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5629-94 ORDINANCE NO, 5629-94 i AN O;IIDINANCE CF THE CITE' OF CLE ARWATER. FLORIDA, A3b1END3i`�'0 THE CAPITAL IMPROVEMENT PROGRAM REPORT AND ISUDGI T IFOR THE F'IS CAL YEAR ENDING; SEPTEMBER 30, 1994, TO REFLgcr AN INCREASE IN BUDGET EXPENDITURES TO EXPAND THE SCOPE OF PROJECTS IN THE FUNCTIONAL CATEGORIES OF POLICE PROTECTION, l��T!SCELLt�NEOUS PUBLIC, WORKS, PARK I)Ei'El,.t7iPMENT,BEAUTIFICATION,MARINEFACILITIES,LIBRARIES, CITY" jUALL ANNEX, CITY HAIL, GENERAL PUBLIC BUILDINGS MISCELI ANEOUS, STORMWATEI TTlLITY, WATER SYSTEM, AND GAS S`t"STEMI , AND TO 'REFLECT A DECREASE !N ;BUDGET EXPENDITURES TO REDUCE THE SCOPE OF PRO.1"EC T S IN TIDE FUNCTIONAL CATEGORIES OF SIDEWALKS & BIB TRAILS, PARIKIING, AND SEWER SYSTEM, FOR ,A NET INCREASE OF $4,009,955; PROVIDING AN'EFFI~C EFFECTIVE BATE. WHEREAS, the Capital Improvement Program Report and Budget for the fiscal year ending September 0. 3994, ras adopted>by Ordinance No. 5458-93; and C WHEREAS, unanticipated needs necessitate an increase in expenditures for the following: ,olice Protection $62,520; Ivlissei�lrLneous Public Forks $100,000; Park Development$62,877; Beautification $]: ,100; Marine,Facilities $27,9,5142; Libraries $35,000; City Hall Annex $100,000; City Hall $150,655; General Public Building 14fiscellaneaius $2,587,430; Stormwater Utility '$47,141; Water System $275,000; and Gas System $329,081; and WAEkD S, fiends of$4,044,346 are available to finance these projects through use of General Fund Revenues, Spekial Development Fund revenues, Infrastructure Tax Revenues, Bridle R & R Rev hues, Marine Fund Revenues, Water &Sewer Fund'Revenues, Gas Fund Revenues, and Lease Purchase Fundin,,, and WHEREAP3, 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; T NOW, THEREFORE,BE IT ORDAINED BY THE CITY CO11�MISSION OF THE CITY OF CLEARWA ER, FLORIDA Section 1. Section 1 of Ordinance No. 54:58-93 is amended to read: PurSuant'to the Mid Year Amended Capital Improvement Program Report and EstirnaGed Budget for the fiscal year beginning October 1, 1992 and ending September 30, 1994, a cony 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, a copy of which is attached hereto as Exhibit A. Section This ordinance shall take effect immediately upon adoption. PASSED ON FIRST READING June 2, 1994 PASSED'ON SECC?ND AND FINAL READING 16 94 i Rita Garve Ma y -Commissioner er y, n Attest: Apgar as to rm an correc ess: Cyri y ` tYok Alan S. Zimmet, Int ii� City Attorney. t 7 � ? I L. EXHIBIT A 5-25-94F CAPITAL IMPROVEMENT P€S+AiE1 AN FOR FISCAL YEAR 1993'94 First Qtr Mid Year Original Amended Amended` Budget Budget Budget 1993/94 1993/94' 1993/94 Amendments - -` --------- ---- - - ----- Police Protection 1,448,000 1,569,498 1,632,018 62,520 Fire Protection 343,930 343,930 343,930 New Street Con s tructdon 1,000,000 950,000 950,000 major Street Maintenance 16475,000 1,475,000 1,475,000 