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RESOLUTION 88-19462 RESOLUTION NO. 88-19462 A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, PROVIDING FOR AMENDMENTS TO THE FY 88/89 BUDGETS FOR THE GENERAL FUND, ENTERPRISE FUNDS, AND INTERNAL SERVICE FUNDS; MAKING PROVISIONS FOR: 1) ADDING 25 POLICE OFFICERS; 2) PRIOR YEAR'S ENCUMBRANCES; 3) FRIDAY NIGHT LIVE; 4) MARKETING PROGRAM FOR THE CONVENTION CENTER; AND, 5) OTHER ADJUSTMENTS TO DEPARTMENTAL BUDGETS. BE IT DULY RESOLVED BY THE CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, that the City Commission of the City of Miami Beach hereby amends the FY 1988/89 Budgets for the General Fund, Enterprise Funds, and Internal Services Funds, as summarized herein and listed below. CURRENT AMENDMENTS AMENDED BUDGET INC/(DEC) BUDGET GENERAL FUND GENERAL OPERATING REVENUES Taxes $43,983,583 $ -0- $43,983,583 Licenses and Permits 4,194, 100 -0- 4, 194, 100 Intergovernmental 8,666,820 -0- 8,666,820 Charges for Service 658,500 -0- 658,500 Fines and Forfeits 1,350,000 -0- 1,350,000 Interest 1,600,000 -0- 1,600,000 Rents and Leases 986,418 18,000 1 ,004,418 Miscellaneous 5,051,866 -0- 5,051,866 Other 1,786,707 638,713 2,425,420 Subtotal $68,277,994 $ 656,713 $68,934,707 GENERAL OBLIGATION DEBT SERVICE Ad Valorem Taxes $11,048,243 $ -0- $11 ,048,243 Fund Balance 1,751.757 -0- 1 .751 757 Subtotal $12,800,000 $ -0- $12,800,000 TOTAL-REVENUES $81,077,994 $ 656,713 $81 ,734,707 APPROPRIATIONS Mayor and Commission $426,652 $ 11,470 438, 122 City Manager 754,766 (23,943) 730,823 Bass Museum 407,691 765 408,456 Beach Patrol 2,680,444 1,464 2,681,908 Building 1,006,609 1,569 1 ,008, 178 City Clerk 481,017 20, 149 501 , 166 Computers & Communications 1,250,255 33,766 1,284,021 Convention Center 309,614 -0- 309,614 Economic and Community Development 451,939 17,610 469,549 Finance 1,552,040 1,654 1 ,553,694 Fire 13,704,502 46,292 13,750,794 Legal 864,345 5 864,350 Management and Budget 695,032 315 695,347 Parking Enforcement 429,039 -0- 429,039 Personnel 1,018,099 •4,613 1 ,022,712 Planning and Zoning 684,884 708 685,592 Police 23,644,577 694,993 24,339,570 Public Services 9,775,671 (86,527) 9,689, 144 Purchasing and Property Management 639,747 1 ,332 641,079 Special Programs 199,441 (29,450) 169,991 Contractual Obligations 30,000 -0- 30,000 Renewal and Replacement 350,000 96,468 446,468 Unclassified 6,921,630 (136,540) 6,785,090 Subtotal $68,277,994 $ 656,713 $68,934,707 GENERAL OBLIGATION DEBT SERVICE Debt Service $12,800,000 $ -0- $12,800,000 TOTAL APPROPRIATIONS $81,077,994 $ 656,713 $81,734,707 CURRENT AMENDMENTS AMENDED BUDGET INC/(DEC) BUDGET ENTERPRISE FUNDS Convention Center $5,434,922 $ 450,000 $5,884,922 Parking 3,787,683 36,000 3,823,683 Sanitation 4,471,553 -0- 4,471,553 Water & Sewer 15,994,252 -0- 15,994,252 TOTAL - ENTERPRISE $29,688,410 $ 486,000 $30, 174,410 INTERNAL SERVICE FUNDS Building Maintenance $2,525,671 $ -0- $2,525,671 Central Services 505,953 32,000 537,953 Communications 1,383,803 -0- 1 ,383,803 Mechanical Maintenance 4,066,027 -0- 4,066,027 Self Insurance 5,465,921 -0- 5,465,921 TOTAL - INTERNAL SERVICE $13,947,375 $ 32,000 $13,979,375 PASSED and ADOPTED this 9th day of December 1988. ��-- 10' AYOR Attest by: 6i14,014? 440 , City Clerk Form Approved: City Attorney Funding Approved: i(//. / 74' 4P/ agement and :udget FORM APPROVED LEGALD PT. By r v Date eetv viarsote =Pi'aE4,,, FLORIDA 3 3 1 3 9 itdcoR I.• D* ` '.VA C'A TJU NL A NIS U. S. A." OFFICE OF THE CITY MANAGER CITY HALL ROB W.PARKINS 1700 CONVENTION CENTER DRIVE CITY MANAGER TELEPHONE: 673-7010 COMMISSION MEMORANDUM NO. '?.aq.4.12 DATE: December 9, 1988 TO: Mayor Alex P •oud and Members •f the City Co•/c4ir mis FROM: Rob W. Par''• ItiAtio City Manager if/ SUBJECT: A RESOLUTION AMENDING THE FY 1988/89 BUDGETS FOR THE GENERAL FUND, ENTERPRISE FUNDS AND INTERNAL SERVICE FUNDS. The attached Resolution provides for amendments to the FY 1988/89 Budgets of the General Fund, Enterprise Funds, and Internal Service Funds as follows: GENERAL FUND 1. INCREASED FUNDING FOR 25 POLICE OFFICERS - $646,931 Funding in the amount of $646,931 for the 25 Police Officers, to be added during the current fiscal year would be accomplished primarily by the reallocation