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5249-92ASIL Aft , 1"W ORDINANCE NO. 5249-92 +a AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA, AMENDING THE CAPITAL IMPROVEMENT PROGRAM REPORT AND BUDGET FOR THE FISCAL YEAR ENDING SEPTEMBER 30, 1992, TO REFLECT AN INCREASE IN BUDGET EXPENDITURES TO EXPAND THE SCOPE OF PROJECTS IN THE FUNCTIONAL CATEGORIES OF STORM DRAINAGE, INTERSECTIONS, PARK DEVELOPMENT, MARINE FACILITIES, LIBRARY, GARAGE, MISCELLANEOUS GENERAL, STORMWATER UTILITY, AND GAS SYSTEM, AND TO REFLECT A DECREASE IN BUDGET EXPENDITURES TO REDUCE THE SCOPE OF PROJECTS IN THE FUNCTIONAL CATEGORIES OF POLICE PROTECTION, NEW STREET CONSTRUCTION, MAJOR STREET MAINTENANCE, PARKING, MISCELLANEOUS PUBLIC WORKS, PARKLAND ACQUISITION, PARK BEAUTIFICATION, CITY HALL ANNEX, MAINTENANCE OF BUILDINGS, MISCELLANEOUS, WATER SYSTEM, SEWER SYSTEM, AND MISCELLANEOUS UTILITY, FOR A NET DECREASE OF $1,620,239; PROVIDING AN EFFECTIVE DATE. WHEREAS, the Capital Improvement Program Report and Budget for the fiscal year ending September 30, 1992, was adopted by Ordinance No. 5117-91; and WHEREAS, unanticipated needs necessitate an increase in expenditures for the fallowing: Storm Drainage $28,097; Intersections $433,000; Park Development $110,799; Marine Facilities $20,267; Library $10,775; Garage $16,424, Miscellaneous-General $355,616, Stormwater Utility $8,000, and Gas System $1,252,480, and WHEREAS, funds of $2,215,191 are available to finance these projects through use of General Fund Revenues, Development Impact Fees, Infrastructure Tax Revenues, Central Insurance Fund Revenues, Recreation Impact Fees, Marina Revenues, Special Development Fund Revenues, Garage Fund Revenues, Stormwater Utility Fund Revenues, Gas System Revenues, Gas Bond Construction Funds, Sewer i? Revenues and Lease Purchase Financing, and WHEREAS, Section 41.08 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 1 of Ordinance No. 51 17-91 is amended to read: Pursuant to the Mid Year Amended Capital Improvement Program Report and Estimated Budget for the fiscal year beginning October 1, 1991 and ending September 30, 1992, 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, it copy of which is attached hereto as Exhibit A. S12 Y?'7Z 3 ht."°?,y; ?rMP,'a?r;.l1;aF,•.cii. '?`?,.#;°,,,? .?'+.fi ?;??^. •"]- Sa};. .: ?,? F 1.??.?.'..?:.. ,Section 2. This ordinance shall take effect immediately upon adoption, PASSED ON FIRST READING June 1B, 19"'. PASSED ON SECOND AND FINAL READING u1y 1992 Rita Garvey, Mayor•Commis. er Attest: Approved as to form and c rrectness: Cy lhi E. Goudeau, City Cletk M. A. Galbraith, Jr. City Attorney - 1 r, 74 ) 1•f ?, r ??:y' I} ' .1 F ?CKp 7:ylli++t'.?'1..i...y.,+fv?:-:•, C;::.?E': '. ^• EXHIBIT A RESOURCES APPROPRIATED FOR CAPITAL PROJECTS 1990191 First Qtr Hid Tear Original Amended Amatul-4 Budget Budget Budget 1991/92 199! 