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RESOLUTION 93-20711 RESOLUTION NO. 93-20711 A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, AMENDING FY 1992/93 BUDGETS TO PROVIDE FOR: 1) REAPPROPRIATION OF OUTSTANDING PRIOR YEAR'S ENCUMBRANCES; 2) TRANSFER OF THE SANITATION INSPECTION FUNCTION TO THE CODE COMPLIANCE DIVISION; 3) TRANSFER OF THE TRANSPORTATION PLANNING FUNCTION FROM PUBLIC WORKS TO DEVELOPMENT, DESIGN AND HISTORIC PRESERVATION SERVICES; 4) INCREASED APPROPRIATION TO THE CITY CLERK' S BUDGET; AND 5) APPROPRIATION OF FUNDING FOR PROFESSIONAL PLANNING SERVICES TO ASSIST IN UPDATING AND AMENDING THE COMPREHENSIVE PLAN. WHEREAS, municipal budgeting practices require reappropriation of FY 1991/92 outstanding encumbrances in the amount of $18 , 184 to the General Fund, $45 , 996 to the Sanitation Enterprise Fund, $98 , 002 to the Mechanical Maintenance Internal Service Fund, $32 , 807 to the Self Insurance Internal Service Fund and $4 , 962 to the Communications Internal Service Fund. These encumbrances include purchase orders and other commitments for the expenditure of monies recorded in order to reserve that portion of the applicable appropriation. Encumbrances reported at year-end are reported as reservations of fund balance in the General Fund and there is therefore, no financial impact resulting from reappropriation of these funds. Outstanding prior year' s encumbrances in the Enterprise and Internal Service Funds are reappropriated from retained earnings. WHEREAS, the consolidation of inspection functions requires the transfer of 4 positions from the sanitation inspection function and related costs of $101, 425 for salaries and operating expenses to the Code Compliance Division in the General Fund. The additional General Fund appropriation of $101, 425 will be offset by a corresponding reduction in the General Fund contribution to the Sanitation Enterprise Fund. WHEREAS, the transportation planning function within the city will be managed by the Development, Design and Historic Preservation Department. Funding in the amount of $39 , 501 and 1 position currently budgeted in the Public Works Department will be transferred. This amount represents a grant award received from the Metropolitan Planning organization to be used for transportation planninng purposes. This award is provided for in the current budget. WHEREAS, it is necessary to amend the budget for the City Clerk' s Office and increase the current appropriation by $20, 000 to pay for the special election held on November 3 , 1992 , and to pay for additional advertising costs which result from placing special election advertisements in English and Spanish, Comprehensive Plan advertisements and special meeting notices. Funding is available in the Contingency Account. WHEREAS, it is necessary to appropriate funding in the amount of $90, 000 for a professional services agreement with the firm of Robert K. Swarthout to assist in updating support material for the Comprehensive Plan and in amending the Comprehensive Plan. The city commission previously approved the execution of a letter of agreement for the services of Robert K. Swarthout, Inc. , (reference: Commission Memorandum 491-92 , dated July 22 , 1992) , however, since monies were not encumbered prior to the close of the fiscal year it is necessary to appropriate these funds from the unreserved fund balance of the General Fund to the Special Projects account. NOW, THEREFORE, 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 1992/93 budgets for the General Fund, Enterprise Funds and Internal Service Fund; increasing appropriations by $108 , 184 in the General Fund; decreasing the Sanitation Enterprise Fund by $55 , 429 ; increasing the budgets for the Mechanical Maintenance Internal Service Fund by $98 , 002 ; Self Insurance Internal Service Fund by $32 , 807 ; and Communications Internal Service Fund by $4 , 962 with corresponding increases in revenues as herein summarized and set forth below. i FY 1992/93 Increase/ FY 1992/93 GENERAL FUND Current Budget (Decrease) Amended Budget OPERATING REVENUES Taxes $50, 685, 271 $ 0 $50, 685, 271 Licenses and Permits 5, 029 , 525 0 5, 029 , 525 Intergovernmental 