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581-2012 RDA Reso RESOLUTION NO. 581-2012 A RESOLUTION OF THE CHAIRPERSON AND MEMBERS OF THE MIAMI BEACH REDEVELOPMENT AGENCY ADOPTING AND APPROPRIATING THE FIRST AMENDMENT TO THE FISCAL YEAR 2010/11 OPERATING BUDGET FOR THE CITY CENTER REDEVELOPMENT AREA AND THE ANCHOR SHOPS AND PARKING GARAGE FOR ITEMS THAT ARE OVER-BUDGET; AND, RETROACTIVELY ADOPTING AND APPROPRIATING THE BUDGET FOR THE PENNSYLVANIA AVENUE SHOPS AND PARKING GARAGE FOR FISCAL YEAR 2010/11. WHEREAS, the City Center Redevelopment Area Budget for Fiscal Year 2010/11 was prepared and adopted with the overall City budget by detailed line item on September 20, 2010; and WHEREAS, the Administration had completed an analysis of revenues and expenses for the fiscal year ended September 30, 2011 for the City Center Redevelopment Area; the Anchor Shops and Parking Garage and the Pennsylvania Avenue Shops and Parking Garage, reflected in Exhibit A attached hereto; WHEREAS, although, overall, the actual expenditures for City Center Redevelopment Area Budget for Fiscal Year 2010/11 are below the adopted budget; certain expenditure categories are over budget, thereby requiring a budget amendment as the budget was adopted at a detailed level; and WHEREAS, the Pennsylvania Avenue Garage and Shops opened during Fiscal Year 2010/11. Revenues and expenses for the facility were not adopted as part of the Fiscal Year 2010/11 Budget; and WHEREAS, during fiscal year 2010/11, the Pennsylvania Avenue Parking Garage generated $478,583 in revenues and incurred $394,068 in related operating expenses for the facility; and WHEREAS, in order to address instances where actual expenditures for line items exceeded.budget for the reasons described in the related commission memorandum, the Executive Director recommends adopting a First Amendment to the FY 2010/11 Operating Budget for the City Center Redevelopment Area and the Anchor Shops and Parking Garage as detailed in and retroactively adopting the Budget for the Pennsylvania Avenue Shops and Garage for FY 2010/11. NOW, THEREFORE, BE IT DULY RESOLVED BY THE CHAIRPERSON AND MEMBERS OF THE MIAMI BEACH REDEVELOPMENT AGENCY,that the Chairperson and Members hereby adopt and appropriate the first amendment to the Fiscal Year 2010/11 operating budget for the City Center Redevelopment Area, and the Anchor Shops and Parking Garage for the items that are over budget; and, retroactively adopting and appropriating the budget for the Pennsylvania Avenue. Shops and Garage for FY 2010/11 as follows: Table 1. City Center RDA Fiscal Year 2010/11 Additional Revenue Appropriation '/z Mill Children's Trust Contribution $249,581 Additional Expenditure Appropriation Children's Trust Contribution $249,581 -Management Fee $750 Professional (Legal) Fees $23,903 Debt Service Cost 2005+ Parity Bonds $104,833 Anchor Shops and Parking Garage Fiscal Year 2010/11 Additional Expenditure Appropriation Garage Use Fee to Loews $78,837 Renewal and Replacement 1 $96,274 Table 2. Pennsylvania Ave. Shops and Parking Garage Fiscal Year 2010/11 Revenues -Parking Operations $478,583 Total Revenues $478,583 Expenditures -Parking Operations $300,727 -Parking Base Fee $30,073 -Garage Ground Lease $23,552 -Garage Management Fee $39,716 Total Expenses $394,068 Net $84,515 PASSED AND ADOPTED THIS 11'" DAY OF JANUARY 2012. AAnnr AIR E SON ATTEST: �P`v.` •"•' Z APPROVED AS TO 0� � G� � � FORM 8 LANGUAGE INCORP ORATED: FOR EXECUTION SECRETARY 26� �� i Attome Date JMG:HF:KB:JC:KOB � ' MIAMI BEACH REDEVELOPMENT AGENCY ITEM SUMMARY Condensed Title: A Resolution of the Chairperson and Members of the Miami Beach Redevelopment Agency adopting the First Amendment to the FY 2010/11 Operating Budgets for the City Center Redevelopment Area, the Anchor Shops and Parking Garage and adopting the Budget for the Pennsylvania Avenue Shops and Garage for FY 2010/11. Key Intended Outcome Supported: Improve the City's overall financial health and maintain overall bond rating Supporting Data (Surveys, Environmental Scan, etc.): One of the City's Key Intended Outcomes is to ensure well designed and well maintained capital projects and