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5778-95 ORDINANCE ND, 5778.95 AN ORDINANCE OF THE CITY OF CLEARWATER, FLORITIA, APvTENDING TI.31" CAPITAL, IMPROVEMENT NT PROGRAM REPORT AND BUDGET FOR THE FISCAL, `:t'EAR ENDING SEPTEMBER 30, 1995, TO REFLECT AN INCREASE IN BUDGET EXPENDITURES TO EXPAND THE SCOPE OF PROJECTS IN THE FUNCTIONAL CA.°I'?EGGR.ILS OF POLICE PROTECTION,ON, INTLRSI~'CI'I0NS, MISCEL.LANI EOUS' PUBLIC ORU-3, LAND ACQUISITION, PARK DEVELOPMENT, MARINE FACILITIES, LIBRARIES, MAINTENAI, CE OF BUILDINGS, CITY HALL, BUILDINGS & EQUIPMENT MISCELLANEOUS, WATER SYSTEM, SEWER SYSTEM, GAS SYSTEM, SOLID WASTE, AND RECYCLING, AND TO R i�LECT A DECREASE IN BUDGET EXPEENDITURI ES TO REDUCE THE SCOPE OF PROJECTS IN THE FUNCTIONAL CATEGORY OF BEAUTIFICATION, FOR A NET INCREASE OF $6,637„341; PROVIDING AN EFFECTIVE DATE. WHEREAS, the Capital Improvement Program Report and Budget for the fiscal year ending September 30, 1995 was adopted by Ordinance No. 5680-94; and WHEREAS, unianticipated needs necessitate an increase in expenditures for the following: Police Protection $48,623;Intersections$111,236;Miscellaneous Public Work's$30,000;Land Acquisition$150,000;Park Development$133,233;Marine Facilities$25,000;Libraries$13,928;Maintenance to Buildings$9,510;City Hall $415,000,Buildings&Equipment Miscellaneous$3,849,948;mater System$2,400;Sewer System$137,840;Gas System.$1,750,688;Solid 'tea to $368; and Recycling 20,800; and WHEREAS, &xlds of$6,698,574 are available to finance taeese projects through,use of General Fund' Revenues, Special Development Fund Revenues, CRA Fund Revenues,recreation Facility impact Fees, Recreation Laud, Impact Fees, Dovirltumn Transportation Impact :Fees, Infrastructure Tax Revenues, Grant. Revenues,- Reimbursement from S)7v"MD,?ENIA Revenues, Property Owners Share Revenues,Donations,Proceeds from Sale of Sludge Farm,Revenues from Other Municipalities,Bridge:fund Revenues, :Recycling Fund Revenues, and Gas Bond Isme Revenues, and VaIEREAS, 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 fhe fiscal year; NOW, THEREFORE,BE I T,�I-DAINED BY THE CITY COMMISSION OF THE CITY OF CLEAR�XATFR, FLORIDA; Section 1_ Section 1 of Ordinance No. 5680-94 is amended to read: PnrZant to the First Quarter Amended Capital Improvement Program Report and Estimated Budget for the fiscal year beginning October 1, 1994 and ending September 30, 1995, a copy of which h is on -file wvith the City Clerk, the City Commission hereby adopts a First ()l>arter Aa,emdedbudget for the capital improvement fund for the City of Clearwater, a copy or which is attached hereto as Exh.ib.it A. Section 2. This ordinance shall take effect immediately upon adoption. PASSED ON FIRST READING Marc'n 2, 1995 PASSED ON SECOND AND FINAL READING arch 16, A X95 Rita arvey, Mayor.