7 , 670, 111 0 7 , 670, 111 Charges for Service 1, 337 , 900 0 1, 337 , 900 Fines and Forfeits 2 , 518 , 000 0 2 , 518 , 000 Interest 1, 000, 000 0 1, 000, 000 Rents and Leases 1, 180, 130 0 1, 180, 130 Miscellaneous 5 , 471, 883 0 5, 471, 883 Other 1, 087 , 000 0 1, 087 , 000 Fund Balance 0 108 , 184 108, 184 Subtotal $75 , 979 , 820 $108 , 184 $76, 088, 004 GENERAL OBLIGATION DEBT SERVICE Ad Valorem Taxes $ 9 , 798 , 161 $ 0 $ 9 , 798, 161 Fund Balance 1, 998 , 879 0 1, 998, 879 Subtotal $11, 797 , 040 $ 0 $11, 797 , 040 Total Revenues $87 , 776, 860 $108 , 184 $87 , 885, 044 APPROPRIATIONS Mayor $ 440, 700 $ 0 $ 440, 700 City Manager 1, 196, 643 0 1, 196, 643 City Attorney 1, 474 , 297 0 1, 474 , 297 Building Services 2 , 369 , 808 101, 425 2 , 471, 233 City Clerk 560, 450 20, 000 580, 450 Community Relations/PIO 262 , 837 0 262 , 837 Development Services 1, 696, 139 46, 296 1, 742 , 435 Finance 1, 387 , 113 0 1, 387 , 113 Fire 14 , 577 , 967 7 , 230 14 , 585, 197 General Services 2 , 068 , 946 959 2 , 069 , 905 Management and Budget 558 , 595 0 558 , 595 Personnel 992 , 171 0 992 , 171 Police 29 , 294 , 363 0 29 , 294 , 363 Public Works 2 , 044 , 605 (39 , 501) 2 , 005, 104 Recreation/Culture/Parks 9 , 002 , 875 0 9 , 002 , 875 Unclassified Accounts 8, 052, 311 (28, 225) 8, 024 , 086 Subtotal $75, 979 , 820 $108 , 184 $76, 088 , 004 GENERAL OBLIGATION DEBT SERVICE Debt Service $11, 797 , 040 $ 0 $11, 797 , 040 Subtotal $11, 797 , 040 $ 0 $11, 797 , 040 Total General Fund $87 , 776, 860 $108 , 184 $87 , 885, 044 FY 1992/93 Increase/ FY 1992/93 Current Budget (Decrease) Amended Budget APPROPRIATIONS SANITATION ENTERPRISE FUND $3 , 425, 736 $ (55, 429) $3 , 370, 307 INTERNAL SERVICE FUNDS Communications $1, 689 , 985 $ 4 , 962 $1, 694 , 947 Mechanical Maintenance 4 , 128 ,369 98 , 002 4 , 226, 371 Self Insurance 5, 985, 215 32 , 807 6, 018, 022 PASSED and ADOPTED this 3rd day of Feiruary, 1993 . \ / r ' r •R / //Attest by: / City Clerk Form Approved: AO° s- Cit W°7 y /,)3 0' Funding Approved: M•i ageme t and Budget i • CITY OF MIAMI BEACH CITY HALL 1700 CONVENTION CENTER DRIVE MIAMI BEACH FLORIDA 33139 OFFICE OF THE CITY MANAGER TELEPHONE: (305) 673-7010 FAX: (305) 673-7782 COMMISSION MEMORANDUM NO. 4,3q--93 DATE: February 3, 1993 TO: Mayor Seymour Gelber and Members of the City Commission FROM: Roger M. Carat �- C' Manager 'iiL ' ' .r _ 67- City A RESOLUTION AMENDING FY 1992/93 BUDGETS TO PROVIDE FOR SUBJECT: REAPPROPRIATION OF PRIOR YEAR'S ENCUMBRANCES; TRANSFER OF SANITATION INSPECTION FUNCTION TO THE CODE COMPLIANCE DIVISION; TRANSFER OF TRANSPORTATION PLANNING FUNCTION TO DEVELOPMENT, DESIGN AND HISTORIC PRESERVATION SERVICES; FUNDING FOR SPECIAL ELECTION AND ADDITIONAL ADVERTISING COSTS IN THE CITY CLERK'S OFFICE; AND FUNDING FOR PROFESSIONAL PLANNING SERVICES TO UPDATE AND AMEND THE COMPREHENSIVE PLAN. ADMINISTRATION RECOMMENDATION: The Administration recommends that the City Commission adopt the attached resolution which is the first amendment to Fiscal Year 1992/93 budgets for the General, Enterprise and Internal Service Funds in order to reappropriate funding for prior year's outstanding encumbrances; transfer the sanitation inspection function to the Code Compliance Division; transfer the transportation planning function to Development, Design and Historic Preservation Services; provide for costs for special election and additional advertising in the City Clerk's Office; and appropriate funding for professional planning services to update and amend the city's Comprehensive Plan. BACKGROUND: A. REAPPROPRIATION OF PRIOR YEAR'S ENCUMBRANCES - $18,184 Municipal budgeting practices require reappropriation of FY 1991/92 outstanding encumbrances. These encumbrances include purchase orders and other commitments for the expenditure of monies recorded in order to reserve that portion of the applicable appropriation. Subsequent to the completion of the annual audit of the city's financial statements, encumbrances recorded at fiscal year-end are reported as reservations of fund balance in the General Fund. Therefore, there is no financial impact from reappropriation of outstanding prior year encumbrances. Prior year' s encumbrances