infrastructure. In keeping with this goal, approximately 50 percent of actual expenditures in FY 2010/11 were allocated towards capital expenditures including new capital projects and renewal, maintenance and replacement of existing RDA capital infrastructure. Issue: Should the RDA Board adopt the proposed first amendment to the FY 2010/11 Operating Budgets for the City Center Redevelopment Area,the Anchor Shops and Parking Garage,as well as adopt the Budget for the Pennsylvania Avenue Shops and Garage for FY 2010/11? Item Summa /Recommendation: The year-end budget to preliminary actual comparisons for the RDA reflect that there is an operating budget surplus of $669,452 (1.8%) in the RDA, overall. However, because the RDA budget was adopted at a category level, a budget amendment is required to address certain expenditure categories that are over budget.Similarly,garage revenues at the Anchor Garage in FY 2010/11 came in approximately $709,000 greater than budget, which is more than sufficient to offset the resulting $78,837 increase in revenue-sharing obligations with Loews, to cover lower than expected retail revenues(due to the loss of a tenant earlier in the year)and unanticipated but necessary renewal and replacement costs totaling $96,274 (e.g. HVAC replacement for three retail tenants, elevator repairs). The Pennsylvania Avenue Garage opened during Fiscal Year 2010/11 and revenues and expenses for the facility were not adopted as part of the FY 2010/11 budget.The parking garage generated$478,583 in revenues in FY 2010/11,which more than adequately covers the$394,068 in related operating expenses for the facility. In order to address instances where actual expenditures for budgeted categories exceeded the adopted budget for the reasons described in the related commission memorandum, the Administration recommends adopting a First Amendment to the FY 2010/11 Operating Budget for the City Center Redevelopment Area and the Anchor Shops and Parking Garage,and retroactively adopting the Budget for the Pennsylvania Avenue Shops and Garage for FY 2010/11. Advisory Board Recommendation: N.A. Financial Information: Source of Amount Account Funds: 1 2 'OBPI City Clerk's Office Legislative Tracking: Kent Bonde, Laura Aker and Kathie Brooks Sign-Offs: RDA Budget Assistant Executive Coordinator Director Dire RDA rector RDA KOB KB HF MG TAAGENDA\2012\1-1 2-12\Budget endment Summ.doc. I L�) IM MIAMI BEACH AGENDA ITE611 I A DATE IM MIAMI BEACH City of Miami Beach, 1700 Convention Center Drive, Miami Beach, Florida 33139,www.miamibeachfl.gov REDEVELOPMENT AGENCY MEMORANDUM TO: Chairperson and Members of the Miami Beach Redevelopment Agency FROM: Jorge M. Gonzalez, Executive Director DATE: January 11, 2012 SUBJECT: A RESOLUTION OF THE CHAIRPERSON AND MEMBERS OF THE MIAMI BEACH REDEVELOPMENT AGENCY ADOPTING AND APPROPRIATING THE FIRST AMENDMENT TO THE OPERATING BUDGET FOR THE CITY CENTER REDEVELOPMENT AREA AND THE ANCHOR SHOPS AND PARKING GARAGE FOR ITEMS THAT ARE OVER-BUDGET; AND, RETROACTIVELY ADOPTING AND APPROPRIATING THE BUDGET FOR THE PENNSYLVANIA AVENUE SHOPS AND PARKING GARAGE FOR FISCAL YEAR 2010/11. ADMINISTRATION RECOMMENDATION Adopt the Resolution. ANALYSIS The year-end budget to preliminary actual comparisons for the RDA are presented in Exhibit A. Highlights are provided below. These comparisons show that there is an operating budget surplus of $669,452 (1.8%) in the RDA, overall. However, because the RDA budget was adopted at a category level, a budget amendment is required to address certain expenditure categories that are over budget. In addition, it is recommended that a budget of$394,068 is retroactively adopted to cover operating expenses at the Pennsylvania garage, which opened during fiscal year 2010/11. Operating Budget- Revenues Overall, revenues in the RDA are$518,956 over budget.This is primarily due to increased contributions from the Resort Tax fund, which is based on 50% of the 1% Resort Tax revenues collected. Contributions from the Children's Trust are also above budget, although this is directly offset by the remittance of the % mill tax levy back to the Children's Trust. Additionally, the "other income/adjustments" line item reflects the inclusion of rent proceeds from the Miami City Ballet;these revenues are in turn used to offset capital maintenance costs related to the facility. The overall increase in revenues is partially offset by continued declines in interest earnings and increased adjustments to the City and County tax increment from 2008. Operating Budget- Expenditures The total admin/operating expenditures are estimated at$150,496 below approved budget. However, management fees (including salaries and benefits) are slightly above budget due to the final actual salary costs of staff that provides administrative support to the RDA, as well as professional(legal)fees January 11, 2012 Redevelopment Agency Memorandum First Amendment to the FY 2010111 Operating Budget for City Center Page 2 of 2 incurred in connection with unanticipated settlement-related costs on prior-year RDA projects. Debt service costs were also above budget; this amount is the difference between the initial transfer to the RDA debt service fund and the actual amount that is required to be paid. Anchor Shops and Parking Garage Garage revenues at the Anchor Garage in FY 2010/11 came in approximately$709,000 greater than budgeted. This is more than sufficient to offset the resulting $78,837 increase in revenue-sharing obligations to the Loews. Retail revenues only came in slightly below forecast, despite the loss of a tenant earlier in the year. However, the additional overall revenue is more than sufficient to cover unanticipated and necessary renewal and replacement costs totaling $96,274. These generally included the replacement of three of the tenant's HVAC systems and elevator repairs. Pennsylvania Avenue Shops and Garage The Pennsylvania Avenue Garage and shops opened during fiscal year 2010/11. Revenues and expenses for the facility were not adopted as part of the FY 2010/11 Budget. During fiscal year 2010/11, the parking garage generated $478,583 in revenues and incurred $394,068 in related operating expenses for the facility. In consideration of the fact that the Pennsylvania Avenue Shops and Garage was built by the RDA on City-owned property, the operation of the facility has been structured in the form of a ground lease between the City and the RDA, providing terms for both the garage and retail operations. Expenditures for the garage include ground lease rent payments, an administrative fee (consistent with that of the Anchor Garage) and the Parking Department's operational fee. CONCLUSION In order to address the existing and future obligations in the Redevelopment Area, it is recommended that the Redevelopment Agency adopt the attached Resolution,which amends the operating budgets for the City Center Redevelopment Area, and the Anchor Shops and Parking Garage; and the adopts the budget for the Pennsylvania Avenue Shops and Garage for FY 2010/11. JMG/HF/KB/LA/KOB Attachment T:/Agenda/2012/1-11-12/RDA First Amendment 2010_11 Memo.doc Exhibit A. Miami Beach Redevelopment Agency City Center Redevelopment Area Adopted FY 2010111 Adopted Operating Budget to Actual Budget FY 08109 FY09/1D FY 10111 FY Will Variance From FY 10111 Actual Budget Budget Actual Adopted Revenues and Other Sources of Income Tex Increment-City Minage 6.2155 $18,345,335 516,946,393 $18,377,816 $16,377,816 $0 Proj Adjustment to City Increment for FY 2008 Tax Roll(2) (1,111,989) (1,178,873) (1,200,000) (1,475,726) ($275,728) Tax Increment-County Millage 5.4275 15,808,032 14,496,500 16,047,879 16,047,879 $0 Frei Adjustment to County Increment for FY 2008 Tax Roll(3) (961,565) (954,605) (1,000,000) (1,262,384) ($262,384) 50%Contribution from Resort Tax 3,908,668 3,460,000 3,578,067 4,492,075 $914,008 '712 Mill Children's Trust Contribution(4) 1,366,290 1,498,222 1,225,249 1,474,830 $249,581 Inerest Income 56,626 385,057 200,000 9,291 ($190,709) Fund Balance Reallocation:(Non-TIF) 0 0 0 0 $0 Other Income/Adjustments: 1,344 0 0 84,186 $84,186 TOTAL REVENUES $37,412,741 $34,852,694 $37,229,011 $37,747,967 $518,956 AdmlNOpomting Expenses Management fee(salaries 8 benefits) $464,775 $489,564 $998,563 $989,313 $750 Advertising 8 