of existing appropriations and certain revenue increases, as outlined below: A. Reallocation of existing appropriations would provide $428,931 from the following sources: i . Reduction of $196,500 in the contribution from the General Fund to the Sanitation Enterprise Fund. This reduction will be offset by a 15% across-the-board Sanitation fee increase. The FY 1988/89 contribution is budgeted at $2,048,948. ii . Reduction of $232,431 provided to the Public Services Department for program improvements in the areas of parks maintenance and recreational programming. B. General Fund revenues provide $200,000 donation to the V.C.A. 's Special Events budget. Projections for the Resort Tax revenues indicate that sufficient funds exist to be substituted for the General Fund monies. C. Increases in the golf permit fees is projected to increase concession revenues to the City by $18,000. 2. PRIOR YEAR'S ENCUMBRANCES - $388,713 Municipal budgeting principles require the reappropriation funds for all outstanding FY 1987/88 encumbrances. Funding in the amount of $388,713 is provided for in the restricted Fund Balance. 3. TRANSFER OF ONE POSITION FROM SPECIAL PROGRAMS Further reorganization of the Office of Special Programs require the transfer of one position to the Central Services Division in the Internal Service Fund. This will provide for improved scheduling and supervision for meetings of the City Commission, various boards and committees utilizing City Hall facilities. This transfer requires a budget reduction Z7 of $32,000. • AGENDA 0. _._.�. ITEM DATE � 2- Q - 4. VARIOUS DEPARTMENTS In conjunction with No. 3, it is necessary to adjust the Central Services charges-to-Various City department for the preparation and utilization of City Hall facilities. Total departmental increase is $32,000. 5. FRIDAY NIGHT LIVE The highly successful history of the Friday Night Live ("FNL")series confirms that the event has established itself as an integral part of the recreational program for the City. This amendment incorporates major portions of the FNL series into the Recreation Division's General Fund budget at a cost of $50,000 for professional services related to performing artists. Funding will be provided from the proceeds of Resort Tax collections. The remaining portions of FNL will remain in the Special Revenue Fund and be supported by corporate sponsorships, sale of beer and soda, and rental of craft and food stalls. Estimated revenue proceeds are $53,831. Further, to provide better coordination and support to FNL and other events, one position, at a cost of $27,811 will be transferred from the Office of the City Manager to the Recreation Division. ENTERPRISE FUNDS 1. CONVENTION CENTER - $450,000 This amendment provides for building a model ; preparation, printing, and distribution of promotional brochures, and other marketing/promotional related expenses for the Stephen Muss Convention Center. Funding in the amount of $450,000 is available from Resort Tax collections. 2. PARKING SYSTEM.- $36,000 When the Parking Department took over operations of the Preferred Parking Lot on October 1, 1988, appropriations were not made for providing contractual services to operate the Lot. This amendment provides $36,000 for those services, with revenues from increased collection at current rates. INTERNAL SERVICE FUNDS 1. TRANSFER OF ONE POSITION - $32,000 The transfer of one position from the Office of Special Programs to Central Services will provide for improved scheduling and supervision of services for meetings of the City Commission, various boards and committees utilizing City Hall facilities. ADMINISTRATION RECOMMENDATION The Administration recommends that the City Commission adopt the attached resolution which provides for amending the FY 1988/89 Budgets for the General , Enterprise, and Internal Service Funds. WP.PFL.me ;#i 28 ORIGINAL RESOLUTION NO. 88-19462 (Providing for amendments to the FY 88/89 Budgets for the General Fund, Enterprise Funds, and Internal Service funds; making provisions for: (1) adding 25 police officers; (2) prior year's encumbrances; (3) Friday Night Live; (4) Marketing Pro- gram for the Convention Center; and, (5) Other adjustments to departmental budgets;