Sidewa.ks & Blke T raaiIs 300,000 280,000 253,300 -26,700 Intersections; 1,285,000 1,285,000 1,285,0 00 . Parking i 0 0 -4,250 -4,250 NiscetlaneousiPublfic Works 0 36,140 : 63,860 100,000 Park Development 1,615,914 1,760,3305 1,823,182 612,877 Seautification 0 55 15,155 15,100 Marine faciti�ies 2,195,500 2,334,537 2,614,079 279,542 Libraries 450,000 450,000 435,000 35,000 City Hats Anne 0 0 100,000 100,000 Garage, 1,507,500 1,522,925 1,522,925 0 maintenance of, Buiildings 210,000 220,000 220,000 City Hatt 1 10,800,000 10,800,000 10,950,655 150,655 General Public; Sui ding Misc 728,740 999,174 31586,604 ' 2,587,430 Storater Jtit=".s� 1,484,000. 1,484,000 1,531,141 47,141 Water System 1,890,000 '- 1,890,000 2,165,000 275,000 Fiwer System 1 2,180,500 2,180,500 2,177,059 .-3,441 Gas System 7,740,800 7,740,800 8,069,881 329,081 Solid Waste ' 345,000 191,354 191,354 Recycling 0 850,511 850,511 TOTAL 36,999,884 38,291,449 42,301,404 4,009,955 ----------- ----=------ -------- i i i 75 1 EXHIBIT A (Continued) CAc. sv,1 a YM S t`CriY ! Y{s'8! s�� FISCAL Y8sR 1993/94 5 25+94 III First Qtr Mid Year Ori g i na t Amended Amended Budget Budget Budget 1993/94 1993/94 1903/94 Amendments GENERAL SOURCES: --------- ----- ----- General, Opera(inip Reverse 825,250 997,250 1,131,,140 133,890 GeneraL Revenue/4ounty EMS 73,680 -,-3,t,-, 73,680 Speciak'DeveLblpmqnt Fund 0 86,409 95$;566 870,157 Spet:lat Program Furad 0 56000 5,000 Road Mittage 1,479,040 1,474,040 1,479,040 Road hlittaye/Prier Year 35,960 214,718 219,?18 Transportation Impact Fees 494,000 102,932 102,932 Infrastructure Talx 5,745,914 5,854,220 7,935,275 2,081,055 Locat Option GasjTaix 650,000 754,000 750;,000 Loca€ Option Gas TaixiPrior Year 0 16,901 16,901 Community R eye(, men( Agency 0 250,31�b 250,314 SELF SUPPORTING"FLNDSL : BridRt� R 100000 9 e 104 A OOQ 257,831 157831 Marine Operating Revenue 20,000 67,037 162,048 95011 Paring Revenue 16,500 16,500 16,500 utility Syst«ma water Suer revenue 2,555,000 2,555,000 2,830,000 275,000 Water R &, R; 835,000 835,000 835,000 Sewer 1 cY 50,000 50,000 50,000 Suer R & R 650,000 650,000 650,000 Gas Revenue' 300,000 3,391,520 3,720,601 329,081 Gas I; � R 221,000 221,000 221000 , Sa l i d ita I d� s�e;Re+�ersu. 345.,000 1,994;474 11994,474 Stormwater lititity 1,393,500 1,393,500 1,393,500 Recyciing`Revenue 0 583,371 583;371 INTERNAL SERVICE FUNDS: Garage Fund 37,000 37,000 37,000 Insurance,Fund 0 10,425 10,425 BORROWING: Internal Borrowing 650,000 650,000 650,000 Lease Purchase 1,765,240 2,230;878 2,298,808 67,930 Revenue Band 10,000,000 10,000,000 10,000;000 SELF-SUPPORTING'SUNOS: Solid Wa:ste'Banci/Fria,^ Year 0 2,- AG -2,000,000 Sewer Rev-Lease/Purchase 60,000 60,000 60,000 Gas Band Issue 7,219,800 4,128,280 4,128,280 I INTERNAL SERVICE FUNDS: Garage Lease/Purciiase 1,470,500 1,470,500 1,470„500 Admire Svc Lease/Purchase 11,500 11,500 11,500 TOTALS: 36,999,884 38,291,449 42,301,404 4,009,955 xyllI