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5552-94 P"h�b'8'f[TaJ eFa11"'iL'a �e�'a� wCCR Bf i *g� ;. 3..: ba. ..i _E v�4:8� O ?erg#�—Al �1 AT ER,a, FLORIDA, k•4;�,�w�*d�,.p*�'IND a # E #PER,x°TNkG BUDGET S" THE FISCAL YEAR ENDING SEPTEMBER 30, 1994; ;TO REFLECT INCREASES AND T3ECREASI''S IN REi�ENL f ES AND EXPENDITURES FOR THE GENERAL :CTAL DEVELOPMENT FUND, SPECIAL PROGRAM FUND,SIL -7 t. `'d, 7 - T OAS FUND,,SOLID WA TE FU IwL�,I�..CY CL.,ING FUND,MARINE FUND, ATR I I TURD., AN D CENT_"L INSURANCE FUND, AS PROVIDED HEREIN;:PROVIDING AN EFFECTIVE DATE. I AREAS the budget for the fiscal year endin�g September 30, 1994 for operating�p urposes, including debt service; was adopted by Ordinance No. 5457-93 and WHEREAS, at the First Quarter Review it was found that an increase of$604,420 is necessary° in the General Fund;,an increase of $108,306 is necessary in the Special Development Fund; an increae of $787,983 is necessary in h,- Special Progiam Fund; an increase of$3,091,520 is necessary'in the Gas Fund; an- increase of$1,731,948 is necessary in the Solid Waste Fund, an increase of$791,111 is necessary in the Recycling Fund, an increase of$47,037 is necessary in the Marine Fund; an increase of$2910,998 is necessary in the A.triuzn Funs:; an increase;of X10,425 is necessary in the Central Insurance Fund; and that sufficient revenues are a)ailable i to cover these additio€ial e xpe uses;'and t: WHEREAS, a summary of the amended revenues and expendit ures is attached hereto,and narked Exhibit A; and 'KHEREAS, Section 2.519 of the Clearwater Code authorizes the City commis sion to pro)ride for the expenditure of money for proper purposes not contained in the budget as origmal y adopted due to unfi�re,seen circumstances or emergencies arising during the fiscal year;" NO`S' 7EM.REFORE RE IT ORDAINED BY THE CITY COMMISSION OF THE,CITY OF CLEARWATER., FLORIDA;' Section I. Section 1 of Ordinance No. 5457-93 is amended to read:` i ,. us.' Report and Estimate for the Pursuant the Amended Ci t y Manager's nn fiscal year beginning October 1 1993 and ending September 30, 1994 a copy of which is on file with the City Clerk, the,City Commission hereby adopts an amended budget for the operation of the City,a copy of which is attached hereto as Ekhibit A. Section 2 7Chis ordinance shall take effect in=ediately upon:adoption. I� I March 3 1 9 PASSED,ON FIRST READING AS AMENDED: ,_ 9 4 PASSED ON SECOND AND FINAL READING arch 17 4 ' 1994 Rita Garvey, Mayor-Cc mmissio er n' Attest: Approved as k ran a correctness: i Oyn a - Goudeaai, City ;erk M. A. Oalb aikh ty Attrsrney I ' EXHIBIT A 1 -04 Os.FT,'�?�_T s'E9JUE c:r�t i auaarte<r Original Amesv3ed' Budget Budget 1993494 1993194 Difference. i General Fund: Property Taxes 18,968,810 38,968,810 Franchise Fees 5,085,000 5,150,000 65,000 Utility Taxes 10,560,580 11,000,000 439,420 1.i tenses & 4rMiits 2,008,500 2,008,500, Fines, Farfeituries 'or Penalties! 