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6187-97CAPITAL MUROVEMENT ORDINANCE 11? ORDINANCE NO. 6187-97 AN ORDINANCE OF THE CITY OF CLEARWATER, FLORIDA, ADOPTING THE CAPITAL IMPROVEMENT PROGRAM BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 1997, AND ENDING SEPTEMBER 30, 1998; APPROVING THE SIX-YEAR CAPITAL IMPROVEMENT PROGRAM WHICH SHALL BE REEVALUATED AT THE BEGINNING OF EACH FISCAL YEAR; AUTHORIZING THE CITY MANAGER TO ISSUE SUCH INSTRUCTIONS THAT ARE NECESSARY TO ACHIEVE AND ACCOMPLISH THE CAPITAL IMPROVEMENTS SO AUTHORIZED; AUTHORIZING THE CITY MANAGER TO TRANSFER MONEY BETWEEN PROJECTS IN THE CAPITAL IMPROVEMENT PROGRAM; APPROPRIATING AVAILABLE AND ANTICIPATED RESOURCES FOR THE PROJECTS IDENTIFIED; PROVIDING AN EFFECTIVE DATE. WHEREAS, the City Manager has submitted a proposed Six-Year Capital Improvement Program, and has submitted an estimate of the amount of money necessary to carry on said Capital Improvement Program for the fiscal year beginning October 1, 1997, and ending September 30, 1998; and ,.D WHEREAS, an estimate of the resources available and income to be received by the City during said period from ad valorem taxes and other sources has been submitted to the City Commission; and WHEREAS, a general summary of the Capital Improvement Budget, and notice of the times and places when copies of the budget message and capital budget are available for inspection by the public, was published in a newspaper of general circulation; and WHEREAS, the City Commission has examined and carefully considered the proposed budget; and WHEREAS, in accordance with Chapter Z of the Clearwater Code of Ordinances, the City Commission conducted a public hearing in the City Hall upon said proposed budget on September 4, 1997; now, therefore, BE IT ORDAINED BY THE CITY COMMISSION OF THE CITY OF CLEARWATER, FLORIDA: Section 1. Pursuant to the Capital Improvement Program Report and Estimated Budget for the fiscal year beginning October 1, 1997, and ending September 30, 1998, a copy of which is on file with the City Clerk, the City Commission hereby adopts a budget for the capital improvement fund for the City of Clearwater, a copy of which is attached hereto as Exhibit A. Section . The Six-Year Capital Improvement Program and budget, a summary of which is attached hereto, marked Exhibit B, is approved in its present form, but prior to the beginning of each fiscal year the City Commission shall reevaluate priorities, hold public hearings and formally adopt additions or corrections thereto. Section 3. The budget as adopted shall stand and be the Capital Improvement Program budget of the City for said fiscal year, subject to the authority of the City Commission to amend or change the budget as provided by Section 2.519 of the Clearwater Code of Ordinances. Section 4. The City Manager is authorized and directed to issue such instructions and directives that are necessary to achieve and accomplish the capital improvements authorized by the adoption of this budget. Section 5. The City Manager is authorized to transfer appropriations within the capital budget, provided such transfer does not result in changing the scope of any project or the fund source included in the adopted capital budget. Section 6. Should any provision of this ordinance be declared by any court to be invalid, the same shall not affect the validity of the ordinance as a whole, or any provision thereof, other than the provision declared to be invalid. Section 7. This ordinance shall take effect October 1, 1997. flew PASSED ON FIRST READING PASSED ON SECOND AND FINAL READING Attest: _ September 4,_ 1997 Approved as to form and correctness: 0'?'VLL Z. Cy is E. Goudeau, City Clerk ),/,A, Pamela K. Akin, City Attorney Ordinance #6187-97 September 18, 1997 EXHIBIT A ,CAPITAL IMPROVEMENT PROGRAM FOR FISCAL YEAR 1997198 Original Budget !. , 1997198 FUNCTIONS: Palace Protection 325,000 Fire Protection 153,750 Major Street Maintenance 1,950,630 Sidewalks & Bike Trails 310,000. Intersections . 285,000 Parking 960,000 Miscellaneous Engineering , . 11000,000 Land Acqulsitlon 350,000., Park Development 1,481,540 Marble Facilities 291,000 :. ; Libraries 708,520 Garage 2,269,550 Maintenance of Buildings 587,330, Miscellaneous 605,650 Stomrw"ater Utility 813,090 Water System 4,505,000 Sewer system 3,075,400 Gas System 9,791,480 Solid Waste 625,000 Recycling 331,600 , '` . TOTAL 30,419,540 Exhibit A RESOURCES APPROPRIATED FOR CAPITAL PROJECTS 1997198 Original Budget 1997198 GENERAL SOURCES: General Operating Revenue 1,159,750 General Revenue - County Coop 218,520 Special Development 50,000 Road Millage 1,638,350 Open Spam Impact Fees 200,000 Recreation Land Impact Fees 150,000 Transportation Impact Fees 90,000 Infrastructure Tax 3,419,190 Development Impact Fees 25,000 Local Option Gas Tax 257,280 Grant - Airpark 100,000 SELF SUPPORTING FUNDS: Marine Revenue 146,000 Parking Revenue 460,000 Utility System: Water & Sewer Revenue 5,963,400 Water Impact Fees 25,000 Water R & R 550,000 Sewer R & R 800,000 Gas Revenue 1,002,084 Solid Waste Revenue 625,000 Stormwater Utility Revenue 713,090 Recycling Revenue 331,600 Grant - Reclaimed Water 190,000 INTERNAL SERVICE FUNDS Garage Fund 164,400 Administrative Services Fund 90,000 BORROWING - GENERAL SOURCES Lease Purchase 130,000 BORROWING - SELF SUPPORTING FUNDS Parking Fund Borrowing 500,000 BORROWING - UTILITY SYSTEM Lease Purchase 80,000 1994B Gas Bond Issues 8,789,400 BORROWING - INTERNAL SERVICE FUNDS Garage Lease Purchase 2,551,480 TOTAL ALL FUNDING SOURCES: 30,419,640 rOrdinance #6187-97 in .? 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