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5911-95 ORDINANCE NO. 59111-9 AN ORDINANCE OF THE CITY OF CLEARW TER, FLORIDA, AMENDING THE CAPITAL IMPROVEMENT PROGRAM REPORT AND BUDGET FO THE FISCAL YEAR ENDING SEPTEMBER 30, 1995, TO REFLECT AN INCREASE IN BUDGET E I?E; '1'TURES''T`O EXPAND THE SCOPE OF PROJECTS IN HE FUNCTIONAL CA' `E OWE'S OF MISCELLANEOUS ENGINEERING, CITY HALL, BUILDINGS EQV1 MjSI ,r MISCELLANEOUS,STORM-WATER UTILITY,STATER SYSTEM,GAS SYSTEM, SOLID WASTE, AND RECYCLING,AND TO REFLECT A DECREASE INN BUDGETT 'EXPENDITURES TO REDUCE THE SCOPE OF PROJECTS IN THE FUNCTIONAL CATEGORIES OF MARINE FACILITIES,AND SEWER SYSTEM,FOR A NET WCREASE OF $2,908,621; PROVIDING AN EFFECTIVE DATE. WHEREAS,the Capital Improvement Program Report and Budget foa the fiscal year awnding September 10, 1995 was aiopted by Ordinance Igo. 5650.94 and VVHE EAS,wmnticipated needs necessitate an increase in expenditures for the following:Miscellaneous Engineering $30,0001,'City Hall 13I,493; Miscellaneous Building Viz.Equipment $1,799,016; St+arm aNw Utility $9,016;Water Sy m$2t 1,0W;Gas System$695,259; Solid Waste $25,000; and Recycling$10,860; and ;.'EREAS, funds of$2,908,621 are available to finance these pro w--ts through use of CBenoradl Fund Revenues,Inf: t cture`raxe;Bridge Revenues,Marine Revenue,Mater&Sewer Revenues,Gas Revenues,Solid Waste Revena ,,R ycling Revenues, Administrative Services Fund Revenues, mid )AaffiREAS, Section 2.51:9 of the Clearwater Code authorizes the. City Commission to provide for the expenditure its of nwney for proper purposes not contained is the budget as originally adapted dune to unforeseen circumstances or emergencies arising during the fiscal year; NOW, T HM l ORE,BE IT ORD.AI`hED BY THE CITY.. COMMISSION OF THE CITY OF CLEARWATER, FLORIDA; TEA; Section L Section I of Ordinance Pao. 5690-94 is amended to read: Purswnt to the Third Ouarter Amended Capital Irapr vement Program Deport and Estimated Budget for the fiscal.year beginning October 1, 1994 and ending September 30, 1995, a coley of which is on file with the City Clem, the City Commission hereby adopts as 'r aa.rter Annended budget for the capital i sroveme'nat fund for the City of Clearwater, as copy of which is attached hereto as Exhibit A. Section:2. This ordinance shall tape effect immediately upon adoption. PASSED ON FIRST READING S e p t earb e r 7, 1995 PASSED ON SECOND AND FINAL READING epteirbeT 21, 1995 � m r Nita Clair eys Mayor- "otxkmi .s er f Attest Approved as to form and legal sufficiency: CyiTia E. Goudeau, City Clerk Pamela K. Akin, City Attorney { EXHIBIT A 8-25-95 CAPITA! KPROVEME'NT PROGRAM FOR FISCAL YEAR 1994195 First Qtr Mid Year Third Qtr Original Amended Ai nded A nded Budget Budget Budget Budget 1994/95 1994/45 1994/95 1994/95 Aistents: GEbIE Ash SO41RcE --------- ............ General Operating Revenue 4,243,33°? 4,670,718 5,233,438 6,169,931 936,49 General Revenue/Comity EMS 73,4:.0 73,680 73;6 '? 73,680 Special Oa t 4it FO,,° 1,918,000 1,918,370 2,345,401 2,345,401 Cmmwwty R vel. �er+t Agency 0 814,090 814,090 814,090 Road Mitt 1,527,940 1,527,940 1,527,940 1,527,940 Recreation F ilia Ir act Fees 0 90,731 90,494 90,494 7r sportat Iw;*r:t Fees 90,000 90,000 90,000 90,000 Recreation. Lard ImVxtct Fees 0 49,000 99,000- 99,000 I Downtown Trans I ct Fees 0 29,630 29,630 29,630 Infrastructure Tax 7,055,914 10,079,563 8,655,53& 9,565,050 90?9,51�i Dram lWact Fee, 50,960 50,960 50,960 50,960 I1e4elcpw�emtt Eff"ct Dees 100,1700 100,000 1060,000 100,000 Grant 233,020 272,498 272,490 272,498 ReiWwrs t frwi NM 0 14,338 14,338 140338 t FENA 0 64,673 64,673 64,673 E Property 04mrs Share 0 2,400 2,400 2,400 ri Dmutions 0 368 368 363 Proceeds fr