691.00 $7,516.00 $938.00 5/12/008:23:34 AM ,4() Page 12 of 19 . , ) I FORM 4 Program: Future Pros All Sports Camp Agency: City of CleaIWater Parks and Recreation Departmen Date Created: May 12, 2000 PROGRAM SALARY AND FRINGE PREPARATION NARRATIVE FISCAL YEAR 99-00 ACCOUNT # ACCOUNT NAME 569,120 Regular Salaries and Wages 569,210 FICA 569.220 Retirement Contributions 569.230 Life and Health Insurance 569.240 Workers Compensation 569,250 Unemployment Compensation DERIVATION OF FIGURES AND JUSTIFICATION OF INCREASE/DECREASE OR OTHER EXPLANATION AS NEEDED LINE ITEM $ AMOUNT PERCENT INCREASE/DECREASE 05/10/2000 Salaries and fringe include 80 hours of start up for orientation and camp preperation. Two seasonal leaders at $7,829/hr x 480 hrs x 2 employees, 05/11/2000 FICA is ,0765 x $14,994.00 = $1,146,00. $14,994.00 0,00% $1,146,00 0.00% New $0.00 0.00% New $0.00 0.00% 05/11/2000 $791.10 per full time employee divided by 2080 hours x 480 hours x 2 employees, $545,00 0.00% New $0.00 0,00% 5/12/008:23:34 AM AfJ Page 13 of 19 I I OPERATING EXPENSE BUDGET NARRATIVE DERIVATION OF FIGURES AND LINE ITEM $ PERCENT JUSTIFICATION OF INCREASE/DECREASE OR OTHER AMOUNT INCREASE/DECREASE ACCOUNT # ACCOUNT NAME EXPLANATION AS NEEDED 569.310 Professional Services New $0.00 0.00% 569,311 Professional New $0.00 0.00% Services/Workshops 569.320 Accounting and New $0.00 0.00% Auditing 569,321 Bank Services New $0.00 0,00% 569,330 Court/Legal Services New $0.00 0.00% 569,340 Other Contractual New $0.00 0.00% Services 569,350 Investigations New $0,00 0.00% 569.400 Travel and Per Diem New $0,00 0.00% 569.401 Conference New $0.00 0.00% 569.402 Transportation 05/11/20007 bus trips @$300 = $2,100.00. $2,100,00 0.00% 569.410 Communications- New $0.00 0,00% Telephone 569.411 Communications-Long New $0.00 0,00% Distance 569.412 Communications- New $0.00 0.00% Postage and Shipping 569.413 Communication- New $0,00 0.00% Internet 569,430 Utility Services New $0,00 0.00% 569,431 Water/Sewer/Sanitation New $0,00 0,00% 569.440 Rentals & Leases New $0.00 0,00% (Building & Land) 569.441 Rentals & Leases - New $0.00 0,00% Equipment 569.450 Insurance New $0,00 0.00% 569.460 Repair & Maintenance New $0,00 0.00% Services - Equipment 569.461 Repair & Maintenance New $0.00 0,00% Services - Property 569,462 Repair & Maintenance New $0.00 0,00% Services - Grounds 5/12/008:23:35 AM Page 14 of 19 ,A<l I I 569.463 Vehide Repair and New $0.00 0.00% Maintenance Services 569,470 Printing & Binding New $0.00 0.00% 569.471 Copying & Binding New $0.00 0.00% 569.480 Promotional Activities New $0,00 0,00% 569.481 Advertising New $0.00 0.00% 569.493 Match New $0.00 0.00% 569.494 Administrative Cost New $0.00 0.00% 569.495 Residential Per Diem New $0.00 0.00% 569.496 Day Program Per Diem New $0.00 0.00% 569.497 Day Program Subsidy New $0.00 0.00% 569.498 Day Program Hourly New $0,00 0.00% Unit Cost 569.510 Office Supplies New $0,00 0,00% 569.515 Participant Expenses New $0.00 0.00% 569.520 Operating Supplies 05/08/200030 tshirts @ $6 ea = $180 $7,431.00 0.00% Beginner golf sets 4 @$150 ea = $600 Flip score keeper = $40 5 gallon cooler = $50 Field trips: Busch Gardens-2 trips x 32 @$35ea (inc lunch)= $2240 Adventure Island- 32 @$23ea (inc lunch) = $736 Devil Rays game-32 @$7ea = $224 Q-Zar laser tag - 30 @$18 = $540 Clearwater Golf course - 10 trips x 4 people @$40 = $400 Astro skate- 2 trips x 30 @4ea = $240 Nick Bolleterri's tennis school - $300 Start up: cones 1 set (24) = $33 Pinnies 3 sets (12) @20ea = $60 Hockey sets- 2 @$198 = $396 Tennis racquets 10 @ $20ea = $200 Throw down bases 2sets = $20 Softball bats 3 @$30 = $90 Softball gloves 10 @20ea = $200 Footballs 2 @$30ea = 460 Soccer balls 2 @$15 = $30 Flag football belts 2dz @ $40/dz = $80 Volleyballs 2 @$11 = $22 Golf accessories -$100 Stop watches 2 @$15ea = $30 Equipment carrier- $100 Cups/Napkins/paper goods - $100 Awards - $300 569.521 Food & Nutrition 05/11/2000 Gatoraide drink mix $115,00 $315.00 0.00% Snacks $200.00 569.540 Subscriptions New $0,00 0.00% 5/12/008:23:35 AM Page 15 of 19 d' . . I I 569.541 Books New $0.00 0.00% 569.542 Dues & Memberships New $0.00 0.00% 569,543 Educational Materials New $0,00 0,00% 569.544 Educational Training New $0.00 0.00% 569.590 Depreciation New $0.00 0.00% 569.600 Other/Miscellaneous New $0,00 0.00% 569.640 Machinery & New $0,00 0.00% Equipment (Capital Outlay) 569.660 Books, Publications, New $0.00 0.00% and Library Materials (Capital) 5/12/008:23:35 AM M Page 16 of 19 . . I I FORM 6 Program: Future Pros All Sports Camp Agency: City of Clearwater Parks and Recreation Department Date Created: May 12, 2000 PROGRAM SOURCES OF REVENUE NARRATIVE Source Name Narrative Cash Forward From Fund Balance EMPTY Fundraising EMPTY Participant Fees EMPTY Insurance Reimbursements EMPTY Medicare/Medicaid EMPTY United Way EMPTY School Boad In-kind EMPTY Governmental The City of Clearwater Parks and Recreation Department provides in-kind staff and revenue support for this program, The Clearwater Parks andRecreation Department is funded by the City of Clearwater General Fund which receives most of its funding from Ad Valoren taxes, Other EMPTY JWB Continuation Funding EMPTY JWB Equip/Renovation Funding EMPTY JWB Other Funding The JWB Board approved funding of $18,300 for the Future Pros All Sports Camp on 4.13,2000, 5/12/002:44:45 PM ~ Page 18 of 19 . . I I I .. FORM 5 Program: Future Pros All Sports Camp Agency: City of Clearwater Parks and Recreation Department Date Created: May 12, 2000 PROGRAM SOURCES OF REVENUE 98-99 98-99 I , Actual Y-T-D Revenue 99-00 97 -98 As of Projected Thru 98-99 Future Fiscal Actual Revenue 5/12100 End Of Year Total Year Revenue % Change *Cash Forward From I I I Fund Balance I $0,00 $0.00 $0,00 $0.00 $0.00 0.00% I *Fundraising I $0.00 $0.00 I $0.00 $0.00 $0.00 0.00% *Participant Fees $0,00 $0.00 $0.00 I $0.00 $0.00 0.00% i Insurance I Reimbursements $0,00 $0,00 $0.00 $0.00 $0.00 0,00% Medicare I Medicaid $0,00 $0,00 I $0.00 I $0,00 $0.00 0.00% United Way $0.00 $0,00 i $0.00 I $0.00 $0,00 0.00% , I I I School Boad In-kind I $0,00 $0,00 I $0,00 I $0,00 $0.00 0.00% I I Governmental I $0.00 $0,00 I $0.00 $0.00 $8,231,00 0,00% I i Other I $0,00 $0.00 i $0,00 I $0,00 $0.00 0.00% I ! I i SUBTOTAL $0.00 $0,00 I $0.00 I $0.00 $8,231.00 0.00% i JWB Continuation $0,00 $0.00 $0,00 $0,00 $0.00 0.00% . JWB Equip/Renovation I $0.00 $0,00 I $0.00 I $0.00 $0.00 0,00% I JWB Other I $0.00 $0.00 I $0,00 I $0,00 $18,300.00 0.00% I TOTAL i $0.00 $0,00 I $0.00 i $0.00 $26,531.00 #Div/Ol CROSS CHECK ITEMS: FUTURE FISCAL YEAR PROGRAM EXPENDITURES: $26,531.00 "CASH FORWARD FROM FUND BALANCE: The amount of funds to be transferred forward from the agency's fund balance to the operation of the program during this fiscal year. "FUND RAISING: Any funds collected by the program of either a solicited or unsolicited nature (Donations) as well as memberships which do not entitle the donor to program services, "FEES: Charges for services rendered, This may include revenue from memberships when such memberships entitle the member to program services, 5/12/002:12:59 PM /4J Page 17 of 19 ... -" I JWB REIMBURSEMENT SCHEDULE I ~ 1999/2000 SUBMISSION DATE REIMBURSEMENT REIMBURSEMENT DATE SCHEDULE 1 09/24/99 1 % 1/99 2 10/08/99 10/15/99 3 10/22/99 10/29/99 4 11/05/99 11/12/99 5 11/19/99 11/26/99 6 12/03/99 12/10/99 7 12/17/99 12/24/99 8 12/31/99 01/07/00 9 01/14/00 01/21/00 10 01/28/00 02/04/00 11 02/11/00 02/18/00 12 02/25/00 03/03/00 13 03/10/00 03/17/00 14 03/24/00 03/31/00 15 04/07/00 04/14/00 16 04/21/00 04/28/00 17 05/05/00 05/12/00 18 05/19/00 OS/26/00 19 06/02/00 06/09/00 20 06/16/00 06/23/00 21 06/30/00 07/07/00 22 07/14/00 07/21/00 23 07/28/00 08/04/00 24 08/11/00 08/18/00 25 08/25/00 09/01/00 , 26 09/08/00 09/15/00 ~