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6329-98 OPERATING BUDGET ORDINANCE ORDINANCE NO. 6329-98 AN ORDINA24CE OF THE CITY OF CLEAR VN<ATER, FLORIDA ADOPTING AN OPERA'T'ING BUDGET FOR THE FISCAL YEAR BEGINNING O j BER 1, 1998, AND ENDING SEPTEMBER 30, 1999, AUTIIORIZINQ THE CITE" MANAGER TO ISSUE SUCH INSTRUCTIONS THAT, : ' ,'NECESSARY TO ACHIEVE ALTO ACCOMPLISH THE SEl VICE i!Pkck!RAM S SO AUTHORIZED;, AUTHORIZING THE CITY MANI�GEI� TO TRANSFER MONIES AND PROGRAMS AMONG TIE DEP �'II S,a AND ACTIVITIES WITHIN ANY FUND AS PRO ED BY CHAPTER:EIS: 2 OF THE C1aEAR olATER CODE OF ORDINANCES;! PROVIDINPAN EFFECTIVE DATE. WHEREAS, the City Manager has submitted an estnhate of the ex' enditures necessa to _P carry- on the City g rvernment for the fiscal year beginning October 1, 1998, ana e, ding September 30, 1999- EREAS, an'''estimate of the revenues to be received by the=City during said p riod from..ad.valorem taxes,and other sources has been submitted to the.City Commission; and FREAS, a T eneral summary of the operating budget, and notice of the time,; and places where copied df the budget message and operating budget are available for inspectic6 by the public, was published ed in a newspaper of general circulation; and ERE.AS,�, thel City Commission has examined and carefully considered the proposed budget; and E ASS in accordance with Chapter 2 of the Clearwater Code of Ordinances, the City Commission conducted a public, hearing in City Hall on September 3, 1998, upon said budget and tax levy; hb w, therefore, z , BE IT O INED Eli' THE CITY COMMISSION OF THE CITY OF CLEARWATER, FLORIDA, Section 1. 'Pursuant to the City Manager's Annual Report and ]Estimate for the'fiscal�year , beginning October 1, 1998, and ending September 30, 1999, a copy of which is on file with the City Clerk, the City Co ninission hereby adopts a budget for the operation of the City, a copy of which is'attached hereto'as Exhibit A. Section 2. The budget as adopted shall stand and be the 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 C iearwater Code of Ordinances Ordinance 06329-98 Section 3. The City. Manager is authorized and directed to issue such instructiounsl, and directives that are necessary to achieve and accomplish the service` programs authorized by the adoption of this budget. Section 4 ThO IC`-ity Manager is authorized for reasons of economy or effcienc�v to transfer part or all of any unencumbered appropriation balance among programs within an operating fund, provided such action does not result in the discontinuance of a program'. Section 5. It isl the intent of the City Cornimission that this budget, including amendments thereto, is adopted!to permit the le al appropriation and encumbering of funds for the purl ®ses set forth in the budget,. .All appropriated,and encumbered but unexpended funds at the end of the fiscal year ` be= during the subsequent fiscal year for he purposes :for hichr the y y expended, were appropriated an e ncumbered, and such expenditures small be deemed to have been (spent out of the current budget allocation. It.shall not be necessary to reappropriate additional fonds in the budget for the subsequent fiscal year to cover valid open encumbrances outstanding as of the i end of the current disc cd v'ear. Section �6. Shoff lid any provision of this ordinance be declared by any court to be in Wid, the same shall not affecf the validity of the ordinance as a whole, or any provision thereof, [other than the provision declared to be invalid. s Section 7. 