-Comanissioner Attest.. Approved as to for.: and legal sufficiency: cyntIvia F. Coudeau, City Clerk Pamela E. Akin, City Attorney EXHIBIT A CAPITAL IMPROVEMENT PROGRAM FOR FISCAL YEAR 1994195 First Qtr 0riginaL Amended Sudget Budget 1994195 1994/95 Anaenchents Potice Protection 0 48,623 484623 Fire Protection 94,680 94,680 Nei Street Ccnstryaction 2,300,000 2,300,000 Major street Maintenaance 1,4488,900 1,488,900 Side akks &,Bike Traatiis 400,000 400,000 intersections 535,000 646,236 111,236 Parking 50,000 50,000 0 isceLtaneous Pubs i s storks 0 30,000 30,000 Land Ac risitiora 0 150,300 150,000 Park Development 696,600 829,833 133,233 Beautification , 0 °61,233 °61,233 grin Facilities 303,000 328,000 25,000 Libraries €85,300 699,228 13,928 Garage 1,600,500 1,600,500 Maintenance off' Buildirigs, 190,000 199;510 9,510 City Hall 7,105,644 7,520,644 415,000 81d9s & Equipajent MisceIkaneous 3,000,980 6,850,928 3,849,948 Btormwater Utilit y 1,710,320 1,710,320' Water System 2,215,000 2,217,400 2,400 5euer'System 2,566,000 2,703,840 137,840 'Gas System 4,968,000 6,718,688 1,750,688 Solid Waste ' 370,000 370,358 368 utilities MisceLtaneous 102,000 102,000 Recyctina 575,640: 596,440 20,800 TOTAL 30,957.,564 57,594,905 6,637,341 EXHIBIT A (Continued) -04-95 CAPITAL I PROVE14ENT PROGRAM FOR FISCAL YEAR 1994195 First 4t . Original. Amended Budget Budget 19944/95 1994/95" Amendments GENERAL SOURCES:. _ _.,o ........... Genera't Operating Revenue 4,243i330 4,670,718 427;388 GeneraL Revenue/County EMS 73,680 73;680 Speoirat DeveLopmeit Fund 1,918,000 1,91.8,370 370 Communuty Redevebopnent Agency 0 814,090 814,090 Road Village 1,527,940 1,527,940 Recreation Facility Impact Fees 0 90,731 90,,731 Transportation Impact Fees 90,000 90,000 Recreation LarW lapW-t Fees 0 99,000 94,000 Downtown Trans Icdpac't Fees 0 24,630 29,630 Infr€astrur,ture ,ax` 7,055,914 10,079;563 3,023,649 Drainage Impact Fee 50,960 50,960 Bevetapment Impact Fees 100,000 100,000 Grant 233,020 272`,498 39,478 Reimbursement f.am'SWMD 0 14,338 14,338 FEMA 0 64,673 64,673 Property Owners Shire 0 2,400 2,400 Donations 0 368 368 Proceeds fr sat-of shadse far;,, 0 21,850 21,850 other MunicipaLities 0 212,888 212,388 SELF SUPPORTING`FUNDS: Bridge'Revenue 0 25,000 25,000 Bridge R & R 100,000 100,000 Marine Operating Revenue 35,000 35,000 Parking Revenue 98,000 98,000 Lltitity System: Mater, & 7ewer Reyenaue 2,513,000 2,,51,3,000 Water Impact Fees 100,000 100,000' Water R & R 1,20+0,000 1,200,000 Suer Impact 50,000 50,000 Suer R & R 661,000 661,000 Gas Revenue 25,000 -3,057,590 -3,082,590 Gas R & R 233,000 233;000 SoLid Waste Revenue 370,000 370,000 Storttwzte+ 'UtM ty° 1,310,320 1,310,320 Recyctin8 Revenue 173,000 143,800 20,800 RecycLing Gram 175,000 175,000 INTERNAL SERVICE fll�i55 Garage Fund 54,500 54,500 Again Services Fund 261,000 261,000 GeneraL Services Fund 118,000 118,000 Lease Purchase 200,540 200,540 Sond Issud-Mun Svc SLdq 1,000,000 1,000,000 SELF-SUPPORTING FUNII5]: water & Sewer 'Lease)'Purchase 38,000 38,000 Recycling Louse/Purchase 227,640 227,640 Gas dons! Issue 4,710,000 9,543,278 4,833;278 water & Sewer Lonn 300,000 300,000 IN1�ERptAL SEKVLJLC FUNPb- Garage Lease/Purchase 1,546,000 1,546,000 Gen Svc Luse/Purchase 17,100 17,100 Amain Svc Lease/Purchase 148,620 148,620 TOTALS: 30,957,564 37,594,905 6,637,341