1,531,400 1,631,000 100,000 lntergovernniinttal Revenue 10,51 ,750.• 10,518,750 Charges for Services 1,094,200 1,044,200 Use arbd Sate,of (city'Property and Moneys 1,361,400 1,361,400 Miscellaneous Ravenues 10,000' Interfund Adihinist;ration 0 +� a: 'e" 2 861 640 2,861,640, �er�u..e Qh 4 r Inte wfund Other lService Charge. 1,563,890 1,563,890 Interfund,Transler 3,704,350 3,704,350 Transfer to Surplus 0 0 Total,.Genera! Fund 59,268,120 59,872,540 604,420 Special Revenues Funds: Specie! Oe�reloprreut Fund 8,760,914 8;864,220 108,306 Spec ia1 P rog rlam FIA4 11111,000 1,898,983 787,983 L4tirty';& Other Enteriaruse Fuands. i Water a�er & SeweM' Fuynsi 33,321,500 33,496,500 r75_ Gas'Funta 16,335,404 18,1Cl0,000 1,765,000 Solid Taste Fu 12,563,000 14,087,474 1,524,474 Starmwater Utility Fund 3,579,050 3,579,050 0 750 471 750 471 Recycling Fund , , , Bridge Fund 1,680,100 1,680,100 ' Marine Fund ` 1,717,340 1,717,340 Par Hsu 11n 2 Sac ,9h ,286, , ana Fund ? Pies 60 FLayd> 257,300 257,300 fun Fund . 0 6,752,440 6,752,440 internal Servi c,e Funds: Administrative Services Fund 4,1911,220 4,191,220 General S r"d31e> Fund 2,507,570.. 2 z5.. 07 r 5t0 I Garage Fuar 7,280,460 7,280,460 Cenral Insurance !'amts 7,847,950 7,847,950 x c 12,468,094 1 Total,, All Funds 16?_,?46,6..4 17 ,174,728 I EXHISI T R (Continued) 3-3 9; 1 1903.04 BUDGET EXPEM11IT REC 'rips", Quarter Original Amended Budget Budget, 1993794 1993/94 Difference General. Fund: City'Commission 171,100 171,100 Administratiost 1,847,150 1,859,150 12,000" Legal 811,130 1,165,378 354,243 City Clerk. 577,660 577,660 Dept of A in Services. 1,836,280 1,836,280 BYrti Resources, 809,320 809,320 Police . 19,764,766 19,764,,60 Fire 9,842,,790 9,842,790 pubt ic Works Oeparitment 6,457,130 6,437,130 central Rermittir 1,44`,880 1,44?;880 > comic DemelopTent 520,700 520,700 Parks 1 9,589,486 9,592,980 3,500 Library 3,1961370 . 3,201,370 5,000 Marine - Sal Ling!Center 781400 81,972 3,572 4on-€3epartn tal 2,322,970 2,549,070 226,100 Total, General FUid4, 59,268,120 59,872,540 604,420 Special'Revenue Funds: Special Demelap, t Fund 8,760,914 8,869,220 108,306. 5peciaF ProgrO Fug. 1,021,000 1,808,983 787,983 Fkti1ity & bther Enterjorise Funds; Water Fl Suer; Fund 32,951,420 32,951,420 Gas Fund 15,008,480 18,100,000 3,091,520 Solid Waste Fund' 12,218,580, 13,950,528 1,731,948 Storm ater Ut i F i ty Fu2ad 3,579,050 3,579,050 Rec cF5 Fund 0 791,111 =91,111 „ r ng Bridge Fund r 1,068,060 1,068,060 [urine Fund 1,587,220 1,634,257" 47,037 marking Sand " 2,266,420 2,266,420 Pier, 60 Fund " 226.400, Atrium Fund 0 290,998 290,998 Internal Service' Funds: aAdmini strat'ive Se' rvi ces Fund 4,1.37,000 4,137,000 GeraeraF Services Fund 2,507,570 2,507,570 Garage Furl 7,280,460 7,280.460 centraF an insurce -Fund 6,941,760 6,91>2,'825 10,425 � Yatal,;,RiF Funds 158,822„454 166,280,202 7,463,748 i '11 0 I