promotion 0 1,000 0 0 $o Postage,printing 8 mailing 1,420 3,500 4,123 2,858 ($1,265) Once supplies 8 equipment 2,941 3,000 2,900 2,195 ($705) Meetings 8 conferences 1,799 4,000 1,351 12 ($1,339) Dues 8 subscriptions 0 1,000 1,260 7a8 ($472) Audit fees 0 8,500 9,000 5,388 ($3,613) Professional 8 related fees 57,157 55,000 47,000 70,903 $23,903 Miscellaneous expenses 4,223 10,000 5,000 1,388 ($3,612) Total AdmiNOperating Expanses $532,315 $575,584 $1,059,197 $1,072,944 $13,647 Project Expenses Community Policing 32,693,942 $2,871,494 $3,052,215 S2,746,495 ($305,720) Capital Projects Maintenance(5) 3,456,896 3,050,775 3,332,673 3,127,883 ($204,790) NWS Pmject/Lincoln Park Complex Cndrgency 0 3,060,189 0 0 so NWS Project-Gmnl-in-Aid 0 0 15,000,000 15,000,000 $0 Transfer to Capital Projects(6) 20,319,813 13,170,050 130,758 136,758 $0 Total Project Expenses $26,470,651 $22,152,508 $21,521,646 $21,011,136 ($510,510) Reserve and Debt Service Obligations Debt Service Cost-2005+Parity Bonds $8,376,443 $8,393,207 $8,393,254 $8,498,087 $104,833 Current Debt Service-Lincoln Rd Project(7) 1,205,268 1,086,961 $1,094,176 51,094,176 $0 Current Debt Service-Bass Museum(8) 506,108 506,531 505,859 505,859 s0 Reserve for County Admin Fee(9) 222,697 203,128 225,718 221,782 ($3,936) Reserve for CMB Contribution(10) 258,500 236,513 257,667 253,531 ($4,136) Reserve for Children's Trust Contribution(11) 1,366,290 1,498,222 1,225,249 1,474,855 $249,606 Repayment-Prior Yr Fund Balance 0 0 2.940,246 2,946,246 s0 Total Roserve and Debt Service Obligations $11,935,326 $11,924,622 $14,648,168 $14,994,536 $346,368 TOTAL EXPENSES AND OBLIGATIONS $38,938,292 534,852,894 $37,229,011 $37,078,515 ($150,496) REVENUES-EXPENSES ($1,525,551) ($0) so $669,452 $669,452 Note#1 Based on Preliminary Tax Increment Adjustment worksheet received from MDC on 6/30/10 Note#2 Adjustment for final FY 08109 Tax Roll-Estimate based on pric Note#3 Adjustment for final FY 08/09 Tax Roll-Estimate based on pric Note 94 1/2 Mill Children's Trust pmt to RDA per Interlocal Note 95 Separate detail for capital maintenance items from PW Note#6 Reflects appropriations for CIP&PW projects Note#7 Payment of Lincoln Road current debt service on Sunshine Slat Note 48 Payment of Bass Museum current debt service on Gulf Breeze Note 99 County admin fee @ 1.5%of Countys increment revenue Note#10 CMB TIF Contribution @ 1.5%of City's Increment revenue Note 911 1/2 mill Children's Trust Contribution Adopted FY 2010111 Anchor Shops and Parking Garage(16th Street Parking Garage) Operating Budget Budget FY 08109 FY 00110 FY 10111 FY 10111 Variance From FY 10111 Revenues: Actual Budget(1) Budget Actual Adopted Parking Operations $2,585,000 $2,632,000 $2,368,000 53,077,007 $709,007 Retail Leasing 663,779 696,489 714,150 704,365 (S9,7a5) Interest Pooled Cash 46,100 46,100 39,216 23.908 ($15,218) TOTAL REVENUES $3,314,879 $3,374,589 $3,121,366 $3,805,370 $684,004 Operating Expenses: Parking Operations $1,700,768 $1,802,964 $1,704,823 $1,313,809 ($391,014) Garage Use Fee(To Loms)(1) 342,000 355,208 281,288 360,125 $78,637 Retail Leasing Management Fee 55,000 60,000 95,433 76,917 ($18,516) Management Fee(Garage Opal 0 158,129 189,074 189,074 so Renewal and Replacement Anchor Shops 0 0 0 96,274 $96,274 Reserve Future Capital-Parking Operations 563,832 375,922 21%415 0 (5219,415) Reserve Future Capital-Retail Operations 6531279 622,466 631,333 0 ($631,333) TOTAL EXPENSES $3,314,879 $3,374,589 $3,121,366 $2,036,199 ($1,085,167) NET so so $D $1,769,171 $1,769,171 (1)-Based on 28%of annual gross parking revenuues in excess of S1,30,000.(Includes contingency amount) FY 2010111 Pennsylvania Ave.Shops and Parking Garage Operating Budget Budget FY 08109 FY 09110 FY 10111 FY 10111 Variance From FY 10111 Revenues: Actual Budget Budget Actual Adopted Parking Operations s0 50 so 5479,583 5478,583 TOTAL REVENUES so So so $478,583 $478,583 Operating Expenses: Parking Operations 50 s0 so $300,727 $300,727 Parlung Base Fee so s0 s0 S30,073 S30,073 Garage Ground Lease 50 so so 523,552 523,552 Garage Management Fee s0 s0 s0 539,716 539.716 TOTAL EXPENSES $0 $0 $0 $394,068 $394,068 NET $0 $0 $0 $84,515 $84,515