sate of studge farm 0 21;850 28,250 28,250 Other K=icipatittes 0 212,883 1,408,405 1,408,405 Special Program Fund 0 0 6,0000 5,944 -6 t Reotat Fees 0 0 13,080 13,080 I BELT: SUPPORTING PU S: i Bridge Revel 0 25,000 25,000 25,000 Brims R & R 100,000 100,000 100,000 100,000 Marine grating Revenue 35,000 35,000 35,000 55,000 20,000 j Parking Rey 98,000 98,000 153,255 153,255 I.atit "ty S}stem2 Mater 8 Sir Revenue 2,513,000 2,513,000 1,317,483 1,517,483 200,000 Water Impact Fees 100,000 100,000 100,000 100,000 Water R & R 1,200,000 1,200,000 1,200,000 1,200,000 Sewer Impact 50,000 50,000 50,000 50,000 Sewer R & R 661,000 661,000 661,000 661,000 Gas R tr u X7,53 d,vov,1.v -2,107j322 b95,7_S3 Gas R & R 233,000 233,000 233,000 233,000 Solid Waste Revenue 370,000 370,000 370,000 395,000 25,000 Stormwater Utitity 1,310,320 1,310,320 1,310,320 1,310,320 R&:yclinq Revenue 173,000 193,800 193,800 204,660 10,860 Recyciing Grant 175,000" 175,000 175,000 175,000 Harborview Center 0 0 0 100,000 100,000 1 9 EXHIBIT A (Continued) 8-25-95 CAPITAL TAL IMP ROVE9ERT PROGRAM FOR FISCAL YEAR 1994/95 First Qtr Mid Year Third Qtr or i S:i ne" :waded Amended Amended Budget Budget Budget Budget 1994;195 1994/93 1994{95 1994/95 Amenc wnt3 RERAL SOURCES: IMTER AL SERVICE FMS: Gar Fund 54,500 54,500 172,500 172,500 Admin Services Fund 261,000 261,000 320,000 329,100 4,100 General Services Fund lis,000 115,000 0 0 BORRUIXG: Lease Purchase 200,540 200,540 1,980,216 1,982,616 2,400 EmW Issude • Svc Bldg 1,000,000 1,000,000 338i340 330,340 Internet Borrowing 0 0 -978,000 -978,000 SELF-SUPPORTI€#G FUNDS: Water & Sewer Lease/Puirc;ease 38,000 38,000 35,000 38,000 Recycling Lease/Purchase 227,640 227,640 227,640 227,640 Gas Bond Issue 4,710,000 9,543,275 2,378,401 2,378,401 Water & Sewer Loan 300,000 300,000 0 0 "ester Bond 0 70,000 70,000 INTERNAL SERVICE FUNDS: Garage Lease/Purchase 1,546,000 1,546,000 1,546,000 1,546,,000 Gen Svc LeaaseiPurchase 17,100 17,100 17,100 17,10+ Admin Sac Lease/Purchase 148,620 148,6620 148,620 143,620 TOTALS: 30,957,564 37,594,905 30,266,274 33,174,595 2,908,621 c� ?'6 1 'r d E HISIT A (Continued) 8-25.95 CAPITAL IMPROVEMENT PR00R,AM FOR FISCAL YEAR 1994195 First Qtr Mist Ypar Third Qtr Original Amended Amer c3 Amended Budget 8>xlget Sudget Budget 1994,195 1994195 1994 '95 1994145 Aserrdpeaits Polace;Protection 0 48,623 478,074 478,074 Fire Protectim 94,680 94,630 369,680 169,680 Kew Street Co€strcxtion 2,300,000 2,300,000 801,199 801,199 Fiajor Street Maintanance 1,488,900 1,48 ,900 1,480,900 1,483,9900 Sidevalks & Bike Trails 400,O00r 400,000 400,000 400,00 Storm Dralmige 0 0 -6,465 -6,485 Intersections 535,000 644,236 446,236 446,236 Parking 50,000 50,000 50,000 50,000 Miscellaneous Engineering 0 30,000 30,000 60,000 30,000' Lam$ Acquisi-ti on 0 150,000 15€1,000 150,000 Park Deveiopmnt 6965,600 829,833 1,051,631 1,051,631 Beautification 0 -61,233 -61,233 61,233 Marine Facilities 303,000 328,000 125,495 106,398 -19,017 Libraries 685i300 699,228 8161,539 816,539 Gar W` 1,640,500 1,600,500 1,600,500 1,6007500 MainteTtance of Ssail,dings 190,000 199,510 199,510 199,510 City Hail 7,105,644 7,520,644 7,282,471 7,413,964 131,493 Rldgs & Equipment Misceitaneous 3,000,960 6,850,928 7,902,840 9,728,8566 1,826,016 Storragater Utility 1,710,320 1,710,320 1,922,441 1,931,457 9,016 (dater System- 2,215,000 2,217,400 1,990,223 2,190,223 200,000 Sewer System 2,566,000 2,703,840 2,584,705 2,584,-599 -6 Gas System 4,968,000 6,718,688 -225,180 470,079 695,259 Solid Waste 370,000 370,3688 232,692 257,692 25,000 (Utilities Miscellaneous 102,000 102,000 102,000 102,000 Recycling 575,640 596,440 734,116 744,976 10,860; TOTAL 30,957,564 37,594,905 30,266,274 33,174,895 2,908,621