92 1991/92 ' Amondmanta GENERAL SOURCES: General Operating Revenue $631,630 $694,845 728,192 33,349 Special Development 0 0 2,935 2,93$ Road Hillage 1,502,785 1,502,785 1,326,107 -176,678 Infrastructure Tax 6,010,000 6,010,000 3,000,897 -3,009,103 Open Space Impact Fees 83,000 -83,000 -84,888 -1,888 Recreation Land Impact Foes 134,500 -134,500 -134,500 0 Recreation Facility Impact Fees 25,000 1,315 70,343 69,028 Development Impact Fees 285,000 285,000 768,124 483,124 County EMS 73,680 73,680 73,680 0 Transportation Impact Fees 90,000 90,000 90,000 0 Donations 0 -3,862 -3,442 420 Special Program 0 0 81925 8,925 Community Redevelopment Agency 0 0 1,926,710 1,926,710 SELF SUPPORTING FUNDSs Bridge R i R 100,000 100,000 100,000 0 Marina Operating Revenue 64,025 64,025 144,025 80,000 Parking Operating Revenue 150,000 104,192 38,769 -65,423 Utility Systems Water L Sauter Operating Revenue 4,728,000 4,728,000 2,257,640 -2,470,360 Water Impact Foos 150,000 150,000 150,000 0 Water R 6 R 495,000 495,000 495,000 0 Saver Impact Fees 300,000 100,000 100,000 0 " Sewer R L R 778,000 778,000 778,000 0 Cas Revenue 578,250 576,250 1,174,310 596,060 Gas R L R 200,000 200,000 200,000 0 One Bond 0 0 652,480 652,480 Solid 1lasca Revenue 415,000 415,000 409,275 -5,725 Stormwater Utility 1,046,420 1,046,420 1,054,420 8,000 INTERNAL SERVICE FUNDS Garage Fund 84,710 84,710 71,773 -12,937 Central Insurance 0 0 216,870 216,870 General Services 0 0 -116,521 -116,521 BORROWING - GENERAL SOURCES Leaaa Purchase 1,139,450 1,169,299 1,329,794 160,495 BORROWING - ENTERPRISE FUNDS Marine/Borrowing 250,000 250,000 250,000 0 Bridge/Internal Loan 2,000,000 2,000,000 2,000,000 0 Water/Sewor Borrowing 1,300,000 1,300,000 1,300,000 0 BORROWING - lFrltlUiAL SERVICV FUNDS Garage Lease Purchase 1,795,500 1,795,500 1,795,500 0 7WAL ALL FUNDING SOURCESs $24,209,950 $23,794,657 22,174,418 -1,620,239 i { S soz ?9 - y'? CAPITAL IMPROVB!l W PROGRAM FOR FISUL YFAR 19911 92 CITY OF CLKARWATSA First Qrr Hid Toar Original Amended Amended Budget budget budget 1991192 1991192 1991192 AmemAwmta Police Protection 0 -12,567 -104,370 -91,803 Fire Protection 547,680 547,680 547,680 0 New Street Construction 1,500,000 1,500,00U 625,047 -874,953 Major Street Maintenance 1,437,785 1,437,785 1,387,785 -50,000 Sidewalks Z Dike Trails 925,000 276,055 276,055 0 Storm Drainage 235,000 235,000 263,097 28,097 Intersections 135,000 135,000 568,000 433,000 Parking 1500000 150,000 90,681 -59,319 Hiscellanaous Public Works 100,000 100,380 -29,691 -130,071 Parkland Acquisition 517,500 82,500 80,612 -1,888 f Park Development 289,000 342,740 453,539 110,799 Park beautification 30,000 30,000 -12,026 42,026 Marine Facilities 4,050,000 4,084,025 4,104,292 20,267 Libraries 670,030 699,879 710,654 L0,775 Garage 1,880,210 1,880,210 1,896,634 16,424 City Ball Annex 0 0 •14,160 -14,160 Maintenance of Buildings 144,905 107,925 -8,225 -116,150 Miscellaneous 546,670 506,875 862„491 355,616 Stormwater Utility 2,796,420 2,796,420 2,804,420 8,000 Water System 1,336,500 1,336,500 1,273,201 -63,299 :s Sewer System 6,278,000 6,278,000 3,876,364 -2,401,636 a? Gas System 818+250 818,250 2,070,730 1,252,480 . Solid Waste 462,000 462,000 462,000 0 r; Miscellaneous utility 0 0 -10,392 -10,392 70 AL ALL FUNDING SOUR=: 24,209,950 23,794,657 22,174,418 -1,620,239 'r- ,?? l -. 1 2 ,, t