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5910-95 ORDINANCE NO. 5910-:95 AN OR13INANCE OF THE CITY OF CtXARWATER, FLORIDA, AMENDING THE OPERATING BUDGET FOR THE FISCAL, YEAR ENDING SEP'T'EMBER 30, 1995; TO REFLECT INCREASES AND DECREASES IN REVENUES AND EXPENDITURES FOR THE GENERAL FUND, SPECIAL DEVELOPMENT FUND, SPECIAL PROGRAM FUND, WATER zMN a:r SEW IER. FUND, GAS FUND, SOLID WASTE FUND, STC0*41V A° R UTILITY FUND, RECYCLING FUND, BRIDGE FUND, F MA r R f FUND, PARKING FUND, PIER 60 U , HARBORVIE�J" CENT EIR FUND, GENERAL SER'V'ICES FUND, AD INfSTRATIVE SERVId.,ESFLIND,CaAIiAGEFL3ND, CENTRAL I1�IS[JRANCEFUND, A S PR -D HEREIN; PRO'V'IDING AN EFFECTIVE DATE. '4V?HFXFjkS, the budget for the fish yeax ending September 30, 1995, f;;r operating Pin s, including debt service, was adopted by Ordinance No. 5679694; and WITEREAS, at the Third. Quarter Review it was found that an:increase in expenditures of $2.,413,6140 is n y in the General Farad; an increase of$989,516 is necessary:'in the Serial;Development Fund; and in6reasepf$1,513,144 is necessary in the Special Program Fund; an increase of$695,260.is necessary in the Gas Fund;an!inctease of$144,160 is necessary in the Solid)k'aste Fund;an increase of$27,200 is aae�eessary in the S-torrawaler UtiliXyFund;an increase of$39,810 is necessary in the Recycling Fund, an increase,of$71,800 is necessary in the Baid e Fund, an increase of$32,710 is necessary+ in the Marine Fund; an increase of$9,120 is net ssa ry in th6 P Fund;an increase of$4,470 is necessary in the Pier 66 Fund, w? i cr se of$660,564 is necessary in the Hatboilvile1w center Fund;an increase of$64,140 is,necessary irx fhe Ad .�.trative Services Fund; an in a.' of$26,550 is';necessary in the General Services Fund;an increase of$55;310 is KleceoS&ary in thr CaMae 'Fund;sari increase of$3.6;,0611 is necessary in the Central Insurance Fund;and that sufficient revenues are alVailable to cover these additional expenses; and WHEREAS,a sway of the amended revenues and expenditures is attached hereto and 'marked Exhibit A; and IEIR EAS, Section 2.519 of the Clearwater Code authorizes the City Commission to provide for the expenditure of mon,ey for proper purposes not contained in the budget as originally adopted due to unforeseen circumstances or emeqencies arising during the fiscal year; NOW,'THEREFORE, BE IT ORDAINED BY THE CITY COMMISSION OF TIME CITY OF CLEAR WATER, FLORIDA, S tion 1. Section 1 of Ordinance No. 5679-94 is-amended to read Pursuant to the Amended City Manager's Annual Report and Estimate for the fiscal year beginning October 1, 1994 and ending September 30, 1995 a copy of which is on file with the City Clerk, the City Commission hereby adopts an Lmende budget for the operation of the City:,a copy of which is attached hereto as Exhibit A. Section 2. This ordinance s ll tare effect immediately Capon adoption. PASSED ON FIRST,READING S , ise.rt��z 7 335 PASSED ON SECON AND FINAL READING Se ember . 1 1995 Rita Garvey, Mayor-Co Attest: Approved as to form ano legal sufficiency. L �J *Chia . Go u, City Clem Pamela K. Akin, City Attorney MITRIT .A 8-2S-95, 1494-95 BUDGET REVENUE First Third Quarter did Year Quarter Original Aimed Amen Ainanded Budget Budget Budget Budget Budget 1994195 1994/95 1944-195 1994/95 Amendment General F` . Property Taxes 18,975,230 18,475,230 19,025,230 19,186;670 161,440 Franchise Fees 5,86"Y,320 60.282.320 6,282,320 6,282,320 Utility Taxes 12,096,8 O 12,0-,—,800 12,240,800 12,340,800 100,000 Licenses & Permits 2,148,500 2,148,500 2,201,000 2,201,060 Fives, ForfeitVres or Pvvaltias 1,649,000 1,649,000 1,293,000 1,335,000 42,000 Intergovernmental Reveroje 11,490,630 11,484,130 11,569,210 11,569,,210 Charges for Services 1,061,220 1,061,220 1,028,370 +,028,370 Use and Sale of City Property and 040my 1,350,000 1,350,000 1,345,940 1,345,940 Miscellaneous Revenues 18,500 28,650 114,440 114,440 Interfund Administration Service charge 3,076,150 3,076,150 3,076,150 3,076,150 Interfund Other Service