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6163-97ORDINANCE NO. 6163-97 AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA, AMENDING THE OPERATING BUDGET FOR T14E FISCAL YEAR ENDING SEPTEMBER 30, 1997 1.0 REFLECT INCREASES AND ' DECREASES IN REVENUES AND EXPENDITURES FOR THE GENERAL FUND, SPECIAL DEVELOPMENT FUND, SPECIAL PROGRAM FUND, WATER AND SEWER FUND, GAS FUND, SOLID WASTE FUND, STORMWATER UTILITY FUND, RECYCLING FUND, MARINE FUND, PARKING FUND, HARBORVIEW CENTER FUND, GENERAL SERVICES FUND, GARAGE FUND, CENTRAL INSURANCE FUND AND ADMINISTRATIVE SERVICES FUND, AS PROVIDED HEREIN; PROVIDING AN EFFECTIVE DATE. WHEREAS, the budget for the fiscal year ending September 30, 1997, for operating purposes, -including debt service, was adopted by Ordinance No. 6087-96; and WHEREAS, at the Mid-Year Review it was found that an increase in expenditures of $514,836 is necessary in the General Fund; an increase of $1,986,025 is necessary in the Special Program Fund; an increase of $40,000 is necessary in the Water & Sewer Fund; an increase of $321,039 is necessary in the Gas Fund; an increase of $122,590 is necessary in the Marine Fund; an increase of $4,760 is necessary in the Parking Fund; an increase of $6,300 in the General Services Fund and increase of $19,888 in the Garage Fund; and that sufficient revenues are available to cover these additional expenses; and WHEREAS, a summary of the amended revenues and expenditures is attached hereto and marked Exhibit A; and 3.? WHEREAS, Section 2.519 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. 6087-96 is amended to read: c Pursuant to the Amended City Manager's Annual Report and Estimate for the fiscal year beginning October 1, 1996 and ending September 30, 1997 a copy of which is on file with the City Clerk, the City Commission hereby adopts an amended budget for the operation ofthe City, a copy of which is attached hereto as Exhibit A. Section 2. This ordinance shall take effect immediately upon adoption. PASSED ON FIRST READING June 19 , __ 1997 PASSED ON SECOND AND FINAL READING Attest: Cyn a E. Goudeau, City Clerk JuXy? 17, 19.9 Rita Garvey, Mayor-Com ' s n Approved as to form and legal suffieienc : a? ?, Pa vela K. Akin, City Attorney EXHIBIT A , 1996.97 BUDGET REVENUE First Quarter Mid Year Original Amended Amendod Budget Budget Budget 1996197 1996197 1996197 Difference General Fund: Property Taxes 19,824,890 19,824,890 19,824,890 Sales Tax 4,532,590 4,532,590 4,475,000 -57,590 Franchise Foos 7,451,180 7,451,180 7,527,950 76,770 Utility Taxes 13,982,880 13,982,880 13,982,880 Licenses & Permits 2,432,000 2,432,000 2,528,000 96,000 Fines, Forreltures. or Penalties 1,434,000 1,434,000 1,211,500 -222,500 Intergovernmental Revenue 7,3667,700 7,538,630 7,665,170 126,540 Charges for Services 1,510,240 1,513,240 1,458,445 -54,795 Use and Sale of City Property and Money 1,811,800 1,811,800 1,422,170 -389,630 Miscellaneous Revenues 106,680 106,680 90,280 -16,400 lnterfund Transfer 9,778,230 9,833,230 9,873,230 40,000 Transfer from Surplus 500,000 799,894 1,716,335 916,441 Total, General Fund 70,732,190 