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5679-94 OPERATING BUDGET ORDINANCE „ ? ORDINANCE NO. 5679-94 AN OkD 1S[ANCE OF THE CITY OF CLEARWATER, FLORIDA, ADOPTING AN OPERATING BUDGET FOR THE FISCAL YEAR BEOINIV'INt a OCTOBER 1, 1994, AND ENDING SEPTEMBER 30, 1995; AUTHORIZING THE CITE'MANAGER TO ISSUE SUCH INSTRUCTIONS THAT Ate NECESSARY TO ACHIEVE AND ACCOMPLISH THE SEI%WCE,PROGRAMS SO AUTHORIZED p AUTHORIZING THE Cl"IY MA.NAGEIR TO TRANSFER MONEYS AND PROGRAMS AMONG THE DEPARTMENTS AND ACTIVITIES WITHIN ANY FUND AS PROVIDED BY ClHIAPTER 2 OF THE CLEARWATER CODE OF ORDINANCES; PROVIDING' AN EFFECTIVE BATE. i WHEREAS, the City Manager has submitted an estimate of the expenditures necessary to(carry on the City government for the fiscal year beginning October 1, 1994, and ending September 30, 1995; and E WHEREAS, an estimate of the revenues to be received by the City dining said period from ad rralorern relies and other soUrce:a has been submitted to the`City Commission; and WHEREAS,a.general summary of the operating budget;and notice of the tunes and places where copies of the budget message and operating budget are available for inspection by the public, was published in a newspaper,of general circulation.; and I WHEREAS, the City Commission has examined and carefully considered the proposedt bi dget; and WHEREAS; in accordance with!Chapter 2 of the Clearwater Code of Ordinances, they City Commission conducted a public hearing in City Fall on September 1, 1994, upon said budget and tax levy;III Hove, therefore, BE ITi ORDAINED BY THE CITY COMMISSION OF THE CITY OF CLEARW,ATER, FLORIDA.; Section L Pursuant to the City'Manager's Annual Report and Estimate for the fisc4 year beginning October 1, 1994, and ending September 30, 1995,a copy of which is on file with the City Clerlo, the City Commission hereby adopts a budget for the operation of the City, a copy of which is attached hereto as Exhibit A. Section 2. The budget as adopted shall stand and be the budget of the City for said fisYai year, subject to the authority of the City Commission to amend or change the budget as provided by Section 2.514 of the Clearwater Code of Ordinances. Section 3, The City Meleager is authorized and directed to issue such instructions and. directives that are necessary to achieve and accomplish the service programs authorized by the adoption of this budget. I �� , i jection!4-The City Manager is authorized for reasons of economy or efficiency to tray,sfer part or,all of any,unencumbered[appropriation balance among programs xvithin an operatiAng fr�ad,.Isrovided szu,�a actaa�ra aloes not result in the'dis�ontinuabce of a program. Sects 5" It is the intent of the City Commission that this budget, including amendmenLa thereto iIs adopted to permit trine legal appropriation and encumbering of fiends for the purposes set forth in the budget. All appropriated and edcumr Bred but unexpended ids at the end of the fiscal year may be expended cin�ring the subsequent fiscal year fair the purposes for which they were appropriated and er;cvmbered, and such expel nditures . sliall be deed to hive been spent out of the current budget allocation.,it shall nest be necessary to reap; ropriat6 additional funds in itng budget for the subsequent fiscal year to cover valid open encn� brances outstasndi:ag as of the end of the current fiscal year. Section b. Should any±provision of this ordinance,be declared by any court to be invalid,the same C shall not affect the alidi�ty of trine ordinance a-whole, or any provision thereof, other,than the provision declared to b invalid. Section 7!. This,ordinance shall take effect October 1, 1994. PASSED ON FIRST READING September 1 , 1994 PASSED ON SEG��,A�£I5 FINAL September 15 , 1994' R Iytl`TG AS AMEhT1�"bED� 3 , F I Rita Garvey, Mayor--Oommissiei:er 1 Attest. Clerk O Chia E :Gsrudeau, City