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5553-94 0 11111"ANCE NO. 5553-94 IE C THE CITY - EA �AN ORDIAA IAT A - s�"�i a.�3.NT- RYa I �.-W PROD .A .R POW �s`'ND BUDGET OR TFE FISCAL EIAR�.�I ING SEPTEMBER 30, 19194, TO REFFLECT�AN INCREASE IN 'BUDGET EXPENDITURES TO EXPAND THE SCOPE Ox­ PROJECTS IN THE'FUNCTIONAL CATEGORIES OF POLICE PROTECTION, PARS DEEIOPh1ENT, BEAUTIFICATION, MARINE 17ACILITIES, GARAGE, MAINTENANCE OF BUILDINGS, G ENEiAL PUBLIC BUILDINGS MISCELLANI OUS, AND RECYCLING AND, TO REFLECT A DE CREASE IN BUDGET EXPENDITURES TO REDUCE! THE SCOPE OF, PROJECTS IN THE FUNCTIONAL. AiEGCIRIES OF NEW STREET CONSTRUCTION,`SIDEWALKS &EIRE 'S, i4IISC,ELLANEOUS PUBLIC WORKS,AND SOLID WASTE,FOR A NET INCREASE,OF 1,291,565; PROVIDING AN EFFECTIVE DATE. , VVHEAEAI.S;, the Capital Improvement Program Report and Budget for the fiscal year ending Septe ber 3t3, 1994, w ;s arlsipted by Ordinance No 5458-93; and WHEREAS', unanticipated`needs necessitate an increase in expenditures for the following: Police Protectiori$121,498;PaikE evelopment$144,391;Beautitication$55;Marine Facilities$139,037;Garage$15,425; Maintenance of Buildings lQ,��C ,General Public Bun €I Miscellaueo�,is$270,434;and Recycling$850,5111;and W14EREAS; fames of$1,551,351'srP available to finance these projects through use of Ge�eral Fund revenues, Special Development Fund Revenues Special Program Fund Revenues, Road Mil age, Infrastructure Tax Rewen'ues, I,oca1 Option Gas Tax, Con-anunity Redevelopment Agency Revenues, Marine:Fund Revenues,Gas Fund Reaenve;s, Solid.Waste Fund revenues, Recycling Fund Revenues, Insurance Find Revenues, and Lease Pw hase Funding. and WH EREAi, Section 2.519 of the Clearwater Code authorizes the City C-onunission to provide for the expenditure of money -6r proper;purposes not cotatained,in the budget as originally adopted due to unforeseen c:rcumsa.arnces or emergencies arising during the fiscal year; NOW„TIIEREFOR.E, ICE IT ORDAINED BY THE CITE' COMMISSION OF THE CITY : 1F CLEARWATER, FLORIDA; Section :., Section-I of Ordinance No. 5458_93 is amended to read; e de 'Improvement Program Report Pursuant to the First Quarte the r Amended ed C= ital P I p p and Estimated'Budg et for the fiscal year beginning October, 1, 1997 and ending g September 30, 1994. a copy of which is on file with the City Clerk, the City Co ssion hereby :adopts a FirstQuarter Amended budget for the capital irnproveingnt fund for the City of`:learwaier, a copy of which is attached hereto as Exhibit A. Section 2.:This ordinance shall take effect immediately upon adoption PASSED ON FIRST READING March 3, 1994 r�- March <-1994 II PASSED ON SI�.COND Atrka�P FIN�,.l_ READING , ita Garvev. Mayor-Cornittissio e Attest, Approved as to form °nd correctness: Cy'. ^ia E. Goudeaar, Cg.; Ci6r.� M. A. Gatl? ith, Jr , iiy Attorney 1 I ' c2 3 v "HiETT .,C_ r3 First Qtr Original ended uudget gadget 1993/94 1993 r 4 Amendments _ _ _ i 49 Poli�� �ratactson ' 1-'�>8 000 1569,498_ .P+12, k1 Fire Protection 343.930 343,530 New street Construction. 1,000,000 950,800 -50.0001 Major street Mais-itena"Ice r 1,475,000 1,475,070 Sidewalks & Bike Trdits 300,000 280,000 -20,000 Intersections 1,285,000 . 1,285,000 Xi scet 1 aPublic! Wd rks 0 -36,140 36,140 Park Developwent ' 1,615,914 1,760,305 144,591 Bea ti f. cation 0 55 SS Mariam iFaeitities 2,195,500 2,334,537 139,037 Librar; '450,000 450,000 Garage . 1,507,500 1;522,925 15,425 Maintenance of Buildings; 210,000 220,000 10,000 City.#all 10,800,000 10;800,000 Ganarat Public Buitdan' Mi:sc 728,740 999,174 270,434 Stors ster tltitil.� 1`484,000 1,484,000 dater rtes 1`,890,000 :1,890,000 se►terystegi 2,180,500 2,180,.500 Gas system 7,740,800 7,740,£00 Soo id Waste 345,000 191,354 -153,646 Pec cH ng 0 850,511 850,511 TOTAL 36,999,M 38,291,449 1,291,565 ---- ------ - i i � I .G "�� - z EXHIBIT A (Conti nued) e _ I NN aF gu0 fi. tr0kt First 01'r uriginat Amended Budget Budget 1993/94 3993194 Amendments , mw L Sa°�LES: --------- - €� 1 rat rani" -Revenue 825 250 997250 72'.000 Generat Reven4Conity^ E95 73,680 73,680 Special Development: Fund 0 86,409 86,409 Special Program Fume 0' 5,000 5,000 Road Fditlage 1,479,040 1,479,040 R�+ad, lttag /P . c^'dear 35,960 219,718 183,758 Transportation ;Impact Fees 490,000 102,932 -387,068 Infrastructur Tax; 5,745,914 5,854,220 108,306 LocaL Option Ga's €ax 650,000 750,000 100,000 Local Option Ga� T�x,(Prior Year 0 16,901 16,901 Doty Redevetodxrent Agency 0 250,314 250,314 SELF SUPPOPTING .FUNDS:' Bridge R & R ( 100,000 100,000 Marine operating Ra.v9enue 20,000 67,037 47,037 Parking Revenue 16,500 16,500 Utility System ; ' Water & Sewer Rearenue 2,555,000 2,555,000 Water R & R 835,000 835,000 Sewer Impact . 50,000 50,000 Sewer R & R 650,€100 650,000 Gas Reversue 4 300,000 3,391,520 3,09 ,520 Gas' R & R 221,000 221,000 Solid Waste;R;evehue 345,000 1,994;474 1,649,,474 Stor water Ut'it41y 1,393,500 1,393,500 Recycling Reac7ue ; 0 583,371 583,371 INTERNAL SER'VIL`E 'FUNDS_ ; Garage;Fund ' 37,000 37,000 Insurance Fund ; 0 10,425 10,425 BORROWING- Intern-at dior rowing. 650,000 1 650,000 Lease Purchase } 1,765,240 2,230,878 465,638 Revenue Bond 10,000;000 10,000,000 SELF-StdPPORTING SUNNIS Solid Waste 8"/P,H0r Year 0 2,000,000 2,000,000 Suter Rev-Least�/Purt hAsze xn nnn tin n00 Gas Bond Issue , 7,,219,800 4,128,280 3,091,520 INTERNAL SERVN 2-N S- Garag^e,Lease/PLirchase 1,470,500 1,470,500 Admin Svc Lease/Pu,�6nase 11,500 11;500 TOTALS: 36,999,884 38,291,449 1,291,565 �I i