71,261,014 71,775,850 514,836 /gam) Special Revenue Funds: <r• Special Development 8,482,680 8,512,680 8,597,680 85,000 Special Program Fund 1,158,000 2,405,428 4,391,453 1,986,025 Utility & Other Enterprise Funds: Water & Sewer Fund 38,791,040 38,875,670 38,915,670 40,000 Gas Fund 19,975,550 19,975,550 19,982,260 6,710 Solid Waste Fund 13,654,720 13,493,720 13,213,720 -280,000 Stormwater Utility Fund 4,171,840 3,643,210 3,664,000 20,790 Recycling Fund 2,380,260 2,385,500 2,276,330 -109,170 Marine Fund 1,954,500 1,967,460 2,128,580 161,120 Parking Fund 2,582,060 2,582,060 2,586,820 4,760 Harhorview Center Fund 1,863,440 2,049,731 1,671,545 -378,186 Internal Service Funds: Administrative Services Fund 6,036,330 6,127,700 5,913,630 -214,070 General Services Fund 2,340,340 2,365,340 2,411,010 45,670 Garage Fund 7,940,960 7,957,735 7,957,735 Central Insurance Fund 8,792,980 8,792,980 8,720,110 -72,870 Total, All Funds 190,856,890 192,395,778 194,206,393 1,810,615 .1d 6112196 Ordinance #6163-97 EXHIBIT A (Continued) 1996.97 BUDGET EXPENDITURES AM. riginal Budget 1996197 First Quarter Amended Budget 1996197 Mid Year Amended Budget 1996197 ifference General Fund: City Commission 201,680 246,880 272,120 25,240 Administration 2,967,940 2,978,993 2,983,673 4,680 Legal 1,075,650 1,075,650 1,074,880 -770 City Clerk 675,720 675,720 687,490 11,770 IM - Community Outreach 626,920 626,920 626,920 Finance 1,340,090 1,340,090 1,365,570 25,480 Human Resources 723,330 723,330 755,120 31,790 Police 23,769,360 23,769,360 23,780,010 10,650 Fire 10,779,070 10,801,070 10,760,900 -40,170 Central Permitting 1,864,760 1,904,760 1,912,260 7,500 Economic Development 449,770 449,770 449,770 Parks & Recreation, 10,380,010 10,420,955 10,411,291 -9,664 Library 4,187,130 4,201,050 4,201,050 Engineering 4,991,970 4,991,970 4,940,300 -51,670 Public Works 1,665,660 1,665,660 1,665,660 Engineering -Airpark Coordin 59,260 59,260 59,260 Marine - Sailing Center 124,480 124,480 124,480 Marine - Pler 60 . 269,780 269,780 269,780 ,+AW+) Non-Departmental 1 ?'CCF 4,579,410 4,935,316 5,435,316 500,000 Total, General Fund 70,732,190 71,261,014 71,775,850 514,836 Special Revenue Funds: Special Development Fund 8,048,590 8,131,613 7,689,260 -442,353 Special Program Fund 1,058,000 2,305,428 4,291,453 1,986,025 Utility & Other Enterprise Funds: Water & Sewer Fund 38,791,040 3B,875,670 38,915,670 40,000 Gas Fund 19,111,460 18,802,920 19,123,959 321,039 Solid Waste Fund 13,654,720 13,208,720 13,093,080 -115,640 Stormwater Utility Fund 4,049,720 3,643,210 3,602,440 -40,770 Recycling Fund 2,380,260 2,385,261 2,276,091 -109,170 Marine Fund 1,935,910 1,948,870 2,071,460 122,590 Parking Fund 2,582,060 2,582,060 2,586,820 4,760 Harborview Center Fund 1,863,440 2,049,731 1,671,545 -378,186 Internal Service Funds: Administrative Services Fund 5,990,910 6,017,590 5,913,630 -103,960 General Services Fund 2,291,930 2,291,930 2,298,230 6,300 Garage Fund 7,910,180 7,926,955 7,946,843 19,888 Central Insurance Fund 8,113,650 8,113,650 8,111,850 -1,800 Total, All Funds 188,514,060 189,544,622 191,368,181 1,823,559 S-ad Ordinance #6163-97 4,