'l his ordinance shall taro effect October l, 1998. { I PASSED ON FIRST READING September 3, i 1995 PASSED ON SECQND AND FINAL � READING AS AMbliDED September 17, 1998 Rita Garvey, Mayor-Co ssioner Attest: Approved as to form:' Cy `a.E. Goudeau, City Clerk Pamela K. Akin, City Attorney Ordinance #029-98 EXHIBIT A 1998-99 BUDGETED REVENUE Actual Budgeted Budgeted Revenues Revenues ! Revenues 1996197 1997198 199810 EINE L FU ND: Property Taxes 20,029,338 20,366,810 21,242,420 Sales Tax Revenue 4,516,301 4,913,926 5,23511000 Franchise Fees 7,149,054 7,750,730 7,888,';000 i Utility Taxes 13,557,357 14,739,970 15,653111090 Licenses& Permits 2,632,794 2,588,100 2,813,1000 Fines, Forfeitures and Penalties 1,137,346 1;312,709 1,199,1600 Intergovernmental Revenues 7,562,961 7,837,760 8,522,,340 j . Charges forurrent Services 1,456,888 1,527,940 1,535,,550 Use end Sai ,;of City Property and Money 1,331,505 1,456,700 1,266,760 Miscellaneous RO:v�enues 187,440_- 140,320 182,j060 lnterfund Charge Transfers 9,947,325 9,969,360 1 0,071,;300 TransterfromiSurplus 0 427,210 1,800,;000 TOTAL.GENERAL F"U ND 69,602,309 73,031,520 77,409,1120 SPECIAL.REVENUE^FUNDS: Special DevelopMent 11,438,255 11,279,630 12,7801350 Special Program Fend 4,707,123 1,540,000 2,113,000 } ENTERPRISE FUNDS: Water& Se +er Fund 35,816,439 40;326,700 48,331 '170 Stdrmwater UtiN, fund 3,617,056 3,711,135 4,745y000 Solids Waste Fund 12,544,825 13,764,980 13,8471000 ��, .�d 17 779 k Gas use 826 22546,220 21,178 070 Recycling Fond 2,133,793 2,200,900 2,271000 Marine Fund 2,219.600 2,045,900 2,134.770 Parking Fund 2,930,575 2,978,030 2,9931,280 Har5orview Center Fund 1,248,874 1,779,000 2,0641,700 INTERNAL SERVICE FUNDS: Administrative Sanricas 5;539,986 6,123,200 7,02$1,300 General Services- 2,553,721 2,397,410' 2,7591,690 Garage Fund 8,475,254 7,969,120 8,2551,290 Central Insurance Fund 10,904,378 10,154,010 10,760,,320 TOTAL.ALL`FUINIDS - 191,411,814 201,847,755 218,67E6, �r Ordi fiance#6329-98 EXHIBIT A(Continued) '1999-99 BUDGETED EXPENDITURES Actual Budgeted' Budgeted Expenditures Expenditures Expenditure's 1996197 1997198 1998199 GENERAL FUND: City Commission 274,917 205,330 194,200 ,Administration 2,674,904 2,928,050 3,947,570 Legal 1,016,179 1,117,920 1,190,550 City Clerk,; 665,079 777,770 790,480 Financial Services 1,639,974 1,777,230 1,817,710 Human Resources 735,512 774,710 796,030 Police 22,971,907 23,980,120 24,585,250 Firs: 10,430,256 11,217,920 11,770,450 Community Development 3,087,088 3,244,320 3,508,650 Public ill&ks Administration 6,372,943 6,639,890 7,083,470 Parks and Recreation 10,058,713 10,852,510 11,388,000 Library 4,114,102 4,289,950 4,400,550 Sailing Center, 126,636 127,420 135,560 Pier 60 300,471! 261,170 288580 Non-Departmental 6,153,479 4,837,160 5,507,070 TOTAL GENERAL FUND 70,622,167 73,031,520 77,409120 SPECIAL REVENUE FUNDS: Special Development 8;800,558 7,810,750 12,705,350 Special Program Fund 5,156,119 1,440,000 2,013,000 ENTERPRISE FUNDS Water&Sevier Fund 36,173,968 40,326,700 48,331,170 Stormwater Utility Fund 3,123,785 3,707,000 3,761,560 Solid Waste Fend 11,906,311 13,764,980 14,021,790 Gas Fund 16,639,230 21,246,700 20,484,525 Recycling Fund 1,444,998 2,114,330 2,265,940 Marine Fund 2;077,517 1,997,980 2,000,110 Parking Fund 2,297,440 2,978,030 2,993,280 laraonria a Center Fund 1,650,966 1,779,000 2,064,700 INTERNAL SERVICE FUNDS. Administrative Services 5,621,045 6,083;310 7,017,620 General Services 2,191,607 2,379,210 2,750,690 Garage Fund 6,795,676 7,621,480 7,999,150 Central Insurance Fund 10;293,461 9,320,100 9,707,510 T0TAL ALL FUNDS 184,794,838 195,6 1,090 215,534,515 u� Ordinance#6329-93