Charge 1,671,960 1,671,960 1,657,960 1,657,960 €nteefund Transfer 3,830,670 3,830,670 3,830,670 3,830,670 Transfer to/from Surplus 3;036,330 3,227,044 3,617,044 5,727,244 2,116,200 Total; Elmira€ Fund 66,272,310 66,881,674 67,282,134 69,695,771, 2,413,640 Specist Revenue Fundst Special E3evglop-jer?t Fund 11,047,314 14,290,694 15,161,594 16,151,210 989,516 Special Program Fund 1,211,000 2,260,317 2,534,343 4,047,487 1,513,144 tat i i ty & Other Enterprise! Funds- Water Z Sewer Fund! 331748,500 33,7 8,500 33,313,500 34,312,990 99,490 Gas Fund 17,726,610 16,251,610 15,802,550 16,057,110 2-14,560 Solid Waste Fund 111989,060 11,989,060 12,059,660 12,169,660 110,000 Stormwater-Utility Fund 3,529,000 3,529,000 3,610,500 3,690,500 80,000 RecycEing Fund 11720,070 1,644,400 1;929,780- 2,075,700 146,000 3r!dge Furl 1,695,100 1,695,100 1,695,100 1,695,100 Marine Fated 1,822,750 1,822,750 1,877,250 1,87°-1,250 Parking FW4 2,485,410 2,506,410 2,468,036 2,469,406 1,370 Pie-:, 60 FI.Wr 3 305,680 305,680 305,680 351,680 10,000 arbeirview Center Fu:rxi 9r",00c, 90,000 90,03£! 759,5444 6,:9,564 Internal Service e Fund-Administrative Services Fund 4,500,070 4,500,070 4,584,970 4,641,840 56,870 General Services Fund 2,687,240 2,687,240 2,737,340 2,782,340 45,000 Garage Fund 7,273,860 7,273,MO 7,592,498 7,619,658 27,160 Central Insurance iFvrxi 8,360,410 8,360,410 8,340,410 8,740,410 To a4, tali s'Jdss 176,464,384 179,856,775 181,385,445 158,701,7`x9 7,316,314 w EXHIBIT A, (Continue!) 8-25,95 1994-95 BUDGET EXPENDITURES First Third Quarter Kid Year Quarter Original Amend k0ea aded Amended Budget Budget Budget Baoat Bridget 1494/95 1994/95 1094/95 1994/95 A nt Feral Fund. City Cc mission 168,070 191,870 210,250 310,717 108,46••7 Adwinistra ionn 2,266,M 2,211,9707 2,258,6680 2,224,130 -34,550 LeSaL 1"'='130 1,0500,130 1,000,130 1,025,130 25,000 City Clerk 622,510 633,610 642,060 642,060 Dept of Admin. Services 451,260 478,355 418,355 479,315 960 Fin a e 1,294,310 1,260,210 1_,291,820 1,302,930 11,110 Viumar, Resources 855,270 855,270 851,540 859,450 7,410 Police 20,597,460 20,557,460 20,322,4600 20,784,230 457,770 Fire 9,962,0107 9,977,669 9,977,669 10,199,629 221,469 Pubt8c Works Department 1,755,600 1,804,M) 1,784,400 1,811,,350 26,950 Eccnomic Devalopn nt 447,3:30 447,330 447,330 451,050 3,720 Parks & Recreation 9,719,010 9,719,010 9,715,010 9,854,040 135,030 Library 3,766,360 3,763,027 3,800,530 3,829,6900 24,160 Engineering 4,535,11FO 4,540,1330 4,540,150 4,568,060 27,910 Public Works 1,559,010 1,559,410 1,536,230' 1,560,130 23,900 SW EC - Aii,rpark Coordination 61,750 61,750 48,6010 48,600 Mari Sailing Center 110,680 110,680 112,660 114,510 1,850 Ron-Dqmrtmental 7,102,120 7,649,593 8,260,260 9,626,753 1,366,493 `[at€L General Fund 66,272,3150 66,881,674 67,282,134 69,:695,774 2,417,/140 Special Reyem : F ad Speci,aL DeveLopffm-Mit 11,047,314 14,290,694 13,707,527 145697,043 989,516 special Pregr°asas 1,111,000 2,160,317 2,434,343 3,9:,,7,487 1,513,144 utility & Other Enterprise Funds. Water & Sewer Fund 32,697,360 32,692,400 32,257,120 32,022,350 -234,7':'0 Gas Fund 15,819,900 14,431,982 14,812,388 15,507,648 695,260 Solid Waste Fund 11,804,280 11,804.280 11.794,670 11435.830 144,16n Store ter Utility Fuse 3,529,000 3,529,000 3,564,410 3,611,610 27,200 Recycling Fad 1,591,250 1,6315,170 1,695,160 1,734,970 39,810 Bridge Farad 913,9W0 1,000,980 1,006,710 1,078,560 51,800 1 r i ne Furd 1,735,450 1,744,810 1,767,700 1,800,410 U,710 Parking Fund 2,411,560 2,411,560 2,460,286 2,469,406 9,120 Pier 60 Fund 305,680 305,680 305,680 310,150 4,470 Haarborview Center F 90,000 90,0007 759,564 669,564 Internal Service Fur`adsl: kdninistratave Services Fund 4,494,310 4,494,310 4,577,700 4,641,840 64,140 General Services Ftxd 2,601,650 2,601,650 2,6:34,600 2,661,150 26,550 Garage Fund 7,242,020 7,270,038 7,564.348 7.619,658 55.310 CentraL Insurance %nd 7,599,280 7,653,780 7,636,050 7,652,110 16,060 Total, ALL Funds 171,238,424 174,998,325 175,610,826 182,148,510 6,537,684