Clerk Approved•�reai as to f and rrectn ess: "irrrnet tc rn, C it Attorney Al S. q . y ' i J+ 5 ]EXHIBIT A 1 f -95 BUDGETED REVENUE 1999 g3� Actual Budgeted Budgeted et3 d I l ReE9 @31LtR3s ' Revenues Re Ienuee; g,l 1992/93 1953/94 1994/95 GENERAL FUND: Property`" Taxes i 18,967,102 18,968,810 i8 375,230 Sales Tax Revenue 3,,768,465 4,069,1300 4h,270,220 Franchise bees 5,113,368 51085,000 51867,x'20 Utility Ta;;zes l 1001 740,616 1.0,560,560 12 1 036,800 Licenses <2,141,738 2,408,500 2 ,148,5001 Fines. aid Penalties 1,500,'244 1,531,000 1 649,000 a Intergovernmental 3ReFenues 6,767,991 6,,X49,750 7 320,410 C Sar ea for Cu.rrerit Ewv ices 930 362 1,094,200 1 061,220 Use 'ands Sale of city Property and Money 1,203,328 1,361,400 ii 350,000 Miscellaneous Revenues 49,472 10,000 18,500 Administrative Seatvi.ice Charges 2,704,970 2,8.61,640' 3 076,150 Other Service charges : 1,958,711 1,563,890 1,671#960 Ihterfund Chargesi , 2,752,93fl 3,7049350 3,830,6709 Transfer from Surplujs 2,941,330 0 3,036,330- I TOTAL GENERAL F M 61,540,6107 59,268,1x0 66,272,310 i I SPECIAL"RE E F NDS:I a Special Devolopmesnt 9.,549,180 8,760,914 111,047,314 Special Program Fxindl 1,566,945 1,111,000 1,211,400 d RPRI SE S: � � Water & Sewer Fund 34,035,059 33,321,500 33,748,500 Stormwater Utility Fund 3,508,541 3,,579,050 3 529,000 Solid Waste Fund 1 12,985,449 12,563,000 111,989,060 R�aa"Futad 13,'036,271 16,335,000 17,7m6,610 Recycling Fund 0 " ` 0 2,720,070 Bridge Fund 1,774,7,97 3.,1680,100 1,695,200 Marine Fund' i 1,698,544 1,717,340 1,822,750 Perking Fund 2,`405,583 2,286,110 21;485,410 Pier 60 Fund 14.7,205 257,300 305,680 Harborview Center;FUnad 0 0 90,000 INTERNAL SERVICE FUNDS Administrative Ser vices 4,085,088 4,191,220 4 ,500,070 General Services 2,392,202 " 2,507,570 2,687,240 Garage Fund' 6,259.,032 7,280,460 i 273,8,,60 Central Insurance Fund 7,173,739 7,847,950 £1,360,910 TOTAL ALL FUNDS' 162,258,642 162,706,634 17fi,444,384 . gy I i 1 EXHIBIT A (Continued.) 8-19-94 1994-95 BUDGETED EXPENDITURES Actual 'Budgeted Budgeted Expenditures Expenditures �;s�pe�adi tsa es 2992/93 1993/94 1994/95 GEMRAL FUND City, commission 166,250 171,100 168,070 'Administration 1,738,,242 2,008,030 2i,,266i 860 Legal 907,236 811,130 1,000,134 City Clerk 525,742 577,660 62 9,516 DQ / dintratsoG 340,925 193,560 0 1nio Mgmt/Community Outreach 157,316 2141050 451,260 'Finance Department 1,477,284 1,267,790 1,284,310 Human Resources 808,060 809,320 855,270 Police 18,345,350 19,764,760 201597,460 Fire 9,194,997 9,842;790 9,962,L-10 Economic Development. 305,392 520,700 447,330 Central Permitting 1,733,266 1,442,880 1,755,600 Engineering' Depar�tment 4,589,410 4,;882, 60 4,535,170 Public Works 1,387,476 1,514,520 1 559,410 Airpark 57,129 60,150 61,750 Parks and Recreation 8,982,580 9,589,480 9,719,010 I,ibrary, 3,089,430 3,196,370 3;766,360 Sailing Center . ` 72,793 78,400 110,680 1�qn Departaaental 6,641,818 2,322,970 ?,102,120 TOTAL tE ; 60,521,596 59,268,120 66,272,310 SPECIAL REMWE FUNDS 31 special Developmeht � 6,587,805 8,760,9.14 12,047,314 special Program Fund 871,260 1,021,000 1 111,000 ENTERAUSE FUNDS 4 .I` Water & sewer Fund 31,144„594 32,951,,42G 3e,697,.360 Stormwsater Util ry Fund 3,248,536 1 3,579,050 1 ,529,000 Solid Waste Fund 12,026'f330 12,218,580 1111,804,280 Gas Fund 12,300,105 15,008,480 1=_'x,819,980 Recycling Fund 0 0 1,591,250 Bridge Fund 1,209,897 1,068,060 975,980 Marine Fund 1,737,514 1,587,220 1 ,735.450 Perking Fund 2,495,146 2,266,420 2,411,560 Pier 60 Fund 173,075 226,400 305,680 Harborview Center Flnd 0 0 90,000 INTERNAL SERVICE �p Administrative 3 15 369 4,137,000. 4 494 310 '. . �:�rV..��.��J 8� / . ". P f General Services 2;6261620 2,507,570 x,601,650 Garage Fund' 6,875,953 7,280,460 '7,242,020 Central Insurance Fund 94,0613,518 6,941„760 - ,599,283 TOTAL Ali, KOIDS 154,797,418 158,8221454. 171L,328,424 C ''i