for the Enterprise and Internal Service Funds are funded from retained earnings. B. TRANSFER OF SANITATION INSPECTION - $101,425 In an effort to consolidate functions and to foster diversity and promotional opportunity, the city is transferring sanitation inspection to the Code Compliance Division. The classification of Sanitation Inspector has been changed to Code Compliance Officer I and now provides a career path within the inspection function. This consolidation of inspection functions will result in the transfer of 4 positions and related personnel and operating costs from the Sanitation Enterprise Fund to the Code Compliance Division in the General Fund. The additional General Fund appropriation of $101, 425 will be offset by a corresponding reduction in the General Fund 1 contribution to the Sanitation Enterprise Fund. AGENDA ITEM DATE • FY 1992/93 Budget Amendment February 3 , 1993 Page 2 C. TRANSFER OF TRANSPORTATION PLANNING FUNCTION - $39,501 The transportation planning function within the city will be managed by the Development, Design and Historic Preservation Department. Funding in the amount of $39, 501 and 1 position currently budgeted in the Public Works Department will be transferred. This amount represents a grant award received from the Metropolitan Planning organization to be used for transportation planninng purposes and has been provided for in the current budget. D. CITY CLERK - SPECIAL ELECTIONS AND ADVERTISING COSTS - $20,000 Amend the budget for the City Clerk's Office and increase the current appropriation by $20, 000 to pay for the special election held on November 3, 1992 , and to pay for additional advertising costs which result from placing special election advertisements in English and Spanish, Comprehensive Plan advertisements and special meeting notices. Furling is available in the Contingency Account. • E. PROFESSIONAL PLANNING SERVICES TO ASSIST IN UPDATING AND AMENDING THE COMPREHENSIVE PLAN - $90,000 On July 22 , 1992 the city commission approved the execution of a letter of agreement with Robert K. Swarthout, Inc. , (re: Commission Memorandum 491-92) , to provide professional planning services to assist in updating and amending the city' s Comprehensive Plan. However, since monies were not encumbered prior to the close of the fiscal year it is necessary to appropriate funding in the amount of $90, 000 from the unreserved fund balance of the General Fund to the Special Projects account. ANALYSIS: Reappropriation Other Total of PY Encumbrance General Fund Code Compliance $0 $101,425 $101,425 Computers & Communications 959 0 959 City Clerk 0 20, 000 20, 000 Economic Development 6,795 39, 501 46,296 Fire 7, 230 0 7, 230 Public Works 0 (39, 501) (39, 501) Unclassified Special Projects 3 , 200 90, 000 93 ,200 Contingency 0 (20, 000) (20, 000) Sanitation Contribution 0 (101,425) (101, 425) Total General Fund $18, 184 $110, 000 $128 , 184 Sanitation Enterprise Fund $45,996 $(101,425) $ (55, 429) Internal Service Funds Mechanical Maintenance $98, 002 $0 $98, 002 Self Insurance 32 ,807 0 32 , 807 Communications 4 , 962 0 4,962 CONCLUSION: The attached resolution is the first amendment to FY 1992/93 budgets in order to reappropriate for prior year' s ouststanding encumbrances as required by municipal practices and which has no financial impact on the General Fund since these encumbrances have been reported as reservations of fund balance and do not constitute expenditures or liabilities; and to provide for additional increases and/or decreases in expenditures; and other funding changes in operating budgets which were not anticipated at the time current budgets were adopted. RMC:KM 2 RESOLUTION NO. 93-20711 Amending FY 1992/93 Budgets to provide for: 1) reappropriation of outstanding prior year's encumbrances; 2) transfer of the Sanitation Inspection function to the Code Compliance Division; 3) Trans- fer of the transportation planning function from Public Works to Development; Design and Historic Preservation Services; 4) increased appropriation to the City Clerk's budget; and 5) appropriation of funding for professional planning 1!!!!: services to assist in updating and amending the Comprehensive Plan.